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Ero Copper Corp

ERO

14.450USD

+0.190+1.33%
Trading geöffnet ETKurse um 15 Minuten verzögert
1.50BMarktkapitalisierung
79.22KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2025Q1
FY2024Q4
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FY2024Q1
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FY2022Q3
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FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q3
FY2016Q2
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
1150.34%48.51M
18.67%58.01M
33.69%38.03M
-75.85%13.33M
25.40%3.88M
45.03%48.88M
-0.25%28.45M
146.50%55.22M
-92.87%3.09M
-49.30%33.70M
-80.99%28.52M
-73.24%22.40M
-27.93%43.38M
77.70%66.48M
271.73%150.05M
103.00%83.70M
70.11%60.19M
11.86%37.41M
48.68%40.37M
18.71%41.23M
58.93%35.38M
1.92%33.45M
-3.62%27.15M
60.25%34.73M
1752.25%22.26M
210.16%32.81M
348.35%28.17M
538.25%21.68M
154.79%1.20M
--10.58M
31515.00%6.28M
3244.44%3.40M
---2.19M
---20.00K
---108.00K
Nettoergebnis aus fortgeführten Aktivitäten
1280.48%80.63M
-232.05%-48.93M
1371.61%41.37M
-278.35%-53.40M
-127.88%-6.83M
64.88%37.05M
-29.71%2.81M
24.18%29.94M
-53.32%24.50M
-62.68%22.47M
-84.84%4.00M
-71.29%24.11M
63.73%52.49M
-9.24%60.21M
-16.09%26.38M
989.50%83.98M
160.49%32.06M
46.10%66.34M
92.82%31.44M
-49.48%7.71M
-442.28%-52.99M
140.06%45.41M
210.67%16.31M
183.79%15.26M
1279.21%15.48M
17.24%18.92M
-71.91%5.25M
-63.88%-18.21M
75.93%-1.31M
--16.14M
8018.64%18.69M
-10283.18%-11.11M
---5.45M
---236.00K
---107.00K
Betriebsergebnisse und -verluste
-20.07%18.62M
-15.52%21.10M
3.39%22.02M
63.24%33.04M
41.14%23.30M
52.68%24.98M
44.47%21.30M
23.70%20.24M
43.48%16.51M
20.78%16.36M
20.52%14.74M
64.85%16.36M
-0.71%11.50M
25.10%13.55M
15.71%12.23M
6.62%9.93M
10.54%11.59M
-18.09%10.83M
-10.39%10.57M
-23.46%9.31M
-15.93%10.48M
-44.02%13.22M
29.19%11.80M
-18.07%12.16M
15.05%12.47M
118.87%23.61M
-3.76%9.13M
78.59%14.84M
133.43%10.84M
--10.79M
--9.49M
--8.31M
--4.64M
--0.00
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Andere nicht monetäre Posten
-552.40%-58.26M
441.78%94.84M
-385.98%-25.84M
354.86%61.47M
266.90%12.88M
-262.86%-27.75M
211.45%9.04M
-674.32%-24.12M
58.35%-7.72M
-56.41%-7.65M
-106.89%-8.11M
89.99%-3.12M
-165.69%-18.53M
86.60%-4.89M
1444.33%117.60M
-292.16%-31.12M
-65.54%28.20M
-640.35%-36.48M
164.31%7.62M
2678.98%16.20M
24555.12%81.86M
43.24%-4.93M
-362.72%-11.84M
-102.22%-628.00K
146.63%332.00K
40.41%-8.68M
167.77%4.51M
59.84%28.32M
84.23%-712.00K
---14.57M
-665100.00%-6.65M
1771700.00%17.72M
---4.52M
--1.00K
---1.00K
Veränderung des Umlaufvermögens
137.16%7.23M
686.41%12.10M
60.04%5.48M
-265.10%-23.80M
29.84%-19.47M
110.26%1.54M
-87.32%3.43M
170.72%14.41M
-186.48%-27.75M
-3782.64%-14.99M
382.51%27.03M
-275.49%-20.38M
42.20%-9.69M
96.38%-386.00K
12.77%-9.57M
132.63%11.62M
-336.22%-16.76M
-300.75%-10.65M
-318.97%-10.97M
5.67%4.99M
146.72%7.09M
158.34%5.31M
-52.79%5.01M
1975.00%4.72M
-45.84%-15.19M
-3371.37%-9.10M
341.19%10.61M
98.38%-252.00K
-278.52%-10.41M
---262.00K
-2146.05%-4.40M
---15.55M
---2.75M
--215.00K
--0.00
-Änderung der Forderungen
-1393.11%-45.06M
-77.25%1.37M
-28.88%-4.11M
-165.09%-8.22M
64.67%-3.02M
185.24%6.01M
-119.54%-3.19M
166.74%12.64M
-209.50%-8.54M
-108.79%-7.05M
297.93%16.32M
-262.78%-18.93M
164.01%7.80M
41.30%-3.38M
37.89%-8.24M
11969.39%11.63M
-307.93%-12.19M
-1503.90%-5.76M
-1493.52%-13.27M
-100.85%-98.00K
149.26%5.86M
108.18%410.00K
-120.06%-833.00K
377.68%11.57M
-961.77%-11.90M
-382.80%-5.01M
307.19%4.15M
-106.95%-4.17M
3311.63%1.38M
--1.77M
-200300.00%-2.00M
---2.01M
---43.00K
---1.00K
--0.00
-Änderung des Inventars
-320.67%-8.01M
-1306.69%-5.05M
-1028.20%-8.26M
36.58%-2.90M
397.22%3.63M
-124.16%-359.00K
174.79%890.00K
-1274.10%-4.58M
49.02%-1.22M
153.01%1.49M
-404.35%-1.19M
132.50%390.00K
-286.09%-2.40M
-255.71%-2.80M
166.16%391.00K
60.58%-1.20M
166.44%1.29M
45.88%-788.00K
47.37%-591.00K
-189.74%-3.04M
71.34%-1.94M
-211.74%-1.46M
66.11%-1.12M
289.89%3.39M
-19.46%-6.76M
4103.23%1.30M
-280.92%-3.31M
-64.05%870.00K
-42.09%-5.66M
--31.00K
---870.00K
--2.42M
---3.98M
--0.00
--0.00
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
182.31%11.98M
35.78%-3.25M
87.99%22.58M
-191.20%-8.91M
3.33%-14.55M
8.47%-5.06M
-30.47%12.01M
471.96%9.78M
10.00%-15.05M
-140.33%-5.53M
192.30%17.27M
-201.86%-2.63M
-41.42%-16.73M
229.33%13.70M
1443.08%5.91M
-65.07%2.58M
-1017.96%-11.83M
-188.37%-10.60M
-93.69%383.00K
473.79%7.39M
76.39%-1.06M
281.85%11.99M
28.66%6.07M
-128.90%-1.98M
-13.30%-4.48M
-195.96%-6.59M
-51.11%4.72M
170.56%6.84M
-11732.35%-3.96M
---2.23M
4367.59%9.65M
---9.69M
--34.00K
--216.00K
--0.00
-Änderung bei anderen kurzfristigen Vermögenswerten
74.76%-1.67M
-22.93%726.00K
-26.87%-7.97M
-9.89%-3.75M
-126.12%-6.63M
124.21%942.00K
-16.97%-6.29M
-533.08%-3.42M
-279.61%-2.93M
35.34%-3.89M
13.77%-5.37M
178.27%789.00K
-67.08%1.63M
-225.79%-6.02M
-238.70%-6.23M
-140.76%-1.01M
244.27%4.96M
259.47%4.78M
-235.77%-1.84M
323.60%2.47M
7905.56%1.44M
-154.50%-3.00M
-130.65%-548.00K
64.37%-1.11M
103.16%18.00K
305.38%5.50M
191.69%1.79M
-187.14%-3.10M
-453.42%-569.00K
--1.36M
---1.95M
---1.08M
--161.00K
--0.00
--0.00
-Änderung bei anderen kurzfristigen Verbindlichkeiten
4424.89%50.00M
--18.30M
--3.25M
--0.00
--1.10M
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100.00%0.00
100.00%0.00
-100.00%0.00
-100.00%0.00
-128.68%-6.11M
-102.42%-106.00K
--21.00K
--4.31M
---2.67M
--4.38M
--0.00
--0.00
----
--0.00
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
1150.34%48.51M
18.67%58.01M
33.69%38.03M
-75.85%13.33M
25.40%3.88M
45.03%48.88M
-0.25%28.45M
146.50%55.22M
-92.87%3.09M
-49.30%33.70M
-80.99%28.52M
-73.24%22.40M
-27.93%43.38M
77.70%66.48M
271.73%150.05M
103.00%83.70M
70.11%60.19M
11.86%37.41M
48.68%40.37M
18.71%41.23M
58.93%35.38M
1.92%33.45M
-3.62%27.15M
60.25%34.73M
1752.25%22.26M
210.16%32.81M
348.35%28.17M
538.25%21.68M
154.79%1.20M
--10.58M
31515.00%6.28M
3244.44%3.40M
---2.19M
---20.00K
---108.00K
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-44.76%59.54M
-39.12%76.73M
-35.88%77.83M
-40.69%75.24M
24.81%107.79M
44.81%126.04M
27.33%121.39M
117.30%126.86M
56.84%86.36M
51.17%87.04M
54.16%95.34M
61.83%58.38M
109.07%55.06M
80.82%57.58M
127.91%61.84M
18.64%36.08M
-7.33%26.34M
-9.10%31.84M
-9.95%27.13M
55.99%30.41M
28.45%28.42M
23.73%35.03M
48.72%30.13M
-42.46%19.49M
-7.99%22.13M
7.41%28.31M
35.72%20.26M
323.65%33.88M
169.68%24.05M
--26.36M
--14.93M
--8.00M
--8.92M
--0.00
--0.00
Investitionsausgaben
-44.76%59.54M
-39.12%76.73M
-35.88%77.83M
-40.69%75.24M
24.81%107.79M
44.81%126.04M
27.33%121.39M
117.30%126.86M
56.84%86.36M
51.17%87.04M
54.16%95.34M
61.83%58.38M
109.07%55.06M
80.82%57.58M
127.91%61.84M
18.64%36.08M
-7.33%26.34M
-9.10%31.84M
-9.95%27.13M
55.99%30.41M
28.45%28.42M
23.73%35.03M
48.72%30.13M
-42.46%19.49M
-7.99%22.13M
7.41%28.31M
35.72%20.26M
323.65%33.88M
169.68%24.05M
--26.36M
--14.93M
--8.00M
--8.92M
--0.00
--0.00
Netto-Cashflow aus der Veräußerung von Anlagevermögen
-44.76%59.54M
-39.12%76.73M
-35.88%77.83M
-40.69%75.24M
24.81%107.79M
44.81%126.04M
27.33%121.39M
117.30%126.86M
56.84%86.36M
51.17%87.04M
54.16%95.34M
61.83%58.38M
109.07%55.06M
80.82%57.58M
127.91%61.84M
18.64%36.08M
-7.33%26.34M
-9.10%31.84M
-9.95%27.13M
55.99%30.41M
28.45%28.42M
23.73%35.03M
48.72%30.13M
-42.46%19.49M
-7.99%22.13M
7.41%28.31M
35.72%20.26M
323.65%33.88M
169.68%24.05M
--26.36M
--14.93M
--8.00M
--8.92M
--0.00
--0.00
Netto-Cashflow aus Geschäftstransaktionen
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---10.00K
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Netto-Cashflow aus Anlageprodukten
-29.27%517.00K
-99.23%337.00K
-97.16%467.00K
102.63%667.00K
-99.38%731.00K
140.46%43.92M
133.77%16.47M
-3670.14%-25.35M
217.22%117.44M
-29.36%18.27M
-102.81%-48.78M
89.84%710.00K
-79611.11%-100.18M
--25.86M
---24.05M
--374.00K
--126.00K
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Netto-Cashflow aus anderen Investitionstätigkeiten
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100.09%5.00K
----
----
----
-281.08%-5.84M
----
----
----
---1.53M
---209.00K
---1.64M
---1.57M
--0.00
--0.00
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
44.87%-59.02M
6.98%-76.39M
26.26%-77.36M
51.01%-74.57M
-444.50%-107.06M
-19.41%-82.12M
27.20%-104.92M
-163.92%-152.21M
120.02%31.08M
-116.81%-68.77M
-67.78%-144.11M
-61.53%-57.67M
-492.30%-155.25M
0.38%-31.72M
-216.55%-85.89M
-17.41%-35.70M
7.78%-26.21M
9.09%-31.84M
9.95%-27.13M
-55.99%-30.41M
-28.45%-28.42M
-2.55%-35.03M
-48.72%-30.13M
42.46%-19.49M
7.99%-22.13M
-22.41%-34.16M
-33.84%-20.26M
-251.51%-33.88M
-129.26%-24.05M
---27.90M
---15.14M
---9.64M
---10.49M
--0.00
--0.00
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-8.07%39.92M
-48.79%51.13M
628.53%13.60M
423.30%55.18M
1768.08%43.42M
29439.64%99.84M
-80.94%-2.57M
940.87%10.54M
-100.76%-2.60M
-89.40%338.00K
98.61%-1.42M
123.62%1.01M
4376.93%342.75M
331.09%3.19M
-979.15%-102.15M
-81.05%-4.29M
-134.55%-8.01M
-845.95%-1.38M
-45.23%-9.47M
-4.92%-2.37M
2641.84%23.20M
-84.60%185.00K
-1685.75%-6.52M
-164.90%-2.26M
165.89%846.00K
-97.69%1.20M
78.57%-365.00K
511.23%3.48M
-104.76%-1.28M
--51.94M
-109.15%-1.70M
-862.16%-846.00K
--26.96M
--18.61M
--111.00K
Netto-Cashflow aus Schuldenemission/Rückzahlung
-5.96%41.76M
1530.19%52.10M
468.88%13.38M
701.19%49.21M
1318.33%44.41M
-33.84%-3.64M
-39.54%-3.63M
1143.32%6.14M
-101.06%-3.65M
-252.07%-2.72M
97.45%-2.60M
111.53%494.00K
4328.74%343.25M
198.08%1.79M
-856.23%-102.00M
-20.30%-4.28M
-134.85%-8.12M
-473.98%-1.82M
-68.22%-10.67M
-45.05%-3.56M
2855.33%23.29M
-95.11%488.00K
-1639.08%-6.34M
-161.41%-2.46M
140.66%788.00K
-78.32%9.97M
165.50%412.00K
731.60%4.00M
-350.06%-1.94M
--45.99M
-682.41%-629.00K
-670.27%-633.00K
--775.00K
--108.00K
--111.00K
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
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--104.33M
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-301.05%-2.69M
-65.10%491.00K
-20.04%1.08M
273.24%1.12M
318.44%1.34M
187.14%1.41M
130.00%1.36M
-44.94%299.00K
113.33%320.00K
60.13%490.00K
1080.00%590.00K
-55.42%543.00K
-99.74%150.00K
5200.00%306.00K
--50.00K
-95.49%1.22M
--56.70M
-100.03%-6.00K
--0.00
--27.00M
--18.50M
--0.00
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
-30.54%207.00K
-94.12%33.00K
-46.49%1.24M
27.44%6.79M
-89.91%298.00K
-89.69%561.00K
18.90%2.32M
428.70%5.32M
630.69%2.95M
-1.95%5.44M
--1.95M
--1.01M
--404.00K
--5.55M
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Netto-Cashflow aus anderen Finanzierungsaktivitäten
-59.41%-2.05M
28.35%-1.01M
18.96%-1.03M
11.39%-817.00K
32.67%-1.29M
41.06%-1.40M
-63.57%-1.27M
-88.93%-922.00K
-112.69%-1.91M
-63.26%-2.38M
-20.56%-774.00K
55.23%-488.00K
11.35%-898.00K
-63.20%-1.46M
-211.65%-642.00K
-560.61%-1.09M
-159.08%-1.01M
-43.50%-894.00K
69.12%-206.00K
58.02%-165.00K
19.38%-391.00K
93.01%-623.00K
38.41%-667.00K
30.93%-393.00K
14.01%-485.00K
82.43%-8.92M
-1.40%-1.08M
-167.14%-569.00K
30.80%-564.00K
---50.76M
---1.07M
---213.00K
---815.00K
--0.00
--0.00
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-8.07%39.92M
-48.79%51.13M
628.53%13.60M
423.30%55.18M
1768.08%43.42M
29439.64%99.84M
-80.94%-2.57M
940.87%10.54M
-100.76%-2.60M
-89.40%338.00K
98.61%-1.42M
123.62%1.01M
4376.93%342.75M
331.09%3.19M
-979.15%-102.15M
-81.05%-4.29M
-134.55%-8.01M
-845.95%-1.38M
-45.23%-9.47M
-4.92%-2.37M
2641.84%23.20M
-84.60%185.00K
-1685.75%-6.52M
-164.90%-2.26M
165.89%846.00K
-97.69%1.20M
78.57%-365.00K
511.23%3.48M
-104.76%-1.28M
--51.94M
-109.15%-1.70M
-862.16%-846.00K
--26.96M
--18.61M
--111.00K
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-54.89%50.40M
-54.80%20.23M
-64.00%44.77M
-75.37%51.69M
-37.12%111.74M
-78.71%44.76M
-62.23%124.38M
-42.56%209.91M
36.56%177.70M
126.93%210.24M
139.22%329.29M
332.12%365.46M
108.18%130.13M
70.49%92.65M
166.69%137.66M
90.75%84.57M
190.94%62.51M
150.23%54.34M
54.17%51.62M
127.51%44.34M
13.43%21.48M
5.72%21.72M
95.51%33.48M
-28.12%19.49M
-62.97%18.94M
37.72%20.54M
-30.86%17.13M
-16.26%27.11M
179.22%51.15M
--14.92M
825466.67%24.77M
--32.38M
--18.32M
--3.00K
--0.00
Änderungen des Cashflows im aktuellen Zeitraum
150.25%30.17M
-54.95%30.17M
69.18%-24.54M
91.91%-6.92M
-286.44%-60.05M
305.83%66.98M
33.12%-79.63M
-136.44%-85.53M
-86.31%32.21M
-186.82%-32.54M
-164.50%-119.05M
-168.15%-36.17M
966.51%235.34M
358.96%37.48M
-1752.31%-45.01M
629.23%53.08M
-3.44%22.07M
3635.50%8.17M
123.15%2.72M
-47.98%7.28M
4077.88%22.85M
85.57%-231.00K
-442.01%-11.77M
240.11%13.99M
102.28%547.00K
-104.42%-1.60M
134.92%3.44M
-31.27%-9.99M
-270.98%-24.04M
--36.18M
-153.00%-9.85M
-253700.00%-7.61M
--14.06M
--18.59M
--3.00K
Auswirkungen von Wechselkursänderungen
365.51%762.00K
-782.23%-2.57M
303.08%1.19M
-193.17%-859.00K
-144.98%-287.00K
-82.79%377.00K
71.22%-585.00K
148.15%922.00K
-85.67%638.00K
571.18%2.19M
71.03%-2.03M
-120.44%-1.92M
214.13%4.45M
-111.69%-465.00K
-573.51%-7.02M
896.85%9.37M
46.62%-3.90M
241.46%3.98M
53.95%-1.04M
-216.32%-1.18M
-1571.85%-7.31M
179.69%1.17M
44.86%-2.26M
180.11%1.01M
-564.89%-437.00K
-193.60%-1.46M
-680.48%-4.10M
-142.69%-1.26M
142.34%94.00K
--1.56M
--707.00K
---520.00K
---222.00K
--0.00
--0.00
Endbestand an Zahlungsmitteln
55.87%80.57M
-54.89%50.40M
-54.80%20.23M
-64.00%44.77M
-75.37%51.69M
-37.12%111.74M
-78.71%44.76M
-62.23%124.38M
-42.56%209.91M
36.56%177.70M
126.93%210.24M
139.22%329.29M
332.12%365.46M
108.18%130.13M
70.49%92.65M
166.69%137.66M
90.75%84.57M
190.94%62.51M
150.23%54.34M
54.17%51.62M
127.51%44.34M
13.43%21.48M
5.60%21.72M
95.51%33.48M
-28.12%19.49M
-62.93%18.94M
37.87%20.57M
-30.86%17.13M
-16.26%27.11M
--51.10M
-19.77%14.92M
825466.67%24.77M
--32.38M
--18.59M
--3.00K
Freier Cashflow
89.39%-11.03M
75.74%-18.72M
57.18%-39.80M
13.59%-61.90M
-24.79%-103.91M
-44.67%-77.16M
-39.10%-92.94M
-99.12%-71.64M
-612.67%-83.27M
-699.08%-53.34M
-175.74%-66.81M
-175.55%-35.98M
-134.51%-11.68M
59.87%8.90M
566.66%88.21M
339.99%47.63M
386.20%33.85M
451.13%5.57M
543.43%13.23M
-28.98%10.82M
4945.65%6.96M
-135.23%-1.59M
-137.73%-2.98M
224.88%15.24M
100.60%138.00K
128.53%4.50M
191.48%7.91M
-165.25%-12.20M
-105.61%-22.84M
---15.78M
-43130.00%-8.65M
-4160.19%-4.60M
---11.11M
---20.00K
---108.00K
Währungseinheit
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