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Equity Residential

EQR

66.790USD

-0.290-0.43%
Handelsschluss 07/11, 16:00ETKurse um 15 Minuten verzögert
25.37BMarktkapitalisierung
25.49KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2025Q1
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FY2024Q1
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FY2022Q3
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FY2021Q3
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FY2021Q1
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FY2020Q3
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FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
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FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
1.14%425.86M
2.88%354.23M
-8.98%402.81M
12.54%396.94M
7.06%421.05M
2.83%344.30M
3.07%442.54M
9.26%352.71M
6.85%393.29M
18.11%334.82M
6.78%429.35M
40.31%322.82M
6.36%368.06M
22.27%283.48M
0.46%402.09M
-8.93%230.07M
-9.52%346.06M
-36.10%231.85M
-0.79%400.24M
-36.12%252.63M
2.38%382.45M
16.24%362.80M
12.45%403.41M
21.90%395.49M
3.47%373.55M
3.09%312.10M
-12.77%358.74M
27.13%324.44M
18.75%361.02M
-23.31%302.76M
15.03%411.24M
-6.82%255.21M
50.71%304.02M
31.96%394.80M
-12.24%357.52M
-18.08%273.88M
-45.02%201.72M
-11.10%299.18M
0.07%407.40M
-1.55%334.33M
6.47%366.86M
230.53%336.55M
8.64%407.11M
51.39%339.59M
78.06%344.56M
-44.75%101.82M
35.23%374.75M
-36.01%224.31M
-17.39%193.51M
--184.29M
--277.12M
--350.50M
--234.25M
Nettoergebnis aus fortgeführten Aktivitäten
-13.19%264.80M
34.63%433.87M
-18.08%148.52M
26.71%183.56M
38.61%305.03M
94.90%322.27M
-45.91%181.29M
-37.74%144.86M
198.21%220.07M
-70.52%165.35M
-25.07%335.17M
-29.07%232.68M
22.25%73.80M
113.31%560.98M
369.07%447.33M
20.83%328.04M
-81.85%60.36M
-12.72%262.98M
-65.68%95.36M
-15.51%271.48M
204.48%332.67M
146.19%301.31M
24.12%277.85M
171.34%321.30M
-50.46%109.26M
-5.92%122.39M
55.24%223.85M
-42.00%118.41M
47.09%220.55M
-56.98%130.08M
-33.70%144.20M
-10.61%204.16M
-95.98%149.94M
41.48%302.38M
5.86%217.49M
-23.51%228.40M
1861.81%3.73B
-5.87%213.72M
-11.13%205.46M
153.67%298.62M
129.93%190.22M
95.94%227.04M
-40.98%231.19M
-65.04%117.72M
-92.20%82.73M
-69.86%115.87M
65.75%391.72M
210.88%336.73M
597.28%1.06B
--384.40M
--236.32M
--108.31M
--152.17M
Betriebsergebnisse und -verluste
13.76%256.75M
16.47%264.15M
5.88%237.95M
1.37%224.40M
4.57%225.69M
5.84%226.79M
4.95%224.74M
-1.10%221.35M
-6.14%215.83M
-10.35%214.27M
-0.59%214.13M
11.53%223.81M
15.00%229.96M
18.42%239.01M
7.37%215.40M
-2.57%200.67M
-5.87%199.96M
-6.07%201.83M
-5.14%200.60M
2.73%205.98M
4.02%212.42M
6.45%214.88M
8.27%211.48M
3.92%200.51M
4.03%204.22M
-0.31%201.86M
6.09%195.32M
7.25%192.94M
9.69%196.31M
14.13%202.48M
2.72%184.10M
2.14%179.90M
3.52%178.97M
-2.00%177.41M
-8.58%179.23M
-9.34%176.13M
-11.12%172.88M
-6.24%181.03M
2.93%196.06M
2.18%194.28M
5.05%194.52M
5.37%193.09M
-31.88%190.47M
-42.46%190.14M
-15.85%185.17M
9.05%183.26M
65.61%279.61M
91.01%330.45M
25.66%220.04M
--168.05M
--168.83M
--173.00M
--175.11M
Andere nicht monetäre Posten
14.21%8.65M
32.87%10.53M
2.64%9.23M
-0.22%7.84M
-10.08%7.57M
-9.80%7.93M
-27.23%8.99M
-23.08%7.86M
-18.76%8.42M
-28.40%8.79M
28.21%12.36M
-6.62%10.22M
1.57%10.37M
-76.81%12.27M
-29.74%9.64M
-19.94%10.94M
-33.59%10.21M
117.22%52.93M
62.04%13.72M
-52.84%13.67M
14.73%15.37M
128.84%24.36M
-69.90%8.46M
174.01%28.98M
-60.76%13.40M
-38.85%10.65M
204.01%28.12M
14.15%10.58M
60.46%34.14M
-84.66%17.41M
3.31%9.25M
1.43%9.27M
27.28%21.27M
3494.96%113.49M
-8.64%8.95M
26.40%9.13M
281.45%16.71M
-26.22%3.16M
81.43%9.80M
20.27%7.23M
-14.60%4.38M
103.98%4.28M
195.42%5.40M
197.93%6.01M
-53.65%5.13M
-807.08%-107.60M
-178.22%-5.66M
-175.48%-6.14M
88.57%11.07M
--15.22M
--7.24M
--8.13M
--5.87M
Veränderung des Umlaufvermögens
-51.32%32.45M
18.21%-44.76M
-76.23%12.60M
113.40%4.64M
73.11%66.65M
9.66%-54.73M
-7.29%53.01M
25.76%-34.63M
-15.10%38.50M
-16.40%-60.58M
-34.01%57.18M
33.44%-46.64M
-30.44%45.35M
33.65%-52.05M
2.60%86.65M
30.55%-70.07M
212.83%65.19M
-1718.73%-78.44M
157.20%84.45M
-193.02%-100.90M
-41.21%20.84M
85.13%-4.31M
71.00%32.84M
-601.71%-34.43M
-12.18%35.45M
25.12%-29.01M
-77.34%19.20M
91.68%-4.91M
155153.85%40.37M
-20.56%-38.74M
121.94%84.75M
-45.89%-58.94M
-99.35%26.00K
56.86%-32.14M
5.17%38.19M
-72.43%-40.40M
-85.48%4.00M
-159.15%-74.49M
-52.48%36.31M
29.60%-23.43M
-43.37%27.53M
39.32%-28.75M
6.48%76.40M
36.65%-33.28M
11.92%48.61M
67.70%-47.37M
299.00%71.76M
-142.33%-52.53M
73.74%43.44M
---146.68M
---36.06M
--124.10M
--25.00M
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
-5.49%51.31M
-9.11%-68.11M
14.53%52.58M
-78.14%-35.51M
19.69%54.29M
18.44%-62.42M
-14.44%45.91M
37.59%-19.93M
-16.86%45.36M
-42.30%-76.54M
-14.36%53.66M
39.28%-31.94M
-7.72%54.55M
0.29%-53.79M
29.28%62.66M
7.09%-52.60M
-5.52%59.12M
-2.36%-53.95M
36.95%48.46M
-36.91%-56.62M
-1.91%62.57M
13.05%-52.71M
6.08%35.39M
-75.22%-41.35M
30.19%63.79M
-18.62%-60.62M
-12.51%33.36M
-31.34%-23.60M
15.36%49.00M
-7.74%-51.10M
13.71%38.13M
28.49%-17.97M
28.84%42.47M
27.09%-47.43M
-18.28%33.53M
-8.77%-25.13M
-27.47%32.96M
-11.14%-65.05M
9.78%41.03M
-41.61%-23.10M
-17.76%45.45M
0.40%-58.53M
-4.26%37.38M
24.28%-16.31M
16.35%55.26M
15.53%-58.77M
23.23%39.05M
-270.01%-21.54M
14.13%47.50M
---69.58M
--31.68M
---5.82M
--41.62M
-Änderung bei anderen kurzfristigen Vermögenswerten
11.73%25.41M
21.39%-17.36M
-198.41%-24.75M
119.13%7.56M
-13.41%22.74M
-124.47%-22.09M
10.14%25.14M
-22.45%-39.52M
-12.98%26.26M
5.04%-9.84M
10.12%22.83M
-28.01%-32.27M
45.44%30.17M
54.60%-10.36M
-33.61%20.73M
41.43%-25.21M
212.84%20.75M
-184.07%-22.82M
238.90%31.23M
-370.07%-43.04M
-28.35%-18.39M
19.88%27.15M
-18.53%-22.48M
0.77%15.94M
6.96%-14.32M
0.32%22.65M
-212.76%-18.97M
154.93%15.81M
-39.22%-15.40M
-16.07%22.57M
170.79%16.82M
-310.39%-28.79M
-145.06%-11.06M
264.27%26.90M
-14.70%-23.76M
1768.54%13.68M
657.42%24.54M
-189.89%-16.38M
-263.81%-20.72M
97.07%-820.00K
-123.71%-4.40M
828.93%18.22M
-54.61%12.65M
19.53%-27.95M
-0.18%18.57M
65.17%-2.50M
240.30%27.86M
-1.99%-34.73M
113.54%18.60M
---7.17M
--8.19M
---34.05M
--8.71M
-Änderung bei anderen kurzfristigen Verbindlichkeiten
-398.65%-19.86M
46.50%17.67M
88.57%2.06M
92.49%16.72M
140.94%6.65M
27.00%12.06M
158.02%1.09M
63.17%8.68M
37.13%-16.24M
2379.90%9.50M
-96.79%424.00K
2263.41%5.32M
-661.54%-25.84M
128.52%383.00K
84.99%13.20M
89.43%-246.00K
84.44%-3.39M
-104.69%-1.34M
-34.85%7.14M
-258.04%-2.33M
12.33%-21.80M
85.04%28.62M
1215.48%10.95M
-84.15%1.47M
-402.02%-24.86M
239.16%15.47M
-116.91%-982.00K
-30.50%9.29M
88.95%-4.95M
246.70%4.56M
-66.13%5.81M
175.43%13.37M
-18.92%-44.82M
-139.87%-3.11M
0.65%17.15M
-798.94%-17.73M
-335.96%-37.69M
-8.32%7.80M
-6.86%17.04M
-118.38%-1.97M
65.49%-8.65M
-59.39%8.51M
225.11%18.29M
73.74%10.73M
-5.68%-25.05M
131.13%20.94M
107.80%5.63M
-96.16%6.18M
-41.98%-23.70M
---67.28M
---72.11M
--160.76M
---16.70M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
1.14%425.86M
2.88%354.23M
-8.98%402.81M
12.54%396.94M
7.06%421.05M
2.83%344.30M
3.07%442.54M
9.26%352.71M
6.85%393.29M
18.11%334.82M
6.78%429.35M
40.31%322.82M
6.36%368.06M
22.27%283.48M
0.46%402.09M
-8.93%230.07M
-9.52%346.06M
-36.10%231.85M
-0.79%400.24M
-36.12%252.63M
2.38%382.45M
16.24%362.80M
12.45%403.41M
21.90%395.49M
3.47%373.55M
3.09%312.10M
-12.77%358.74M
27.13%324.44M
18.75%361.02M
-23.31%302.76M
15.03%411.24M
-6.82%255.21M
50.71%304.02M
31.96%394.80M
-12.24%357.52M
-18.08%273.88M
-45.02%201.72M
-11.10%299.18M
0.07%407.40M
-1.55%334.33M
6.47%366.86M
230.53%336.55M
8.64%407.11M
51.39%339.59M
78.06%344.56M
-44.75%101.82M
35.23%374.75M
-36.01%224.31M
-17.39%193.51M
--184.29M
--277.12M
--350.50M
--234.25M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
9.57%-132.89M
-187.20%-213.41M
611.20%1.34B
-69.76%89.81M
-140.36%-146.95M
-168.39%-74.31M
149.78%188.31M
268.12%297.00M
-135.23%-61.14M
47.29%108.65M
-269.95%-378.33M
-561.09%-176.66M
84.90%173.56M
129.61%73.77M
52.40%222.61M
91.16%-26.72M
134.35%93.87M
-324.40%-249.15M
-49.00%146.07M
-412.93%-302.28M
-180.55%-273.30M
6.16%111.03M
57.99%286.40M
-57.99%96.60M
323.54%339.30M
40.03%104.59M
-60.76%181.27M
717.96%229.93M
-341.65%-151.78M
194.16%74.69M
567.51%462.01M
-139.58%-37.21M
101.05%62.81M
-123.20%-79.32M
-56.54%69.21M
-19.49%94.01M
-12353.62%-5.96B
1344.93%341.93M
2.79%159.26M
-50.99%116.77M
-83.97%48.62M
-163.20%-27.47M
129.34%154.94M
141.12%238.27M
110.60%303.23M
116.98%43.46M
-1083.35%-528.15M
-298.56%-579.44M
-6166.62%-2.86B
---255.88M
--53.71M
--291.82M
--47.17M
Investitionsausgaben
-6.50%93.86M
257.56%386.13M
456.65%1.37B
-41.89%172.60M
37.93%100.38M
-0.61%107.99M
186.01%246.12M
274.70%297.00M
-58.07%72.78M
-85.84%108.65M
-89.63%86.05M
-79.15%79.27M
84.90%173.56M
554.48%767.18M
468.22%830.01M
394.06%380.20M
-1.26%93.87M
-75.73%117.22M
-75.06%146.07M
-84.30%76.95M
-71.98%95.06M
361.80%483.00M
-0.00%585.61M
110.83%490.04M
155.33%339.30M
-4.29%104.59M
13.78%585.63M
29.11%232.43M
-6.99%132.88M
-32.22%109.27M
116.12%514.71M
-12.31%180.03M
-58.70%142.88M
-58.58%161.21M
0.53%238.16M
-41.96%205.29M
80.60%345.95M
43.80%389.18M
-28.46%236.90M
23.40%353.70M
-36.83%191.55M
68.94%270.64M
132.27%331.12M
25.07%286.63M
223.36%303.23M
-12.56%160.20M
-56.91%142.56M
-45.51%229.16M
-62.71%93.77M
--183.21M
--330.82M
--420.56M
--251.44M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
8.50%-225.81M
-228.94%-598.35M
47.60%-30.07M
-18702.03%-82.41M
-85.12%-246.80M
-10105.83%-181.91M
87.61%-57.39M
100.17%443.00K
-13829.76%-133.32M
100.26%1.82M
23.73%-463.13M
37.04%-255.91M
64.86%971.00K
-89.56%-692.97M
-16274.67%-607.20M
-10.39%-406.47M
100.16%589.00K
0.97%-365.56M
101.26%3.75M
6.30%-368.22M
-35841.45%-363.85M
-27444.74%-369.15M
25.98%-298.54M
-25270.63%-392.99M
100.36%1.02M
103.99%1.35M
-667.10%-403.34M
99.29%-1.55M
-255.35%-283.48M
85.85%-33.85M
68.65%-52.58M
-98.56%-216.87M
98.73%-79.78M
-424.23%-239.27M
-117.26%-167.74M
53.61%-109.22M
-4324.13%-6.30B
84.54%-45.64M
56.02%-77.21M
-404.17%-235.45M
-89698.74%-142.46M
-154.61%-295.27M
73.80%-175.55M
94.22%-46.70M
100.01%159.00K
73.46%-115.97M
-143.61%-670.15M
-539.68%-807.74M
-1361.80%-2.95B
---436.99M
---275.10M
---126.27M
---202.04M
Netto-Cashflow aus Geschäftstransaktionen
----
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---39.52M
----
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----
----
-69.48%-52.85M
61.84%162.72M
-46.85%-193.53M
----
-23173.13%-31.19M
1145.08%100.54M
-1121.29%-131.79M
389.78%12.16M
-100.16%-134.00K
3580.60%8.07M
100.32%12.90M
96.76%-4.20M
13.58%82.02M
98.24%-232.00K
-14508.35%-4.00B
---129.66M
--72.22M
---13.15M
---27.39M
Netto-Cashflow aus Anlageprodukten
--359.00K
8326.67%7.58M
-100.00%0.00
398.28%7.46M
-100.00%0.00
108.86%90.00K
1698.56%2.50M
-9900.00%-2.50M
-81.36%452.00K
-103.20%-1.02M
116.43%139.00K
-100.05%-25.00K
109.21%2.42M
-89.39%-500.00K
---846.00K
10097.64%50.79M
-2633400.00%-26.34M
---264.00K
--0.00
-2722.22%-508.00K
99.60%-1.00K
--0.00
--0.00
---18.00K
---251.00K
----
----
----
----
--1.00K
----
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----
-100.00%0.00
--4.29M
17237.98%67.10M
--1.43M
--2.15M
-100.00%0.00
975.00%387.00K
-100.00%0.00
-100.00%0.00
-93.12%57.00K
--36.00K
-99.98%21.00K
--4.05M
--828.00K
----
--101.67M
----
--0.00
----
----
Netto-Cashflow aus anderen Investitionstätigkeiten
-24.51%-3.92M
-474.55%-3.79M
-46.27%-3.80M
-4.41%-3.74M
7.16%-3.15M
77.43%-660.00K
-35.84%-2.60M
-186.88%-3.59M
-233.63%-3.39M
18.03%-2.92M
54.31%-1.91M
71.64%-1.25M
73.02%-1.02M
-8.58%-3.57M
-50.79%-4.19M
-94.31%-4.41M
-105.51%-3.77M
-57.71%-3.29M
-30.91%-2.78M
-53.55%-2.27M
-52.58%-1.83M
-21.60%-2.08M
-31.80%-2.12M
-18.25%-1.48M
28.79%-1.20M
-221.06%-1.71M
75.37%-1.61M
85.11%-1.25M
79.51%-1.69M
-98.09%1.42M
50.99%-6.54M
41.30%-8.39M
41.37%-8.24M
51.41%73.90M
14.49%-13.34M
6.52%-14.29M
8.60%-14.05M
190.89%48.80M
-17.26%-15.60M
-34.16%-15.29M
-19.32%-15.37M
-280.71%-53.70M
-27.84%-13.30M
75.64%-11.39M
-226.98%-12.88M
-104.90%-14.11M
-64.55%-10.41M
-1488.86%-46.78M
19.80%-3.94M
---6.88M
---6.32M
---2.94M
---4.91M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-28.66%97.01M
218.12%187.13M
-591.43%-1.36B
56.08%-138.36M
211.07%135.99M
143.31%58.82M
-168.27%-197.08M
-307.65%-315.01M
122.19%43.72M
-7.34%-135.84M
213.55%288.67M
113.69%151.70M
-55.95%-197.05M
-151.34%-126.54M
-69.61%-254.23M
-76.28%70.99M
-147.50%-126.35M
316.90%246.49M
48.14%-149.89M
398.20%299.34M
176.65%266.01M
-5.21%-113.64M
-56.53%-289.02M
56.63%-100.38M
-335.60%-347.04M
4.84%-108.01M
60.83%-184.64M
-925.66%-231.47M
302.46%147.30M
-174.78%-113.50M
-254.12%-471.38M
-76.75%28.04M
-101.27%-72.75M
152.16%151.78M
40.64%-133.12M
459.90%120.58M
3001.70%5.75B
-1805.20%-291.00M
-29.38%-224.26M
86.32%-33.51M
35.95%-198.19M
76.43%-15.27M
-129.14%-173.34M
-151.11%-244.85M
70.29%-309.44M
-154.25%-64.81M
4784.36%594.91M
254.06%479.02M
-1172.31%-1.04B
--119.47M
--12.18M
---310.94M
---81.86M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-8.20%-541.49M
-30.24%-507.75M
489.50%947.98M
-139.68%-316.71M
-40.94%-500.47M
-112.71%-389.86M
65.97%-243.38M
71.74%-132.14M
15.37%-355.09M
-681.47%-183.28M
-128.06%-715.21M
-7209.19%-467.57M
-89.33%-419.56M
96.18%-23.45M
-20.31%-313.61M
98.57%-6.40M
64.53%-221.60M
-183.19%-613.83M
23.16%-260.67M
-465.04%-447.21M
-1166.68%-624.69M
-22.79%-216.76M
-94.73%-339.25M
19.89%-79.15M
90.41%-49.32M
36.26%-176.53M
-9.72%-174.22M
36.81%-98.80M
-94.74%-514.37M
71.09%-276.94M
22.41%-158.79M
40.93%-156.35M
95.31%-264.13M
-8754.02%-957.92M
13.96%-204.66M
-2.53%-264.67M
-3431.46%-5.63B
96.54%-10.82M
14.56%-237.88M
-362.51%-258.13M
-209.69%-159.34M
67.30%-312.68M
-86.28%-278.42M
90.80%-55.81M
-117.65%-51.45M
-463.30%-956.24M
48.15%-149.46M
-182.77%-606.85M
192.07%291.56M
--263.21M
---288.26M
---214.61M
---316.67M
Netto-Cashflow aus Schuldenemission/Rückzahlung
-51.34%-278.35M
-168.89%-247.30M
20686.92%1.21B
-143.60%-55.76M
-57.78%-183.93M
-22.00%-91.97M
98.76%-5.88M
165.19%127.88M
36.79%-116.57M
-139.00%-75.39M
-360.76%-473.36M
-193.27%-196.17M
-1851.11%-184.42M
154.30%193.31M
-267.11%-102.73M
199.67%210.33M
97.68%-9.45M
-5296.82%-356.03M
78.11%-27.98M
-229.34%-211.02M
-407.99%-407.05M
221.13%6.85M
-531.94%-127.83M
48.40%163.15M
144.68%132.16M
82.86%-5.66M
-10.72%29.59M
244.57%109.94M
-400.91%-295.79M
-590.95%-33.00M
359.65%33.15M
140.77%31.91M
97.51%-59.05M
-96.14%6.72M
58.07%-12.77M
-165.80%-78.25M
-20754.49%-2.37B
221.68%174.13M
74.54%-30.45M
-121.76%-29.44M
-93.55%11.50M
93.07%-143.11M
-1287.99%-119.60M
132.49%135.28M
-67.99%178.32M
-166.10%-2.06B
92.41%-8.62M
-249.14%-416.42M
282.26%557.10M
---775.48M
---113.48M
---119.27M
---305.67M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
100.00%0.00
100.00%0.00
--0.00
--0.00
---38.47M
-135.17%-49.10M
----
----
----
--139.62M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
100.00%0.00
----
--0.00
--0.00
---1.78M
-100.00%0.00
-100.00%0.00
--0.00
-100.00%0.00
--1.20B
--68.69M
--0.00
--152.06M
Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
100.00%0.00
--0.00
--0.00
--0.00
---21.57M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
100.00%0.00
--0.00
--0.00
100.00%0.00
---697.00K
--0.00
--0.00
---12.61M
----
----
--0.00
--0.00
100.00%0.00
100.00%0.00
----
----
---2.00K
---150.02M
----
----
Barausschüttungen
1.77%256.76M
1.62%256.42M
2.19%256.59M
1.76%256.13M
5.96%252.30M
7.33%252.34M
6.47%251.10M
6.77%251.70M
4.70%238.10M
3.70%235.10M
4.21%235.85M
4.57%235.74M
1.04%227.41M
0.74%226.71M
0.58%226.32M
0.22%225.45M
6.16%225.08M
6.41%225.04M
6.14%225.01M
6.63%224.96M
6.14%212.01M
5.49%211.49M
6.19%211.99M
5.69%210.97M
7.24%199.75M
7.86%200.48M
7.90%199.64M
7.48%199.60M
0.22%186.26M
-85.49%185.88M
0.06%185.02M
0.48%185.72M
-94.05%185.85M
534.17%1.28B
-8.44%184.91M
-8.44%184.82M
1613.35%3.12B
10.90%201.98M
11.11%201.96M
11.16%201.87M
-22.53%182.30M
25.45%182.13M
24.33%181.76M
25.19%181.60M
-5.62%235.32M
39.32%145.18M
37.95%146.19M
38.31%145.05M
45.11%249.33M
--104.20M
--105.97M
--104.87M
--171.82M
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
-12.29%5.30M
-51.26%6.38M
1823.84%11.22M
-26.39%2.88M
-36.79%6.04M
164.54%13.08M
-80.53%583.00K
-34.62%3.92M
-37.54%9.56M
-71.65%4.95M
-90.01%3.00M
-66.10%5.99M
-37.78%15.31M
868.80%17.45M
2203.77%29.97M
964.24%17.68M
104.77%24.61M
-84.36%1.80M
-93.24%1.30M
-91.33%1.66M
-61.21%12.02M
-54.78%11.51M
350.19%19.25M
1162.56%19.15M
844.41%30.99M
31.17%25.46M
-24.67%4.28M
-72.61%1.52M
-30.43%3.28M
98.02%19.41M
265.49%5.68M
-14.73%5.54M
-78.24%4.72M
-58.27%9.80M
-59.44%1.55M
164.67%6.50M
-36.53%21.67M
-11.97%23.49M
-87.80%3.83M
-76.35%2.45M
94.80%34.14M
1530.99%26.68M
1033.22%31.38M
41.94%10.38M
96.11%17.53M
-39.70%1.64M
-82.61%2.77M
-42.23%7.31M
-61.39%8.94M
--2.71M
--15.92M
--12.66M
--23.15M
Netto-Cashflow aus anderen Finanzierungsaktivitäten
-11.45%-11.68M
22.30%-7.40M
-231.80%-17.15M
6.87%-7.93M
-5.07%-10.48M
45.10%-9.53M
244.71%13.02M
11.61%-8.52M
57.51%-9.98M
-95.01%-17.36M
38.07%-8.99M
-7.62%-9.63M
-101.07%-23.48M
74.24%-8.90M
-60.54%-14.52M
30.57%-8.95M
35.13%-11.68M
-31.01%-34.55M
51.57%-9.05M
76.58%-12.89M
-41.59%-18.00M
-733.21%-26.37M
-121.08%-18.68M
-417.29%-55.07M
64.41%-12.72M
105.38%4.17M
32.91%-8.45M
-31.72%-10.65M
-48.43%-35.73M
-125.28%-77.47M
-47.49%-12.59M
0.11%-8.08M
84.00%-24.07M
5415.65%306.45M
8.15%-8.54M
72.37%-8.09M
-1394.85%-150.44M
59.17%-5.76M
-10.13%-9.30M
-47.38%-29.28M
36.66%-10.06M
-101.14%-14.12M
-287.96%-8.44M
64.62%-19.87M
44.16%-15.89M
2216.47%1.23B
66.31%-2.18M
-993.92%-56.16M
-85.74%-28.45M
---58.34M
---6.46M
---5.13M
---15.32M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-8.20%-541.49M
-30.24%-507.75M
489.50%947.98M
-139.68%-316.71M
-40.94%-500.47M
-112.71%-389.86M
65.97%-243.38M
71.74%-132.14M
15.37%-355.09M
-681.47%-183.28M
-128.06%-715.21M
-7209.19%-467.57M
-89.33%-419.56M
96.18%-23.45M
-20.31%-313.61M
98.57%-6.40M
64.53%-221.60M
-183.19%-613.83M
23.16%-260.67M
-465.04%-447.21M
-1166.68%-624.69M
-22.79%-216.76M
-94.73%-339.25M
19.89%-79.15M
90.41%-49.32M
36.26%-176.53M
-9.72%-174.22M
36.81%-98.80M
-94.74%-514.37M
71.09%-276.94M
22.41%-158.79M
40.93%-156.35M
95.31%-264.13M
-8754.02%-957.92M
13.96%-204.66M
-2.53%-264.67M
-3431.46%-5.63B
96.54%-10.82M
14.56%-237.88M
-362.51%-258.13M
-209.69%-159.34M
67.30%-312.68M
-86.28%-278.42M
90.80%-55.81M
-117.65%-51.45M
-463.30%-956.24M
48.15%-149.46M
-182.77%-606.85M
192.07%291.56M
--263.21M
---288.26M
---214.61M
---316.67M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
14.41%160.17M
-0.13%126.56M
11.05%138.42M
-10.28%196.56M
2.06%140.00M
4.33%126.73M
5.05%124.64M
96.14%219.09M
-61.92%137.17M
-46.43%121.47M
-69.77%118.65M
14.17%111.70M
261.22%360.24M
-3.60%226.75M
59.86%392.50M
-30.50%97.84M
-14.76%99.73M
178.04%235.21M
-20.66%245.53M
50.55%140.77M
0.59%117.00M
-4.68%84.60M
248.20%309.47M
-1.27%93.51M
15.43%116.31M
-52.90%88.75M
-71.62%88.88M
-49.14%94.71M
-54.01%100.76M
-70.11%188.45M
-37.11%313.11M
-49.40%186.22M
418.23%219.09M
299.63%630.42M
440.49%497.84M
644.77%368.05M
5.48%42.28M
401.16%157.75M
20.99%92.11M
32.81%49.42M
-25.13%40.08M
-96.76%31.48M
-50.10%76.13M
-33.66%37.21M
-91.26%53.53M
2032.17%972.76M
242.19%152.56M
-74.46%56.09M
59.56%612.59M
--45.62M
--44.59M
--219.63M
--383.92M
Änderungen des Cashflows im aktuellen Zeitraum
-132.92%-18.62M
153.29%33.61M
-668.92%-11.86M
38.44%-58.14M
-30.95%56.56M
-15.52%13.27M
-25.96%2.08M
-1458.70%-94.44M
132.96%81.91M
-88.23%15.71M
101.70%2.82M
-97.64%6.95M
-13036.15%-248.54M
198.52%133.49M
-1506.28%-165.75M
181.27%294.67M
-107.96%-1.89M
-518.13%-135.49M
95.41%-10.32M
-51.49%104.76M
204.23%23.77M
17.56%32.40M
-176964.57%-224.87M
3801.78%215.96M
-276.91%-22.81M
131.43%27.56M
99.94%-127.00K
-104.60%-5.83M
81.59%-6.05M
78.68%-87.68M
-1208.93%-218.94M
-2.24%126.89M
-110.09%-32.87M
-15486.85%-411.34M
136.06%19.74M
204.03%129.79M
3388.68%325.77M
-130.68%-2.64M
-22.59%-54.74M
9.68%42.69M
157.20%9.34M
100.94%8.60M
-105.44%-44.65M
-59.66%38.92M
97.07%-16.32M
-262.13%-919.23M
78917.05%820.20M
155.12%96.48M
-238.73%-556.50M
--566.97M
--1.04M
---175.04M
---164.29M
Endbestand an Zahlungsmitteln
-27.99%141.54M
14.41%160.17M
-0.13%126.56M
11.05%138.42M
-10.28%196.56M
2.06%140.00M
4.33%126.73M
5.05%124.64M
96.14%219.09M
-61.92%137.17M
-46.43%121.47M
-69.77%118.65M
14.17%111.70M
261.22%360.24M
-3.60%226.75M
59.86%392.50M
-30.50%97.84M
-14.76%99.73M
178.04%235.21M
-20.66%245.53M
50.55%140.77M
0.59%117.00M
-4.68%84.60M
248.20%309.47M
-1.27%93.51M
15.43%116.31M
-5.76%88.75M
-71.62%88.88M
-49.14%94.71M
-54.01%100.76M
-81.80%94.18M
-37.11%313.11M
-49.40%186.22M
41.24%219.09M
1285.18%517.59M
440.49%497.84M
644.77%368.05M
287.01%155.12M
18.71%37.37M
20.99%92.11M
32.81%49.42M
-25.13%40.08M
-96.76%31.48M
-50.10%76.13M
-33.66%37.21M
-91.26%53.53M
2032.17%972.76M
242.19%152.56M
-74.46%56.09M
--612.59M
--45.62M
--44.59M
--219.63M
Freier Cashflow
3.53%332.00M
-113.50%-31.91M
-592.39%-967.20M
302.70%224.33M
0.05%320.67M
4.49%236.31M
-42.78%196.43M
-77.13%55.71M
64.78%320.51M
146.76%226.17M
180.22%343.30M
262.23%243.55M
-22.87%194.51M
-521.98%-483.70M
-268.37%-427.93M
-185.45%-150.13M
-12.25%252.19M
195.37%114.63M
239.49%254.16M
285.82%175.68M
739.24%287.39M
-157.92%-120.20M
19.69%-182.21M
-202.76%-94.55M
-84.99%34.24M
7.25%207.51M
-119.27%-226.89M
22.38%92.01M
41.57%228.13M
-17.17%193.49M
-186.69%-103.47M
9.61%75.18M
211.72%161.14M
359.54%233.59M
-29.99%119.36M
454.07%68.59M
-182.27%-144.23M
-236.55%-90.00M
124.38%170.50M
-136.58%-19.37M
324.10%175.31M
212.90%65.91M
-67.27%75.98M
1189.67%52.96M
-58.56%41.34M
-5505.46%-58.38M
532.34%232.19M
93.06%-4.86M
679.99%99.74M
--1.08M
---53.70M
---70.06M
---17.20M
Währungseinheit
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