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Halozyme Therapeutics Inc

HALO

59.640USD

+0.620+1.05%
Trading geöffnet ETKurse um 15 Minuten verzögert
7.35BMarktkapitalisierung
15.13KGV TTM
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FY2012Q2
FY2012Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
19.16%154.22M
74.36%178.47M
-12.87%115.38M
-16.53%55.79M
48.83%129.43M
24.14%102.35M
90.15%132.41M
66.17%66.84M
81.94%86.96M
-0.08%82.45M
-42.80%69.64M
9.04%40.23M
-18.01%47.80M
62.05%82.52M
1900.97%121.74M
1019.88%36.89M
1303.47%58.30M
291.25%50.92M
120.56%6.08M
113.29%3.29M
-9.49%-4.84M
-354.49%-26.63M
-56.33%-29.59M
-31.43%-24.79M
80.05%-4.42M
-93.17%10.46M
-193.43%-18.93M
-10.96%-18.86M
1.26%-22.18M
1071.96%153.25M
331.58%20.26M
-32.32%-17.00M
-72.46%-22.46M
-3.75%-15.77M
48.50%-8.75M
-243.71%-12.85M
5.90%-13.02M
-1518.42%-15.20M
-28.84%-16.98M
156.69%8.94M
21.50%-13.84M
93.83%-939.00K
-6.20%-13.18M
-43.92%-15.77M
-63.99%-17.63M
9.77%-15.22M
13.18%-12.41M
20.36%-10.95M
44.46%-10.75M
---16.87M
---14.30M
---13.76M
---19.36M
Nettoergebnis aus fortgeführten Aktivitäten
53.72%118.09M
60.46%137.01M
67.42%137.01M
24.74%93.25M
93.92%76.82M
47.98%85.39M
32.78%81.84M
229.53%74.75M
-34.09%39.62M
-13.58%57.70M
-71.54%61.63M
-75.20%22.68M
115.48%60.11M
-8.74%66.77M
498.19%216.59M
254.25%91.46M
557.07%27.89M
312.70%73.16M
244.74%36.21M
276.54%25.82M
-439.81%-6.10M
-1517.92%-34.40M
10.18%-25.02M
36.12%-14.62M
106.54%1.80M
-101.72%-2.13M
-1113.10%-27.85M
25.58%-22.89M
16.52%-27.46M
552.36%123.88M
109.50%2.75M
-14.47%-30.76M
-66.01%-32.90M
-734.23%-27.39M
-18.34%-28.95M
-990.20%-26.88M
-31.16%-19.82M
181.87%4.32M
-20.61%-24.46M
118.55%3.02M
43.09%-15.11M
76.01%-5.27M
-5.12%-20.28M
28.97%-16.27M
-37.64%-26.55M
-399.02%-21.99M
3.57%-19.29M
-63.41%-22.91M
-27.58%-19.29M
---4.41M
---20.01M
---14.02M
---15.12M
Betriebsergebnisse und -verluste
1.20%20.45M
-1.34%20.41M
-11.78%20.36M
-1.44%20.33M
-1.23%20.21M
190.88%20.69M
-20.97%23.08M
64.42%20.63M
2529.43%20.46M
820.31%7.11M
3788.55%29.20M
1606.94%12.55M
5.42%778.00K
-9.27%773.00K
-43.45%751.00K
-10.80%735.00K
-13.89%738.00K
-60.72%852.00K
32.53%1.33M
-20.31%824.00K
-13.43%857.00K
267.63%2.17M
63.73%1.00M
66.77%1.03M
74.91%990.00K
19.68%590.00K
23.39%612.00K
8.77%620.00K
-5.98%566.00K
-23.45%493.00K
-24.16%496.00K
-8.51%570.00K
23.11%602.00K
40.31%644.00K
62.69%654.00K
57.72%623.00K
16.15%489.00K
0.22%459.00K
-13.36%402.00K
-10.84%395.00K
6.05%421.00K
37.35%458.00K
53.76%464.00K
49.14%443.00K
34.73%397.00K
17.72%333.45K
5.45%301.78K
9.12%297.04K
23.92%294.66K
--283.26K
--286.17K
--272.20K
--237.79K
Abgegrenzte Steuer
-321.38%-2.86M
-262.28%-15.29M
-96.99%292.00K
23.76%14.24M
-66.68%1.29M
-35.79%9.42M
-62.25%9.70M
186.53%11.51M
-70.03%3.87M
213.30%14.68M
118.04%25.70M
---13.30M
--12.93M
---12.95M
---142.48M
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Andere nicht monetäre Posten
223.81%390.00K
-110.98%-350.00K
93.22%-926.00K
46.81%-910.00K
-125.44%-315.00K
315.10%3.19M
-331.56%-13.66M
-419.22%-1.71M
49.16%1.24M
-25.15%768.00K
589.14%5.90M
-38.95%536.00K
-96.20%830.00K
-70.13%1.03M
-75.95%856.00K
448.75%878.00K
722.63%21.85M
56.28%3.44M
191.92%3.56M
113.78%160.00K
319.32%2.66M
212.03%2.20M
-231.22%-3.87M
-236.52%-1.16M
-32.06%-1.21M
5.08%-1.96M
31.56%-1.17M
-169.53%-345.00K
31.52%-917.00K
59.81%-2.07M
-138.97%-1.71M
-102.81%-128.00K
-142.41%-1.34M
-1055.95%-5.14M
762.80%4.38M
687.74%4.56M
535.21%3.16M
-33.58%538.00K
-37.05%508.00K
-73.12%579.00K
271.97%497.00K
239.35%810.00K
33.93%807.00K
260.12%2.15M
-144.33%-289.00K
-6839.29%-581.26K
--602.56K
--598.14K
--652.00K
--8.63K
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Veränderung des Umlaufvermögens
-65.34%7.47M
197.21%25.37M
-344.22%-53.94M
-69.70%-82.26M
56.04%21.55M
-413.80%-26.10M
137.06%22.09M
-566.37%-48.48M
143.62%13.81M
-123.33%-5.08M
-246.70%-59.60M
116.89%10.39M
-1195.36%-31.67M
171.19%21.77M
203.65%40.63M
-121.70%-61.55M
146.72%2.89M
-482.04%-30.59M
-294.25%-39.20M
-39.74%-27.76M
60.01%-6.19M
-206.31%-5.25M
-1721.86%-9.94M
-247.46%-19.87M
-472.26%-15.47M
-79.00%4.94M
-94.41%613.00K
-211.38%-5.72M
-170.86%-2.70M
151.25%23.54M
28.85%10.96M
107.43%5.13M
242.92%3.82M
136.36%9.37M
740.51%8.51M
357.81%2.48M
29.35%-2.67M
-1773.60%-25.76M
-38.67%1.01M
83.11%-960.00K
-168.52%-3.78M
-129.79%-1.38M
-55.05%1.65M
-165.92%-5.68M
6.18%5.51M
131.29%4.62M
4.91%3.67M
476.29%8.62M
178.41%5.19M
---14.75M
--3.50M
---2.29M
---6.62M
-Änderung der Forderungen
-89.99%3.83M
-34.51%-22.71M
-346.84%-71.22M
63.84%-18.62M
5.86%38.31M
-117.73%-16.89M
165.67%28.85M
-444.07%-51.50M
258.81%36.19M
-136.71%-7.75M
-206.90%-43.93M
85.39%-9.46M
-344.00%-22.79M
160.05%21.12M
263.41%41.10M
-746.90%-64.81M
-68.55%9.34M
-88.14%-35.18M
-195.01%-25.15M
-88.71%-7.65M
1512.87%29.69M
-696.00%-18.70M
-243.86%-8.53M
42.14%-4.05M
-87.76%1.84M
68.42%-2.35M
2769.37%5.93M
-246.76%-7.01M
366.05%15.04M
-472.27%-7.44M
-104.00%-222.00K
-187.26%-2.02M
-52.99%3.23M
108.32%2.00M
312.26%5.55M
215.05%2.32M
382.23%6.87M
-2648.05%-24.02M
-70.87%1.35M
-3.82%-2.01M
176.60%1.42M
-105.67%-874.00K
133.75%4.62M
-325.13%-1.94M
-134.90%-1.86M
237.24%15.42M
-1219.53%-13.69M
-234.71%-456.10K
262.01%5.33M
---11.24M
--1.22M
---136.27K
---3.29M
-Änderung des Inventars
98.54%-586.00K
-625.94%-7.73M
-45.51%1.98M
13.48%-21.40M
-454.94%-40.23M
149.88%1.47M
165.94%3.63M
-61.44%-24.74M
-215.12%-7.25M
-232.72%-2.94M
-302.24%-5.51M
-17717.44%-15.32M
150.62%6.30M
172.75%2.22M
128.91%2.73M
98.74%-86.00K
120.78%2.51M
-145.58%-3.05M
-220.09%-9.43M
46.13%-6.82M
-40.36%-12.09M
254.16%6.69M
179.44%7.85M
-215.69%-12.66M
-1245.74%-8.62M
-203.73%-4.34M
-269.17%-9.88M
-354.65%-4.01M
125.83%752.00K
336.31%4.18M
378.54%5.84M
-115.12%-882.00K
138.90%333.00K
-209.86%-1.77M
37.92%-2.10M
-70.12%-410.00K
20.45%-856.00K
216.08%1.61M
-1806.06%-3.38M
30.95%-241.00K
-80.84%-1.08M
121.95%510.00K
114.36%198.00K
-229.07%-349.00K
-792.17%-595.00K
-379.47%-2.32M
-242.96%-1.38M
194.18%270.39K
92.83%-66.69K
---484.63K
---402.17K
---287.11K
---929.52K
-Änderung bei den Vorauszahlungen
-204.17%-5.00M
568.03%5.62M
555.42%38.48M
-994.47%-43.54M
-46.01%4.79M
-122.68%-1.20M
-67.66%-8.45M
3323.84%4.87M
196.87%8.88M
205.02%5.29M
-639.00%-5.04M
95.68%-151.00K
-292.63%-9.17M
-223.43%-5.04M
66.07%-682.00K
-3.13%-3.50M
-160.92%-2.33M
186.99%4.08M
-161.04%-2.01M
73.35%-3.39M
568.58%3.83M
-363.52%-4.70M
-145.94%-770.00K
-295.83%-12.72M
86.23%-818.00K
125.59%1.78M
28.04%1.68M
-206.39%-3.21M
-227.23%-5.94M
-253.34%-6.96M
35.65%1.31M
14.35%3.02M
285.09%4.67M
130.74%4.54M
121.33%965.00K
545.53%2.64M
-199.17%-2.52M
-3969.97%-14.77M
164.69%436.00K
-157.91%-593.00K
-234.52%-843.00K
-512.37%-363.00K
-134.32%-674.00K
188.49%1.02M
-120.81%-252.00K
95.76%-59.28K
273.07%1.96M
11.55%-1.16M
309.58%1.21M
---1.40M
---1.13M
---1.31M
---577.82K
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
-50.66%9.22M
629.44%50.19M
-1088.21%-23.18M
-94.30%1.30M
177.83%18.68M
-3007.67%-9.48M
61.85%-1.95M
-35.22%22.89M
-299.43%-24.01M
-90.61%326.00K
-103.50%-5.11M
417.09%35.33M
9.30%-6.01M
423.37%3.47M
3.72%-2.51M
169.00%6.83M
76.01%-6.63M
-109.38%-1.07M
69.28%-2.61M
-203.50%-9.90M
-250.48%-27.62M
16.20%11.45M
-393.78%-8.50M
73.52%9.57M
37.26%-7.88M
-13.71%9.85M
-19.89%2.89M
9.93%5.51M
-184.64%-12.56M
886.69%11.42M
5.87%3.61M
2139.02%5.02M
3.33%-4.41M
-85.27%1.16M
-21.06%3.41M
-108.48%-246.00K
-277.58%-4.56M
413.07%7.86M
391.69%4.32M
1283.67%2.90M
-135.36%-1.21M
69.34%-2.51M
-141.83%-1.48M
-102.32%-245.00K
72.60%3.42M
-607.35%-8.18M
136.88%3.54M
136760.35%10.55M
154.88%1.98M
---1.16M
--1.49M
--7.71K
---3.61M
-Änderung bei anderen kurzfristigen Vermögenswerten
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--8.00K
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--0.00
--0.00
--0.00
100.00%0.00
-100.00%0.00
--0.00
--0.00
---100.00K
--50.00K
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-Änderung bei anderen kurzfristigen Verbindlichkeiten
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--4.63M
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--0.00
-100.00%0.00
----
-100.00%0.00
-100.00%0.00
--3.00M
----
548.77%22.34M
-37.85%422.00K
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-3.15%3.44M
139.66%679.00K
-80.36%-1.83M
23.18%-1.59M
91.03%3.56M
-69.00%-1.71M
75.74%-1.01M
-143.21%-2.08M
864.59%1.86M
-107.65%-1.01M
-614.53%-4.17M
252.04%4.80M
53.63%-243.40K
470.89%13.23M
-3.01%-584.30K
-277.37%-3.16M
---524.89K
--2.32M
---567.23K
--1.78M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
19.16%154.22M
74.36%178.47M
-12.87%115.38M
-16.53%55.79M
48.83%129.43M
24.14%102.35M
90.15%132.41M
66.17%66.84M
81.94%86.96M
-0.08%82.45M
-42.80%69.64M
9.04%40.23M
-18.01%47.80M
62.05%82.52M
1900.97%121.74M
1019.88%36.89M
1303.47%58.30M
291.25%50.92M
120.56%6.08M
113.29%3.29M
-9.49%-4.84M
-354.49%-26.63M
-56.33%-29.59M
-31.43%-24.79M
80.05%-4.42M
-93.17%10.46M
-193.43%-18.93M
-10.96%-18.86M
1.26%-22.18M
1071.96%153.25M
331.58%20.26M
-32.32%-17.00M
-72.46%-22.46M
-3.75%-15.77M
48.50%-8.75M
-243.71%-12.85M
5.90%-13.02M
-1518.42%-15.20M
-28.84%-16.98M
156.69%8.94M
21.50%-13.84M
93.83%-939.00K
-6.20%-13.18M
-43.92%-15.77M
-63.99%-17.63M
9.77%-15.22M
13.18%-12.41M
20.36%-10.95M
44.46%-10.75M
---16.87M
---14.30M
---13.76M
---19.36M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-73.20%950.00K
17.57%3.05M
-48.47%1.52M
259.09%2.58M
-68.84%3.54M
133.97%2.60M
192.06%2.94M
89.22%-1.62M
2221.84%11.38M
-4936.08%-7.64M
103.23%1.01M
-2924.20%-15.05M
81.48%490.00K
-89.35%158.00K
835.85%496.00K
3.50%533.00K
143.27%270.00K
131.51%1.48M
-95.20%53.00K
-62.35%515.00K
-167.31%-624.00K
-79.14%641.00K
231.53%1.10M
227.27%1.37M
10.49%927.00K
257.33%3.07M
106.83%333.00K
81.74%418.00K
747.47%839.00K
92.39%860.00K
-62.03%161.00K
-80.29%230.00K
-90.99%99.00K
-72.64%447.00K
26.19%424.00K
348.85%1.17M
745.38%1.10M
54366.67%1.63M
-9.43%336.00K
-25.71%260.00K
-68.37%130.00K
-99.78%3.00K
14.10%371.00K
336.50%350.00K
-23.05%411.00K
151.77%1.36M
94.11%325.16K
-88.89%80.18K
3470.97%534.10K
--539.42K
--167.52K
--721.49K
---15.84K
Investitionsausgaben
-73.20%950.00K
17.57%3.05M
-48.47%1.52M
--2.58M
-68.84%3.54M
10.75%2.60M
192.06%2.94M
----
2221.84%11.38M
1383.54%2.34M
103.23%1.01M
81.61%968.00K
81.48%490.00K
-90.70%158.00K
181.82%496.00K
3.50%533.00K
136.84%270.00K
165.05%1.70M
-84.06%176.00K
-62.35%515.00K
-87.70%114.00K
-79.14%641.00K
231.53%1.10M
227.27%1.37M
10.49%927.00K
257.33%3.07M
106.83%333.00K
81.74%418.00K
747.47%839.00K
92.39%860.00K
-62.03%161.00K
-80.29%230.00K
-90.99%99.00K
-72.64%447.00K
26.19%424.00K
348.85%1.17M
745.38%1.10M
592.37%1.63M
-9.43%336.00K
-25.71%260.00K
-68.37%130.00K
-82.62%236.00K
14.10%371.00K
336.50%350.00K
-23.05%411.00K
151.77%1.36M
94.11%325.16K
-88.89%80.18K
--534.10K
--539.42K
--167.52K
--721.49K
--0.00
Netto-Cashflow aus der Veräußerung von Anlagevermögen
-73.20%950.00K
17.57%3.05M
-48.47%1.52M
259.09%2.58M
-68.84%3.54M
133.97%2.60M
192.06%2.94M
89.22%-1.62M
2221.84%11.38M
-4936.08%-7.64M
103.23%1.01M
-2924.20%-15.05M
81.48%490.00K
-89.35%158.00K
835.85%496.00K
3.50%533.00K
143.27%270.00K
131.51%1.48M
-95.20%53.00K
-62.35%515.00K
-167.31%-624.00K
-79.14%641.00K
231.53%1.10M
227.27%1.37M
10.49%927.00K
257.33%3.07M
106.83%333.00K
81.74%418.00K
747.47%839.00K
92.39%860.00K
-62.03%161.00K
-80.29%230.00K
-90.99%99.00K
-72.64%447.00K
26.19%424.00K
348.85%1.17M
745.38%1.10M
54366.67%1.63M
-9.43%336.00K
-25.71%260.00K
-68.37%130.00K
-99.78%3.00K
14.10%371.00K
336.50%350.00K
-23.05%411.00K
151.77%1.36M
94.11%325.16K
-88.89%80.18K
3470.97%534.10K
--539.42K
--167.52K
--721.49K
---15.84K
Netto-Cashflow aus Geschäftstransaktionen
----
----
----
----
----
--0.00
----
----
----
--0.00
--0.00
---999.12M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Netto-Cashflow aus Anlageprodukten
-13.06%-89.47M
671.24%32.53M
-106.15%-165.97M
-173.93%-39.46M
-62.21%-79.14M
39.33%-5.70M
---80.51M
-90.28%53.37M
0.06%-48.78M
96.86%-9.39M
100.00%0.00
1345.65%549.12M
-8.53%-48.81M
-599.48%-299.31M
45.22%-16.46M
-455.11%-44.08M
-219.99%-44.98M
149.05%59.92M
-171.35%-30.04M
-74.57%12.41M
26.04%37.48M
-980.11%-122.18M
18.52%42.10M
779.16%48.83M
184.82%29.74M
109.37%13.88M
16.69%35.52M
85.35%-7.19M
-903.41%-35.06M
-789.22%-148.13M
251.14%30.44M
-6802.46%-49.06M
104.18%4.36M
263.79%21.49M
-57.97%8.67M
-93.36%732.00K
-915.77%-104.52M
-197.31%-13.12M
587.86%20.63M
299.84%11.03M
75.95%-10.29M
299.56%13.48M
--3.00M
-551999900.00%-5.52M
12.60%-42.78M
--3.38M
--0.00
---1.00
---48.95M
----
----
----
----
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-9.36%-90.42M
455.57%29.48M
-100.70%-167.48M
-176.44%-42.04M
-37.43%-82.68M
-374.86%-8.29M
-8178.77%-83.45M
112.64%54.99M
-22.02%-60.16M
99.42%-1.75M
94.05%-1.01M
-874.87%-434.95M
-8.96%-49.30M
-612.43%-299.47M
43.67%-16.95M
-474.96%-44.62M
-218.74%-45.25M
147.58%58.44M
-173.40%-30.09M
-74.93%11.90M
32.26%38.11M
-1236.26%-122.82M
16.50%41.00M
723.86%47.46M
180.26%28.81M
107.25%10.81M
16.21%35.19M
84.57%-7.61M
-941.74%-35.90M
-807.95%-148.99M
267.24%30.28M
-11231.49%-49.29M
104.04%4.26M
242.62%21.05M
-59.37%8.25M
-104.04%-435.00K
-913.65%-105.62M
-209.45%-14.76M
672.18%20.29M
283.49%10.77M
75.87%-10.42M
568.44%13.48M
908.22%2.63M
-7220.66%-5.87M
12.71%-43.19M
473.91%2.02M
-94.11%-325.16K
88.89%-80.18K
-312399.37%-49.48M
---539.42K
---167.52K
---721.49K
--15.84K
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-579.14%-3.32M
1.40%-246.41M
352.60%18.56M
287.65%9.48M
99.70%-489.00K
-4048.81%-249.92M
133.07%4.10M
-99.33%2.45M
-26480.45%-164.61M
104.06%6.33M
79.36%-12.40M
921.81%367.82M
-99.82%624.00K
-469.40%-156.01M
-36.97%-60.07M
-429.27%-44.76M
796.57%338.70M
-113.02%-27.40M
-127.81%-43.85M
183.78%13.59M
-123.76%-48.62M
1246.45%210.42M
-17.25%-19.25M
0.91%-16.23M
-71.77%-21.73M
-22482.93%-18.35M
-1744.72%-16.42M
-112.05%-16.37M
-274.07%-12.65M
-70.61%82.00K
-286.97%-890.00K
2406.37%135.84M
-102.34%-3.38M
-83.88%279.00K
8.92%476.00K
43.65%5.42M
1918.25%144.45M
-29.95%1.73M
-45.03%437.00K
214.15%3.77M
-93.50%7.16M
-89.29%2.47M
-65.49%795.00K
2270.10%1.20M
43790.99%110.03M
-22.45%23.07M
5819.97%2.30M
38.53%-55.34K
-100.30%-251.85K
--29.74M
--38.91K
---90.03K
--83.12M
Netto-Cashflow aus Schuldenemission/Rückzahlung
----
--0.00
--0.00
--0.00
100.00%0.00
--0.00
-100.00%0.00
-100.00%0.00
---13.48M
--0.00
--254.55M
--370.00M
-100.00%0.00
--0.00
--0.00
100.00%0.00
2590.04%415.81M
-100.00%0.00
100.00%0.00
86.17%-2.86M
21.53%-16.70M
2071.72%402.57M
-6.86%-21.32M
-6.03%-20.69M
-20.72%-21.28M
-307.77%-20.42M
-334.30%-19.96M
-473.30%-19.52M
-489.76%-17.63M
-14008.33%-5.01M
-13028.57%-4.59M
-174.10%-3.40M
-102.07%-2.99M
--36.00K
---35.00K
--4.59M
--144.16M
----
----
----
----
----
----
----
----
-32.62%19.99M
----
----
----
--29.66M
----
----
----
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
----
0.91%-250.00M
--0.00
--0.00
100.00%0.00
-25229900.00%-252.30M
100.00%0.00
--0.00
---150.08M
100.00%-1.00K
-209.04%-200.00M
100.00%0.00
100.00%0.00
-299.33%-160.32M
-14.74%-64.72M
-2346.99%-48.84M
-47.71%-76.18M
79.93%-40.15M
---56.40M
---2.00M
---51.57M
---200.00M
----
----
----
--0.00
-100.00%0.00
----
----
----
--2.00K
--134.87M
----
--0.00
----
----
----
--0.00
--0.00
--0.00
-100.00%0.00
--0.00
--0.00
--0.00
--107.71M
--0.00
--0.00
--0.00
-100.00%0.00
--0.00
--0.00
--0.00
--81.48M
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
-579.14%-3.32M
50.63%3.58M
352.60%18.56M
287.65%9.48M
53.34%-489.00K
-65.85%2.38M
55.58%4.10M
-35.99%2.45M
-267.95%-1.05M
61.69%6.97M
-43.29%2.64M
-8.59%3.82M
203.65%624.00K
-66.19%4.31M
-62.95%4.65M
-77.26%4.18M
-103.05%-602.00K
56.78%12.75M
504.63%12.55M
311.51%18.38M
4491.31%19.72M
294.13%8.13M
-41.35%2.08M
42.22%4.47M
-109.02%-449.00K
-59.47%2.06M
-4.46%3.54M
-28.22%3.14M
1366.41%4.98M
1994.65%5.09M
624.66%3.70M
429.78%4.38M
-237.89%-393.00K
-85.96%243.00K
16.93%511.00K
-78.11%826.00K
-96.02%285.00K
-29.95%1.73M
418.98%437.00K
194.77%3.77M
125.49%7.16M
-19.84%2.47M
-107.10%-137.00K
13635.38%1.28M
5441.49%3.17M
3588.07%3.08M
4859.40%1.93M
-96.38%9.32K
-96.52%57.28K
--83.58K
--38.91K
--257.26K
--1.65M
Netto-Cashflow aus anderen Finanzierungsaktivitäten
----
----
----
----
----
100.00%0.00
100.00%0.00
----
----
---639.00K
---69.58M
-6218.95%-6.00M
100.00%0.00
--0.00
--0.00
-239.71%-95.00K
-383.82%-329.00K
100.00%0.00
----
--68.00K
---68.00K
---279.00K
----
----
----
----
----
----
----
---1.00K
----
----
----
----
----
----
----
----
----
----
----
----
149.34%932.00K
-22.17%-79.00K
-175.94%-853.00K
----
--373.79K
81.38%-64.66K
---309.12K
----
----
---347.28K
----
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-579.14%-3.32M
1.40%-246.41M
352.60%18.56M
287.65%9.48M
99.70%-489.00K
-4048.81%-249.92M
133.07%4.10M
-99.33%2.45M
-26480.45%-164.61M
104.06%6.33M
79.36%-12.40M
921.81%367.82M
-99.82%624.00K
-469.40%-156.01M
-36.97%-60.07M
-429.27%-44.76M
796.57%338.70M
-113.02%-27.40M
-127.81%-43.85M
183.78%13.59M
-123.76%-48.62M
1246.45%210.42M
-17.25%-19.25M
0.91%-16.23M
-71.77%-21.73M
-22482.93%-18.35M
-1744.72%-16.42M
-112.05%-16.37M
-274.07%-12.65M
-70.61%82.00K
-286.97%-890.00K
2406.37%135.84M
-102.34%-3.38M
-83.88%279.00K
8.92%476.00K
43.65%5.42M
1918.25%144.45M
-29.95%1.73M
-45.03%437.00K
214.15%3.77M
-93.50%7.16M
-89.29%2.47M
-65.49%795.00K
2270.10%1.20M
43790.99%110.03M
-22.45%23.07M
5819.97%2.30M
38.53%-55.34K
-100.30%-251.85K
--29.74M
--38.91K
---90.03K
--83.12M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-2.13%115.85M
-43.73%154.32M
-15.06%187.86M
69.92%164.63M
-49.56%118.37M
85.72%274.23M
141.89%221.16M
-18.13%96.88M
96.86%234.69M
-70.00%147.66M
-79.57%91.43M
-76.33%118.33M
-19.56%119.22M
643.02%492.18M
233.67%447.47M
374.70%499.95M
22.81%148.20M
10.95%66.24M
98.55%134.11M
72.39%105.32M
106.51%120.68M
7.53%59.70M
21.32%67.54M
-37.98%61.09M
-65.47%58.44M
-66.33%55.52M
-51.69%55.67M
115.62%98.51M
151.61%169.24M
169.41%164.90M
88.21%115.25M
-33.87%45.69M
55.37%67.26M
-14.41%61.21M
-9.64%61.23M
56.01%69.09M
-29.48%43.29M
54.21%71.51M
20.73%67.77M
-42.16%44.29M
124.40%61.39M
165.12%46.38M
101.00%56.13M
96.24%76.57M
-72.51%27.36M
-79.93%17.49M
-72.63%27.93M
-66.54%39.02M
88.36%99.50M
--87.16M
--102.04M
--116.61M
--52.83M
Änderungen des Cashflows im aktuellen Zeitraum
30.74%60.48M
75.32%-38.47M
-163.22%-33.55M
-81.30%23.24M
133.57%46.26M
-279.07%-155.86M
-5.63%53.06M
561.96%124.28M
-15489.59%-137.81M
123.34%87.04M
25.74%56.23M
48.74%-26.90M
-100.25%-884.00K
-555.05%-372.96M
165.89%44.72M
-282.32%-52.48M
2390.17%351.75M
34.41%81.96M
-765.74%-67.86M
346.57%28.79M
-677.62%-15.36M
1990.40%60.98M
-4990.26%-7.84M
115.05%6.45M
103.76%2.66M
-32.83%2.92M
-100.31%-154.00K
-161.59%-42.84M
-227.81%-70.73M
-21.85%4.34M
191069.23%49.65M
984.95%69.56M
-183.62%-21.58M
119.69%5.56M
-100.69%-26.00K
-133.47%-7.86M
250.87%25.80M
-287.97%-28.22M
138.37%3.75M
214.91%23.48M
-134.75%-17.10M
52.20%15.01M
6.47%-9.76M
-84.26%-20.43M
181.37%49.21M
-20.03%9.86M
27.67%-10.44M
23.87%-11.09M
-194.83%-60.48M
--12.34M
---14.43M
---14.57M
--63.78M
Endbestand an Zahlungsmitteln
7.11%176.33M
-2.13%115.85M
-43.73%154.32M
-15.06%187.86M
69.92%164.63M
-49.56%118.37M
85.72%274.23M
141.89%221.16M
-18.13%96.88M
96.86%234.69M
-70.00%147.66M
-79.57%91.43M
-76.33%118.33M
-19.56%119.22M
643.02%492.18M
233.67%447.47M
374.70%499.95M
22.81%148.20M
10.95%66.24M
98.55%134.11M
72.39%105.32M
106.51%120.68M
7.53%59.70M
21.32%67.54M
-37.98%61.09M
-65.47%58.44M
-66.33%55.52M
-51.69%55.67M
115.62%98.51M
153.49%169.24M
169.41%164.90M
88.21%115.25M
-33.87%45.69M
54.22%66.76M
-14.41%61.21M
-9.64%61.23M
56.01%69.09M
-29.48%43.29M
54.21%71.51M
20.73%67.77M
-42.16%44.29M
124.40%61.39M
165.12%46.38M
101.00%56.13M
96.24%76.57M
-72.51%27.36M
-80.04%17.49M
-72.63%27.93M
-66.54%39.02M
--99.50M
--87.61M
--102.04M
--116.61M
Freier Cashflow
21.76%153.27M
75.84%175.41M
-12.06%113.86M
-20.39%53.21M
66.54%125.88M
24.53%99.76M
88.65%129.47M
70.27%66.84M
59.78%75.59M
-2.73%80.11M
-43.40%68.63M
7.98%39.26M
-18.47%47.31M
67.32%82.36M
1952.18%121.24M
1208.24%36.36M
1270.35%58.03M
280.52%49.22M
119.25%5.91M
110.63%2.78M
7.34%-4.96M
-469.01%-27.27M
-59.36%-30.69M
-35.68%-26.15M
76.75%-5.35M
-95.15%7.39M
-195.83%-19.26M
-11.90%-19.28M
-2.03%-23.02M
1039.86%152.39M
319.12%20.10M
-22.94%-17.23M
-59.74%-22.56M
3.67%-16.21M
47.05%-9.17M
-261.47%-14.01M
-1.10%-14.12M
-1332.43%-16.83M
-27.79%-17.32M
153.85%8.68M
22.57%-13.97M
92.91%-1.18M
-6.40%-13.55M
-46.05%-16.12M
-59.87%-18.04M
4.77%-16.58M
11.94%-12.74M
23.77%-11.03M
41.70%-11.28M
---17.41M
---14.47M
---14.48M
---19.36M
Währungseinheit
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