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Dupont De Nemours Inc

DD

75.490USD

-0.640-0.84%
Handelsschluss 07/11, 16:00ETKurse um 15 Minuten verzögert
31.59BMarktkapitalisierung
VerlustKGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2016Q4
FY2016Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-8.89%1.76B
-22.66%1.85B
22.94%1.65B
-69.23%1.50B
-60.07%1.93B
-51.81%2.39B
-25.04%1.34B
239.47%4.88B
189.71%4.84B
151.72%4.96B
6.89%1.78B
-63.68%1.44B
-73.81%1.67B
-22.48%1.97B
-58.33%1.67B
6.02%3.96B
265.27%6.38B
65.19%2.54B
89.68%4.01B
123.91%3.74B
-85.01%1.75B
-82.05%1.54B
-71.09%2.11B
-82.88%1.67B
10.67%11.66B
-40.41%8.58B
-51.19%7.31B
--9.75B
--10.54B
117.86%14.39B
--14.97B
--6.61B
--9.73B
- Barmittel und Barmitteläquivalente
-8.89%1.76B
-22.66%1.85B
22.94%1.65B
-69.23%1.50B
-45.13%1.93B
-34.68%2.39B
-25.04%1.34B
239.47%4.88B
110.83%3.52B
85.70%3.66B
6.89%1.78B
-63.68%1.44B
-61.86%1.67B
-22.48%1.97B
-58.33%1.67B
6.02%3.96B
150.80%4.38B
65.19%2.54B
90.22%4.01B
124.98%3.74B
-84.86%1.75B
-81.98%1.54B
-69.64%2.11B
-82.03%1.66B
12.28%11.54B
-36.39%8.55B
-47.22%6.94B
--9.24B
--10.28B
103.39%13.44B
--13.15B
--6.61B
--9.73B
-Kurzfristige Anlagen
----
----
----
----
----
-100.00%0.00
--0.00
--0.00
--1.32B
--1.30B
----
----
----
----
----
----
--2.00B
----
----
----
----
----
-98.38%6.00M
-98.42%8.00M
-53.70%119.00M
-96.97%29.00M
-79.74%370.00M
--507.00M
--257.00M
--956.00M
--1.83B
--0.00
--0.00
Forderungen
-3.13%2.29B
-8.31%2.17B
-1.50%2.36B
-0.09%2.31B
-2.99%2.37B
-5.88%2.37B
6.29%2.40B
2.12%2.31B
4.77%2.44B
16.63%2.52B
-22.39%2.26B
-19.78%2.27B
-10.81%2.33B
-10.82%2.16B
-19.74%2.91B
-22.72%2.83B
-33.12%2.61B
-36.90%2.42B
-9.38%3.62B
-13.99%3.66B
-79.26%3.90B
13.15%3.84B
-79.55%4.00B
-79.06%4.25B
-4.95%18.81B
-79.93%3.39B
7.08%19.55B
--20.30B
--19.79B
88.16%16.89B
--18.26B
--8.98B
--15.64B
-Forderungen aus Lieferungen und Leistungen
-3.13%2.29B
-8.31%2.17B
-1.50%2.36B
-0.09%2.31B
-2.99%2.37B
-5.88%2.37B
6.29%2.40B
2.12%2.31B
4.77%2.44B
16.63%2.52B
-22.39%2.26B
-19.78%2.27B
-10.81%2.33B
-10.82%2.16B
-19.74%2.91B
-21.83%2.83B
-32.57%2.61B
-36.32%2.42B
-8.56%3.62B
-14.21%3.62B
-72.29%3.87B
12.12%3.80B
-72.75%3.96B
-72.60%4.21B
-2.89%13.96B
-70.03%3.39B
29.26%14.54B
--15.38B
--14.38B
142.48%11.31B
--11.25B
--4.67B
--10.39B
-Sonstige Forderungen
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
10.53%42.00M
-99.34%32.00M
--35.00M
-99.28%36.00M
-99.23%38.00M
-10.44%4.84B
----
-28.55%5.01B
--4.92B
--5.41B
29.38%5.58B
--7.01B
--4.31B
--5.25B
Inventar
3.08%2.24B
-0.79%2.13B
-1.84%2.24B
-7.56%2.16B
-10.97%2.17B
-7.81%2.15B
-3.39%2.28B
-0.64%2.34B
9.16%2.44B
11.65%2.33B
-17.05%2.36B
-10.83%2.36B
-10.44%2.24B
-12.83%2.09B
-27.11%2.84B
-38.66%2.64B
-43.33%2.50B
-44.59%2.39B
-9.38%3.90B
-1.89%4.31B
-73.44%4.41B
5.16%4.32B
-73.81%4.31B
-71.91%4.39B
-4.89%16.60B
-75.83%4.11B
-4.72%16.44B
--15.63B
--17.46B
130.78%16.99B
--17.25B
--7.36B
--15.70B
Aktive Rechnungsabgrenzungsposten
-8.89%164.00M
-7.73%179.00M
-4.08%188.00M
10.63%177.00M
20.00%180.00M
20.50%194.00M
-5.77%196.00M
-10.61%160.00M
-16.67%150.00M
-2.42%161.00M
-7.56%208.00M
-17.13%179.00M
-2.17%180.00M
0.61%165.00M
6.13%225.00M
-13.60%216.00M
-35.89%184.00M
-38.35%164.00M
-4.93%212.00M
-16.94%250.00M
-85.74%287.00M
-0.75%266.00M
-87.49%223.00M
-83.78%301.00M
6.73%2.01B
-82.39%268.00M
59.05%1.78B
--1.86B
--1.89B
158.84%1.52B
--1.12B
--588.00M
--1.97B
Sonstige kurzfristige Vermögenswerte
-98.79%5.00M
-98.54%6.00M
-98.53%6.00M
-94.59%6.00M
5800.00%413.00M
5771.43%411.00M
5012.50%409.00M
1287.50%111.00M
-22.22%7.00M
-41.67%7.00M
--8.00M
--8.00M
--9.00M
-29.41%12.00M
----
----
----
-54.05%17.00M
-35.00%26.00M
--32.00M
--34.00M
--37.00M
--40.00M
----
----
----
----
----
----
----
----
----
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Summe der kurzfristigen Vermögenswerte
-8.53%6.46B
-15.65%6.34B
-18.85%6.44B
-44.61%6.16B
-36.90%7.07B
-33.33%7.51B
-44.70%7.93B
-20.56%11.13B
-22.45%11.20B
-21.21%11.27B
68.88%14.35B
33.49%14.01B
15.18%14.44B
-50.69%14.30B
-32.60%8.50B
-12.46%10.49B
20.67%12.54B
190.11%29.01B
17.95%12.61B
12.83%11.99B
-78.90%10.39B
-92.11%10.00B
-76.46%10.69B
-77.82%10.62B
-0.98%49.25B
153.85%126.66B
-17.15%45.41B
--47.90B
--49.73B
110.88%49.89B
--54.80B
--23.66B
--43.04B
Langfristige Vermögenswerte
Nettoanlagevermögen
-0.75%6.18B
-3.09%6.17B
-0.38%6.22B
-0.11%6.15B
1.17%6.23B
3.43%6.37B
6.48%6.24B
2.69%6.16B
1.20%6.16B
-0.29%6.16B
-20.17%5.86B
-17.54%5.99B
-14.99%6.09B
-15.29%6.17B
-28.75%7.34B
-30.67%7.27B
-31.82%7.16B
-31.86%7.29B
0.04%10.31B
1.35%10.48B
-72.98%10.50B
7.89%10.70B
-70.75%10.30B
-70.63%10.35B
7.72%38.86B
-72.64%9.92B
-2.74%35.23B
--35.22B
--36.08B
54.33%36.25B
--36.22B
--23.49B
--32.28B
-Anlagevermögen
3.24%11.54B
1.34%11.36B
3.96%11.39B
3.48%11.20B
4.16%11.18B
5.70%11.21B
8.56%10.95B
5.57%10.82B
4.19%10.73B
2.79%10.61B
-15.52%10.09B
-13.14%10.25B
-10.57%10.30B
-10.64%10.32B
-25.65%11.94B
-26.04%11.80B
-26.58%11.52B
-26.31%11.55B
6.21%16.06B
6.25%15.95B
-80.20%15.69B
10.99%15.67B
-79.64%15.13B
-79.62%15.01B
6.61%79.25B
-80.74%14.12B
2.88%74.31B
--73.66B
--74.33B
27.62%73.30B
--72.23B
--57.44B
----
-Abgegrenzte Abschreibungen
8.26%5.36B
7.17%5.19B
9.72%5.17B
8.24%5.05B
8.20%4.95B
8.84%4.84B
11.45%4.71B
9.64%4.66B
8.52%4.57B
7.39%4.45B
-8.09%4.23B
-6.07%4.25B
-3.30%4.21B
-2.68%4.14B
-20.11%4.60B
-17.16%4.53B
-16.00%4.36B
-14.35%4.26B
19.39%5.76B
17.12%5.47B
-87.15%5.19B
18.34%4.97B
-87.66%4.82B
-87.86%4.67B
5.57%40.38B
-88.67%4.20B
8.52%39.08B
--38.44B
--38.25B
9.15%37.06B
--36.01B
--33.95B
----
Goodwill und andere immaterielle Vermögenswerte
-4.74%21.20B
-2.65%21.94B
-3.62%22.45B
0.93%22.04B
0.83%22.25B
1.70%22.53B
6.58%23.29B
-2.60%21.83B
-3.70%22.07B
-4.50%22.16B
-22.87%21.85B
-14.68%22.41B
-13.08%22.92B
-13.34%23.20B
-31.26%28.33B
-37.99%26.27B
-41.60%26.37B
-42.72%26.77B
-11.75%41.22B
-10.77%42.37B
-49.50%45.15B
-4.90%46.74B
-48.60%46.70B
-48.11%47.48B
-4.33%89.42B
-47.04%49.15B
-3.45%90.87B
--91.51B
--93.46B
335.73%92.80B
--94.12B
--21.30B
--71.50B
Sonstige langfristige Vermögenswerte
-1.48%1.06B
1.69%1.08B
35.08%1.24B
18.38%1.09B
4.25%1.08B
2.70%1.06B
-27.09%915.00M
-22.20%925.00M
-7.92%1.03B
-6.32%1.04B
54.37%1.25B
61.11%1.19B
66.03%1.12B
-83.68%1.11B
-88.20%813.00M
13.89%738.00M
2.42%677.00M
948.69%6.79B
896.82%6.89B
-4.28%648.00M
-84.50%661.00M
107.37%647.00M
-84.00%691.00M
-84.27%677.00M
-7.34%4.26B
-93.18%312.00M
-4.34%4.32B
--4.30B
--4.60B
26.11%4.57B
--4.52B
--3.63B
--8.18B
Summe der langfristigen Vermögenswerte
-3.70%29.52B
-2.47%30.27B
-0.56%31.02B
2.43%30.39B
2.14%30.65B
3.17%31.04B
4.87%31.20B
-2.51%29.67B
-3.04%30.01B
-4.20%30.09B
-20.71%29.75B
-13.90%30.43B
-12.23%30.95B
-25.04%31.40B
-36.98%37.52B
-35.46%35.35B
-38.77%35.26B
-29.41%41.90B
0.17%59.53B
-9.06%54.77B
-59.02%57.59B
-3.02%59.35B
-57.26%59.43B
-56.82%60.22B
-1.52%140.54B
-56.98%61.20B
-3.25%139.05B
--139.47B
--142.71B
154.73%142.27B
--143.73B
--55.85B
--120.42B
Summe der Vermögenswerte
-4.60%35.98B
-4.97%36.64B
-4.27%37.46B
-10.40%36.55B
-8.47%37.72B
-6.78%38.55B
-11.26%39.13B
-8.20%40.80B
-9.22%41.21B
-9.52%41.35B
-4.16%44.10B
-3.05%44.44B
-5.04%45.39B
-35.54%45.71B
-36.22%46.02B
-31.33%45.84B
-29.69%47.80B
2.24%70.90B
2.88%72.14B
-5.77%66.75B
-64.18%67.99B
-63.08%69.35B
-61.99%70.12B
-62.19%70.84B
-1.38%189.78B
-2.24%187.85B
-7.09%184.45B
--187.37B
--192.44B
141.68%192.16B
--198.53B
--79.51B
--163.46B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Fällige Dividenden
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--159.00M
----
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----
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-Weitere Verbindlichkeiten
--0.00
----
----
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----
----
----
----
----
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---1.00M
---1.00M
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-14.65%3.73B
----
11.89%4.32B
--4.66B
--4.38B
77.73%3.73B
--3.86B
--2.10B
----
Rückstellungen
-25.99%860.00M
-19.30%945.00M
-24.47%892.00M
-44.84%722.00M
50.13%1.16B
37.76%1.17B
32.70%1.18B
46.91%1.31B
-9.05%774.00M
-7.91%850.00M
-25.96%890.00M
-18.48%891.00M
-14.81%851.00M
-2.94%923.00M
1.26%1.20B
-14.68%1.09B
-17.51%999.00M
-19.68%951.00M
-7.05%1.19B
-8.24%1.28B
-78.41%1.21B
5.43%1.18B
-78.67%1.28B
-80.12%1.40B
-23.51%5.61B
-86.19%1.12B
-22.38%5.99B
--7.02B
--7.33B
83.48%8.13B
--7.71B
--4.43B
--8.65B
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
--1.85B
--1.85B
----
----
----
-100.00%0.00
-63.09%475.00M
-54.61%300.00M
-25.93%300.00M
100.00%300.00M
128600.00%1.29B
66000.00%661.00M
-79.72%405.00M
14900.00%150.00M
-99.96%1.00M
-99.97%1.00M
-49.12%2.00B
-99.97%1.00M
21.22%2.39B
119.56%3.56B
-43.96%3.92B
25433.33%3.83B
-74.92%1.98B
-78.09%1.62B
36.85%7.00B
-99.63%15.00M
11.20%7.88B
--7.40B
--5.12B
342.67%4.01B
--7.08B
--907.00M
--2.39B
-Kurzfristige Verbindlichkeiten
----
----
----
----
----
----
----
----
----
-100.00%0.00
----
----
--404.00M
--150.00M
----
----
----
----
----
----
----
--1.83B
-58.59%1.97B
-42.20%1.61B
24.22%3.00B
----
-8.10%4.76B
--2.79B
--2.41B
616.18%1.95B
--5.18B
--272.00M
--1.35B
-Kurzfristige Leasingverpflichtungen
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--1.00M
--1.00M
--1.00M
--63.00M
----
----
----
----
----
----
----
--0.00
Aufgeschobene Verbindlichkeiten
--5.00M
100.00%2.00M
--1.00M
--1.00M
----
-90.91%1.00M
----
----
----
-56.00%11.00M
-52.94%16.00M
-25.81%23.00M
6.25%34.00M
56.25%25.00M
88.89%34.00M
-29.55%31.00M
-53.62%32.00M
-20.00%16.00M
-81.05%18.00M
-58.49%44.00M
-96.95%69.00M
--20.00M
--95.00M
--106.00M
--2.27B
----
----
----
----
----
----
----
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Andere kurzfristige Verbindlichkeiten
--5.00M
100.00%2.00M
--1.00M
--1.00M
----
-90.91%1.00M
----
----
----
-56.00%11.00M
-51.52%16.00M
-23.33%23.00M
6.25%34.00M
56.25%25.00M
83.33%33.00M
-31.82%30.00M
-53.62%32.00M
-20.00%16.00M
-81.05%18.00M
-58.49%44.00M
-98.85%69.00M
--20.00M
-97.80%95.00M
-97.73%106.00M
37.13%6.00B
----
11.89%4.32B
--4.66B
--4.38B
77.73%3.73B
--3.86B
--2.10B
----
Summe der kurzfristigen Verbindlichkeiten
52.77%4.63B
54.97%4.80B
-23.40%2.83B
-25.49%2.79B
-10.98%3.03B
-17.01%3.10B
-38.68%3.69B
-31.94%3.74B
-33.50%3.41B
-24.30%3.73B
42.48%6.01B
39.44%5.49B
-9.62%5.12B
-59.67%4.93B
-39.56%4.22B
-50.81%3.94B
-33.68%5.67B
46.49%12.23B
5.56%6.98B
24.05%8.01B
-70.10%8.54B
-88.62%8.35B
-76.10%6.62B
-77.03%6.46B
7.37%28.58B
180.59%73.31B
1.47%27.68B
--28.11B
--26.62B
107.30%26.13B
--27.28B
--12.60B
--20.45B
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
-3.28%531.00M
-7.43%523.00M
9.59%560.00M
1.32%536.00M
4.17%549.00M
8.24%565.00M
-18.24%511.00M
-23.78%529.00M
-28.10%527.00M
-31.50%522.00M
-38.54%625.00M
-33.59%694.00M
-29.52%733.00M
-31.35%762.00M
-14.75%1.02B
-10.38%1.04B
-9.96%1.04B
-5.29%1.11B
13.62%1.19B
5.81%1.17B
-92.61%1.16B
-12.73%1.17B
-93.13%1.05B
-93.77%1.10B
-14.26%15.63B
-92.77%1.34B
-16.97%15.29B
--17.69B
--18.23B
63.35%18.58B
--18.41B
--11.38B
--20.13B
Langfristige Schulden und Leasingverbindlichkeiten
-30.64%5.65B
-31.10%5.64B
-7.59%7.52B
-7.50%7.53B
0.06%8.14B
0.91%8.18B
-25.12%8.13B
-25.81%8.14B
-25.77%8.14B
-26.09%8.11B
-0.87%10.86B
0.18%10.97B
0.19%10.96B
-31.10%10.97B
-50.79%10.96B
-31.75%10.95B
-22.18%10.94B
13.44%15.92B
38.78%22.27B
0.24%16.04B
-62.15%14.06B
11.15%14.03B
-41.21%16.05B
-40.41%16.00B
26.62%37.15B
-58.00%12.62B
-8.47%27.29B
--26.85B
--29.34B
46.93%30.06B
--29.82B
--20.46B
--24.90B
-Langfristige Verbindlichkeiten
-31.52%5.33B
-31.78%5.31B
-7.36%7.17B
-7.81%7.17B
-0.40%7.78B
0.22%7.79B
-26.72%7.74B
-26.81%7.78B
-26.57%7.81B
-26.88%7.77B
-0.61%10.56B
-0.02%10.62B
0.08%10.63B
-31.90%10.63B
-51.26%10.63B
-31.93%10.63B
-21.99%10.62B
14.65%15.61B
39.68%21.80B
0.01%15.61B
-60.57%13.62B
7.85%13.62B
-42.81%15.61B
-41.88%15.61B
17.69%34.53B
-58.00%12.62B
-8.47%27.29B
--26.85B
--29.34B
46.93%30.06B
--29.82B
--20.46B
--24.90B
-Langfristige Leasingverbindlichkeiten
-11.96%324.00M
-17.44%322.00M
-11.93%347.00M
-0.83%358.00M
10.84%368.00M
17.12%390.00M
30.90%394.00M
5.25%361.00M
0.00%332.00M
-1.19%333.00M
-9.06%301.00M
6.85%343.00M
3.75%332.00M
9.42%337.00M
-28.82%331.00M
-25.52%321.00M
-27.93%320.00M
-25.96%308.00M
6.41%465.00M
9.39%431.00M
-83.05%444.00M
--416.00M
--437.00M
--394.00M
--2.62B
----
----
----
----
----
----
----
----
Aufgeschobene Verbindlichkeiten
--37.00M
63.64%36.00M
--29.00M
--29.00M
----
--22.00M
----
----
----
----
----
----
----
----
-100.00%0.00
-77.55%11.00M
-31.03%20.00M
-12.50%21.00M
108.33%25.00M
226.67%49.00M
-98.36%29.00M
--24.00M
--12.00M
--15.00M
--1.77B
----
----
----
----
----
----
----
----
Mitarbeitervorteile
-3.28%531.00M
-7.43%523.00M
9.59%560.00M
1.32%536.00M
4.17%549.00M
8.24%565.00M
-18.24%511.00M
-23.78%529.00M
-28.10%527.00M
-31.50%522.00M
-38.54%625.00M
-33.59%694.00M
-29.52%733.00M
-31.35%762.00M
-14.75%1.02B
-10.38%1.04B
-9.96%1.04B
-5.29%1.11B
13.62%1.19B
5.81%1.17B
-92.61%1.16B
-12.73%1.17B
-93.13%1.05B
-93.77%1.10B
-14.26%15.63B
-92.77%1.34B
-16.97%15.29B
--17.69B
--18.23B
63.35%18.58B
--18.41B
--11.38B
--20.13B
Derivative-Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
6.76%237.00M
----
-35.95%98.00M
--160.00M
--222.00M
-28.21%140.00M
--153.00M
--195.00M
----
Andere langfristige Verbindlichkeiten
7.27%1.53B
5.18%1.48B
5.67%1.44B
6.79%1.43B
5.45%1.43B
5.15%1.41B
8.38%1.36B
7.19%1.34B
9.61%1.36B
3.24%1.34B
-20.75%1.25B
-22.68%1.25B
-21.10%1.24B
-20.66%1.30B
-10.22%1.58B
-17.15%1.62B
-19.50%1.57B
-15.97%1.64B
-14.93%1.76B
-8.99%1.95B
-91.90%1.95B
-7.59%1.95B
-91.28%2.07B
-91.90%2.15B
-11.63%24.05B
-92.38%2.11B
-14.08%23.73B
--26.48B
--27.22B
52.71%27.65B
--27.62B
--18.10B
--26.48B
Gesamt langfristige Verbindlichkeiten
-24.29%8.08B
-25.04%8.04B
-7.76%9.98B
-4.78%10.00B
0.30%10.67B
1.17%10.73B
-14.02%10.82B
-17.99%10.51B
-21.06%10.64B
-22.74%10.61B
-13.56%12.58B
-11.26%12.81B
-6.60%13.48B
-30.00%13.73B
-46.17%14.55B
-31.80%14.44B
-25.32%14.43B
0.83%19.61B
25.23%27.04B
-2.95%21.17B
-71.20%19.32B
4.31%19.45B
-62.14%21.59B
-63.27%21.81B
6.69%67.11B
-70.92%18.64B
-14.52%57.03B
--59.38B
--62.90B
61.57%64.11B
--66.72B
--39.68B
--59.03B
Gesamtverbindlichkeiten
-7.24%12.71B
-7.12%12.84B
-11.73%12.80B
-10.21%12.79B
-2.43%13.71B
-3.56%13.83B
-21.99%14.51B
-22.18%14.24B
-24.49%14.05B
-23.15%14.34B
-0.96%18.60B
-0.39%18.30B
-7.45%18.60B
-41.39%18.66B
-44.81%18.78B
-37.02%18.38B
-27.88%20.10B
14.54%31.83B
20.62%34.02B
3.22%29.18B
-70.87%27.87B
-69.78%27.79B
-66.70%28.21B
-67.69%28.27B
6.89%95.69B
1.90%91.95B
-9.88%84.71B
--87.48B
--89.52B
72.60%90.24B
--93.99B
--52.28B
--79.47B
Eigenkapital der Aktionäre
Stammkapital
-0.99%47.76B
-0.29%47.93B
-0.27%48.06B
0.15%48.02B
-0.04%48.24B
-0.75%48.06B
-2.05%48.19B
-2.50%47.95B
-2.49%48.26B
-2.33%48.42B
-1.01%49.20B
-1.02%49.18B
-0.95%49.49B
-0.93%49.58B
-1.03%49.71B
-1.02%49.69B
-1.27%49.97B
-1.49%50.05B
-1.83%50.23B
-1.83%50.20B
-38.39%50.61B
-38.03%50.80B
-37.50%51.16B
-37.42%51.14B
0.75%82.15B
0.87%81.98B
0.89%81.86B
--81.71B
--81.54B
1003.00%81.28B
--81.14B
--7.37B
--59.60B
Gewinnrücklagen
-0.62%-23.66B
-0.88%-23.08B
-0.46%-22.96B
-11.83%-23.41B
-13.03%-23.52B
-8.59%-22.87B
-0.71%-22.85B
8.20%-20.94B
9.91%-20.81B
9.15%-21.07B
0.87%-22.69B
-0.11%-22.81B
-2.11%-23.10B
-100.13%-23.19B
-93.87%-22.89B
-94.26%-22.78B
-144.49%-22.62B
-37.93%-11.59B
-42.45%-11.81B
-41.32%-11.73B
-131.08%-9.25B
-127.76%-8.40B
-126.80%-8.29B
-127.27%-8.30B
1.36%29.76B
3.58%30.26B
-1.38%30.93B
--30.43B
--29.37B
-3.71%29.21B
--31.37B
--30.34B
--27.29B
Kapitalrücklagen
-1.00%47.76B
-0.29%47.92B
-0.27%48.06B
0.15%48.02B
-0.04%48.24B
-0.75%48.06B
-2.05%48.19B
-2.50%47.95B
-2.49%48.26B
-2.33%48.42B
-1.01%49.20B
-1.02%49.18B
-0.95%49.49B
-0.93%49.57B
-1.03%49.70B
-1.02%49.68B
-1.27%49.96B
-1.49%50.04B
-1.83%50.22B
-1.83%50.19B
-38.38%50.60B
-38.04%50.80B
-37.49%51.16B
-37.41%51.13B
0.74%82.13B
0.88%81.98B
0.89%81.84B
--81.68B
--81.52B
1806.55%81.26B
--81.12B
--4.26B
--59.58B
Abzüglich: Eigene Aktien
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----
----
----
----
----
----
----
----
----
----
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----
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----
----
----
----
-100.00%0.00
-100.00%0.00
250.00%7.00B
442.10%5.42B
--4.00B
--3.00B
--2.00B
-39.72%1.00B
--0.00
--1.66B
--0.00
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-10.89%-1.26B
-64.84%-1.50B
22.30%-892.00M
-43.15%-1.27B
-58.86%-1.14B
-15.04%-910.00M
28.38%-1.15B
-5.33%-890.00M
-225.91%-717.00M
-2029.27%-791.00M
-780.77%-1.60B
-3150.00%-845.00M
-34.97%-220.00M
-6.82%41.00M
78.81%-182.00M
98.23%-26.00M
90.99%-163.00M
103.11%44.00M
43.82%-859.00M
-76.29%-1.47B
85.36%-1.81B
88.58%-1.42B
85.53%-1.53B
92.26%-831.00M
-64.92%-12.36B
-38.14%-12.39B
-12.80%-10.57B
---10.73B
---7.50B
8.65%-8.97B
---9.37B
---9.82B
---7.92B
Nicht beherrschende Anteile
1.40%434.00M
-0.67%443.00M
2.30%445.00M
-0.23%429.00M
0.94%428.00M
-0.45%446.00M
-26.77%435.00M
-29.39%430.00M
-31.06%424.00M
-27.39%448.00M
-1.98%594.00M
3.75%609.00M
18.96%615.00M
9.01%617.00M
8.41%606.00M
2.62%587.00M
-8.66%517.00M
-0.53%566.00M
-1.58%559.00M
0.35%572.00M
-65.78%566.00M
-64.61%569.00M
-65.66%568.00M
-64.81%570.00M
-0.60%1.65B
0.69%1.61B
4.16%1.65B
--1.62B
--1.66B
28.58%1.60B
--1.59B
--1.24B
--1.28B
Gesamtes Eigenkapital
-3.10%23.27B
-3.77%23.79B
0.12%24.66B
-10.50%23.76B
-11.59%24.01B
-8.48%24.73B
-3.43%24.63B
1.59%26.55B
1.38%27.16B
-0.12%27.02B
-6.37%25.50B
-4.83%26.14B
-3.30%26.79B
-30.77%27.05B
-28.54%27.24B
-26.91%27.46B
-30.94%27.70B
-5.98%39.07B
-9.05%38.12B
-11.74%37.58B
-57.37%40.12B
-56.67%41.56B
-57.98%41.91B
-57.37%42.58B
-8.58%94.10B
-5.91%95.90B
-4.58%99.74B
--99.88B
--102.92B
274.33%101.93B
--104.53B
--27.23B
--83.99B
Währungseinheit
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Prüfungsmeinungen
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