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HIVE Digital Technologies Ltd

HIVE

2.160USD

0.0000.00%
Handelsschluss 07/15, 16:00ETKurse um 15 Minuten verzögert
357.73MMarktkapitalisierung
VerlustKGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
28.25%228.66M
211.90%301.35M
265.06%196.86M
193.77%194.77M
143.78%178.30M
81.95%96.62M
-32.22%53.93M
-20.40%66.30M
-61.97%73.14M
-79.46%53.10M
-44.13%79.56M
-26.06%83.29M
94.71%192.32M
1484.51%258.47M
760.43%142.40M
1349.68%112.64M
1050.40%98.77M
70.31%16.31M
7.54%16.55M
-63.19%7.77M
-33.87%8.59M
-42.80%9.58M
-34.94%15.39M
-34.04%21.11M
-42.25%12.98M
-84.04%16.75M
550.93%23.65M
94438.52%32.00M
72634.20%22.48M
101693.09%104.91M
19626.92%3.63M
10416.10%33.85K
--30.91K
--103.06K
--18.42K
--321.91
- Barmittel und Barmitteläquivalente
141.53%23.38M
-44.77%9.85M
59.35%7.24M
466.57%25.61M
121.32%9.68M
106.98%17.82M
-44.19%4.54M
12.45%4.52M
-17.79%4.37M
-86.47%8.61M
70.80%8.14M
-85.06%4.02M
-86.80%5.32M
6441.27%63.65M
-18.25%4.77M
2065.58%26.91M
685.37%40.29M
-84.27%973.00K
-28.78%5.83M
-84.27%1.24M
-24.67%5.13M
-2.03%6.19M
-34.27%8.19M
-50.29%7.90M
-53.76%6.81M
-93.63%6.32M
260.65%12.46M
46844.84%15.89M
47549.10%14.73M
96038.46%99.08M
18649.20%3.45M
10416.10%33.85K
--30.91K
--103.06K
--18.42K
--321.91
-Kurzfristige Anlagen
21.74%205.28M
269.96%291.51M
283.99%189.62M
173.82%169.16M
145.21%168.62M
77.10%78.79M
-30.85%49.38M
-22.06%61.78M
-63.23%68.77M
-77.16%44.49M
-48.11%71.41M
-7.54%79.27M
219.76%187.00M
1170.09%194.82M
1184.06%137.64M
1213.38%85.73M
1592.29%58.48M
352.44%15.34M
48.84%10.72M
-50.59%6.53M
-44.02%3.46M
-67.49%3.39M
-35.69%7.20M
-18.01%13.21M
-20.39%6.17M
78.97%10.43M
6117.49%11.20M
--16.11M
--7.75M
--5.83M
--180.11K
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--0.00
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Forderungen
121.43%15.34M
8.74%8.91M
-33.65%6.65M
-50.96%4.40M
-25.92%6.93M
-23.83%8.19M
9.50%10.03M
77.30%8.97M
38.41%9.35M
32.37%10.76M
16.54%9.16M
-23.05%5.06M
-1.28%6.76M
-24.92%8.13M
-29.89%7.86M
-42.61%6.57M
-24.81%6.85M
40.88%10.82M
1159.12%11.21M
1648.03%11.45M
273.45%9.10M
4114.23%7.68M
-43.09%890.12K
-67.60%655.15K
-90.48%2.44M
-98.46%182.32K
-29.23%1.56M
138293.51%2.02M
2046410.23%25.60M
3921219.63%11.83M
--2.21M
--1.46K
--1.25K
--301.56
--0.00
--0.00
-Forderungen aus Lieferungen und Leistungen
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2664.62%1.17M
599.35%428.14K
73.39%362.78K
-84.49%255.62K
-74.73%42.21K
-93.84%61.22K
--209.23K
--1.65M
--167.00K
--994.57K
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-Sonstige Forderungen
121.43%15.34M
8.74%8.91M
-33.65%6.65M
-50.96%4.40M
-25.92%6.93M
-23.83%8.19M
9.50%10.03M
--8.97M
38.41%9.35M
492.40%10.76M
404.29%9.16M
----
272.14%6.76M
--1.82M
--1.82M
--1.82M
--1.82M
----
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----
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138293.51%2.02M
2046410.23%25.60M
3921219.63%11.83M
--2.21M
--1.46K
--1.25K
--301.56
--0.00
--0.00
Aktive Rechnungsabgrenzungsposten
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13.05%2.64M
----
-76.50%1.91M
-39.27%1.57M
125.88%2.34M
198.28%1.92M
3018.23%8.12M
1966.06%2.58M
576.97%1.04M
176.04%644.52K
-52.59%260.31K
-71.09%124.81K
--152.90K
--233.49K
--549.09K
--431.72K
----
----
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----
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--930.75
--952.24
--967.27
Sonstige kurzfristige Vermögenswerte
--1.30M
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Summe der kurzfristigen Vermögenswerte
32.43%245.30M
196.02%310.26M
218.23%203.52M
164.62%199.17M
124.54%185.23M
64.13%104.81M
-27.91%63.95M
-17.28%75.27M
-58.56%82.49M
-76.22%63.86M
-41.57%88.71M
-25.14%90.99M
85.12%199.08M
661.63%268.50M
400.48%151.83M
500.03%121.55M
486.54%107.54M
101.20%35.25M
84.93%30.34M
-7.58%20.26M
17.12%18.33M
0.26%17.52M
-36.05%16.40M
-35.58%21.92M
-67.44%15.65M
-85.03%17.48M
338.92%25.65M
96253.15%34.03M
149405.46%48.09M
111828.65%116.74M
30064.38%5.84M
2639.21%35.31K
--32.16K
--104.29K
--19.37K
--1.29K
Langfristige Vermögenswerte
Nettoanlagevermögen
100.68%208.39M
14.69%115.69M
27.46%122.79M
11.36%107.39M
5.75%103.84M
-3.79%100.88M
-32.10%96.33M
-47.15%96.43M
-48.35%98.20M
-3.26%104.85M
72.94%141.88M
286.11%182.47M
673.61%190.13M
459.32%108.39M
520.61%82.04M
226.33%47.26M
183.93%24.58M
156.96%19.38M
56.87%13.22M
55.52%14.48M
-11.66%8.66M
-90.40%7.54M
-87.95%8.43M
-89.63%9.31M
-82.83%9.80M
415.17%78.57M
683.93%69.93M
19478.38%89.82M
12678.18%57.09M
3559.81%15.25M
2019.10%8.92M
216.10%458.75K
--446.75K
--416.70K
--420.93K
--145.13K
-Anlagevermögen
26.62%430.21M
7.72%348.50M
17.01%352.66M
15.67%332.99M
24.15%339.77M
18.57%323.54M
-6.84%301.38M
-19.69%287.87M
-20.15%273.68M
20.73%272.86M
74.84%323.52M
154.22%358.45M
208.01%342.76M
122.16%226.02M
98.83%185.04M
52.38%141.00M
30.81%111.28M
23.04%101.73M
12.56%93.07M
11.91%92.53M
3.39%85.08M
-37.22%82.68M
-15.37%82.68M
--82.68M
36.49%82.28M
708.72%131.70M
--97.70M
----
--60.28M
--16.28M
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-Abgegrenzte Abschreibungen
-5.98%221.82M
4.56%232.81M
12.11%229.87M
17.85%225.60M
34.45%235.93M
32.53%222.67M
12.89%205.05M
8.79%191.44M
14.97%175.48M
42.83%168.01M
76.35%181.64M
87.73%175.98M
76.03%152.63M
42.83%117.63M
29.00%103.00M
20.10%93.74M
13.46%86.71M
9.60%82.36M
7.53%79.85M
6.37%78.05M
5.43%76.42M
41.42%75.14M
167.38%74.26M
--73.37M
2166.66%72.49M
5037.09%53.13M
--27.77M
----
--3.20M
--1.03M
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Goodwill und andere immaterielle Vermögenswerte
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-100.00%0.00
----
-100.00%0.00
-80.00%67.12K
-99.08%134.24K
-98.64%201.36K
-98.20%268.48K
-44.44%335.59K
1575.88%14.62M
1598.65%14.82M
1613.89%14.95M
--604.07K
-21.63%872.54K
-44.53%872.54K
-55.03%872.54K
-100.00%0.00
--1.11M
--1.57M
--1.94M
--2.31M
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Langfristige Verbindlichkeiten
16.26%3.02M
17.08%2.77M
-52.93%2.66M
-56.52%2.60M
-55.37%2.59M
-49.23%2.37M
211.68%5.66M
228.93%5.97M
91.51%5.81M
--4.66M
--1.82M
--1.82M
--3.04M
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--0.00
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Sonstige langfristige Vermögenswerte
370.48%74.89M
115.12%49.87M
42.49%5.71M
-2.42%10.44M
66.81%15.92M
45.91%23.18M
-91.24%4.01M
-75.50%10.70M
-84.02%9.54M
-83.39%15.89M
-34.54%45.76M
-25.44%43.66M
31.10%59.69M
747.13%95.65M
3228.40%69.90M
2802.85%58.56M
2322.59%45.53M
--11.29M
--2.10M
--2.02M
--1.88M
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-100.00%0.00
-100.00%0.00
--34.00M
--34.00M
--56.20M
--32.00M
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--0.00
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Summe der langfristigen Vermögenswerte
133.99%286.30M
33.15%168.33M
23.74%131.17M
6.47%120.42M
7.68%122.36M
0.71%126.42M
-44.11%106.00M
-50.44%113.10M
-55.12%113.63M
-42.59%125.54M
13.73%189.66M
88.91%228.21M
257.67%253.20M
590.66%218.66M
919.97%166.76M
587.63%120.81M
557.32%70.79M
265.80%31.66M
63.50%16.35M
56.14%17.57M
-11.04%10.77M
-88.98%8.65M
-90.38%10.00M
-90.91%11.25M
-89.31%12.11M
66.27%78.57M
1065.11%103.93M
26889.89%123.82M
25256.89%113.28M
11239.21%47.25M
2019.10%8.92M
216.10%458.75K
--446.75K
--416.70K
--420.93K
--145.13K
Summe der Vermögenswerte
72.83%531.60M
106.97%478.59M
96.92%334.69M
69.66%319.59M
56.84%307.58M
22.09%231.24M
-38.95%169.96M
-40.99%188.37M
-56.64%196.12M
-61.12%189.40M
-12.62%278.37M
31.71%319.20M
153.62%452.27M
628.05%487.16M
582.41%318.59M
540.72%242.36M
512.73%178.33M
155.62%66.91M
76.81%46.69M
14.03%37.83M
4.84%29.10M
-72.75%26.18M
-79.62%26.40M
-78.98%33.17M
-82.80%27.76M
-41.43%96.04M
777.66%129.58M
31847.67%157.84M
33594.47%161.37M
31375.64%163.99M
3253.13%14.76M
237.43%494.06K
--478.92K
--520.99K
--440.30K
--146.42K
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
2477.22%32.47M
11.10%1.28M
131.93%1.37M
6480.08%1.23M
--1.26M
--1.15M
--592.00K
--18.63K
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-100.00%0.00
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--89.33K
--182.46K
--225.30K
Rückstellungen
20.02%2.25M
4.00%2.60M
-2.61%1.75M
-1.45%2.02M
--1.88M
--2.50M
--1.80M
--2.05M
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--5.21K
--5.33K
--5.42K
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
-13.76%10.87M
-5.30%12.37M
-4.12%11.05M
-5.99%11.12M
17.83%12.60M
20.25%13.06M
4.57%11.52M
-1.84%11.83M
-16.22%10.69M
146.63%10.86M
148.14%11.02M
140.49%12.05M
102.38%12.76M
-22.06%4.40M
-16.87%4.44M
6.63%5.01M
47.30%6.31M
90.02%5.65M
82.67%5.34M
63.44%4.70M
51.45%4.28M
6.67%2.97M
5.74%2.92M
5.54%2.87M
--2.83M
--2.79M
1543.55%2.77M
6960.74%2.72M
-100.00%0.00
-100.00%0.00
-0.45%168.27K
-77.53%38.57K
--117.18K
--104.24K
--169.03K
--171.70K
-Kurzfristige Verbindlichkeiten
-36.55%3.56M
-36.04%3.95M
-28.15%4.63M
-25.23%5.13M
-21.44%5.61M
-18.23%6.18M
-18.28%6.45M
-21.88%6.87M
-23.85%7.14M
--7.55M
--7.89M
--8.79M
--9.38M
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-100.00%0.00
4.53%3.11M
-7.47%2.71M
-7.55%2.66M
-4.03%2.71M
6.67%2.97M
5.74%2.92M
5.54%2.87M
--2.83M
--2.79M
1543.55%2.77M
6960.74%2.72M
-100.00%0.00
-100.00%0.00
-0.45%168.27K
-77.53%38.57K
--117.18K
--104.24K
--169.03K
--171.70K
-Kurzfristige Leasingverpflichtungen
4.75%2.65M
6.84%2.70M
22.41%2.87M
15.23%2.70M
8.35%2.52M
21.13%2.53M
22.96%2.35M
15.46%2.34M
7.65%2.33M
129.95%2.09M
102.31%1.91M
34.28%2.03M
13.29%2.16M
-64.31%907.58K
-64.21%943.47K
-25.88%1.51M
21.82%1.91M
--2.54M
--2.64M
--2.04M
--1.57M
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Andere kurzfristige Verbindlichkeiten
2477.22%32.47M
11.10%1.28M
131.93%1.37M
6480.08%1.23M
--1.26M
--1.15M
--592.00K
--18.63K
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-100.00%0.00
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--89.33K
--182.46K
--225.30K
Summe der kurzfristigen Verbindlichkeiten
141.14%65.96M
-0.16%29.81M
44.18%36.63M
12.33%27.10M
24.93%27.35M
33.77%29.85M
7.36%25.41M
-17.51%24.12M
-16.29%21.89M
45.20%22.32M
132.32%23.66M
205.52%29.24M
165.31%26.15M
27.10%15.37M
7.68%10.19M
0.10%9.57M
36.12%9.86M
113.28%12.09M
-0.34%9.46M
101.30%9.56M
24.60%7.24M
4.31%5.67M
182.27%9.49M
28.26%4.75M
-42.07%5.81M
-37.96%5.44M
-0.28%3.36M
6173.18%3.70M
274.91%10.03M
226.63%8.76M
17.20%3.37M
-97.91%59.03K
--2.68M
--2.68M
--2.88M
--2.83M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
-16.90%10.20M
-32.72%8.99M
-15.57%11.93M
-18.28%11.93M
-25.98%12.28M
-25.42%13.36M
-17.99%14.13M
-21.13%14.59M
-17.36%16.58M
-41.24%17.91M
-44.86%17.23M
-41.98%18.50M
-14.35%20.07M
--30.48M
--31.24M
--31.89M
--23.43M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Langfristige Verbindlichkeiten
-16.90%10.20M
-32.72%8.99M
-15.57%11.93M
-18.28%11.93M
-25.98%12.28M
-25.42%13.36M
-17.99%14.13M
-21.13%14.59M
-17.36%16.58M
-41.24%17.91M
-44.86%17.23M
-41.98%18.50M
-14.35%20.07M
--30.48M
--31.24M
--31.89M
--23.43M
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Derivative-Verbindlichkeiten
-100.00%0.00
-96.14%13.00K
-84.62%32.00K
-91.52%53.00K
-75.10%120.00K
264.94%337.00K
-74.24%208.00K
1.58%624.88K
-90.33%482.00K
-98.95%92.34K
-91.40%807.31K
-94.03%615.16K
-68.32%4.99M
--8.80M
--9.39M
--10.30M
--15.74M
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Andere langfristige Verbindlichkeiten
--0.00
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Gesamt langfristige Verbindlichkeiten
-19.64%16.50M
-32.38%14.42M
-14.43%18.53M
-14.84%19.30M
-19.17%20.54M
-18.61%21.33M
-17.41%21.65M
-24.42%22.67M
-31.45%25.41M
-34.10%26.20M
-36.78%26.21M
-30.47%29.99M
-8.06%37.07M
3172.71%39.76M
2591.67%41.46M
1589.98%43.14M
5099.21%40.32M
317.64%1.21M
383.46%1.54M
616.86%2.55M
--775.48K
32.23%290.92K
44.83%318.64K
61.86%356.09K
-100.00%0.00
-54.64%220.00K
--220.00K
--220.00K
--227.00K
--485.00K
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--0.00
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Gesamtverbindlichkeiten
72.19%82.46M
-13.59%44.23M
17.22%55.16M
-0.83%46.40M
1.24%47.89M
5.48%51.18M
-5.66%47.05M
-21.01%46.79M
-25.18%47.30M
-11.99%48.52M
-3.43%49.88M
12.38%59.23M
26.00%63.22M
314.28%55.13M
369.53%51.65M
335.13%52.71M
525.81%50.18M
123.25%13.31M
12.13%11.00M
137.26%12.11M
37.94%8.02M
5.39%5.96M
173.83%9.81M
30.14%5.11M
-43.35%5.81M
-38.84%5.66M
6.25%3.58M
6545.86%3.92M
283.40%10.26M
244.71%9.25M
17.20%3.37M
-97.91%59.03K
--2.68M
--2.68M
--2.88M
--2.83M
Eigenkapital der Aktionäre
Stammkapital
36.79%716.71M
31.30%651.32M
24.33%562.60M
25.90%556.34M
19.60%523.95M
13.99%496.04M
5.34%452.51M
3.52%441.89M
2.86%438.08M
2.62%435.18M
32.30%429.56M
39.34%426.85M
60.72%425.90M
113.56%424.05M
63.59%324.69M
54.82%306.33M
36.24%265.00M
2.26%198.56M
2.25%198.49M
1.96%197.86M
0.53%194.52M
1.63%194.18M
1.89%194.12M
2.01%194.07M
4.84%193.50M
5.00%191.07M
390.49%190.52M
2504.82%190.23M
2801.69%184.56M
3047.95%181.97M
712.21%38.84M
50.34%7.30M
--6.36M
--5.78M
--4.78M
--4.86M
Gewinnrücklagen
21.27%-273.86M
-1.91%-351.01M
-4.39%-352.28M
-10.13%-344.61M
-17.26%-347.87M
-13.04%-344.42M
-59.76%-337.47M
-76.07%-312.92M
-392.44%-296.67M
-4470.74%-304.69M
-268.80%-211.23M
-51.77%-177.72M
58.99%-60.24M
104.82%6.97M
64.68%-57.27M
31.67%-117.10M
15.17%-146.90M
16.88%-144.70M
8.63%-162.16M
-3.27%-171.37M
-0.97%-173.17M
-72.20%-174.09M
-174.41%-177.48M
-355.59%-165.95M
-408.88%-171.50M
-266.34%-101.10M
-133.09%-64.67M
-430.35%-36.42M
-281.86%-33.70M
-247.06%-27.60M
-248.31%-27.75M
13.20%-6.87M
---8.83M
---7.95M
---7.97M
---7.91M
Kapitalrücklagen
2796.84%716.71M
-31.94%30.42M
9.72%26.99M
20.72%25.07M
31.16%24.74M
169.27%44.70M
63.82%24.60M
57.43%20.76M
54.16%18.86M
-82.59%16.60M
42.51%15.01M
85.38%13.19M
140.15%12.24M
1464.53%95.32M
66.76%10.54M
17.20%7.11M
-14.71%5.10M
7.43%6.09M
12.63%6.32M
8.15%6.07M
9.14%5.97M
2.08%5.67M
11.41%5.61M
14.44%5.61M
30.44%5.47M
20.69%5.56M
80.67%5.03M
15964.21%4.90M
--4.20M
15520.76%4.60M
9142.72%2.79M
-0.30%30.53K
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--29.47K
--30.15K
--30.63K
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-92.48%6.29M
371.57%134.05M
780.55%69.21M
387.54%61.46M
1029.23%83.61M
173.75%28.43M
-22.61%7.86M
16.26%12.61M
-68.36%7.40M
935.29%10.38M
2225.37%10.16M
2459.95%10.84M
132.65%23.40M
487.05%1.00M
25.55%-477.89K
154.31%423.58K
3922.61%10.06M
-307.48%-259.14K
-1294.48%-641.89K
-1388.08%-780.00K
-449.76%-263.11K
-70.08%124.90K
-130.24%-46.03K
-148.45%-52.42K
-119.44%-47.86K
13.58%417.43K
-48.60%152.21K
--108.19K
--246.19K
--367.51K
--296.15K
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Gesamtes Eigenkapital
72.95%449.14M
141.24%434.36M
127.44%279.53M
92.96%273.19M
74.51%259.69M
27.81%180.05M
-46.21%122.90M
-45.54%141.58M
-61.75%148.82M
-67.39%140.87M
-14.40%228.49M
37.08%259.97M
203.58%389.05M
705.95%432.03M
648.03%266.94M
637.57%189.65M
507.75%128.15M
165.17%53.60M
115.05%35.69M
-8.38%25.71M
-3.93%21.09M
-77.63%20.22M
-86.83%16.59M
-81.77%28.06M
-85.47%21.95M
-41.59%90.39M
1005.99%125.99M
35280.99%153.92M
6976.41%151.11M
7257.73%154.74M
567.49%11.39M
116.22%435.03K
---2.20M
---2.16M
---2.44M
---2.68M
Währungseinheit
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Prüfungsmeinungen
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