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Ftai Infrastructure Inc
FIP
6.610
USD
+0.280
+4.42%
Handelsschluss 08/04, 16:00(ET)
Kurse um 15 Minuten verzögert
6.610
USD
+6.610
Nachbörsliches Trading 08/04, 20:00 (ET)
758.57M
Marktkapitalisierung
Verlust
KGV TTM
Ftai Infrastructure Inc
6.610
+0.280
+4.42%
Übersicht
Unternehmen
Finanzen
Berichte
Einkommensauszug
Bilanz
Cashflow-Statement
Übersicht
Unternehmen
Finanzen
Berichte
Einkommensauszug
Bilanz
Cashflow-Statement
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q2
FY2021Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-2105.79%
-85.65M
-204.24%
-8.05M
-3.19%
14.25M
-267.39%
-17.59M
68.03%
-3.88M
254.57%
7.73M
-16.85%
14.72M
88.39%
-4.79M
14.17%
-12.14M
-161.87%
-5.00M
--
17.70M
-70.76%
-41.24M
57.92%
-14.15M
--
8.08M
--
-24.15M
--
-33.63M
Nettoergebnis aus fortgeführten Aktivitäten
338.91%
120.16M
-212.33%
-124.67M
14.17%
-42.96M
-42.12%
-48.14M
-40.06%
-50.30M
28.81%
-39.92M
-15.87%
-50.05M
10.77%
-33.87M
28.59%
-35.91M
-121.27%
-56.08M
--
-43.19M
-18.41%
-37.96M
-251.91%
-50.29M
--
-25.34M
--
-32.06M
--
-14.29M
Betriebsergebnisse und -verluste
28.59%
26.39M
348.54%
91.57M
-3.27%
19.49M
-3.50%
20.16M
1.21%
20.52M
11.57%
20.41M
11.10%
20.15M
20.64%
20.89M
19.30%
20.28M
21.05%
18.30M
--
18.14M
48.20%
17.32M
68.56%
17.00M
--
15.12M
--
11.69M
--
10.08M
Abgegrenzte Steuer
-3228.42%
-41.83M
655.30%
733.00K
-905.26%
-306.00K
-72.29%
156.00K
-13.57%
1.34M
84.81%
-132.00K
-97.51%
38.00K
-68.98%
563.00K
2.31%
1.55M
8.24%
-869.00K
--
1.52M
335.10%
1.81M
424.46%
1.51M
--
-947.00K
--
-772.00K
--
-466.00K
Andere nicht monetäre Posten
-9.19%
3.20M
38.21%
4.94M
-61.87%
2.63M
376.67%
13.63M
52.62%
3.52M
37.17%
3.57M
177.80%
6.89M
211.10%
2.86M
166.63%
2.31M
182.43%
2.60M
--
2.48M
77.76%
919.00K
63.40%
866.00K
--
922.00K
--
517.00K
--
530.00K
Veränderung des Umlaufvermögens
-123.58%
-1.60M
-91.71%
785.00K
6.31%
24.70M
-675.77%
-18.13M
264.75%
6.78M
3.78%
9.46M
-8.80%
23.23M
108.60%
3.15M
127.51%
1.86M
-30.52%
9.12M
--
25.47M
-178.64%
-36.63M
70.75%
-6.75M
--
13.13M
--
-13.15M
--
-23.09M
-Änderung der Forderungen
-95.23%
91.00K
-77.58%
1.88M
70.14%
-3.00M
-91.21%
1.35M
117.62%
1.91M
-51.16%
8.39M
-199.45%
-10.05M
134.58%
15.33M
-178.76%
-10.82M
-51.58%
17.17M
--
10.11M
18.92%
-44.33M
1707.49%
13.74M
--
35.47M
--
-54.68M
--
-855.00K
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
-79.07%
1.93M
-24.26%
3.29M
48.07%
30.46M
-20.96%
-21.99M
408.06%
9.21M
126.87%
4.35M
100.53%
20.57M
-156.07%
-18.18M
109.30%
1.81M
47.81%
-16.19M
--
10.26M
-48.92%
32.43M
-49.85%
-19.49M
--
-31.02M
--
63.48M
--
-13.01M
-Änderung bei anderen kurzfristigen Vermögenswerten
-2.63%
-4.40M
-48.61%
4.01M
-113.31%
-2.94M
109.71%
1.25M
-152.69%
-4.29M
-20.72%
7.80M
459.63%
22.11M
33.24%
-12.86M
451.62%
8.14M
44.12%
9.83M
--
3.95M
-2.45%
-19.27M
80.74%
-2.31M
--
6.82M
--
-18.81M
--
-12.02M
-Änderung bei anderen kurzfristigen Verbindlichkeiten
1772.34%
786.00K
24.14%
-8.39M
101.87%
176.00K
-93.29%
1.27M
-101.72%
-47.00K
-551.00%
-11.07M
-917.65%
-9.40M
445.18%
18.86M
109.11%
2.73M
-191.79%
-1.70M
--
1.15M
-73.71%
-5.46M
-53.19%
1.31M
--
1.85M
--
-3.15M
--
2.79M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-2105.79%
-85.65M
-204.24%
-8.05M
-3.19%
14.25M
-267.39%
-17.59M
68.03%
-3.88M
254.57%
7.73M
-16.85%
14.72M
88.39%
-4.79M
14.17%
-12.14M
-161.87%
-5.00M
--
17.70M
-70.76%
-41.24M
57.92%
-14.15M
--
8.08M
--
-24.15M
--
-33.63M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
401.60%
66.39M
23.38%
27.27M
73.88%
22.35M
-38.46%
15.28M
-66.72%
13.23M
-49.10%
22.11M
-77.43%
12.86M
-58.61%
24.82M
-19.88%
39.77M
11.64%
43.43M
--
56.96M
41.99%
59.98M
56.22%
49.64M
--
38.90M
--
42.24M
--
31.77M
Investitionsausgaben
401.92%
66.53M
26.10%
27.88M
102.25%
26.32M
-40.51%
15.37M
-66.75%
13.26M
-50.78%
22.11M
-77.68%
13.02M
-58.46%
25.84M
-22.94%
39.86M
3.51%
44.91M
--
58.31M
47.23%
62.19M
62.80%
51.73M
--
43.39M
--
42.24M
--
31.77M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
401.60%
66.39M
23.38%
27.27M
73.88%
22.35M
-38.46%
15.28M
-66.72%
13.23M
-49.10%
22.11M
-77.43%
12.86M
-58.61%
24.82M
-19.88%
39.77M
11.64%
43.43M
--
56.96M
41.99%
59.98M
56.22%
49.64M
--
38.90M
--
42.24M
--
31.77M
Netto-Cashflow aus Geschäftstransaktionen
--
226.63M
--
0.00
--
--
--
--
--
--
--
0.00
--
--
--
--
--
--
--
0.00
--
0.00
--
-3.82M
--
0.00
--
--
--
--
--
--
Netto-Cashflow aus Anlageprodukten
100.00%
0.00
-99.59%
62.00K
51.80%
-14.00M
-1066.67%
-17.50M
75.61%
-5.00M
154.64%
15.00M
-93.63%
-29.04M
70.00%
-1.50M
--
-20.50M
-174.54%
-27.45M
--
-15.00M
-869.23%
-5.00M
100.00%
0.00
--
-10.00M
--
650.00K
--
-650.00K
Netto-Cashflow aus anderen Investitionstätigkeiten
--
11.00M
--
267.00K
--
--
--
0.00
100.00%
0.00
--
--
--
--
--
0.00
--
-4.45M
--
--
--
--
--
--
--
0.00
--
309.00K
--
--
--
--
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
971.80%
164.30M
-251.28%
-28.50M
17.17%
-36.99M
-22.87%
-33.81M
71.81%
-18.85M
88.79%
-8.11M
39.41%
-44.65M
60.64%
-27.51M
-30.36%
-66.84M
-46.81%
-72.40M
--
-73.69M
-78.11%
-69.90M
-48.97%
-51.27M
--
-49.31M
--
-39.25M
--
-34.42M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-458.81%
-2.54M
294.50%
39.22M
-283.98%
-19.09M
712.90%
173.56M
-101.20%
-454.00K
-67.31%
9.94M
67.23%
10.38M
-72.52%
21.35M
-13.04%
37.78M
583.90%
30.41M
--
6.21M
-17.64%
77.69M
-16.52%
43.44M
--
4.45M
--
94.33M
--
52.04M
Netto-Cashflow aus Schuldenemission/Rückzahlung
--
28.24M
153.18%
48.74M
-127.46%
-5.59M
730.75%
207.69M
-100.00%
0.00
-47.48%
19.25M
-95.69%
20.37M
--
25.00M
340.21%
41.60M
--
36.65M
--
472.93M
-100.00%
0.00
-56.25%
9.45M
--
0.00
--
4.50M
--
21.60M
Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
--
--
--
--
--
--
--
--
--
--
--
0.00
--
--
--
--
--
--
--
0.00
--
291.00M
--
--
--
--
--
--
--
--
--
--
Barausschüttungen
--
28.96M
71.41%
8.36M
325.65%
13.13M
104.24%
6.30M
-100.00%
0.00
0.74%
4.88M
--
3.08M
--
3.09M
--
3.08M
--
4.84M
--
--
--
--
--
--
--
--
--
--
--
--
Netto-Cashflow aus anderen Finanzierungsaktivitäten
-299.78%
-1.81M
73.79%
-1.16M
94.60%
-373.00K
-2254.33%
-12.78M
38.57%
-454.00K
-251.83%
-4.43M
99.09%
-6.91M
-100.70%
-543.00K
-102.17%
-739.00K
-128.34%
-1.26M
--
-757.89M
-14.14%
77.13M
11.68%
33.99M
--
4.45M
--
89.83M
--
30.44M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-458.81%
-2.54M
294.50%
39.22M
-283.98%
-19.09M
712.90%
173.56M
-101.20%
-454.00K
-67.31%
9.94M
67.23%
10.38M
-72.52%
21.35M
-13.04%
37.78M
583.90%
30.41M
--
6.21M
-17.64%
77.69M
-16.52%
43.44M
--
4.45M
--
94.33M
--
52.04M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
68.38%
147.30M
85.61%
144.63M
91.28%
186.47M
-40.70%
64.30M
-41.54%
87.48M
-60.37%
77.92M
-60.44%
97.48M
-61.26%
108.43M
-50.43%
149.64M
-41.94%
196.63M
--
246.42M
610.13%
279.88M
444.66%
301.86M
--
338.64M
--
39.41M
--
55.42M
Änderungen des Cashflows im aktuellen Zeitraum
428.31%
76.11M
-72.13%
2.66M
-113.88%
-41.83M
1215.70%
122.17M
43.74%
-23.18M
120.33%
9.55M
60.72%
-19.56M
67.27%
-10.95M
-87.49%
-41.21M
-27.73%
-46.99M
--
-49.79M
-208.18%
-33.46M
-37.29%
-21.98M
--
-36.79M
--
30.93M
--
-16.01M
Endbestand an Zahlungsmitteln
247.47%
223.41M
68.38%
147.30M
85.61%
144.63M
91.28%
186.47M
-40.70%
64.30M
-41.54%
87.48M
-60.37%
77.92M
-60.44%
97.48M
-61.26%
108.43M
-50.43%
149.64M
--
196.63M
250.34%
246.42M
610.13%
279.88M
--
301.86M
--
70.34M
--
39.41M
Freier Cashflow
-787.97%
-152.18M
-149.88%
-35.93M
-810.05%
-12.08M
-7.62%
-32.96M
67.05%
-17.14M
71.19%
-14.38M
104.19%
1.70M
70.39%
-30.62M
21.06%
-52.01M
-41.35%
-49.91M
--
-40.61M
-55.79%
-103.43M
-0.73%
-65.88M
--
-35.31M
--
-66.39M
--
-65.40M
Währungseinheit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Prüfungsmeinungen
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