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Diageo PLC

DEO

103.250USD

+0.090+0.09%
Handelsschluss 07/18, 16:00ETKurse um 15 Minuten verzögert
57.44BMarktkapitalisierung
--KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025H1
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
8.34%2.33B
-9.47%1.96B
45.79%2.15B
-16.11%2.16B
-44.52%1.47B
12.28%2.58B
1.70%2.65B
76.71%2.30B
60.83%2.61B
-38.84%1.30B
-21.85%1.62B
-15.77%2.13B
26.20%2.08B
7.57%2.52B
1.70%1.64B
8.31%2.35B
1.77%1.62B
-10.81%2.17B
2.24%1.59B
22.92%2.43B
61.92%1.55B
23.26%1.98B
-39.43%959.92M
-21.91%1.60B
25.45%1.58B
--2.05B
--1.26B
Nettoergebnis aus fortgeführten Aktivitäten
-11.40%2.08B
11.36%1.82B
-17.56%2.34B
0.99%1.64B
-0.16%2.84B
2.74%1.62B
31.20%2.85B
361.09%1.58B
-10.96%2.17B
-136.82%-604.70M
-8.94%2.44B
17.47%1.64B
-4.58%2.67B
-6.53%1.40B
38.72%2.80B
19.38%1.50B
-11.38%2.02B
-25.45%1.25B
2.93%2.28B
91.10%1.68B
-15.44%2.22B
-41.47%879.39M
4.31%2.62B
-4.89%1.50B
54.92%2.51B
--1.58B
--1.62B
Betriebsergebnisse und -verluste
-5.35%389.00M
-91.50%82.00M
23.80%411.00M
23.13%965.00M
8.76%332.00M
147.77%783.74M
6.75%305.26M
-83.83%316.31M
-20.61%285.95M
700.54%1.96B
50.45%360.18M
-41.90%244.39M
-2.86%239.41M
82.72%420.62M
8.46%246.45M
-16.36%230.20M
-47.23%227.21M
-27.74%275.23M
39.54%430.61M
-48.47%380.89M
4.74%308.59M
101.14%739.22M
15.61%294.63M
-2.46%367.52M
-4.66%254.84M
--376.81M
--267.30M
Andere nicht monetäre Posten
128.57%80.00M
-42.62%35.00M
294.44%35.00M
200.02%61.00M
-220.08%-18.00M
-160.22%-60.99M
176.54%14.99M
238.61%101.28M
76.07%-19.59M
-71.23%-73.07M
-163.57%-81.86M
2.99%-42.67M
64.29%-31.06M
59.34%-43.99M
-119.81%-86.98M
-121.97%-108.18M
35.44%-39.57M
53.64%-48.74M
-214.50%-61.30M
49.19%-105.13M
91.91%-19.49M
68.62%-206.92M
-179.94%-240.77M
---659.37M
-15.02%-86.01M
----
---74.78M
Veränderung des Umlaufvermögens
42.42%-414.00M
-124.75%-49.00M
55.40%-719.00M
-53.90%198.00M
-131.94%-1.61B
-14.00%429.50M
-1735.43%-695.00M
13.27%499.44M
95.57%-37.87M
-21.43%440.93M
-0.58%-853.86M
10.05%561.20M
-21.54%-848.92M
-37.05%509.97M
-10.99%-698.48M
20.50%810.11M
21.33%-629.30M
-25.71%672.29M
-3.25%-799.93M
71.63%904.99M
46.43%-774.73M
74.22%527.30M
-21.39%-1.45B
-6.35%302.66M
-3.14%-1.19B
--323.20M
---1.16B
-Änderung der Forderungen
-6.78%-1.18B
-21.98%1.04B
7.14%-1.11B
71.79%1.33B
10.45%-1.19B
-11.50%775.95M
5.51%-1.33B
-54.78%876.80M
-10.01%-1.41B
78.50%1.94B
-19.27%-1.28B
11.93%1.09B
10.35%-1.07B
-19.05%970.45M
-8.50%-1.20B
36.65%1.20B
-3.11%-1.10B
-38.87%877.28M
1.41%-1.07B
106.25%1.44B
1.16%-1.08B
2.41%695.84M
12.76%-1.10B
-24.53%679.45M
-1.13%-1.26B
--900.23M
---1.24B
-Änderung des Inventars
-113.41%-175.00M
71.32%-74.00M
85.14%-82.00M
64.04%-258.00M
-116.61%-552.00M
-56.26%-717.56M
-74.26%-254.83M
-29.72%-459.21M
-36.61%-146.24M
-44.85%-354.00M
66.24%-107.05M
-63.11%-244.39M
-48.50%-317.05M
-36.90%-149.83M
-132.30%-213.50M
-349.10%-109.44M
23.11%-91.91M
44.85%-24.37M
57.95%-119.53M
-65.49%-44.18M
15.76%-284.23M
30.84%-26.70M
12.82%-337.40M
80.57%-38.61M
-15.84%-387.03M
---198.65M
---334.12M
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
100.85%942.00M
-15.74%-1.01B
258.02%469.00M
-336.32%-877.00M
-85.28%131.00M
353.38%371.11M
-41.30%889.88M
107.16%81.85M
184.57%1.52B
-307.66%-1.14B
-1.52%532.72M
9.68%-280.60M
-23.99%540.93M
-11.24%-310.65M
25.85%711.66M
-54.62%-279.26M
45.28%565.48M
62.84%-180.62M
-34.52%389.24M
-242.66%-486.01M
5461.13%594.45M
58.06%-141.84M
-102.44%-11.09M
10.62%-338.18M
7.26%453.93M
---378.38M
--423.22M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
8.34%2.33B
-9.47%1.96B
45.79%2.15B
-16.11%2.16B
-44.52%1.47B
12.28%2.58B
1.70%2.65B
76.71%2.30B
60.83%2.61B
-38.84%1.30B
-21.85%1.62B
-15.77%2.13B
26.20%2.08B
7.57%2.52B
1.70%1.64B
8.31%2.35B
1.77%1.62B
-10.81%2.17B
2.24%1.59B
22.92%2.43B
61.92%1.55B
23.26%1.98B
-39.43%959.92M
-21.91%1.60B
25.45%1.58B
--2.05B
--1.26B
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
9.39%629.00M
2.91%921.00M
13.64%575.00M
-2.16%895.00M
-0.98%506.00M
77.73%914.79M
61.73%511.03M
12.24%514.70M
-22.08%315.98M
-6.92%458.56M
21.46%405.52M
4.49%492.66M
26.04%333.88M
30.14%471.48M
12.78%264.90M
-0.10%362.29M
-21.80%234.87M
-32.38%362.67M
-20.97%300.36M
13.56%536.29M
-14.00%380.06M
-8.16%472.24M
5.10%441.94M
31.52%514.22M
39.09%420.48M
--390.99M
--302.30M
Investitionsausgaben
8.59%632.00M
2.77%928.00M
13.23%582.00M
-2.67%903.00M
-1.26%514.00M
77.86%927.77M
59.47%520.57M
11.91%521.64M
-21.45%326.43M
-9.88%466.12M
18.51%415.60M
0.61%517.23M
26.72%350.70M
27.31%514.09M
10.06%276.76M
-6.72%403.80M
-19.56%251.47M
-22.79%432.91M
-28.71%312.62M
12.37%560.67M
-19.29%438.53M
-12.44%498.93M
27.76%543.32M
40.08%569.81M
22.05%425.26M
--406.76M
--348.44M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
9.39%629.00M
2.91%921.00M
13.64%575.00M
-2.16%895.00M
-0.98%506.00M
77.73%914.79M
61.73%511.03M
12.24%514.70M
-22.08%315.98M
-6.92%458.56M
21.46%405.52M
4.49%492.66M
26.04%333.88M
30.14%471.48M
12.78%264.90M
-0.10%362.29M
-21.80%234.87M
-32.38%362.67M
-20.97%300.36M
13.56%536.29M
-14.00%380.06M
-8.16%472.24M
5.10%441.94M
31.52%514.22M
39.09%420.48M
--390.99M
--302.30M
Netto-Cashflow aus Geschäftstransaktionen
480.00%87.00M
-61.85%66.00M
183.33%15.00M
333.90%173.00M
89.99%-18.00M
53.64%-73.96M
61.63%-179.88M
-874.18%-159.54M
-251.14%-468.75M
25.50%-16.38M
-126.66%-133.49M
48.41%-21.98M
168.22%500.81M
34.86%-42.61M
-1755.07%-734.07M
-111.30%-65.41M
-104.02%-39.57M
6.18%579.12M
191.37%985.35M
386.72%545.43M
-62.10%-1.08B
64.08%-190.23M
-38.77%-665.29M
-609.02%-529.66M
79.00%-479.41M
--104.06M
---2.28B
Netto-Cashflow aus Anlageprodukten
43.75%-90.00M
85.71%-20.00M
-300.00%-160.00M
-43.86%-140.00M
-1078.41%-40.00M
-6914.78%-97.32M
204.37%4.09M
---1.39M
---3.92M
----
----
-194.07%-1.29M
----
-45.36%1.37M
-1958.40%-23.72M
--2.52M
141.65%1.28M
-100.00%0.00
92.14%-3.06M
151.08%33.52M
-2360.85%-38.98M
-77.83%13.35M
95.68%-1.58M
66.08%60.22M
4.07%-36.63M
--36.26M
---38.19M
Netto-Cashflow aus anderen Investitionstätigkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
---2.64M
----
----
----
----
----
----
----
----
---24.71M
----
--0.00
----
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
12.22%-632.00M
-1.51%-875.00M
-27.66%-720.00M
20.63%-862.00M
17.88%-564.00M
-60.75%-1.09B
12.91%-686.83M
-42.26%-675.63M
-46.31%-788.66M
7.95%-474.94M
-422.88%-539.02M
-0.63%-515.94M
116.28%166.94M
-20.59%-512.72M
-275.35%-1.03B
-296.43%-425.18M
-140.06%-273.17M
407.40%216.45M
145.54%681.93M
106.57%42.66M
-35.05%-1.50B
35.63%-649.12M
-18.40%-1.11B
-302.25%-1.01B
64.30%-936.52M
---250.68M
---2.62B
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
34.07%-1.10B
47.98%-1.44B
-506.18%-1.67B
-129.70%-2.77B
91.34%-275.00M
25.37%-1.20B
-49.16%-3.18B
-172.48%-1.61B
-131.65%-2.13B
191.42%2.23B
31.76%-919.35M
-22.59%-2.43B
-51.89%-1.35B
-2.93%-1.99B
24.80%-886.94M
6.06%-1.93B
43.74%-1.18B
26.61%-2.05B
-1353.13%-2.10B
-93.01%-2.80B
114.03%167.29M
-263.03%-1.45B
3.25%-1.19B
148.10%889.46M
-301.25%-1.23B
---1.85B
--612.55M
Netto-Cashflow aus Schuldenemission/Rückzahlung
65.20%375.00M
132.14%225.00M
-86.29%227.00M
-134.76%-700.00M
266.24%1.66B
455.78%2.01B
-35.99%-996.17M
-117.38%-566.03M
-138.83%-732.51M
629.99%3.26B
-26.15%1.89B
486.36%446.11M
76.37%2.55B
89.89%-115.46M
1189.38%1.45B
5.25%-1.14B
118.56%112.33M
37.20%-1.21B
-139.44%-605.31M
-1250.42%-1.92B
597.09%1.53B
-81.11%166.87M
887.43%220.18M
313.02%883.28M
-98.90%22.30M
---414.64M
--2.03B
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
99.79%-1.00M
49.60%-501.00M
26.13%-475.00M
56.77%-994.00M
7.30%-643.00M
-2301.97%-2.30B
-6002.58%-693.64M
28.32%-95.73M
100.83%11.75M
93.00%-133.54M
12.66%-1.41B
-90.34%-1.91B
-59.49%-1.62B
-10057.44%-1.00B
-1554.06%-1.01B
-64.90%10.06M
-99.91%-61.27M
--28.67M
-169.57%-30.65M
100.00%0.00
88.23%-11.37M
-222.47%-85.10M
-8.33%-96.63M
-18.38%69.49M
-3.81%-89.19M
--85.14M
---85.92M
Barausschüttungen
3.78%1.40B
2.64%894.00M
12.90%1.35B
-1.00%871.00M
-15.75%1.19B
-3.04%879.76M
9.42%1.42B
12.53%907.32M
2.24%1.30B
-1.03%806.27M
-1.41%1.27B
-3.32%814.64M
0.73%1.29B
12.58%842.62M
8.63%1.28B
-7.91%748.47M
-12.52%1.17B
-1.21%812.77M
3.19%1.34B
0.01%822.72M
11.74%1.30B
--822.66M
8.62%1.16B
----
-2.78%1.07B
--1.52B
--1.10B
Netto-Cashflow aus anderen Finanzierungsaktivitäten
-4.23%-74.00M
-33.83%-269.00M
24.47%-71.00M
-416.35%-201.00M
-35.25%-94.00M
12.32%-38.93M
38.82%-69.50M
51.06%-44.39M
10.69%-113.60M
42.97%-90.70M
87.28%-127.20M
-508.99%-159.05M
-2068.68%-1.00B
46.76%-26.12M
17.87%-46.13M
23.95%-49.06M
52.40%-56.17M
-11.42%-64.51M
-113.68%-118.00M
91.80%-57.90M
42.85%-55.22M
-1014.87%-705.85M
-2.82%-96.63M
---63.31M
61.90%-93.97M
--0.00
---246.61M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
34.07%-1.10B
47.98%-1.44B
-506.18%-1.67B
-129.70%-2.77B
91.34%-275.00M
25.37%-1.20B
-49.16%-3.18B
-172.48%-1.61B
-131.65%-2.13B
191.42%2.23B
31.76%-919.35M
-22.59%-2.43B
-51.89%-1.35B
-2.93%-1.99B
24.80%-886.94M
6.06%-1.93B
43.74%-1.18B
26.61%-2.05B
-1353.13%-2.10B
-93.01%-2.80B
114.03%167.29M
-263.03%-1.45B
3.25%-1.19B
148.10%889.46M
-301.25%-1.23B
---1.85B
--612.55M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-37.27%1.11B
-54.06%1.48B
-33.91%1.77B
50.30%3.23B
-25.02%2.67B
--2.15B
-17.25%3.57B
-100.00%0.00
350.96%4.31B
-42.81%1.02B
8.13%955.98M
96.00%1.78B
-28.65%884.06M
-28.36%906.01M
24.16%1.24B
103.53%1.26B
77.26%997.98M
-42.24%621.39M
-32.05%562.99M
-16.91%1.08B
-69.58%828.48M
31.36%1.29B
65.11%2.72B
-38.65%985.61M
-32.46%1.65B
--1.61B
--2.44B
Änderungen des Cashflows im aktuellen Zeitraum
285.31%530.00M
74.42%-373.00M
-151.91%-286.00M
-350.81%-1.46B
146.26%551.00M
1074.46%581.32M
-92.85%-1.19B
-102.03%-59.66M
-600.41%-617.61M
435.39%2.94B
-86.49%123.42M
-9211.45%-876.71M
400.11%913.63M
114.16%9.62M
-247.22%-304.43M
-113.86%-67.93M
58.76%206.79M
206.20%490.24M
-47.58%130.26M
-22.96%-461.64M
117.67%248.50M
-124.39%-375.45M
-140.64%-1.41B
12306.46%1.54B
29.21%-584.53M
---12.61M
---825.75M
Auswirkungen von Wechselkursänderungen
-51.11%-68.00M
123.53%12.00M
-80.00%-45.00M
-117.47%-51.00M
-231.04%-25.00M
529.48%291.96M
106.19%19.08M
38.68%-67.98M
-664.64%-308.15M
-114.34%-110.86M
-322.44%-40.30M
-242.08%-51.72M
149.10%18.12M
74.43%-15.12M
-187.60%-36.90M
-136.50%-59.12M
194.79%42.12M
220.82%161.98M
-282.41%-44.44M
46.79%-134.07M
137.51%24.36M
-553.26%-251.97M
---64.94M
60.27%55.59M
100.00%0.00
--34.69M
---77.96M
Endbestand an Zahlungsmitteln
10.59%1.64B
-37.27%1.11B
-54.06%1.48B
-34.32%1.77B
35.25%3.23B
4627.49%2.69B
-34.91%2.39B
-101.52%-59.46M
237.44%3.66B
327.18%3.91B
-39.15%1.09B
-0.01%915.16M
92.54%1.78B
-23.37%915.25M
-22.62%926.93M
10.96%1.19B
74.04%1.20B
79.43%1.08B
-35.48%688.26M
-34.07%599.93M
-14.88%1.07B
-63.63%909.88M
19.01%1.25B
56.96%2.50B
-35.63%1.05B
--1.59B
--1.64B
Freier Cashflow
8.25%1.69B
-18.24%1.03B
63.26%1.56B
-23.66%1.26B
-55.08%958.00M
-6.98%1.65B
-6.56%2.13B
112.93%1.78B
89.18%2.28B
-48.15%833.98M
-30.06%1.21B
-19.96%1.61B
26.10%1.73B
3.47%2.01B
0.16%1.37B
12.07%1.94B
7.00%1.37B
-7.22%1.73B
14.40%1.28B
26.48%1.87B
167.84%1.12B
42.95%1.48B
-64.07%416.60M
-37.24%1.03B
26.74%1.16B
--1.65B
--914.85M
Währungseinheit
USD
USD
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USD
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USD
USD
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USD
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USD
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USD
Prüfungsmeinungen
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Intraday-Daten werden von Refinitiv bereitgestellt und unterliegen den Nutzungsbedingungen. Historische und aktuelle End-of-Day-Daten stammen ebenfalls von Refinitiv. Alle Kursangaben entsprechen der lokalen Börsenzeit. Echtzeit-Kursdaten zu US-Aktien beziehen sich ausschließlich auf über Nasdaq gemeldete Transaktionen. Intraday-Daten sind mindestens 15 Minuten oder gemäß den Vorgaben der jeweiligen Börse verzögert.
* Referenzen, Analysen und Handelsstrategien werden vom Drittanbieter Trading Central bereitgestellt, und der Standpunkt basiert auf der unabhängigen Bewertung und Beurteilung des Analysten, ohne die Anlageziele und die finanzielle Situation der Investoren zu berücksichtigen.
Risikohinweis: Unsere Website und mobile App bieten lediglich allgemeine Informationen zu bestimmten Anlageprodukten. Finsights stellt keine Finanzberatung oder Empfehlung für ein Anlageprodukt bereit, und die Bereitstellung solcher Informationen darf nicht als Finanzberatung durch Finsights ausgelegt werden.
Anlageprodukte unterliegen erheblichen Anlagerisiken, einschließlich des möglichen Verlusts des investierten Kapitals und sind möglicherweise nicht für jeden geeignet. Die vergangene Wertentwicklung von Anlageprodukten ist nicht unbedingt ein Hinweis auf deren zukünftige Wertentwicklung.
Finsights kann Drittanbietern oder Partnern erlauben, Werbung auf unserer Website oder in unserer mobilen App oder in Teilen davon zu platzieren oder bereitzustellen. Finsights kann für diese Anzeigenvergütung erhalten, basierend auf Ihrer Interaktion mit den Werbeanzeigen.
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