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Cronos Group Inc

CRON

1.995USD

+0.045+2.31%
Trading geöffnet ETKurse um 15 Minuten verzögert
768.89MMarktkapitalisierung
15.55KGV TTM
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FY2015Q3
FY2015Q2
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FY2014Q2
FY2014Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
4.90%-2.10M
-54.09%7.72M
--11.58M
114.81%1.74M
95.38%-2.20M
168.99%16.82M
31.86%-11.77M
-40.64%-47.69M
32.18%-24.37M
57.48%-13.38M
57.01%-17.28M
27.25%-33.91M
4.86%-35.94M
-11.77%-31.48M
-1.81%-40.20M
-19.84%-46.62M
29.25%-37.77M
-40.66%-28.17M
8.04%-39.48M
-179.30%-38.90M
-391.81%-53.39M
-107.07%-20.02M
-716.33%-42.93M
-26.26%-13.93M
1016.56%18.30M
-641.12%-9.67M
-112.50%-5.26M
-658.19%-11.03M
-51.83%-2.00M
181.12%1.79M
-190.25%-2.47M
-166.33%-1.45M
-627.03%-1.31M
-486.46%-2.20M
-230.23%-852.64K
25.03%-546.24K
--249.48K
-678.88%-375.65K
-1585.61%-258.20K
---728.63K
---48.23K
---15.32K
--0.00
Nettoergebnis aus fortgeführten Aktivitäten
410.91%7.72M
197.59%43.94M
--7.32M
-3.08%-8.76M
87.10%-2.48M
42.90%-45.03M
58.22%-8.50M
41.03%-19.26M
41.10%-78.86M
76.72%-36.89M
-135.82%-20.34M
79.80%-32.65M
-19.85%-133.89M
-331.45%-158.46M
152.71%56.77M
-313.56%-161.63M
-281.44%-111.71M
-88.67%68.46M
-157.94%-107.70M
-75.90%75.68M
735.27%61.57M
12725.45%604.13M
4616.21%185.89M
9839.11%313.99M
-696.48%-9.69M
-646.61%-4.79M
-3264.22%-4.12M
-405.58%-3.22M
58.29%1.62M
601.42%875.39K
109.10%130.08K
-78.56%-637.68K
-37.52%1.03M
53.73%-174.58K
-215.79%-1.43M
41.64%-357.13K
--1.64M
-379.82%-377.33K
-4712.04%-452.72K
---611.99K
---78.64K
---9.41K
--0.00
Betriebsergebnisse und -verluste
-23.35%2.84M
-44.42%2.52M
--17.94M
-41.47%1.51M
54.05%3.71M
73.20%4.54M
-38.85%2.58M
-61.93%2.41M
-97.99%2.62M
-98.57%3.45M
31.97%4.23M
74.45%6.32M
6585.69%130.37M
10815.25%241.88M
-92.32%3.20M
211.62%3.62M
103.76%1.95M
24.35%2.22M
6034.85%41.72M
135.22%1.16M
3.13%957.00K
389.56%1.78M
137.76%680.00K
37.60%494.00K
277.66%928.00K
78.91%364.00K
68.41%286.00K
136.96%359.00K
95.35%245.72K
202.26%203.46K
242.78%169.82K
228.74%151.50K
5230.49%125.79K
110.15%67.31K
107.87%49.54K
46.35%46.09K
--2.36K
--32.03K
--23.83K
--31.49K
----
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Abgegrenzte Steuer
----
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----
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----
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----
----
----
----
----
----
----
----
----
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---58.00K
----
----
----
----
----
----
----
202.28%311.88K
-25.45%-60.62K
60.63%-17.11K
102.47%755.15
---304.93K
---48.32K
---43.45K
---30.60K
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----
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Andere nicht monetäre Posten
-179.43%-278.00K
-237.77%-47.39M
--13.71M
350.80%7.35M
117.76%350.00K
101.10%34.39M
-65.38%1.63M
-122.80%-1.97M
291.76%17.10M
150.39%28.85M
229.98%4.71M
1555.75%8.64M
-148.77%-8.92M
201.96%11.52M
-234.25%-3.62M
-94.92%522.00K
-57.79%18.29M
-273.24%-11.30M
208.70%2.70M
1581.56%10.28M
4245.84%43.33M
3298.04%6.52M
6823.08%874.00K
-285.56%-694.00K
126590214.63%997.00K
-25574706.31%-204.00K
---13.00K
---180.00K
-100.00%0.79
100.00%-0.80
----
----
986.02%324.31K
-2381.70%-852.99K
---35.67K
----
---36.60K
44.70%37.38K
100.00%0.00
----
--25.84K
---21.97K
--0.00
Veränderung des Umlaufvermögens
-116.91%-14.54M
-65.80%5.98M
--3.82M
20.99%-3.41M
83.21%-6.70M
-28.99%17.50M
-304.79%-4.32M
-320.72%-39.91M
408.39%24.64M
41.06%3.40M
-84.22%2.11M
6.54%-9.48M
-65.75%-7.99M
-81.82%2.41M
182.60%13.37M
34.45%-10.15M
83.44%-4.82M
478.19%13.26M
54.66%-16.19M
-209.66%-15.48M
-221.89%-29.11M
51.13%-3.51M
-957.73%-35.71M
246.03%14.12M
911.50%23.88M
-699.99%-7.18M
-81.32%-3.38M
-794.27%-9.67M
-8.77%-2.94M
191.19%1.20M
-404.64%-1.86M
-401.94%-1.08M
-87.26%-2.71M
-929.18%-1.31M
564.55%611.16K
28.18%-215.38K
---1.44M
-2885.78%-127.44K
472.55%91.97K
---299.88K
--4.57K
--16.06K
--0.00
-Änderung der Forderungen
-180.91%-2.33M
121.92%2.25M
---2.20M
-64.82%-5.44M
-58.29%2.89M
115.75%1.01M
-149.55%-3.30M
731.87%6.92M
41.58%-6.43M
12.95%-2.68M
333.73%6.67M
-114.37%-1.09M
-10188.79%-11.01M
6.41%-3.08M
-308.94%-2.85M
602.18%7.62M
-101.82%-107.00K
-361.35%-3.29M
116.07%1.36M
43.35%-1.52M
35.69%5.87M
139.24%1.26M
-405.65%-8.49M
-33.43%-2.68M
242.43%4.33M
-3854.16%-3.21M
-4007.88%-1.68M
-1854.86%-2.01M
-5131.51%-3.04M
-603.44%-81.21K
---40.90K
---102.67K
---58.10K
--16.13K
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-Änderung des Inventars
-109.91%-1.63M
-96.03%255.00K
--6.87M
345.75%1.07M
88.61%-777.00K
315.83%6.42M
89.83%-435.00K
-76.47%-6.82M
-7.44%-2.98M
-74.56%3.90M
-142500.00%-4.28M
-421.16%-3.87M
71.67%-2.77M
64.45%15.35M
99.98%-3.00K
93.42%-742.00K
45.63%-9.78M
144.30%9.33M
-33.64%-13.02M
-263.78%-11.27M
-1202.32%-17.98M
-4528.79%-21.06M
-480.35%-9.74M
-436.92%-3.10M
61.28%-1.38M
72.99%-455.00K
-354.88%-1.68M
41.16%-577.00K
-40.45%-3.57M
-622.63%-1.68M
-135.88%-369.11K
---980.62K
---2.54M
--322.31K
--1.03M
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-Änderung bei den Vorauszahlungen
93.91%-60.00K
94.21%705.00K
---1.21M
-26.20%980.00K
-16.16%-985.00K
-80.89%363.00K
151.79%1.33M
29.04%-848.00K
-7.23%1.90M
1434.11%2.85M
-151.23%-2.56M
68.02%-1.20M
149.20%2.05M
91.52%-214.00K
74.33%5.00M
-121.91%-3.74M
9.08%-4.16M
28.51%-2.52M
266.92%2.87M
-148.38%-1.68M
-192.54%-4.58M
25.31%-3.53M
-476.37%-1.72M
77.83%-678.00K
344.50%4.95M
-1412.19%-4.73M
129.43%457.00K
-6147.98%-3.06M
575.25%1.11M
613.37%360.39K
-39842.04%-1.55M
-395.79%-48.94K
---234.23K
---70.20K
106.82%3.91K
135.48%16.55K
----
----
---57.25K
---46.64K
----
----
----
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
----
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-80.30%1.72M
-129.06%-675.00K
-17.23%-864.00K
94.29%-178.00K
1778.45%8.72M
-76.17%2.32M
90.05%-737.00K
-208.51%-3.12M
102.83%464.00K
-52.43%9.75M
30.12%-7.41M
-105.06%-1.01M
-199.09%-16.40M
3043.25%20.49M
-2135.86%-10.60M
596.32%19.98M
550.23%16.55M
-74.94%652.00K
-570.18%-474.00K
-7407.34%-4.03M
1843.42%2.55M
264.66%2.60M
123.91%100.81K
123.76%55.10K
--130.99K
---1.58M
-372.07%-421.62K
3.93%-231.93K
----
----
864.76%154.97K
---241.42K
--4.57K
--16.06K
--0.00
-Änderung bei anderen kurzfristigen Vermögenswerten
----
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----
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---11.96M
--11.96M
----
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183.50%4.14K
--0.00
--0.00
---3.97K
---4.96K
--0.00
100.00%0.00
100.00%0.00
----
----
---5.75K
---11.82K
----
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-Änderung bei anderen kurzfristigen Verbindlichkeiten
----
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-389.24%-1.64M
---5.15M
--590.00K
---567.00K
--567.00K
--0.00
--0.00
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--0.00
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
4.90%-2.10M
-54.09%7.72M
--11.58M
114.81%1.74M
95.38%-2.20M
168.99%16.82M
31.86%-11.77M
-40.64%-47.69M
32.18%-24.37M
57.48%-13.38M
57.01%-17.28M
27.25%-33.91M
4.86%-35.94M
-11.77%-31.48M
-1.81%-40.20M
-19.84%-46.62M
29.25%-37.77M
-40.66%-28.17M
8.04%-39.48M
-179.30%-38.90M
-391.81%-53.39M
-107.07%-20.02M
-716.33%-42.93M
-26.26%-13.93M
1016.56%18.30M
-641.12%-9.67M
-112.50%-5.26M
-658.19%-11.03M
-51.83%-2.00M
181.12%1.79M
-190.25%-2.47M
-166.33%-1.45M
-627.03%-1.31M
-486.46%-2.20M
-230.23%-852.64K
25.03%-546.24K
--249.48K
-678.88%-375.65K
-1585.61%-258.20K
---728.63K
---48.23K
---15.32K
--0.00
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
670.11%15.36M
106.92%3.71M
--6.54M
82.47%916.00K
148.01%1.99M
133.33%1.79M
-73.65%502.00K
9.54%804.00K
34.27%768.00K
-9.17%1.63M
3128.81%1.91M
-89.62%734.00K
-94.78%572.00K
-78.52%1.79M
-99.31%59.00K
-5.91%7.07M
1348.22%10.96M
-50.44%8.33M
-23.59%8.58M
-26.00%7.52M
-97.68%757.00K
-36.07%16.81M
-52.15%11.23M
65.21%10.16M
62.06%32.68M
184.84%26.29M
803.20%23.47M
299.95%6.15M
1906.14%20.16M
10632.40%9.23M
33405.22%2.60M
3438.68%1.54M
54.59%1.01M
-64.80%86.00K
-96.59%7.76K
26.46%43.44K
--650.13K
--244.31K
--227.17K
--34.35K
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Investitionsausgaben
670.11%15.36M
106.92%3.71M
--6.54M
82.47%916.00K
148.01%1.99M
133.33%1.79M
-73.65%502.00K
9.54%804.00K
34.27%768.00K
-35.13%1.63M
-10.06%1.91M
-89.62%734.00K
-94.78%572.00K
-69.93%2.50M
-75.32%2.12M
-5.91%7.07M
952.11%10.96M
-50.44%8.33M
-23.59%8.58M
-26.00%7.52M
-96.81%1.04M
-36.07%16.81M
-52.15%11.23M
65.21%10.16M
62.06%32.68M
184.84%26.29M
803.20%23.47M
299.95%6.15M
1906.14%20.16M
10632.40%9.23M
33405.22%2.60M
3438.68%1.54M
54.59%1.01M
-64.80%86.00K
-96.59%7.76K
26.46%43.44K
--650.13K
--244.31K
--227.17K
--34.35K
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Netto-Cashflow aus der Veräußerung von Anlagevermögen
785.03%15.26M
190.89%3.54M
--6.42M
47.57%729.00K
114.43%1.72M
234.62%1.22M
-67.22%494.00K
13.08%804.00K
-26.91%364.00K
-45.28%869.00K
484.44%1.51M
-89.36%711.00K
-95.06%498.00K
-80.13%1.59M
-105.65%-392.00K
4.20%6.68M
867.18%10.08M
-52.17%7.99M
-35.80%6.93M
-36.64%6.41M
-96.81%1.04M
-36.23%16.70M
-53.94%10.80M
67.39%10.12M
61.81%32.63M
183.81%26.20M
802.09%23.44M
293.25%6.04M
1906.14%20.16M
10632.40%9.23M
33405.22%2.60M
3438.68%1.54M
54.59%1.01M
-64.80%86.00K
-96.59%7.76K
26.46%43.44K
--650.13K
--244.31K
--227.17K
--34.35K
----
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Netto-Cashflow aus Transaktionen mit immateriellen Vermögenswerten
-63.70%98.00K
-71.25%165.00K
--121.00K
2237.50%187.00K
--270.00K
42.08%574.00K
-97.99%8.00K
-100.00%0.00
445.95%404.00K
276.12%756.00K
-11.75%398.00K
-94.13%23.00K
-91.64%74.00K
-40.88%201.00K
-72.65%451.00K
-64.52%392.00K
410.53%885.00K
226.92%340.00K
281.71%1.65M
2807.89%1.10M
-658.82%-285.00K
9.47%104.00K
1389.66%432.00K
-63.11%38.00K
--51.00K
--95.00K
--29.00K
--103.00K
----
----
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----
----
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Netto-Cashflow aus Geschäftstransaktionen
----
--0.00
--5.99M
----
----
----
----
----
----
----
----
----
----
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100.00%0.00
----
----
----
97.22%-28.00K
---72.23M
----
----
---1.01M
----
----
----
--0.00
100.00%0.00
----
----
--0.00
---4.71M
----
----
----
----
----
----
----
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Netto-Cashflow aus Anlageprodukten
-121.18%-40.00M
-101.67%-1.35M
---281.00K
-30.97%-1.43M
161.07%188.87M
-48.05%81.01M
97.23%-1.09M
---309.26M
95.63%155.94M
-276923.26%-119.12M
58.33%-39.33M
----
8255.56%79.71M
-100.22%-43.00K
-7491.95%-94.37M
----
-98.87%954.00K
--19.37M
99.78%-1.24M
313.55%81.11M
--84.36M
--0.00
-266033.64%-569.10M
3512.15%19.61M
----
-100.00%0.00
-52.58%214.00K
720.35%543.00K
1323.03%4.51M
--889.51K
--451.26K
--66.19K
--316.86K
--0.00
-100.00%0.00
----
--0.00
--0.00
--73.18K
----
----
----
----
Netto-Cashflow aus anderen Investitionstätigkeiten
----
-99.06%25.00K
--6.00K
-196.55%-6.22M
-57.15%2.68M
-18.73%2.67M
695.80%6.44M
649.28%6.25M
49.64%3.29M
141.61%766.00K
133.44%809.00K
131.53%834.00K
128.72%2.20M
85.87%-1.84M
74.43%-2.42M
81.77%-2.65M
24.60%-7.65M
---13.03M
---9.46M
---14.51M
-1014900.00%-10.15M
----
----
100.00%0.00
92.38%1.00K
196.88%998.00K
--1.00K
90.82%-90.00K
--519.80
-73.99%-1.03M
-100.00%0.00
---980.85K
100.00%0.00
-487.05%-592.08K
-99.02%1.67K
----
---337.00K
--152.97K
--170.75K
----
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----
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-129.20%-55.36M
-106.14%-5.03M
---818.00K
-276.51%-8.56M
162.39%189.56M
-48.32%81.89M
111.99%4.85M
-303912.00%-303.81M
94.81%158.46M
-3166.51%-119.98M
58.26%-40.42M
101.03%100.00K
560.55%81.34M
-84.76%-3.67M
-402.13%-96.85M
-116.45%-9.72M
-123.79%-17.66M
97.77%-1.99M
96.70%-19.29M
1543.23%59.09M
304.55%74.25M
-223.73%-89.00M
-2382.06%-584.43M
36.30%-4.09M
-131.89%-36.30M
-193.40%-27.49M
-711.03%-23.55M
-162.13%-6.43M
-2174.55%-15.65M
-73.97%-9.37M
-47612.00%-2.90M
-5544.26%-2.45M
30.28%-688.18K
-5797.04%-5.39M
-136.31%-6.08K
-26.46%-43.44K
---987.13K
---91.34K
--16.76K
---34.35K
----
----
----
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-354.26%-2.93M
-43.58%-313.00K
---13.00K
-566.67%-260.00K
13.19%-645.00K
64.84%-218.00K
97.52%-39.00K
-60.13%-743.00K
-123.02%-620.00K
94.29%-243.00K
-525.47%-1.57M
94.64%-464.00K
78.21%-278.00K
-82.63%-4.26M
-17.82%369.00K
-1833.71%-8.66M
-103.67%-1.28M
-107.58%-2.33M
97.80%449.00K
-100.03%-448.00K
200.08%34.74M
9111.68%30.77M
-99.69%227.00K
4795.47%1.79B
-2.54%11.58M
-98.06%334.00K
2872.08%73.61M
186.44%36.59M
4324.24%11.88M
84.43%17.26M
-180.27%-2.66M
--12.77M
-82.48%268.51K
9887.05%9.36M
453.53%3.31M
-100.00%0.00
--1.53M
-118.31%-95.61K
17993.18%597.61K
--414.27K
--522.09K
--3.30K
--0.00
Netto-Cashflow aus Schuldenemission/Rückzahlung
----
----
----
----
----
----
----
----
----
----
----
----
----
----
36.83%613.00K
----
-9.90%-555.00K
----
169.88%448.00K
97.07%-448.00K
-104.36%-505.00K
---254.00K
--166.00K
---15.27M
1793.22%11.58M
-100.00%0.00
100.00%0.00
--0.00
---684.08K
327.81%4.70M
-132.39%-2.98M
----
--0.00
---2.06M
-309.95%-1.28M
-100.00%0.00
--0.00
--0.00
--609.81K
--403.93K
----
----
----
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
----
----
-100.00%0.00
--35.48M
--30.95M
-100.00%0.00
4757.22%1.81B
-100.00%0.00
-100.00%0.00
56872.56%78.25M
180.42%37.26M
237373.03%13.67M
29.53%12.01M
-97.04%137.36K
--13.29M
-99.63%5.76K
9796.18%9.27M
--4.64M
----
--1.54M
-115.20%-95.61K
-100.00%0.00
----
--629.10K
--19.20K
--0.00
Erlöse aus der Ausgabe von Optionsscheinen
----
----
----
----
----
----
----
----
----
----
----
----
-85.59%16.00K
---12.00K
1100.00%12.00K
----
--111.00K
----
-99.82%1.00K
-100.00%0.00
100.00%0.00
-98.61%5.00K
-53.17%561.00K
-16.84%889.00K
-232.52%-15.00K
-37.34%360.00K
556.41%1.20M
119.81%1.07M
-96.12%11.32K
-73.81%574.52K
--182.51K
--486.32K
1330.51%291.54K
--2.19M
--0.00
-100.00%0.00
--20.38K
--0.00
--0.00
--10.34K
----
----
----
Netto-Cashflow aus anderen Finanzierungsaktivitäten
-354.26%-2.93M
-43.58%-313.00K
---13.00K
-566.67%-260.00K
13.19%-645.00K
64.84%-218.00K
97.52%-39.00K
-60.13%-743.00K
-110.88%-620.00K
94.28%-243.00K
-513.28%-1.57M
94.64%-464.00K
---294.00K
-82.11%-4.25M
---256.00K
---8.66M
100.00%0.00
-7937.93%-2.33M
100.00%0.00
100.00%0.00
-640.00%-54.00K
-11.54%-29.00K
91.42%-501.00K
-133.60%-4.05M
100.90%10.00K
-11.96%-26.00K
---5.84M
-73.84%-1.73M
-3774.42%-1.12M
48.00%-23.22K
100.00%0.00
---998.04K
-3.09%-28.79K
---44.66K
-313.93%-50.48K
----
---27.93K
100.00%0.00
23.27%-12.20K
----
---107.00K
---15.89K
--0.00
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-354.26%-2.93M
-43.58%-313.00K
---13.00K
-566.67%-260.00K
13.19%-645.00K
64.84%-218.00K
97.52%-39.00K
-60.13%-743.00K
-123.02%-620.00K
94.29%-243.00K
-525.47%-1.57M
94.64%-464.00K
78.21%-278.00K
-82.63%-4.26M
-17.82%369.00K
-1833.71%-8.66M
-103.67%-1.28M
-107.58%-2.33M
97.80%449.00K
-100.03%-448.00K
200.08%34.74M
9111.68%30.77M
-99.69%227.00K
4795.47%1.79B
-2.54%11.58M
-98.06%334.00K
2872.08%73.61M
186.44%36.59M
4324.24%11.88M
84.43%17.26M
-180.27%-2.66M
--12.77M
-82.48%268.51K
9887.05%9.36M
453.53%3.31M
-100.00%0.00
--1.53M
-118.31%-95.61K
17993.18%597.61K
--414.27K
--522.09K
--3.30K
--0.00
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
28.32%858.80M
50.80%862.03M
--848.19M
106.72%855.11M
-12.47%669.29M
-9.73%571.66M
-51.98%413.67M
-13.79%764.64M
-24.84%633.30M
-11.80%789.54M
-15.90%861.53M
-17.72%886.97M
-23.25%842.57M
-19.33%895.18M
-9.21%1.02B
-10.14%1.08B
-1.49%1.10B
-7.99%1.11B
-37.71%1.13B
4913.97%1.20B
3368.24%1.11B
1667.69%1.21B
7116.97%1.81B
226.65%23.93M
144.42%32.13M
1830.43%68.23M
113.96%25.10M
181.46%7.33M
205.49%13.15M
33.53%3.53M
4666.61%11.73M
200.20%2.60M
8870.67%4.30M
339.37%2.65M
-15.51%246.12K
38.24%866.92K
--47.97K
203.34%602.42K
31.98%291.32K
591.53%627.09K
--198.59K
--220.72K
--90.68K
Änderungen des Cashflows im aktuellen Zeitraum
-132.82%-60.99M
-103.31%-3.23M
--13.85M
-63.36%-6.92M
152.94%185.82M
-25.67%97.64M
94.11%-4.24M
-1279.74%-350.98M
195.79%131.35M
-196.97%-156.25M
44.31%-71.99M
52.52%-25.44M
324.01%44.41M
-343.85%-52.61M
-591.43%-129.27M
24.86%-53.57M
-123.24%-19.82M
87.07%-11.85M
96.91%-18.70M
-103.99%-71.30M
1139.35%85.28M
-153.89%-91.64M
-1503.93%-605.47M
9956.28%1.79B
-42.20%-8.21M
-473.12%-36.10M
636.84%43.13M
100.47%17.78M
-232.66%-5.77M
447.21%9.67M
-428.00%-8.03M
1603.75%8.87M
-318.31%-1.73M
414.24%1.77M
587.65%2.45M
-69.10%-589.68K
--794.53K
-218.72%-562.59K
3064.42%356.17K
---348.71K
--473.86K
---12.01K
--0.00
Auswirkungen von Wechselkursänderungen
31.67%-604.00K
-555.44%-5.60M
--3.09M
-94.57%148.00K
-169.55%-884.00K
59.63%-855.00K
121.43%2.73M
-85.62%1.27M
-195.81%-2.12M
-71.48%-22.64M
-271.84%-12.72M
-22.63%8.84M
-101.94%-716.00K
-164.00%-13.20M
-81.32%7.40M
112.55%11.42M
24.28%36.89M
254.10%20.63M
82.94%39.62M
-731.28%-91.04M
1765.54%29.68M
-1928.96%-13.39M
1389.93%21.66M
1163.50%14.42M
---1.78M
--732.00K
---1.68M
---1.36M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Endbestand an Zahlungsmitteln
-6.70%797.82M
28.32%858.80M
--862.03M
107.16%848.19M
106.72%855.11M
-12.47%669.29M
-48.14%409.43M
-51.98%413.67M
-13.79%764.64M
-24.84%633.30M
-11.80%789.54M
-15.90%861.53M
-17.72%886.97M
-23.25%842.57M
-19.33%895.18M
-9.21%1.02B
-10.14%1.08B
-1.49%1.10B
-7.99%1.11B
-37.71%1.13B
4913.97%1.20B
3368.24%1.11B
1667.69%1.21B
7116.97%1.81B
226.81%23.93M
142.28%32.13M
1907.07%68.23M
119.72%25.10M
183.83%7.32M
201.24%13.26M
26.43%3.40M
4570.72%11.42M
216.65%2.58M
8728.24%4.40M
318.78%2.69M
-14.73%244.59K
--814.61K
-92.44%49.87K
208.01%642.01K
216.31%286.84K
--659.24K
--208.44K
--90.68K
Freier Cashflow
-315.72%-17.45M
-73.29%4.01M
--5.05M
106.74%828.00K
91.34%-4.20M
159.76%15.02M
36.01%-12.28M
-39.98%-48.50M
31.14%-25.14M
55.83%-15.01M
54.66%-19.18M
35.47%-34.65M
25.09%-36.51M
6.88%-33.99M
11.96%-42.31M
-15.67%-53.69M
10.47%-48.74M
0.91%-36.50M
11.26%-48.06M
-92.72%-46.41M
-278.57%-54.43M
-2.42%-36.83M
-88.51%-54.16M
-40.20%-24.08M
35.11%-14.38M
-383.17%-35.96M
-466.29%-28.73M
-474.14%-17.18M
-855.17%-22.16M
-225.14%-7.44M
-489.68%-5.07M
-407.39%-2.99M
-479.03%-2.32M
-269.22%-2.29M
-77.27%-860.40K
22.71%-589.68K
---400.65K
---619.96K
---485.36K
---762.98K
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