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Denali Therapeutics Inc

DNLI

14.270USD

+0.830+6.18%
Trading geöffnet ETKurse um 15 Minuten verzögert
2.07BMarktkapitalisierung
VerlustKGV TTM
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FY2024Q1
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FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q1
FY2016Q4
FY2016Q3
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-15.71%-131.47M
15.15%-83.72M
32.31%-59.14M
19.39%-91.22M
-93.22%-113.62M
-35.77%-98.66M
-53.14%-87.36M
-163.81%-113.17M
18.45%-58.80M
-10.95%-72.66M
-37.68%-57.05M
20.88%-42.90M
-43.53%-72.11M
-112.74%-65.49M
-48279.07%-41.43M
-25.06%-54.22M
7.80%-50.24M
1178.68%513.91M
100.28%86.00K
-0.42%-43.36M
-79.71%-54.49M
-151.13%-47.64M
12.60%-30.43M
-3.23%-43.17M
-190.31%-30.32M
608.21%93.19M
-58.85%-34.82M
---41.82M
278.52%33.58M
0.16%-18.34M
-2.98%-21.92M
---18.81M
---18.37M
---21.29M
Nettoergebnis aus fortgeführten Aktivitäten
-30.62%-132.97M
3.95%-114.75M
-7.89%-107.19M
-154.00%-99.03M
7.27%-101.80M
-21.07%-119.47M
3.82%-99.35M
411.91%183.38M
-68.32%-109.78M
-31.11%-98.68M
-22.12%-103.30M
3.13%-58.79M
6.88%-65.22M
-130.73%-75.26M
-45.27%-84.59M
-3.29%-60.69M
-23.39%-70.04M
553.28%244.88M
-25.87%-58.23M
-0.72%-58.76M
-45.58%-56.76M
-169.68%-54.02M
-30.79%-46.26M
-6.60%-58.34M
-64.68%-38.99M
438.76%77.53M
-61.93%-35.37M
---54.72M
-11.06%-23.68M
-18.25%-22.89M
28.64%-21.84M
---21.32M
---19.35M
---30.61M
Betriebsergebnisse und -verluste
48.57%3.21M
20.30%2.62M
2.35%2.27M
-15.01%1.94M
-78.48%2.16M
-46.79%2.18M
3.55%2.22M
10.28%2.29M
383.26%10.05M
95.37%4.09M
-2.10%2.14M
-5.99%2.07M
-1.38%2.08M
-1.27%2.09M
1.44%2.19M
2.75%2.20M
-0.05%2.11M
3.21%2.12M
14.07%2.16M
30.55%2.15M
-12.23%2.11M
-13.62%2.06M
-18.78%1.89M
-11.43%1.64M
181.38%2.40M
194.80%2.38M
199.10%2.33M
--1.85M
16.83%854.00K
17.64%807.00K
94.01%778.00K
--731.00K
--686.00K
--401.00K
Andere nicht monetäre Posten
56.97%-4.94M
45.34%-7.21M
29.01%-9.43M
11.11%-11.08M
-31.42%-11.47M
-236.86%-13.20M
-781.22%-13.28M
-3522.38%-12.46M
-1134.36%-8.73M
-184.57%-3.92M
-180.24%-1.51M
-119.45%-344.00K
80.34%844.00K
64.41%4.63M
374.96%1.88M
203.88%1.77M
238.05%468.00K
218.40%2.82M
16.61%-683.00K
-35.70%-1.70M
-551.92%-339.00K
-183.00%-2.38M
-6.09%-819.00K
-78.01%-1.25M
86.56%-52.00K
-476.03%-841.00K
-460.75%-772.00K
---705.00K
-270.48%-387.00K
-191.25%-146.00K
-96.05%214.00K
--227.00K
--160.00K
--5.42M
Veränderung des Umlaufvermögens
-38.73%-21.93M
80.46%10.55M
788.70%30.35M
97.39%-8.16M
-173.27%-15.81M
792.98%5.85M
-120.95%-4.41M
-3103.79%-312.95M
160.01%21.58M
103.44%655.00K
16.30%21.04M
47.59%-9.77M
-845.49%-35.96M
-107.61%-19.05M
-58.50%18.09M
-853.09%-18.64M
63.02%-3.80M
11569.34%250.26M
644.73%43.59M
133.49%2.48M
-1749.64%-10.28M
-125.77%-2.18M
189.83%5.85M
-84.93%1.06M
-101.03%-556.00K
248.05%8.47M
-196.45%-6.52M
--7.03M
6740.99%53.91M
540.76%2.43M
-193.97%-2.20M
--788.00K
---552.00K
--2.34M
-Änderung bei den Vorauszahlungen
-52.44%-28.61M
102.42%145.00K
20257.47%17.71M
-143.47%-1.57M
-948.97%-18.77M
-336.97%-6.00M
-99.35%87.00K
122.58%3.61M
-244.04%-1.79M
93.43%-1.37M
-17.01%13.37M
-11.40%-15.99M
-80.29%1.24M
-45.36%-20.91M
64316.00%16.10M
-329.77%-14.36M
356.76%6.30M
-1767.21%-14.39M
-99.20%25.00K
4408.97%6.25M
-186.14%-2.45M
106.68%863.00K
184.89%3.11M
-38.10%-145.00K
276.63%2.85M
-17088.16%-12.91M
-188.49%-3.66M
---105.00K
-182.34%-1.61M
105.84%76.00K
-343.10%-1.27M
--1.96M
---1.30M
--522.00K
-Änderung bei anderen kurzfristigen Vermögenswerten
---943.00K
--1.78M
---1.18M
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--0.00
--0.00
----
--0.00
--0.00
-Änderung bei anderen kurzfristigen Verbindlichkeiten
--16.73M
-940.63%-3.94M
411.04%3.94M
100.00%0.00
100.00%0.00
-33.92%-379.00K
64.37%-1.27M
-60259.71%-289.12M
99.53%-141.00K
90.02%-283.00K
32.67%-3.56M
93.97%-479.00K
-39244.16%-30.14M
-101.13%-2.84M
-114.86%-5.29M
-42.39%-7.94M
102.51%77.00K
7309.89%251.55M
3112.53%35.58M
-564.48%-5.58M
-294.98%-3.07M
-120.93%-3.49M
-13.78%-1.18M
69.62%-839.00K
-101.30%-777.00K
7474.34%16.67M
-574.03%-1.04M
---2.76M
12089.39%59.73M
-128.28%-226.00K
-36.28%-154.00K
--490.00K
---99.00K
---113.00K
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-15.71%-131.47M
15.15%-83.72M
32.31%-59.14M
19.39%-91.22M
-93.22%-113.62M
-35.77%-98.66M
-53.14%-87.36M
-163.81%-113.17M
18.45%-58.80M
-10.95%-72.66M
-37.68%-57.05M
20.88%-42.90M
-43.53%-72.11M
-112.74%-65.49M
-48279.07%-41.43M
-25.06%-54.22M
7.80%-50.24M
1178.68%513.91M
100.28%86.00K
-0.42%-43.36M
-79.71%-54.49M
-151.13%-47.64M
12.60%-30.43M
-3.23%-43.17M
-190.31%-30.32M
608.21%93.19M
-58.85%-34.82M
---41.82M
278.52%33.58M
0.16%-18.34M
-2.98%-21.92M
---18.81M
---18.37M
---21.29M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
136.19%5.08M
127.83%5.09M
87.81%3.88M
-18.19%4.79M
-22.83%2.15M
-53.91%2.23M
-65.82%2.07M
102.21%5.85M
-31.06%2.79M
58.83%4.85M
222.67%6.05M
274.74%2.89M
44.32%4.04M
155.48%3.05M
165.58%1.88M
145.08%772.00K
218.54%2.80M
-56.91%1.20M
-75.20%706.00K
-96.93%315.00K
-56.66%879.00K
92.97%2.77M
236.13%2.85M
1695.63%10.27M
277.65%2.03M
34.17%1.44M
130.79%847.00K
--572.00K
-38.13%537.00K
-53.70%1.07M
-84.31%367.00K
--868.00K
--2.31M
--2.34M
Investitionsausgaben
136.19%5.08M
127.83%5.09M
87.81%3.88M
-18.19%4.79M
-22.83%2.15M
-53.91%2.23M
-65.82%2.07M
102.21%5.85M
-31.06%2.79M
58.83%4.85M
222.67%6.05M
274.74%2.89M
44.32%4.04M
155.48%3.05M
165.58%1.88M
145.08%772.00K
218.54%2.80M
-56.91%1.20M
-75.20%706.00K
-96.93%315.00K
-56.66%879.00K
92.97%2.77M
236.13%2.85M
1695.63%10.27M
277.65%2.03M
34.17%1.44M
130.79%847.00K
--572.00K
-38.13%537.00K
-53.70%1.07M
-84.31%367.00K
--868.00K
--2.31M
--2.34M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
136.19%5.08M
127.83%5.09M
87.81%3.88M
-18.19%4.79M
-22.83%2.15M
-53.91%2.23M
-65.82%2.07M
102.21%5.85M
-31.06%2.79M
58.83%4.85M
222.67%6.05M
274.74%2.89M
44.32%4.04M
155.48%3.05M
165.58%1.88M
145.08%772.00K
218.54%2.80M
-56.91%1.20M
-75.20%706.00K
-96.93%315.00K
-56.66%879.00K
92.97%2.77M
236.13%2.85M
1695.63%10.27M
277.65%2.03M
34.17%1.44M
130.79%847.00K
--572.00K
-38.13%537.00K
-53.70%1.07M
-84.31%367.00K
--868.00K
--2.31M
--2.34M
Netto-Cashflow aus Anlageprodukten
105.28%23.83M
135.51%177.30M
-5.28%97.54M
-40.57%103.36M
-401.55%-451.04M
161.35%75.28M
379.65%102.98M
90.02%173.92M
21.00%-89.93M
-225.52%-122.71M
141.99%21.47M
-6.90%91.52M
-403.59%-113.84M
89.70%-37.70M
75.81%-51.13M
426.65%98.31M
-81.51%-22.61M
-910.81%-366.14M
-503.93%-211.42M
-140.59%-30.10M
-106.91%-12.45M
175.31%45.16M
14.85%52.34M
138.43%74.15M
98.00%-6.02M
36.26%-59.97M
169.78%45.57M
--31.10M
-1950.58%-300.74M
-465.58%-94.08M
111.49%16.89M
--16.25M
---16.63M
---146.97M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
104.14%18.75M
135.75%172.21M
-7.19%93.66M
-41.35%98.57M
-388.80%-453.19M
157.27%73.05M
554.45%100.91M
89.63%168.07M
21.35%-92.72M
-213.03%-127.56M
129.09%15.42M
-9.13%88.63M
-364.00%-117.88M
88.91%-40.75M
75.01%-53.01M
420.73%97.54M
-90.54%-25.41M
-966.67%-367.34M
-528.59%-212.12M
-147.61%-30.41M
-65.69%-13.33M
169.03%42.38M
10.66%49.49M
109.25%63.88M
97.33%-8.05M
35.47%-61.40M
170.65%44.73M
--30.53M
-2058.49%-301.27M
-402.19%-95.15M
111.07%16.53M
--15.38M
---18.95M
---149.31M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-100.75%-3.76M
-188.59%-4.17M
-844.74%-18.56M
-25.09%6.76M
31089.21%500.27M
-98.43%4.71M
-51.65%2.49M
104.88%9.02M
9.64%1.60M
5698.20%299.65M
55.48%5.15M
-37.50%4.40M
-61.72%1.46M
-45.73%5.17M
-99.22%3.31M
106.24%7.04M
-98.05%3.82M
368.14%9.52M
62624.45%425.90M
32.93%3.42M
21476.32%195.91M
20.36%2.03M
3.19%679.00K
79.40%2.57M
-99.03%908.00K
-99.43%1.69M
84.31%658.00K
--1.43M
28677.47%93.24M
7389875.00%295.59M
-95.36%357.00K
--324.00K
---4.00K
--7.69M
Netto-Cashflow aus Schuldenemission/Rückzahlung
---4.36M
---8.32M
---24.02M
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--0.00
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Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-100.00%0.00
--0.00
--0.00
--0.00
--499.25M
----
----
----
----
--296.21M
----
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----
--0.00
-100.00%0.00
--0.00
-100.00%0.00
--0.00
--420.15M
--0.00
--193.95M
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
--1.34M
--93.06M
--265.62M
----
--0.00
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Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
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--29.97M
-100.00%0.00
----
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--7.62M
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
-41.78%595.00K
-11.69%4.16M
118.94%5.46M
-25.09%6.76M
-36.28%1.02M
36.93%4.71M
-51.65%2.49M
104.88%9.02M
9.64%1.60M
-33.51%3.44M
55.48%5.15M
-37.50%4.40M
-61.72%1.46M
-45.73%5.17M
-42.38%3.31M
106.24%7.04M
94.50%3.82M
368.14%9.52M
747.28%5.75M
32.93%3.42M
116.41%1.96M
20.36%2.03M
3.19%679.00K
79.40%2.57M
314.61%908.00K
168900.00%1.69M
84.31%658.00K
--1.43M
-32.41%219.00K
125.00%1.00K
402.82%357.00K
--324.00K
---4.00K
--71.00K
Netto-Cashflow aus anderen Finanzierungsaktivitäten
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----
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--0.00
--0.00
100.00%0.00
100.00%0.00
--0.00
--0.00
---1.34M
---44.00K
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--0.00
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Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-100.75%-3.76M
-188.59%-4.17M
-844.74%-18.56M
-25.09%6.76M
31089.21%500.27M
-98.43%4.71M
-51.65%2.49M
104.88%9.02M
9.64%1.60M
5698.20%299.65M
55.48%5.15M
-37.50%4.40M
-61.72%1.46M
-45.73%5.17M
-99.22%3.31M
106.24%7.04M
-98.05%3.82M
368.14%9.52M
62624.45%425.90M
32.93%3.42M
21476.32%195.91M
20.36%2.03M
3.19%679.00K
79.40%2.57M
-99.03%908.00K
-99.43%1.69M
84.31%658.00K
--1.43M
28677.47%93.24M
7389875.00%295.59M
-95.36%357.00K
--324.00K
---4.00K
--7.69M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
37.19%176.53M
-38.36%92.21M
-42.90%76.25M
-10.75%62.15M
-41.39%128.68M
24.54%149.59M
-14.71%133.55M
-34.59%69.63M
-25.57%219.54M
-69.67%120.11M
-67.86%156.59M
-75.63%106.45M
-42.01%294.98M
12.34%396.05M
251.29%487.18M
108.97%436.82M
528.35%508.64M
318.84%352.55M
115.23%138.68M
407.85%209.04M
2.96%80.95M
86.43%84.17M
86.30%64.44M
-7.40%41.16M
-64.08%78.62M
24.49%45.15M
-16.27%34.59M
--44.45M
442.02%218.91M
-53.00%36.27M
-82.79%41.31M
--40.39M
--77.17M
--240.07M
Änderungen des Cashflows im aktuellen Zeitraum
-75.08%-116.48M
503.37%84.32M
-0.51%15.96M
-77.93%14.11M
55.62%-66.53M
-121.03%-20.91M
143.97%16.04M
27.49%63.92M
20.48%-149.91M
198.37%99.43M
59.98%-36.47M
-0.44%50.13M
-162.48%-188.52M
-164.75%-101.08M
-142.61%-91.13M
171.58%50.36M
-156.07%-71.82M
4941.72%156.10M
983.56%213.86M
-402.27%-70.35M
441.91%128.09M
-109.63%-3.22M
86.85%19.74M
335.96%23.27M
78.53%-37.46M
-81.62%33.47M
309.67%10.56M
---9.86M
-5524.05%-174.46M
588.00%182.11M
96.91%-5.04M
---3.10M
---37.32M
---162.90M
Endbestand an Zahlungsmitteln
-3.37%60.05M
37.19%176.53M
-38.36%92.21M
-42.90%76.25M
-10.75%62.15M
-41.39%128.68M
24.54%149.59M
-14.71%133.55M
-34.59%69.63M
-25.57%219.54M
-69.67%120.11M
-67.86%156.59M
-75.63%106.45M
-42.01%294.98M
12.34%396.05M
251.29%487.18M
108.97%436.82M
528.35%508.64M
318.84%352.55M
115.23%138.68M
407.85%209.04M
2.96%80.95M
86.43%84.17M
86.30%64.44M
-7.40%41.16M
-64.00%78.62M
24.49%45.15M
--34.59M
19.22%44.45M
447.95%218.38M
-53.00%36.27M
--37.29M
--39.85M
--77.17M
Freier Cashflow
-17.95%-136.55M
11.98%-88.81M
29.53%-63.02M
19.34%-96.01M
-87.97%-115.77M
-30.16%-100.89M
-41.74%-89.43M
-159.92%-119.02M
19.12%-61.59M
-13.08%-77.51M
-45.69%-63.10M
16.73%-45.79M
-43.57%-76.15M
-113.37%-68.55M
-6885.32%-43.31M
-25.92%-54.99M
4.21%-53.04M
1116.98%512.72M
98.14%-620.00K
18.29%-43.67M
-71.16%-55.37M
-154.95%-50.42M
6.69%-33.28M
-26.06%-53.45M
-197.91%-32.35M
572.76%91.75M
-60.04%-35.67M
---42.40M
267.91%33.04M
6.15%-19.41M
5.66%-22.29M
---19.68M
---20.68M
---23.63M
Währungseinheit
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Prüfungsmeinungen
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