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Cashflow-Statement
Vierteljährlich
Vierteljährlich+Jährlich
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YOY
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FY2024Q4
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FY2019Q1
FY2018Q2
FY2018Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-174.89%
-58.64M
126.63%
185.63M
801.14%
476.79M
-240.89%
-136.27M
-19.91%
78.30M
-57.37%
81.91M
-80.49%
52.91M
266.48%
96.72M
-32.82%
97.77M
-38.08%
192.12M
627.84%
271.14M
17.98%
-58.10M
--
145.53M
--
310.27M
--
-51.37M
--
-70.83M
100.06%
320.83M
-14.57%
-59.01M
--
160.37M
--
-51.51M
Nettoergebnis aus fortgeführten Aktivitäten
-560.90%
-241.45M
-59.25%
-186.31M
-70.24%
199.10M
-937.05%
-303.47M
83.81%
-36.53M
-833.08%
-116.99M
1484.58%
669.01M
-93.00%
36.26M
-1251.32%
-225.68M
-119.71%
-12.54M
108.17%
42.22M
21687.29%
517.67M
--
-16.70M
--
63.61M
--
-516.77M
--
2.38M
77.51%
-62.65M
-23.49%
-152.64M
--
-278.59M
--
-123.61M
Betriebsergebnisse und -verluste
7.02%
198.20M
42.96%
135.52M
57.67%
60.49M
230.40%
220.54M
158.67%
185.21M
47.52%
94.80M
-41.53%
38.36M
1.15%
66.75M
-4.31%
71.60M
-11.26%
64.26M
-10.04%
65.61M
-1.85%
65.99M
--
74.83M
--
72.42M
--
72.93M
--
67.24M
-29.08%
64.84M
-12.24%
78.51M
--
91.43M
--
89.46M
Andere nicht monetäre Posten
428.28%
73.45M
-143.62%
-14.69M
398.94%
16.07M
514.68%
20.89M
-107.63%
-22.37M
-7.08%
33.67M
-82.89%
3.22M
-95.84%
3.40M
-20.47%
293.29M
-86.03%
36.24M
-82.44%
18.82M
457.53%
81.62M
--
368.76M
--
259.43M
--
107.18M
--
14.64M
-26.70%
13.33M
263.49%
15.02M
--
18.19M
--
-9.19M
Veränderung des Umlaufvermögens
-5756.26%
-167.49M
1179.26%
107.94M
261.48%
170.73M
79.46%
-20.05M
-121.81%
-2.86M
203.55%
8.44M
-310.80%
-105.73M
67.40%
-97.62M
105.22%
13.11M
94.77%
-8.15M
124.99%
50.16M
-52.17%
-299.43M
--
-250.99M
--
-155.71M
--
-200.67M
--
-196.77M
57.91%
233.32M
-39.91%
-71.37M
--
147.75M
--
-51.01M
-Änderung der Forderungen
24.42%
115.39M
136.86%
5.64M
-232.14%
-45.68M
-109.78%
-153.93M
336.81%
92.74M
73.22%
-15.29M
140.54%
34.57M
53.28%
-73.38M
139.85%
21.23M
63.51%
-57.11M
-31.15%
-85.27M
-104.52%
-157.05M
--
-53.28M
--
-156.50M
--
-65.02M
--
-76.79M
-179.40%
-11.90M
35.46%
-58.28M
--
14.99M
--
-90.30M
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
-445.77%
-250.95M
1286.34%
173.81M
674.48%
223.69M
560.89%
155.90M
-21.81%
-45.98M
-76.97%
12.54M
-77.93%
28.88M
125.49%
23.59M
-182.28%
-37.75M
-56.63%
54.43M
105.79%
130.87M
-382.12%
-92.55M
--
45.88M
--
125.52M
--
63.59M
--
-19.20M
-110.28%
-5.25M
-688.36%
-80.24M
--
51.13M
--
13.64M
-Änderung bei anderen kurzfristigen Vermögenswerten
74.84%
-39.46M
6873.75%
345.34M
90.39%
-23.20M
-207.58%
-140.71M
-174.58%
-156.84M
-93.49%
4.95M
-15.49%
-241.30M
-201.36%
-45.75M
65.99%
-57.12M
122.58%
76.11M
22.24%
-208.94M
133.33%
45.13M
--
-167.95M
--
-337.15M
--
-268.71M
--
-135.43M
140.46%
39.56M
20.51%
-89.64M
--
-97.76M
--
-112.77M
-Änderung bei anderen kurzfristigen Verbindlichkeiten
-92.98%
7.53M
-6776.89%
-416.84M
-77.91%
15.93M
5789.41%
118.68M
23.59%
107.21M
107.65%
6.24M
-66.22%
72.12M
97.80%
-2.09M
214.69%
86.75M
-138.41%
-81.59M
207.36%
213.50M
-374.12%
-94.97M
--
-75.64M
--
212.42M
--
69.46M
--
34.64M
17.57%
210.92M
13.27%
156.79M
--
179.39M
--
138.42M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-174.89%
-58.64M
126.63%
185.63M
801.14%
476.79M
-240.89%
-136.27M
-19.91%
78.30M
-57.37%
81.91M
-80.49%
52.91M
266.48%
96.72M
-32.82%
97.77M
-38.08%
192.12M
627.84%
271.14M
17.98%
-58.10M
--
145.53M
--
310.27M
--
-51.37M
--
-70.83M
100.06%
320.83M
-14.57%
-59.01M
--
160.37M
--
-51.51M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-79.02%
12.72M
29.00%
49.05M
-22.79%
28.49M
-3.81%
51.79M
15.18%
60.61M
5.84%
38.02M
9.64%
36.90M
147.75%
53.84M
-6.33%
52.62M
160.97%
35.93M
123.30%
33.65M
401.81%
21.73M
--
56.17M
--
13.77M
--
15.07M
--
-7.20M
-33.00%
31.05M
38.60%
38.94M
--
46.35M
--
28.09M
Investitionsausgaben
-26.21%
44.89M
22.91%
54.38M
-26.01%
28.84M
14.07%
62.80M
14.33%
60.83M
13.56%
44.24M
14.78%
38.97M
152.08%
55.05M
-9.55%
53.21M
180.96%
38.96M
90.83%
33.96M
134.51%
21.84M
--
58.83M
--
13.87M
--
17.79M
--
9.31M
-33.00%
31.05M
38.60%
38.94M
--
46.35M
--
28.09M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
-79.02%
12.72M
29.00%
49.05M
-22.79%
28.49M
-3.81%
51.79M
15.18%
60.61M
5.84%
38.02M
9.64%
36.90M
147.75%
53.84M
-6.33%
52.62M
160.97%
35.93M
123.30%
33.65M
401.81%
21.73M
--
56.17M
--
13.77M
--
15.07M
--
-7.20M
-33.00%
31.05M
38.60%
38.94M
--
46.35M
--
28.09M
Netto-Cashflow aus Geschäftstransaktionen
204700.00%
2.05M
-94.29%
1.50M
-100.00%
0.00
100.00%
0.00
-100.01%
-1.00K
103.54%
26.28M
388.04%
1.06B
-100.51%
-2.96M
107.82%
13.91M
-25853.64%
-742.27M
-43.78%
-366.94M
137873.65%
585.54M
--
-177.88M
--
-2.86M
--
-255.21M
--
-425.00K
91.73%
-16.10M
100.00%
0.00
--
-194.75M
--
-237.92M
Netto-Cashflow aus Anlageprodukten
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
-100.00%
0.00
--
0.00
--
120.00M
Netto-Cashflow aus anderen Investitionstätigkeiten
33.17%
1.34M
2068.33%
10.63M
47.09%
556.00K
-27.12%
1.14M
31.07%
1.00M
-11.34%
-540.00K
-74.95%
378.00K
534.07%
1.57M
137.77%
766.00K
-107.65%
-485.00K
-51.45%
1.51M
-120.18%
-361.00K
--
-2.03M
--
6.34M
--
3.11M
--
1.79M
123.82%
1.94M
-87.76%
1.76M
--
-8.14M
--
14.40M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
80.44%
-11.99M
-11.04%
-54.51M
-103.76%
-36.58M
2.53%
-72.25M
-40.89%
-61.27M
93.74%
-49.09M
330.62%
972.27M
-113.61%
-74.12M
82.64%
-43.49M
-2074.42%
-784.20M
-10.89%
-421.58M
7058.20%
544.74M
--
-250.45M
--
-36.06M
--
-380.18M
--
7.61M
175.00%
167.85M
71.71%
-42.45M
--
-223.81M
--
-150.05M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
216.49%
284.62M
136.22%
118.07M
-341.61%
-326.82M
-46.38%
-131.54M
13.28%
-244.34M
-18.37%
-325.95M
-380.98%
-74.01M
-369.42%
-89.86M
-147.82%
-281.74M
-941.36%
-275.37M
-94.46%
26.34M
75.41%
-19.14M
--
589.12M
--
-26.44M
--
475.34M
--
-77.84M
77.33%
-51.39M
-141.56%
-145.10M
--
-226.72M
--
349.16M
Netto-Cashflow aus Schuldenemission/Rückzahlung
2530.71%
443.26M
305.93%
149.44M
1013.85%
53.91M
-14.22%
-25.31M
93.09%
-18.24M
73.53%
-72.57M
76.74%
-5.90M
-52.93%
-22.16M
-142.58%
-264.08M
-1073.62%
-274.13M
95.56%
-25.36M
76.12%
-14.49M
--
620.17M
--
-23.36M
--
-570.81M
--
-60.69M
-167.70%
-27.05M
-92.39%
-25.79M
--
39.96M
--
-13.41M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-100.00%
0.00
103.19%
6.39M
--
0.00
100.00%
0.00
452.58%
5.81M
-28553.30%
-200.00M
--
0.00
78.77%
-1.50M
93.14%
-1.65M
60.00%
-698.00K
-100.00%
0.00
1.53%
-7.07M
--
-24.02M
--
-1.75M
--
1.88B
--
-7.18M
99.74%
-631.00K
-108.91%
-37.78M
--
-245.51M
--
424.11M
Barausschüttungen
3.41%
28.01M
-3.94%
26.33M
--
27.14M
--
27.09M
168.12%
27.09M
4.28%
27.41M
--
--
--
--
2880.24%
10.10M
28161.29%
26.28M
--
--
--
--
--
339.00K
--
93.00K
--
3.57M
--
5.17M
1093.37%
12.06M
165.02%
37.00M
--
1.01M
--
13.96M
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
1097.73%
1.58M
--
--
--
--
--
--
--
132.00K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
458.00K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Netto-Cashflow aus anderen Finanzierungsaktivitäten
40.61%
-6.74M
55.96%
-11.44M
-50.16%
-37.24M
-19.69%
-78.64M
-92.13%
-11.35M
-200.88%
-25.98M
31.46%
-24.80M
-2906.91%
-65.70M
9.11%
-5.91M
1461.61%
25.75M
-6244.14%
-36.19M
54.54%
-2.19M
--
-6.50M
--
-1.89M
--
589.00K
--
-4.81M
42.24%
-11.64M
3.35%
-44.53M
--
-20.16M
--
-46.08M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
216.49%
284.62M
136.22%
118.07M
-341.61%
-326.82M
-46.38%
-131.54M
13.28%
-244.34M
-18.37%
-325.95M
-380.98%
-74.01M
-369.42%
-89.86M
-147.82%
-281.74M
-941.36%
-275.37M
-94.46%
26.34M
75.41%
-19.14M
--
589.12M
--
-26.44M
--
475.34M
--
-77.84M
77.33%
-51.39M
-141.56%
-145.10M
--
-226.72M
--
349.16M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-19.36%
1.33B
-43.38%
1.10B
11.64%
1.10B
38.14%
1.44B
30.30%
1.65B
-9.52%
1.94B
-56.92%
986.26M
-41.66%
1.05B
-1.07%
1.26B
96.41%
2.15B
118.45%
2.29B
50.63%
1.79B
--
1.28B
--
1.09B
--
1.05B
--
1.19B
-38.19%
635.60M
-0.73%
880.94M
--
1.03B
--
887.45M
Änderungen des Cashflows im aktuellen Zeitraum
208.65%
220.94M
177.11%
228.31M
-100.01%
-55.00K
-475.86%
-343.96M
7.14%
-203.35M
66.51%
-296.07M
781.09%
958.14M
-112.03%
-59.73M
-142.58%
-218.99M
-578.81%
-883.93M
-405.67%
-140.68M
449.11%
496.55M
--
514.31M
--
184.61M
--
46.02M
--
-142.23M
199.38%
416.14M
-274.26%
-245.34M
--
-418.74M
--
140.79M
Auswirkungen von Wechselkursänderungen
-282.46%
-14.76M
211.27%
7.29M
-1960.00%
-651.00K
-212.57%
-3.90M
-17.63%
8.09M
52.11%
-6.55M
100.21%
35.00K
987.15%
3.47M
1583.38%
9.82M
-275.22%
-13.69M
-844.97%
-16.58M
127.24%
319.00K
--
-662.00K
--
-3.65M
--
2.23M
--
-1.17M
72.18%
-1.57M
-68.21%
1.23M
--
-5.64M
--
3.88M
Endbestand an Zahlungsmitteln
7.28%
1.55B
-19.36%
1.33B
-43.38%
1.10B
11.64%
1.10B
38.14%
1.44B
30.30%
1.65B
-9.52%
1.94B
-56.92%
986.26M
-41.66%
1.05B
-1.07%
1.26B
96.41%
2.15B
118.45%
2.29B
--
1.79B
--
1.28B
--
1.09B
--
1.05B
72.56%
1.05B
-38.19%
635.60M
--
609.50M
--
1.03B
Freier Cashflow
-692.65%
-103.53M
248.46%
131.25M
3114.32%
447.95M
-577.76%
-199.07M
-60.79%
17.47M
-75.41%
37.67M
-94.12%
13.94M
152.12%
41.67M
-48.61%
44.56M
-48.33%
153.16M
442.94%
237.19M
0.26%
-79.94M
--
86.70M
--
296.40M
--
-69.16M
--
-80.14M
154.14%
289.77M
-23.05%
-97.95M
--
114.02M
--
-79.60M
Währungseinheit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Prüfungsmeinungen
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