tradingkey.logo

Immutep Ltd

IMMP

1.720USD

0.000
Trading geöffnet ETKurse um 15 Minuten verzögert
2.50BMarktkapitalisierung
--KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025H1
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
53.53%159.26M
47.37%181.88M
51.71%103.73M
54.28%123.42M
-31.39%68.38M
33.04%80.00M
81.59%99.66M
128.43%60.13M
167.50%54.88M
58.87%26.32M
-21.10%20.52M
-29.42%16.57M
89.77%26.00M
91.84%23.48M
-17.31%13.70M
-41.39%12.24M
-34.98%16.57M
208.89%20.88M
344.58%25.48M
-70.86%6.76M
-79.94%5.73M
-22.73%23.20M
1.82%28.58M
-21.07%30.02M
-40.86%28.07M
--38.04M
--47.46M
- Barmittel und Barmitteläquivalente
-28.77%73.89M
31.09%161.79M
51.71%103.73M
54.28%123.42M
-31.39%68.38M
33.04%80.00M
81.59%99.66M
128.43%60.13M
167.50%54.88M
58.87%26.32M
-21.10%20.52M
-29.42%16.57M
89.77%26.00M
91.84%23.48M
-17.31%13.70M
-41.39%12.24M
-34.98%16.57M
208.89%20.88M
344.58%25.48M
-52.40%6.76M
-66.80%5.73M
-35.52%14.20M
56.63%17.27M
29.61%22.02M
4.93%11.02M
--16.99M
--10.51M
-Kurzfristige Anlagen
--85.37M
--20.09M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
12.50%9.00M
-33.63%11.31M
-61.99%8.00M
-53.88%17.05M
--21.05M
--36.96M
Forderungen
28.93%7.93M
-5.20%7.56M
23.05%6.15M
-4.78%7.97M
-28.31%5.00M
36.73%8.37M
31.25%6.97M
80.57%6.12M
11.53%5.31M
-35.16%3.39M
28.73%4.76M
50.22%5.23M
-3.06%3.70M
58.71%3.48M
138.36%3.81M
1202.11%2.19M
599.53%1.60M
-47.24%168.50K
-96.76%228.75K
-11.74%319.41K
267.64%7.05M
1.25%361.91K
-5.17%1.92M
-54.95%357.44K
6.09%2.02M
--793.39K
--1.91M
-Forderungen aus Lieferungen und Leistungen
-99.04%1.55K
-95.99%5.24K
24049.03%161.07K
652.83%130.68K
--667.00
-66.17%17.36K
----
--51.31K
----
----
----
----
--3.03K
----
----
----
----
----
----
----
----
----
----
----
----
--280.38K
--1.13M
-Sonstige Forderungen
53.51%6.62M
3.98%6.30M
1.22%4.32M
-3.31%6.06M
-26.83%4.26M
18.31%6.27M
18.15%5.83M
64.53%5.30M
7.19%4.93M
-35.13%3.22M
30.32%4.60M
49.89%4.96M
-1.11%3.53M
65.00%3.31M
135.21%3.57M
2015.48%2.01M
1201.76%1.52M
-43.96%94.86K
-98.29%116.59K
2.28%169.26K
288.03%6.83M
5.44%165.50K
-5.48%1.76M
-69.40%156.97K
138.82%1.86M
--513.01K
--779.76K
Inventar
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
--191.73K
--172.67K
Aktive Rechnungsabgrenzungsposten
118.73%6.57M
-45.92%1.90M
67.29%3.00M
48.08%3.52M
84.29%1.79M
42.97%2.38M
-52.25%973.77K
18.52%1.66M
32.31%2.04M
-16.75%1.40M
189.85%1.54M
2.37%1.69M
-31.00%531.74K
172.30%1.65M
72.63%770.65K
2.16%604.69K
-27.19%446.42K
55.46%591.93K
-42.64%613.10K
-65.09%380.75K
20.11%1.07M
-22.67%1.09M
-43.59%889.87K
-24.49%1.41M
-7.13%1.58M
--1.87M
--1.70M
Sonstige kurzfristige Vermögenswerte
-92.53%11.46K
-79.34%10.99K
197.15%153.44K
-18.24%53.19K
-5.73%51.64K
-87.08%65.06K
41.26%54.77K
1346.15%503.58K
-4.33%38.77K
-39.08%34.82K
-61.33%40.53K
47.17%57.16K
179.43%104.81K
-95.60%38.84K
-18.25%37.51K
2760.12%883.49K
47.12%45.89K
-94.52%30.89K
-95.81%31.19K
1702.44%563.30K
2482.88%743.61K
78.96%31.25K
31.65%28.79K
33.85%17.46K
58.19%21.87K
--13.05K
--13.82K
Summe der kurzfristigen Vermögenswerte
53.72%173.76M
41.78%191.35M
50.28%113.04M
48.62%134.97M
-30.13%75.22M
32.73%90.81M
72.89%107.65M
119.63%68.42M
131.84%62.27M
32.33%31.15M
-11.47%26.86M
-17.81%23.54M
65.55%30.34M
79.93%28.64M
-1.81%18.32M
-26.54%15.92M
-29.19%18.66M
170.11%21.67M
80.58%26.36M
-67.50%8.02M
-53.54%14.60M
-22.40%24.68M
-0.87%31.42M
-22.23%31.81M
-38.17%31.69M
--40.90M
--51.25M
Langfristige Vermögenswerte
Nettoanlagevermögen
-14.64%679.03K
45.08%679.72K
191.61%795.45K
52.08%468.51K
-18.98%272.78K
-0.52%308.08K
1.59%336.70K
23.60%309.70K
4.82%331.44K
373.22%250.57K
737.65%316.19K
100.20%52.95K
51.47%37.75K
9.28%26.45K
4.66%24.92K
-23.17%24.20K
-79.39%23.81K
-89.43%31.50K
-74.03%115.56K
-48.38%297.96K
-41.52%444.97K
-30.84%577.26K
67.79%760.87K
72.48%834.68K
-29.28%453.48K
--483.93K
--641.23K
-Anlagevermögen
-4.82%1.39M
23.22%1.37M
54.70%1.46M
18.29%1.11M
-3.01%941.15K
0.19%941.07K
1.94%970.33K
8.33%939.31K
4.14%951.91K
34.56%867.08K
47.48%914.11K
8.34%644.39K
6.77%619.80K
4.88%594.81K
4.41%580.51K
1.05%567.14K
113.62%555.99K
-12.42%561.23K
-81.58%260.27K
-51.62%640.84K
4.67%1.41M
11.20%1.32M
100.99%1.35M
80.67%1.19M
-5.96%671.65K
--659.23K
--714.20K
-Abgegrenzte Abschreibungen
7.01%706.79K
7.34%692.01K
-1.18%660.48K
1.85%644.71K
5.48%668.38K
0.54%632.99K
2.12%633.63K
2.12%629.61K
3.77%620.47K
4.24%616.51K
2.73%597.92K
4.06%591.45K
4.76%582.05K
4.68%568.36K
4.40%555.59K
2.49%542.93K
267.77%532.18K
54.49%529.73K
-85.05%144.70K
-54.11%342.88K
64.33%967.99K
109.67%747.24K
169.99%589.04K
103.30%356.38K
199.00%218.17K
--175.30K
--72.97K
Goodwill und andere immaterielle Vermögenswerte
-11.03%7.78M
-13.16%8.24M
-12.64%8.74M
-10.08%9.49M
-14.83%10.01M
-17.85%10.55M
-15.33%11.75M
-15.45%12.85M
-12.08%13.88M
-10.34%15.19M
-11.66%15.78M
-7.54%16.95M
-4.45%17.86M
-3.63%18.33M
-3.98%18.70M
-8.78%19.02M
-10.57%19.47M
-7.99%20.85M
-9.38%21.77M
19288.98%22.66M
16574.59%24.03M
-31.78%116.88K
-27.42%144.10K
-24.11%171.32K
-52.93%198.54K
--225.76K
--421.80K
Langfristige im Voraus bezahlte Aufwendungen
-91.06%108.65K
-48.19%1.31M
136.66%1.22M
409.40%2.52M
9.13%513.58K
9.13%495.66K
--470.59K
--454.19K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--490.00K
----
----
----
----
Sonstige langfristige Vermögenswerte
-91.06%108.65K
-48.19%1.31M
136.66%1.22M
409.40%2.52M
9.13%513.58K
9.13%495.66K
--470.59K
--454.19K
----
----
----
----
----
----
----
----
----
----
----
----
-50.66%241.75K
----
--490.00K
----
----
----
----
Summe der langfristigen Vermögenswerte
-20.34%8.56M
-18.06%10.23M
-0.38%10.75M
9.91%12.48M
-14.04%10.79M
-16.56%11.36M
-11.62%12.56M
-11.88%13.61M
-11.75%14.21M
-9.14%15.45M
-10.08%16.10M
-7.39%17.00M
-4.38%17.90M
-3.62%18.36M
-3.97%18.72M
-8.80%19.04M
-10.93%19.50M
-9.05%20.88M
-11.43%21.89M
3207.71%22.96M
1671.72%24.71M
-31.00%694.15K
113.95%1.39M
41.75%1.01M
-38.66%652.01K
--709.69K
--1.06M
Summe der Vermögenswerte
47.29%182.33M
36.71%201.58M
43.92%123.79M
44.32%147.45M
-28.45%86.01M
24.55%102.17M
57.19%120.21M
76.04%82.03M
78.03%76.47M
14.94%46.60M
-10.95%42.96M
-13.74%40.54M
30.21%48.24M
34.42%47.00M
-2.92%37.05M
-17.84%34.96M
-20.91%38.16M
37.34%42.55M
22.73%48.25M
22.09%30.98M
19.80%39.31M
-22.66%25.38M
1.45%32.81M
-21.14%32.81M
-38.18%32.34M
--41.61M
--52.32M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
17.16%3.33M
--5.77M
--2.84M
-100.00%0.00
--0.00
--131.90K
----
----
----
----
----
----
----
----
----
----
----
--0.00
-100.00%0.00
----
--6.22M
----
----
----
----
----
----
Rückstellungen
28.55%607.73K
22.81%690.57K
23.90%472.75K
57.49%562.30K
-0.07%381.55K
1.97%357.03K
72.27%381.83K
16.53%350.13K
-1.43%221.64K
25.94%300.47K
39.73%224.85K
25.89%238.57K
68.41%160.91K
338.42%189.51K
159.00%95.55K
56.09%43.23K
-43.08%36.89K
-65.51%27.69K
-32.01%64.81K
-20.94%80.30K
-26.22%95.33K
229.77%101.57K
524.42%129.21K
-73.25%30.80K
-83.69%20.69K
--115.14K
--126.87K
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
515.73%1.29M
26.14%233.62K
53.65%210.12K
6.82%185.21K
-35.79%136.76K
-16.72%173.38K
0.29%212.97K
60.88%208.19K
68.48%212.36K
--129.41K
--126.05K
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
--1.51M
--667.08K
----
----
----
----
----
----
-Kurzfristige Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
----
----
----
----
----
----
----
----
-Kurzfristige Leasingverpflichtungen
24.29%261.16K
26.14%233.62K
53.65%210.12K
6.82%185.21K
-35.79%136.76K
-16.72%173.38K
0.29%212.97K
60.88%208.19K
68.48%212.36K
--129.41K
--126.05K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Andere kurzfristige Verbindlichkeiten
17.16%3.33M
--5.77M
--2.84M
-100.00%0.00
--0.00
--131.90K
----
----
----
----
----
----
----
----
----
----
----
--0.00
-100.00%0.00
----
--6.22M
----
----
----
----
----
----
Summe der kurzfristigen Verbindlichkeiten
40.50%9.21M
7.31%10.49M
-21.77%6.56M
52.34%9.77M
6.74%8.38M
20.12%6.41M
50.58%7.85M
58.73%5.34M
31.48%5.21M
-36.51%3.36M
-4.00%3.97M
37.51%5.30M
83.22%4.13M
46.40%3.85M
75.82%2.25M
78.80%2.63M
-23.59%1.28M
-66.39%1.47M
-83.13%1.68M
58.06%4.38M
255.82%9.95M
-22.17%2.77M
-6.13%2.80M
-19.90%3.56M
-36.20%2.98M
--4.44M
--4.67M
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
37.30%253.27K
28.33%211.01K
50.72%184.46K
40.24%164.43K
11.26%122.39K
31.87%117.25K
56.28%110.00K
43.46%88.92K
28.98%70.39K
29.86%61.98K
30.72%54.57K
47.74%47.73K
32.81%41.74K
57.59%32.30K
-37.56%31.43K
-52.50%20.50K
33.79%50.34K
20.85%43.15K
-1.48%37.63K
141.27%35.71K
283.01%38.19K
157.46%14.80K
219.41%9.97K
-44.35%5.75K
-27.16%3.12K
--10.33K
--4.29K
Langfristige Schulden und Leasingverbindlichkeiten
-100.00%0.00
15.00%960.76K
15.00%897.92K
-42.50%835.45K
-71.25%780.80K
-42.50%1.45M
-71.25%2.72M
-71.25%2.53M
15.00%9.45M
15.00%8.79M
15.00%8.21M
15.00%7.64M
15.00%7.14M
15.00%6.65M
15.00%6.21M
14.96%5.78M
14.95%5.40M
--5.03M
65.85%4.70M
--0.00
--2.83M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Langfristige Verbindlichkeiten
-100.00%0.00
15.00%960.76K
15.00%897.92K
-42.50%835.45K
-71.25%780.80K
-42.50%1.45M
-71.25%2.72M
-71.25%2.53M
15.00%9.45M
15.00%8.79M
15.00%8.21M
15.00%7.64M
15.00%7.14M
15.00%6.65M
15.00%6.21M
14.96%5.78M
14.95%5.40M
--5.03M
65.85%4.70M
----
--2.83M
----
----
----
----
----
----
Mitarbeitervorteile
32.90%245.15K
23.56%203.18K
50.72%184.46K
40.24%164.43K
11.26%122.39K
31.87%117.25K
56.28%110.00K
43.46%88.92K
28.98%70.39K
29.86%61.98K
30.72%54.57K
47.74%47.73K
32.81%41.74K
57.59%32.30K
-37.56%31.43K
-52.50%20.50K
33.79%50.34K
20.85%43.15K
-1.48%37.63K
141.27%35.71K
283.01%38.19K
157.46%14.80K
219.41%9.97K
-44.35%5.75K
-27.16%3.12K
--10.33K
--4.29K
Derivative-Verbindlichkeiten
----
----
----
--0.00
----
-100.00%0.00
-43.82%538.44K
-23.87%722.97K
-62.33%958.45K
-69.99%949.60K
-25.01%2.54M
7.44%3.16M
138.55%3.39M
--2.95M
--1.42M
----
----
----
----
----
----
----
----
----
----
----
----
Andere langfristige Verbindlichkeiten
37.30%253.27K
28.33%211.01K
50.72%184.46K
40.24%164.43K
11.26%122.39K
31.87%117.25K
56.28%110.00K
43.46%88.92K
28.98%70.39K
29.86%61.98K
30.72%54.57K
47.74%47.73K
32.81%41.74K
57.59%32.30K
-37.56%31.43K
-52.50%20.50K
33.79%50.34K
20.85%43.15K
-1.48%37.63K
141.27%35.71K
283.01%38.19K
157.46%14.80K
219.41%9.97K
-44.35%5.75K
-98.99%3.12K
--10.33K
--308.87K
Gesamt langfristige Verbindlichkeiten
-59.46%644.32K
30.12%1.57M
69.38%1.59M
-28.03%1.21M
-72.99%938.28K
-50.93%1.68M
-67.12%3.47M
-65.58%3.42M
-3.56%10.57M
-8.49%9.93M
3.59%10.96M
12.80%10.85M
38.00%10.58M
65.94%9.62M
36.33%7.66M
0.61%5.80M
-7.05%5.62M
201.17%5.76M
-5.32%6.05M
12833.57%1.91M
63971.34%6.39M
157.46%14.80K
219.41%9.97K
-44.35%5.75K
-98.99%3.12K
--10.33K
--308.87K
Gesamtverbindlichkeiten
21.00%9.86M
9.82%12.06M
-12.60%8.15M
35.68%10.98M
-17.72%9.32M
-7.61%8.09M
-28.23%11.33M
-34.13%8.76M
5.76%15.78M
-17.68%13.30M
1.46%14.92M
19.86%16.15M
48.28%14.71M
59.84%13.48M
43.66%9.92M
16.51%8.43M
-10.64%6.90M
14.98%7.24M
-52.71%7.73M
125.93%6.29M
482.21%16.34M
-21.88%2.79M
-5.90%2.81M
-19.95%3.57M
-40.09%2.98M
--4.45M
--4.98M
Eigenkapital der Aktionäre
Stammkapital
20.48%567.41M
20.68%567.16M
19.87%470.97M
20.20%469.97M
1.06%392.90M
16.23%390.98M
25.53%388.76M
26.55%336.38M
22.14%309.70M
20.23%265.82M
15.23%253.56M
3.69%221.09M
9.91%220.05M
9.15%213.23M
2.65%200.21M
0.42%195.35M
0.34%195.04M
8.15%194.53M
26.93%194.38M
20.71%179.88M
2.89%153.14M
4.70%149.01M
8.87%148.84M
4.11%142.33M
0.33%136.71M
--136.71M
--136.26M
Gewinnrücklagen
-12.15%-405.02M
-12.57%-382.65M
-12.63%-361.16M
-12.43%-339.93M
-10.22%-320.66M
-10.08%-302.34M
0.23%-290.91M
0.39%-274.64M
-8.72%-291.58M
-40.16%-275.71M
-43.78%-268.19M
-9.46%-196.70M
-7.76%-186.52M
-6.45%-179.71M
-5.68%-173.09M
-6.03%-168.82M
-6.45%-163.79M
-2.59%-159.21M
-18.20%-153.86M
-22.75%-155.19M
-9.54%-130.17M
-11.80%-126.42M
-10.69%-118.83M
-13.58%-113.08M
-20.72%-107.35M
---99.55M
---88.93M
Kapitalrücklagen
0.39%24.35M
5.73%25.05M
7.50%24.26M
0.51%23.69M
-3.61%22.56M
2.68%23.57M
4.88%23.41M
0.57%22.96M
-1.04%22.32M
--22.83M
--22.56M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
131.13%7.50M
-6.42%2.42M
74.56%3.24M
927.55%2.59M
174.76%1.86M
-78.54%252.00K
-40.36%676.34K
-33.08%1.17M
-7.49%1.13M
--1.75M
--1.23M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Nicht beherrschende Anteile
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
Gesamtes Eigenkapital
49.14%172.47M
38.87%189.52M
50.79%115.64M
45.06%136.47M
-29.57%76.69M
28.40%94.08M
79.40%108.88M
120.04%73.27M
116.51%60.69M
36.54%33.30M
-16.40%28.03M
-27.25%24.39M
23.60%33.53M
26.34%33.52M
-13.21%27.13M
-24.87%26.53M
-22.87%31.25M
43.05%35.32M
76.40%40.52M
9.28%24.69M
-23.45%22.97M
-22.76%22.59M
2.20%30.01M
-21.29%29.25M
-37.98%29.36M
--37.16M
--47.34M
Währungseinheit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Prüfungsmeinungen
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
tradingkey.logo
tradingkey.logo
Intraday-Daten werden von Refinitiv bereitgestellt und unterliegen den Nutzungsbedingungen. Historische und aktuelle End-of-Day-Daten stammen ebenfalls von Refinitiv. Alle Kursangaben entsprechen der lokalen Börsenzeit. Echtzeit-Kursdaten zu US-Aktien beziehen sich ausschließlich auf über Nasdaq gemeldete Transaktionen. Intraday-Daten sind mindestens 15 Minuten oder gemäß den Vorgaben der jeweiligen Börse verzögert.
* Referenzen, Analysen und Handelsstrategien werden vom Drittanbieter Trading Central bereitgestellt, und der Standpunkt basiert auf der unabhängigen Bewertung und Beurteilung des Analysten, ohne die Anlageziele und die finanzielle Situation der Investoren zu berücksichtigen.
Risikohinweis: Unsere Website und mobile App bieten lediglich allgemeine Informationen zu bestimmten Anlageprodukten. Finsights stellt keine Finanzberatung oder Empfehlung für ein Anlageprodukt bereit, und die Bereitstellung solcher Informationen darf nicht als Finanzberatung durch Finsights ausgelegt werden.
Anlageprodukte unterliegen erheblichen Anlagerisiken, einschließlich des möglichen Verlusts des investierten Kapitals und sind möglicherweise nicht für jeden geeignet. Die vergangene Wertentwicklung von Anlageprodukten ist nicht unbedingt ein Hinweis auf deren zukünftige Wertentwicklung.
Finsights kann Drittanbietern oder Partnern erlauben, Werbung auf unserer Website oder in unserer mobilen App oder in Teilen davon zu platzieren oder bereitzustellen. Finsights kann für diese Anzeigenvergütung erhalten, basierend auf Ihrer Interaktion mit den Werbeanzeigen.
© Urheberrecht: FINSIGHTS MEDIA PTE. LTD. Alle Rechte vorbehalten.
KeyAI