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Dynatrace Inc

DT

51.510USD

+1.000+1.98%
Trading geöffnet ETKurse um 15 Minuten verzögert
15.44BMarktkapitalisierung
31.93KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2025Q4
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FY2024Q3
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FY2024Q1
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FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
33.02%1.11B
28.76%1.01B
43.26%1.01B
44.50%1.01B
50.69%836.87M
85.26%782.65M
24.51%701.52M
22.64%700.70M
19.95%555.35M
3.36%422.45M
52.15%563.43M
47.55%571.35M
42.47%462.97M
36.47%408.72M
49.06%370.32M
54.65%387.22M
52.44%324.96M
58.84%299.50M
17.36%248.44M
335.79%250.38M
315.42%213.17M
270.76%188.56M
--211.70M
--57.45M
--51.31M
--50.86M
- Barmittel und Barmitteläquivalente
30.56%1.02B
15.95%907.48M
29.32%907.18M
32.77%930.32M
40.27%778.98M
85.26%782.65M
24.51%701.52M
22.64%700.70M
19.95%555.35M
3.36%422.45M
52.15%563.43M
47.55%571.35M
42.47%462.97M
36.47%408.72M
49.06%370.32M
54.65%387.22M
52.44%324.96M
58.84%299.50M
17.36%248.44M
335.79%250.38M
315.42%213.17M
270.76%188.56M
--211.70M
--57.45M
--51.31M
--50.86M
-Kurzfristige Anlagen
66.16%96.19M
--100.22M
--97.83M
--82.21M
--57.89M
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Forderungen
1.77%624.44M
8.27%391.58M
15.46%303.34M
2.82%245.00M
38.66%613.58M
18.80%361.65M
41.46%262.73M
24.21%238.28M
13.06%442.52M
15.18%304.41M
23.98%185.73M
43.16%191.84M
37.84%391.39M
25.35%264.29M
-3.02%149.80M
-2.09%134.00M
27.68%283.95M
23.74%210.84M
72.59%154.47M
58.46%136.86M
86.09%222.40M
10.08%170.40M
--89.50M
--86.37M
--119.51M
--154.80M
-Forderungen aus Lieferungen und Leistungen
3.60%624.44M
9.60%383.78M
17.29%299.24M
0.68%239.90M
36.21%602.74M
15.03%350.15M
37.37%255.13M
24.21%238.28M
26.19%442.52M
15.18%304.41M
23.98%185.73M
43.16%191.84M
44.86%350.67M
31.59%264.29M
35.87%149.80M
42.92%134.00M
54.13%242.08M
20.64%200.85M
28.79%110.25M
13.82%93.76M
36.06%157.06M
9.12%166.48M
--85.60M
--82.38M
--115.43M
--152.57M
-Sonstige Forderungen
--1.60M
-32.17%7.80M
-46.05%4.10M
--5.10M
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--11.50M
--7.60M
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Aktive Rechnungsabgrenzungsposten
80.68%83.90M
39.83%73.13M
29.21%68.67M
28.60%67.44M
24.53%46.44M
58.32%52.30M
35.38%53.15M
47.98%52.44M
50.41%37.29M
-59.38%33.03M
-50.97%39.26M
-46.17%35.44M
22.08%24.79M
348.67%81.33M
390.08%80.06M
336.42%65.84M
53.98%20.31M
12.84%18.13M
-14.70%16.34M
14.98%15.09M
-1.09%13.19M
74.44%16.06M
--19.15M
--13.12M
--13.33M
--9.21M
Sonstige kurzfristige Vermögenswerte
1.37%109.89M
14.16%102.81M
26.58%106.55M
19.84%99.48M
30.57%108.41M
26.84%90.06M
33.92%84.18M
35.67%83.01M
19.85%83.03M
22.46%71.00M
19.68%62.86M
20.00%61.18M
35.68%69.28M
25.96%57.98M
25.38%52.52M
28.71%50.99M
30.85%51.06M
26.36%46.03M
18.99%41.89M
18.91%39.62M
34.27%39.02M
57.34%36.42M
--35.21M
--33.32M
--29.06M
--23.15M
Summe der kurzfristigen Vermögenswerte
20.32%1.93B
22.43%1.58B
34.68%1.48B
32.58%1.42B
43.56%1.61B
54.85%1.29B
29.40%1.10B
24.96%1.07B
17.90%1.12B
2.29%830.90M
30.42%851.28M
34.76%859.80M
39.42%948.42M
41.40%812.32M
41.54%652.71M
44.38%638.05M
39.47%680.28M
39.63%574.50M
29.69%461.14M
132.29%441.94M
128.77%487.78M
72.87%411.44M
--355.56M
--190.25M
--213.22M
--238.01M
Langfristige Vermögenswerte
Nettoanlagevermögen
12.45%129.00M
0.68%116.09M
8.13%123.61M
-2.32%122.69M
-5.70%114.72M
-3.32%115.30M
6.74%114.31M
26.68%125.61M
16.84%121.65M
17.74%119.26M
6.38%107.09M
15.05%99.15M
30.35%104.12M
28.35%101.29M
31.61%100.67M
10.65%86.18M
153.51%79.88M
181.53%78.91M
210.13%76.49M
284.00%77.88M
75.78%31.51M
61.03%28.03M
--24.66M
--20.28M
--17.93M
--17.41M
Goodwill und andere immaterielle Vermögenswerte
-1.77%1.36B
-0.59%1.36B
0.53%1.37B
3.00%1.38B
3.05%1.39B
0.83%1.37B
-0.16%1.36B
-2.87%1.34B
-3.04%1.35B
-3.15%1.36B
-3.35%1.36B
-2.66%1.38B
-2.33%1.39B
-2.49%1.40B
-2.50%1.41B
-3.19%1.41B
-3.51%1.42B
-3.43%1.44B
-3.51%1.45B
-3.64%1.46B
-3.72%1.47B
-3.87%1.49B
--1.50B
--1.51B
--1.53B
--1.55B
Sonstige langfristige Vermögenswerte
159.06%665.60M
177.21%638.79M
49.22%305.25M
46.27%279.70M
42.66%256.93M
113.09%230.44M
105.18%204.57M
98.83%191.23M
78.04%180.10M
28.01%108.14M
27.22%99.70M
25.32%96.18M
34.19%101.16M
8.75%84.48M
10.17%78.37M
14.02%76.75M
36.40%75.38M
37.68%77.68M
57.82%71.14M
34.18%67.31M
8.41%55.27M
49.68%56.42M
--45.08M
--50.16M
--50.98M
--37.70M
Summe der langfristigen Vermögenswerte
22.37%2.21B
26.12%2.16B
9.85%1.85B
10.91%1.83B
9.55%1.80B
8.19%1.71B
6.99%1.68B
5.22%1.65B
3.41%1.65B
-0.16%1.58B
-1.23%1.57B
-0.33%1.57B
1.08%1.59B
-0.42%1.59B
-0.30%1.59B
-1.80%1.58B
1.08%1.58B
0.96%1.59B
1.13%1.60B
1.23%1.60B
-2.44%1.56B
-1.55%1.58B
--1.58B
--1.59B
--1.60B
--1.60B
Summe der Vermögenswerte
21.41%4.14B
24.54%3.74B
19.68%3.33B
19.45%3.26B
23.30%3.41B
24.25%3.00B
14.87%2.78B
12.21%2.73B
8.82%2.77B
0.67%2.41B
7.98%2.42B
9.78%2.43B
12.64%2.54B
10.67%2.40B
9.08%2.24B
8.17%2.21B
10.23%2.26B
8.96%2.17B
6.38%2.06B
15.28%2.05B
13.00%2.05B
8.07%1.99B
--1.93B
--1.78B
--1.81B
--1.84B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
0.00%-800.00K
93.39%-800.00K
93.39%-800.00K
93.39%-800.00K
94.84%-800.00K
21.94%-12.10M
---12.10M
---12.10M
---15.50M
---15.50M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
----
-100.00%0.00
--0.00
--600.20M
--597.15M
--593.88M
Rückstellungen
8.06%252.50M
23.96%213.13M
42.28%208.82M
8.81%169.90M
24.04%233.68M
11.58%171.93M
12.92%146.78M
36.71%156.15M
33.08%188.38M
32.65%154.08M
23.29%129.98M
15.42%114.21M
61.95%141.56M
56.52%116.15M
56.24%105.42M
98.94%98.95M
19.79%87.41M
9.07%74.21M
31.18%67.47M
18.80%49.74M
19.41%72.97M
14.55%68.04M
--51.44M
--41.87M
--61.11M
--59.40M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
0.00%800.00K
-93.39%800.00K
-93.39%800.00K
-93.39%800.00K
-94.84%800.00K
-21.94%12.10M
--12.10M
--12.10M
--15.50M
--15.50M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
----
-100.00%0.00
--0.00
--0.00
--9.50M
--11.20M
-Kurzfristige Verbindlichkeiten
0.00%800.00K
-93.39%800.00K
-93.39%800.00K
-93.39%800.00K
-94.84%800.00K
-21.94%12.10M
--12.10M
--12.10M
--15.50M
--15.50M
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Aufgeschobene Verbindlichkeiten
10.08%1.09B
7.36%812.89M
18.93%806.17M
19.43%862.08M
21.81%987.95M
16.98%757.14M
20.72%677.84M
16.80%721.82M
17.79%811.06M
14.96%647.26M
21.68%561.47M
27.14%617.97M
35.20%688.55M
32.79%563.04M
32.01%461.44M
37.77%486.07M
32.60%509.27M
20.38%424.00M
19.76%349.54M
25.12%352.80M
40.80%384.06M
46.56%352.21M
--291.86M
--281.98M
--272.77M
--240.32M
Andere kurzfristige Verbindlichkeiten
10.17%1.09B
9.00%812.09M
20.97%805.37M
21.36%861.28M
24.08%987.15M
17.93%745.04M
18.57%665.74M
14.85%709.72M
15.54%795.56M
12.20%631.76M
21.68%561.47M
27.14%617.97M
35.20%688.55M
32.79%563.04M
32.01%461.44M
37.77%486.07M
32.60%509.27M
20.38%424.00M
19.76%349.54M
-60.01%352.80M
-55.85%384.06M
-57.78%352.21M
--291.86M
--882.18M
--869.92M
--834.19M
Summe der kurzfristigen Verbindlichkeiten
9.75%1.38B
9.39%1.05B
22.37%1.05B
16.81%1.05B
21.36%1.26B
15.35%958.59M
20.80%856.37M
20.09%899.95M
19.81%1.04B
16.53%831.02M
19.33%708.91M
25.13%749.38M
33.60%865.60M
29.59%713.15M
31.57%594.09M
35.74%598.87M
32.18%647.91M
22.50%550.30M
18.48%451.54M
-53.00%441.19M
-48.45%490.18M
-50.55%449.23M
--381.09M
--938.63M
--950.90M
--908.46M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
13.65%61.38M
5.54%61.22M
8.59%65.00M
5.36%66.06M
-9.25%54.01M
-2.66%58.00M
-77.77%59.86M
-78.46%62.69M
-81.74%59.52M
-83.28%59.59M
-30.49%269.20M
-28.16%291.11M
-24.21%325.99M
-27.31%356.39M
-25.35%387.28M
-26.24%405.23M
-15.66%430.12M
-9.25%490.26M
-8.96%518.76M
-45.21%549.42M
-49.60%509.99M
-49.38%540.24M
--569.79M
--1.00B
--1.01B
--1.07B
-Langfristige Verbindlichkeiten
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-100.00%0.00
-100.00%0.00
-35.43%214.95M
-32.55%244.43M
-30.11%273.92M
-32.79%303.42M
-30.78%332.91M
-29.00%362.40M
-23.15%391.91M
-16.44%451.43M
-15.59%480.94M
-49.10%510.45M
-49.60%509.99M
-49.38%540.24M
--569.79M
--1.00B
--1.01B
--1.07B
-Langfristige Leasingverbindlichkeiten
13.65%61.38M
5.54%61.22M
8.59%65.00M
5.36%66.06M
-9.25%54.01M
-2.66%58.00M
10.33%59.86M
34.30%62.69M
14.31%59.52M
12.48%59.59M
-0.21%54.26M
9.01%46.68M
36.30%52.07M
36.43%52.98M
43.77%54.37M
9.89%42.82M
--38.20M
--38.83M
--37.82M
--38.97M
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Aufgeschobene Verbindlichkeiten
-18.17%50.99M
42.67%54.94M
63.40%54.88M
81.74%52.18M
81.01%62.31M
49.38%38.51M
98.15%33.59M
75.57%28.71M
33.51%34.42M
-16.68%25.78M
-25.10%16.95M
-51.45%16.35M
-45.72%25.78M
-35.34%30.94M
-49.31%22.63M
-32.06%33.68M
-21.75%47.50M
-39.52%47.85M
-42.49%44.65M
-47.03%49.58M
-34.70%60.71M
-9.63%79.11M
--77.63M
--93.60M
--92.97M
--87.54M
Langfristige aufgelaufene Kosten
32.86%24.45M
-44.74%16.53M
-44.31%16.93M
-36.30%19.57M
-37.00%18.40M
-1.74%29.92M
20.40%30.39M
9.02%30.72M
50.51%29.21M
51.90%30.45M
52.68%25.24M
72.38%28.18M
20.76%19.41M
8.90%20.05M
-9.70%16.53M
-9.48%16.35M
-20.80%16.07M
1.99%18.41M
1.55%18.31M
-87.05%18.06M
-79.37%20.29M
-73.60%18.05M
--18.03M
--139.47M
--98.36M
--68.37M
Andere langfristige Verbindlichkeiten
-18.17%50.99M
42.67%54.94M
63.40%54.88M
81.74%52.18M
81.01%62.31M
49.38%38.51M
98.15%33.59M
75.57%28.71M
33.51%34.42M
-16.68%25.78M
-25.10%16.95M
-51.45%16.35M
-45.72%25.78M
-35.34%30.94M
-49.31%22.63M
-32.06%33.68M
-21.75%47.50M
-39.52%47.85M
-42.49%44.65M
-47.03%49.58M
-34.70%60.71M
-9.63%79.11M
--77.63M
--93.60M
--92.97M
--87.54M
Gesamt langfristige Verbindlichkeiten
1.11%137.24M
5.13%133.25M
11.00%137.80M
13.37%138.80M
9.97%135.74M
9.42%126.75M
-60.13%124.14M
-63.52%122.43M
-66.75%123.44M
-71.65%115.84M
-27.21%311.39M
-26.44%335.64M
-24.95%371.26M
-26.58%408.59M
-26.46%427.80M
-26.06%456.27M
-16.29%494.71M
-13.03%556.51M
-12.58%581.71M
-51.59%617.06M
-52.75%590.99M
-50.30%639.88M
--665.45M
--1.27B
--1.25B
--1.29B
Gesamtverbindlichkeiten
8.91%1.52B
8.89%1.18B
20.93%1.19B
16.40%1.19B
20.15%1.39B
14.63%1.09B
-3.90%980.51M
-5.77%1.02B
-6.18%1.16B
-15.59%946.86M
-0.16%1.02B
2.83%1.09B
8.25%1.24B
1.35%1.12B
-1.10%1.02B
-0.29%1.06B
5.68%1.14B
1.63%1.11B
-1.27%1.03B
-52.18%1.06B
-50.89%1.08B
-50.40%1.09B
--1.05B
--2.21B
--2.20B
--2.20B
Eigenkapital der Aktionäre
Stammkapital
5.39%2.37B
7.03%2.34B
8.57%2.30B
10.23%2.26B
13.04%2.25B
13.31%2.19B
12.80%2.11B
12.14%2.05B
11.02%1.99B
9.48%1.93B
8.79%1.87B
8.52%1.83B
8.40%1.79B
7.98%1.76B
7.07%1.72B
6.13%1.69B
5.08%1.65B
4.61%1.63B
4.02%1.61B
961.26%1.59B
952.70%1.57B
945.57%1.56B
--1.55B
---184.60M
---184.55M
---184.59M
Gewinnrücklagen
243.35%284.93M
203.77%245.62M
58.44%-116.13M
49.20%-160.14M
43.76%-198.76M
45.42%-236.70M
37.73%-279.39M
31.36%-315.20M
23.40%-353.39M
6.19%-433.68M
5.90%-448.71M
8.25%-459.23M
10.21%-461.35M
15.17%-462.28M
15.36%-476.86M
13.83%-500.50M
12.89%-513.80M
14.95%-544.96M
12.31%-563.38M
-157.98%-580.86M
-235.12%-589.82M
-340.65%-640.73M
---642.49M
---225.16M
---176.00M
---145.40M
Kapitalrücklagen
5.39%2.37B
7.03%2.34B
8.58%2.30B
10.23%2.26B
13.04%2.25B
13.31%2.19B
12.80%2.11B
12.14%2.05B
11.03%1.99B
9.48%1.93B
8.79%1.87B
8.52%1.83B
8.40%1.79B
7.98%1.76B
7.07%1.72B
6.13%1.69B
5.08%1.65B
4.61%1.63B
4.02%1.61B
961.11%1.59B
952.55%1.57B
945.42%1.56B
--1.55B
---184.60M
---184.55M
---184.59M
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
2.14%-34.64M
9.26%-33.11M
-6.79%-36.01M
-7.44%-35.72M
-11.22%-35.40M
-23.58%-36.48M
-38.25%-33.72M
-26.85%-33.25M
-19.26%-31.83M
-19.13%-29.52M
4.26%-24.39M
5.96%-26.21M
-1.82%-26.69M
11.57%-24.78M
-9.62%-25.48M
-36.30%-27.87M
-44.77%-26.21M
-33.95%-28.02M
-25.22%-23.24M
26.64%-20.45M
39.06%-18.11M
19.83%-20.92M
---18.56M
---27.87M
---29.71M
---26.10M
Gesamtes Eigenkapital
30.05%2.62B
33.41%2.55B
19.00%2.14B
21.27%2.07B
25.59%2.02B
30.46%1.91B
28.54%1.80B
26.70%1.70B
23.03%1.60B
14.97%1.47B
14.80%1.40B
16.11%1.35B
17.14%1.30B
20.41%1.28B
19.37%1.22B
17.23%1.16B
15.31%1.11B
17.86%1.06B
15.42%1.02B
325.89%988.58M
347.45%965.70M
352.52%899.19M
--886.28M
---437.63M
---390.26M
---356.09M
Währungseinheit
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Prüfungsmeinungen
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