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GFL Environmental Inc

GFL
45.456USD
-0.484-1.05%
Trading geöffnet ETKurse um 15 Minuten verzögert
16.52BMarktkapitalisierung
4.66KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-16.23%217.39M
-34.12%125.67M
35.80%391.12M
193.46%242.72M
31.91%259.49M
45.33%190.77M
-3.23%288.02M
-60.27%82.71M
9.94%196.71M
-5.00%131.26M
34.05%297.63M
24.95%208.17M
31.38%178.93M
-18.92%138.17M
96.88%222.02M
-11.56%166.60M
48.51%136.19M
360.61%170.42M
21.72%112.77M
205.88%188.37M
158.29%91.70M
-287.28%-65.39M
73.15%92.65M
426.82%61.58M
130.71%35.50M
5.20%-16.88M
--53.51M
--11.69M
---115.61M
---17.81M
Nettoergebnis aus fortgeführten Aktivitäten
157.97%198.29M
2012.49%2.47B
-204.61%-139.91M
500.82%79.35M
-253.76%-342.05M
19.44%-129.11M
71.62%-45.93M
109.86%13.21M
343.57%222.46M
-844.59%-160.25M
-27.69%-161.85M
32.30%-133.99M
149.31%50.15M
111.67%21.52M
67.16%-126.76M
-126.72%-197.92M
123.17%20.12M
7.06%-184.44M
-186.44%-385.96M
-5.44%-87.30M
-67.60%-86.82M
-177.51%-198.45M
-2.97%-134.74M
-103.82%-82.80M
65.16%-51.80M
-61.09%-71.51M
---130.86M
---40.62M
---148.70M
---44.39M
Betriebsergebnisse und -verluste
-18.97%233.51M
-13.02%231.41M
-1.25%284.94M
13.85%286.91M
2.36%288.17M
-4.50%266.04M
-2.38%288.54M
-11.09%252.02M
-5.32%281.52M
-0.10%278.57M
2.46%295.56M
4.45%283.44M
15.74%297.32M
8.70%278.85M
-36.02%288.48M
52.44%271.37M
45.62%256.89M
61.98%256.52M
142.65%450.91M
21.63%178.02M
27.55%176.41M
18.29%158.36M
42.84%185.83M
95.64%146.37M
134.89%138.31M
179.84%133.88M
--130.09M
--74.81M
--58.88M
--47.84M
Abgegrenzte Steuer
96.44%-2.10M
913.56%552.25M
-454.23%-34.43M
74.39%-6.67M
24.72%-58.88M
-87.13%-67.88M
59.37%-6.21M
50.66%-26.05M
-93.22%-78.22M
-50.92%-36.27M
-133.06%-15.29M
37.75%-52.81M
-741.90%-40.48M
67.71%-24.04M
131.32%46.25M
-140.74%-84.83M
120.82%6.31M
-16.61%-74.45M
-170.65%-147.66M
-30.27%-35.24M
-77.10%-30.29M
-185.01%-63.84M
27.03%-54.56M
-447.88%-27.05M
-23.78%-17.10M
-64.91%-22.40M
---74.77M
---4.94M
---13.82M
---13.58M
Andere nicht monetäre Posten
-8533.50%-213.77M
-100.87%-434.85K
364.42%184.23M
-503.74%-76.05M
105.32%2.53M
2015.67%49.81M
-129.49%-69.67M
-86.26%18.84M
-155.76%-47.63M
105.06%2.35M
52.45%-30.36M
67.87%137.13M
389.16%85.41M
-39.09%-46.50M
37.63%-63.85M
439.64%81.69M
-318.03%-29.54M
-166.95%-33.43M
-404.66%-102.38M
-450.31%-24.05M
63.72%-7.07M
399.26%49.93M
-199.32%-20.29M
215.99%6.87M
-1543.20%-19.47M
-291.88%-16.69M
--20.43M
---5.92M
---1.19M
--8.70M
Veränderung des Umlaufvermögens
-46.20%-81.21M
22.71%-30.08M
-28.91%105.48M
-395.92%-27.55M
37.14%-55.55M
19.62%-38.91M
73.60%148.37M
131.28%9.31M
-24.77%-88.36M
11.44%-48.41M
50.61%85.47M
50.18%-29.76M
-796.14%-70.82M
-96.62%-54.67M
26.43%56.75M
-350.73%-59.73M
63.37%-7.90M
27.85%-27.80M
-52.87%44.89M
163.81%23.82M
47.00%-21.57M
49.19%-38.54M
24.28%95.24M
-12.78%-37.33M
-116.29%-40.70M
-275.47%-75.85M
--76.63M
---33.10M
---18.82M
---20.20M
-Änderung der Forderungen
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-0.70%79.88M
67.25%-26.63M
----
432.03%52.68M
2138.51%80.45M
27.51%-81.33M
-252.74%-154.59M
-131.95%-15.87M
93.96%-3.95M
-1702.33%-112.20M
-418.61%-43.83M
405.05%49.66M
-259.74%-65.34M
114.97%7.00M
128.54%13.76M
-259.77%-16.28M
1756.40%40.91M
-296.72%-46.79M
-8.46%-48.19M
-13.63%10.19M
--2.20M
---11.79M
---44.43M
--11.80M
-Änderung bei den Vorauszahlungen
----
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383.22%41.05M
-29.06%2.74M
----
-224.89%-20.16M
288.83%8.50M
8.85%3.87M
-76.60%-26.36M
-217.09%-6.21M
-132.98%-4.50M
-40.17%3.55M
-231.00%-14.93M
86.04%-1.96M
50.54%13.64M
168.13%5.94M
23.48%-4.51M
-101.83%-14.01M
14.88%9.06M
26.68%-8.71M
-10.95%-5.89M
-354.81%-6.94M
--7.89M
---11.88M
---5.31M
---1.53M
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
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890.35%27.44M
-30.40%33.20M
----
-148.29%-80.94M
-105.33%-3.47M
-2.48%47.70M
116.58%110.13M
56.83%-32.60M
-32.51%65.19M
349.43%48.91M
265.00%50.85M
-815.77%-75.51M
72.61%96.59M
-40.09%10.88M
-330.29%-30.82M
89.58%-8.25M
-15.90%55.96M
292.74%18.17M
-56.73%13.38M
-159.58%-79.10M
--66.54M
---9.43M
--30.93M
---30.47M
-Änderung bei anderen kurzfristigen Verbindlichkeiten
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---10.69M
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-16.23%217.39M
-34.12%125.67M
35.80%391.12M
193.46%242.72M
31.91%259.49M
45.33%190.77M
-3.23%288.02M
-60.27%82.71M
9.94%196.71M
-5.00%131.26M
34.05%297.63M
24.95%208.17M
31.38%178.93M
-18.92%138.17M
96.88%222.02M
-11.56%166.60M
48.51%136.19M
360.61%170.42M
21.72%112.77M
205.88%188.37M
158.29%91.70M
-287.28%-65.39M
73.15%92.65M
426.82%61.58M
130.71%35.50M
5.20%-16.88M
--53.51M
--11.69M
---115.61M
---17.81M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-6.34%202.20M
6.74%225.32M
27.34%207.87M
0.59%178.36M
120.82%215.89M
10.48%211.10M
9.50%163.24M
22.66%177.32M
-1295.24%-1.04B
118.57%191.08M
34.81%149.07M
434.64%144.57M
-207.77%-74.33M
-15.91%87.42M
19.07%110.58M
-55.37%27.04M
-20.76%68.97M
45.97%103.96M
-12.56%92.86M
-22.14%60.58M
22.94%87.04M
-5.65%71.22M
65.68%106.20M
79.61%77.81M
107.58%70.80M
345.66%75.48M
--64.10M
--43.32M
--34.11M
--16.94M
Investitionsausgaben
-3.29%209.00M
5.20%228.00M
29.92%222.46M
1.14%201.68M
1.71%216.11M
7.94%216.74M
-2.32%171.23M
29.81%199.41M
111.16%212.46M
25.80%200.79M
-3.18%175.30M
41.28%153.61M
-16.97%100.62M
49.08%159.61M
86.23%181.06M
66.69%108.73M
34.57%121.18M
49.72%107.06M
-9.54%97.22M
-19.15%65.23M
10.23%90.05M
-6.22%71.51M
65.81%107.47M
83.57%80.67M
136.51%81.69M
345.08%76.25M
--64.82M
--43.95M
--34.54M
--17.13M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
-6.34%202.20M
6.74%225.32M
27.34%207.87M
0.59%178.36M
120.82%215.89M
10.48%211.10M
9.50%163.24M
22.66%177.32M
-1295.24%-1.04B
118.57%191.08M
34.81%149.07M
434.64%144.57M
-207.77%-74.33M
-15.91%87.42M
19.07%110.58M
-55.37%27.04M
-20.76%68.97M
45.97%103.96M
-12.56%92.86M
-22.14%60.58M
22.94%87.04M
-5.65%71.22M
65.68%106.20M
79.61%77.81M
107.58%70.80M
345.66%75.48M
--64.10M
--43.32M
--34.11M
--16.94M
Netto-Cashflow aus Geschäftstransaktionen
89.81%-32.47M
-113.96%-174.66M
88.29%-25.25M
84.26%-44.55M
-1865.69%-318.51M
48.94%-81.63M
-47.53%-215.68M
-209.79%-283.13M
97.64%-16.20M
-203.35%-159.89M
81.41%-146.19M
89.71%-91.39M
-537.12%-686.61M
5.36%-52.71M
64.28%-786.50M
-4352.23%-887.80M
-1065.64%-107.77M
93.07%-55.69M
-3031.22%-2.20B
94.10%-19.94M
83.42%-9.25M
-821.11%-803.93M
97.54%-70.32M
-1016.33%-337.95M
97.39%-55.77M
52.39%-87.28M
---2.86B
---30.27M
---2.13B
---183.32M
Netto-Cashflow aus Anlageprodukten
-256.75%-78.90M
93210.94%4.30B
374.09%11.57M
--0.00
--50.33M
--4.61M
--2.44M
--0.00
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Netto-Cashflow aus anderen Investitionstätigkeiten
-15.12%1.23M
----
--981.84K
--789.21K
-31.68%1.45M
----
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--2.12M
----
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----
----
----
----
----
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--0.00
--0.00
-100.00%0.00
100.00%0.00
--0.00
--0.00
--63.35M
---54.79M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
35.28%-312.34M
1453.58%3.90B
41.41%-220.56M
51.76%-222.13M
-148.35%-482.62M
18.71%-288.13M
-26.05%-376.48M
-88.61%-460.45M
259.06%998.18M
-136.74%-354.43M
66.71%-298.66M
73.31%-244.13M
-255.08%-627.56M
6.23%-149.71M
60.91%-897.08M
-1036.12%-914.84M
-83.55%-176.74M
81.76%-159.65M
-1200.00%-2.29B
80.63%-80.52M
23.93%-96.29M
-437.69%-875.15M
93.97%-176.53M
-464.93%-415.76M
93.98%-126.58M
36.18%-162.76M
---2.93B
---73.60M
---2.10B
---255.05M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-166.11%-180.94M
-7688.70%-3.74B
-296.81%-134.65M
-110.49%-46.64M
122.96%273.68M
-77.73%49.30M
161.58%68.42M
791.24%444.64M
-341.02%-1.19B
1330.76%221.40M
-43.35%-111.10M
-96.47%49.89M
69.07%494.50M
175.91%15.47M
-109.82%-77.51M
95.33%1.41B
-42.15%292.49M
-103.76%-20.38M
54.56%789.37M
263.45%724.03M
99.22%505.56M
224.31%542.57M
-82.17%510.71M
221.52%199.21M
-88.56%253.77M
-40.12%167.30M
--2.86B
--61.96M
--2.22B
--279.40M
Netto-Cashflow aus Schuldenemission/Rückzahlung
-91.06%26.54M
-4123.16%-2.21B
-245.85%-135.49M
-110.67%-48.00M
125.02%296.71M
-73.71%54.86M
190.21%92.90M
703.83%449.70M
-337.92%-1.19B
667.79%208.67M
71.75%-102.98M
-96.06%55.94M
67.93%498.40M
674.67%27.18M
-296.12%-364.56M
92.17%1.42B
-41.29%296.80M
99.81%-4.73M
-63.82%185.88M
270.01%739.33M
99.22%505.56M
-1589.77%-2.50B
-76.10%513.82M
222.50%199.81M
13.49%253.77M
-40.74%167.92M
--2.15B
--61.96M
--223.61M
--283.37M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
---200.75M
---1.55B
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-52.78%294.00M
--0.00
--0.00
-100.00%0.00
20155.10%622.60M
100.00%0.00
--0.00
377804.21%2.33B
-100.44%-3.10M
---604.28K
-100.00%0.00
84.51%-615.62K
--713.54M
--0.00
--1.99B
---3.97M
Barausschüttungen
12.51%5.79M
22.30%5.73M
9.40%5.26M
11.84%5.17M
4.48%5.14M
13.62%4.68M
16.22%4.81M
17.27%4.62M
26.20%4.92M
11.61%4.12M
9.19%4.14M
10.90%3.94M
8.56%3.90M
7.80%3.69M
8.57%3.79M
-46.36%3.55M
--3.59M
--3.42M
--3.49M
--6.62M
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Netto-Cashflow aus anderen Finanzierungsaktivitäten
94.74%-940.12K
2213.70%18.55M
91.09%-1.75M
-1407.74%-6.53M
-1474.99%-17.89M
-108.06%-877.77K
-393.21%-19.67M
79.53%-433.03K
---1.14M
235.92%10.89M
-26.35%-3.99M
29.17%-2.12M
100.00%0.00
34.49%-8.01M
79.79%-3.16M
65.58%-2.99M
---718.45K
-101.70%-12.23M
---15.62M
---8.68M
--0.00
--718.92M
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Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-166.11%-180.94M
-7688.70%-3.74B
-296.81%-134.65M
-110.49%-46.64M
122.96%273.68M
-77.73%49.30M
161.58%68.42M
791.24%444.64M
-341.02%-1.19B
1330.76%221.40M
-43.35%-111.10M
-96.47%49.89M
69.07%494.50M
175.91%15.47M
-109.82%-77.51M
95.33%1.41B
-42.15%292.49M
-103.76%-20.38M
54.56%789.37M
263.45%724.03M
99.22%505.56M
224.31%542.57M
-82.17%510.71M
221.52%199.21M
-88.56%253.77M
-40.12%167.30M
--2.86B
--61.96M
--2.22B
--279.40M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
666.32%388.49M
-2.31%96.97M
-45.84%69.78M
62.30%96.28M
-8.28%50.70M
64.32%99.26M
-26.53%128.85M
-64.73%59.32M
-62.56%55.27M
-59.61%60.41M
-80.67%175.37M
-32.87%168.20M
1566.30%147.65M
574.32%149.56M
-37.04%907.26M
-54.53%250.54M
-87.10%8.86M
-94.60%22.18M
19287294.77%1.44B
249.39%550.96M
902220.81%68.70M
7099.11%410.39M
-99.99%7.47K
2034749.57%157.69M
-99.99%7.61K
73386.60%5.70M
--69.32M
--7.75K
--75.91M
--7.76K
Änderungen des Cashflows im aktuellen Zeitraum
-718.26%-287.46M
708.35%292.36M
184.47%24.05M
-137.50%-24.90M
567.45%46.49M
-617.75%-48.06M
75.18%-28.48M
1238.69%66.40M
-78.38%6.97M
-674.93%-6.70M
84.84%-114.72M
-99.27%4.96M
-86.52%32.21M
93.42%-864.03K
46.67%-756.99M
-18.60%677.29M
-49.74%238.92M
96.20%-13.13M
-430.53%-1.42B
627.70%832.10M
198.37%475.42M
-5963.06%-345.17M
7776.96%429.46M
---157.68M
4162.41%159.34M
-242.50%-5.69M
--5.45M
--0.00
---3.92M
--4.00M
Auswirkungen von Wechselkursänderungen
-185.30%-11.57M
--7.97M
-40.56%-11.85M
327.23%1.15M
-203.00%-4.06M
100.00%0.00
-226.12%-8.43M
94.37%-505.20K
128.85%3.94M
-2.89%-4.93M
41.50%-2.59M
-179.39%-8.97M
-4.90%-13.65M
-36.66%-4.79M
83.51%-4.42M
4849.18%11.30M
49.09%-13.01M
-106.64%-3.51M
-1120.04%-26.80M
108.41%228.33K
-660.09%-25.56M
693.79%52.80M
-82.95%2.63M
-5128.50%-2.71M
-23.28%-3.36M
361.42%6.65M
--15.42M
---51.92K
---2.73M
---2.54M
Endbestand an Zahlungsmitteln
3.95%101.03M
660.36%389.33M
-6.51%93.84M
-43.22%71.39M
56.15%97.19M
-4.67%51.20M
65.49%100.37M
-27.39%125.72M
-65.40%62.24M
-63.88%53.71M
-59.64%60.65M
-81.34%173.16M
-27.41%179.86M
1542.85%148.69M
596.69%150.28M
-32.91%927.84M
-54.46%247.78M
-86.12%9.05M
-94.98%21.57M
18355846.72%1.38B
241.47%544.12M
851755.89%65.23M
474.40%429.47M
-2.77%7.53K
121.34%159.35M
-99.81%7.66K
--74.77M
--7.75K
--71.99M
--4.00M
Freier Cashflow
-80.66%8.39M
-294.09%-102.33M
44.42%168.67M
135.17%41.04M
375.45%43.38M
62.65%-25.97M
-4.53%116.79M
-313.90%-116.70M
-120.11%-15.75M
-224.25%-69.53M
198.64%122.33M
-5.73%54.56M
421.80%78.31M
-133.85%-21.44M
163.54%40.96M
-53.00%57.87M
807.55%15.01M
146.28%63.36M
204.82%15.54M
745.03%123.14M
103.58%1.65M
-46.99%-136.90M
-31.12%-14.83M
40.82%-19.09M
69.24%-46.19M
-166.53%-93.13M
---11.31M
---32.26M
---150.15M
---34.94M
Währungseinheit
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Prüfungsmeinungen
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