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Inmode Ltd

INMD

13.870USD

+0.130+0.95%
Trading geöffnet ETKurse um 15 Minuten verzögert
876.71MMarktkapitalisierung
4.99KGV TTM
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FY2018Q4
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FY2018Q1
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FY2017Q3
FY2017Q2
FY2017Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-41.76%14.04M
-47.05%32.44M
-17.84%34.05M
-20.64%42.06M
14.21%24.11M
7.20%61.27M
-9.10%41.44M
12.81%53.00M
-33.72%21.11M
8.05%57.15M
-9.67%45.59M
0.49%46.98M
28.62%31.85M
27.19%52.89M
67.16%50.47M
3431.19%46.75M
304.67%24.77M
51.67%41.59M
123.41%30.19M
-92.84%1.32M
120.86%6.12M
189.81%27.42M
87.03%13.52M
44.52%18.50M
-62.54%2.77M
60.17%9.46M
88.13%7.23M
397.94%12.80M
223.01%7.40M
--5.91M
--3.84M
--2.57M
--2.29M
Nettoergebnis aus fortgeführten Aktivitäten
-23.19%18.20M
50.04%82.77M
9.61%50.99M
-57.26%23.82M
-41.50%23.70M
46.30%55.16M
-4.65%46.52M
26.52%55.73M
30.77%40.51M
-28.43%37.71M
9.10%48.79M
7.63%44.05M
15.81%30.98M
46.06%52.69M
87.23%44.72M
376.98%40.92M
312.05%26.75M
90.12%36.07M
47.50%23.88M
-45.82%8.58M
-36.10%6.49M
8763.01%18.97M
87.46%16.19M
108.91%15.84M
59.57%10.16M
-106.60%-219.00K
197.14%8.64M
128.86%7.58M
985.40%6.37M
--3.32M
--2.91M
--3.31M
---719.00K
Betriebsergebnisse und -verluste
5.45%174.00K
103.28%248.00K
6.98%138.00K
-3.80%177.00K
-12.23%165.00K
-44.04%122.00K
-23.67%129.00K
18.71%184.00K
36.23%188.00K
56.83%218.00K
24.26%169.00K
21.09%155.00K
21.05%138.00K
27.52%139.00K
25.93%136.00K
21.90%128.00K
21.28%114.00K
23.86%109.00K
40.26%108.00K
41.89%105.00K
49.21%94.00K
66.04%88.00K
45.28%77.00K
72.09%74.00K
80.00%63.00K
15.22%53.00K
70.97%53.00K
19.44%43.00K
-61.54%35.00K
--46.00K
--31.00K
--36.00K
--91.00K
Andere nicht monetäre Posten
434.67%802.00K
-17011.69%-54.96M
-21.43%165.00K
-86.51%41.00K
5100.00%150.00K
1400.00%325.00K
255.93%210.00K
-2.25%304.00K
-101.60%-3.00K
89.50%-25.00K
141.84%59.00K
67.20%311.00K
408.20%188.00K
-144.74%-238.00K
-140.63%-141.00K
-69.90%186.00K
-109.05%-61.00K
221.46%532.00K
2769.23%347.00K
1165.52%618.00K
9728.57%674.00K
-5.80%-438.00K
76.36%-13.00K
26.58%-58.00K
90.91%-7.00K
-637.66%-414.00K
78.52%-55.00K
42.75%-79.00K
0.00%-77.00K
--77.00K
---256.00K
---138.00K
---77.00K
Veränderung des Umlaufvermögens
-816.39%-6.08M
-172.69%-591.00K
-119.32%-25.12M
308.72%17.79M
103.81%848.00K
-94.51%813.00K
3.60%-11.45M
-79.10%-8.53M
-741.80%-22.27M
673.45%14.82M
-777.70%-11.88M
-320.47%-4.76M
48.52%-2.65M
-214.54%-2.58M
-52.86%1.75M
123.43%2.16M
30.28%-5.14M
-74.58%2.26M
222.30%3.72M
-489.81%-9.21M
3.78%-7.37M
-4.56%8.88M
-151.95%-3.04M
-46.49%2.36M
-2846.24%-7.66M
728.14%9.30M
-350.94%-1.21M
613.12%4.42M
-89.94%279.00K
--1.12M
--481.00K
---861.00K
--2.77M
-Änderung der Forderungen
-84.76%1.01M
67.73%5.90M
71.65%-3.43M
24.51%-8.86M
229.97%6.64M
1375.36%3.52M
-100.36%-12.10M
-35.80%-11.74M
-27.05%2.01M
-475.00%-276.00K
28.99%-6.04M
-253.87%-8.64M
146.36%2.76M
-101.21%-48.00K
-19.93%-8.50M
18.08%-2.44M
-513.30%-5.95M
947.37%3.98M
-71.36%-7.09M
-259.38%-2.98M
-195.10%-970.00K
129.43%380.00K
-56.15%-4.14M
-25.52%1.87M
425.88%1.02M
-11.10%-1.29M
-245.95%-2.65M
174.36%2.51M
-119.74%-313.00K
---1.16M
---766.00K
---3.38M
--1.59M
-Änderung des Inventars
34.95%-4.23M
75.24%-1.26M
-298.10%-5.66M
-145.70%-1.02M
-611.93%-6.51M
-24.93%-5.11M
76.51%-1.42M
148.13%2.24M
77.57%-914.00K
-121.16%-4.09M
-239.13%-6.05M
-175.09%-4.66M
-468.20%-4.07M
-1550.00%-1.85M
-231.56%-1.78M
59.09%-1.69M
73.23%-717.00K
87.73%-112.00K
254.27%1.36M
-690.27%-4.14M
-1975.97%-2.68M
32.47%-913.00K
-512.68%-879.00K
-827.78%-524.00K
84.34%-129.00K
-37.68%-1.35M
121.56%213.00K
-34.55%72.00K
-70.95%-824.00K
---982.00K
---988.00K
--110.00K
---482.00K
-Änderung bei anderen kurzfristigen Verbindlichkeiten
-382.66%-4.12M
-713.58%-4.70M
-588.12%-14.79M
7646.13%25.36M
107.63%1.46M
-95.28%766.00K
341.71%3.03M
-105.37%-336.00K
-813.81%-19.12M
2884.73%16.23M
-111.53%-1.25M
4.51%6.25M
-497.72%-2.09M
84.41%-583.00K
18.30%10.88M
526.75%5.98M
111.10%526.00K
-137.11%-3.74M
614.61%9.20M
-1961.76%-1.40M
-292.45%-4.74M
156.91%10.08M
170.95%1.29M
-102.66%-68.00K
165.02%2.46M
43.24%3.92M
-79.86%475.00K
43.03%2.56M
-21.80%929.00K
--2.74M
--2.36M
--1.79M
--1.19M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-41.76%14.04M
-47.05%32.44M
-17.84%34.05M
-20.64%42.06M
14.21%24.11M
7.20%61.27M
-9.10%41.44M
12.81%53.00M
-33.72%21.11M
8.05%57.15M
-9.67%45.59M
0.49%46.98M
28.62%31.85M
27.19%52.89M
67.16%50.47M
3431.19%46.75M
304.67%24.77M
51.67%41.59M
123.41%30.19M
-92.84%1.32M
120.86%6.12M
189.81%27.42M
87.03%13.52M
44.52%18.50M
-62.54%2.77M
60.17%9.46M
88.13%7.23M
397.94%12.80M
223.01%7.40M
--5.91M
--3.84M
--2.57M
--2.29M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-24.11%85.00K
1014.29%234.00K
-48.32%77.00K
26.80%246.00K
-67.16%112.00K
-93.60%21.00K
-61.50%149.00K
-65.42%194.00K
14.05%341.00K
80.22%328.00K
52.36%387.00K
65.98%561.00K
81.21%299.00K
420.00%182.00K
146.60%254.00K
49.56%338.00K
66.67%165.00K
-80.00%35.00K
90.74%103.00K
162.79%226.00K
-73.81%99.00K
98.86%175.00K
-34.15%54.00K
-48.19%86.00K
740.00%378.00K
193.33%88.00K
-17.17%82.00K
232.00%166.00K
350.00%45.00K
--30.00K
--99.00K
--50.00K
--10.00K
Investitionsausgaben
-24.11%85.00K
1014.29%234.00K
-48.32%77.00K
26.80%246.00K
-67.16%112.00K
-93.60%21.00K
-61.50%149.00K
-65.42%194.00K
14.05%341.00K
80.22%328.00K
52.36%387.00K
65.98%561.00K
81.21%299.00K
420.00%182.00K
146.60%254.00K
49.56%338.00K
66.67%165.00K
-80.00%35.00K
90.74%103.00K
162.79%226.00K
-73.81%99.00K
98.86%175.00K
-34.15%54.00K
-48.19%86.00K
740.00%378.00K
193.33%88.00K
-17.17%82.00K
232.00%166.00K
350.00%45.00K
--30.00K
--99.00K
--50.00K
--10.00K
Netto-Cashflow aus der Veräußerung von Anlagevermögen
-24.11%85.00K
1014.29%234.00K
-48.32%77.00K
26.80%246.00K
-67.16%112.00K
-93.60%21.00K
-61.50%149.00K
-65.42%194.00K
14.05%341.00K
80.22%328.00K
52.36%387.00K
65.98%561.00K
81.21%299.00K
420.00%182.00K
146.60%254.00K
49.56%338.00K
66.67%165.00K
-80.00%35.00K
90.74%103.00K
162.79%226.00K
-73.81%99.00K
98.86%175.00K
-34.15%54.00K
-48.19%86.00K
740.00%378.00K
193.33%88.00K
-17.17%82.00K
232.00%166.00K
350.00%45.00K
--30.00K
--99.00K
--50.00K
--10.00K
Netto-Cashflow aus Anlageprodukten
259.84%75.57M
251.05%78.05M
263.81%114.13M
36.13%17.97M
-73.72%-47.28M
-36.17%-51.67M
-24.98%-69.67M
828.13%13.20M
-119.60%-27.21M
-23.91%-37.95M
-16.41%-55.75M
95.80%-1.81M
66.90%-12.39M
-16.25%-30.63M
-77.66%-47.89M
-342.27%-43.21M
-407.50%-37.44M
14.55%-26.34M
57.55%-26.95M
309.56%17.84M
11.27%-7.38M
-490.18%-30.83M
-225.45%-63.50M
-218.29%-8.51M
-326.85%-8.31M
-73.09%-5.22M
-1193.90%-19.51M
-175.95%-2.67M
---1.95M
---3.02M
---1.51M
---969.00K
--0.00
Netto-Cashflow aus anderen Investitionstätigkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
100.00%0.00
----
----
----
---600.00K
----
----
----
----
----
----
----
----
----
----
----
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
259.28%75.48M
250.53%77.82M
263.35%114.06M
36.27%17.73M
-71.98%-47.39M
-35.06%-51.69M
-24.39%-69.82M
647.89%13.01M
-117.11%-27.56M
-24.24%-38.27M
-16.60%-56.13M
94.55%-2.37M
66.25%-12.69M
-16.78%-30.81M
-77.92%-48.14M
-347.30%-43.55M
-402.98%-37.61M
16.53%-26.38M
57.43%-27.06M
304.84%17.61M
13.99%-7.48M
-494.99%-31.61M
-224.36%-63.56M
-202.71%-8.60M
-336.18%-8.69M
-74.28%-5.31M
-1119.29%-19.59M
-178.70%-2.84M
-19830.00%-1.99M
---3.05M
---1.61M
---1.02M
---10.00K
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-42606.84%-99.47M
-43165.09%-118.43M
-2884.57%-75.99M
-10811.61%-88.58M
-86.01%234.00K
-56.83%275.00K
396.18%2.73M
305.39%827.00K
103.94%1.67M
102.78%637.00K
-89.42%550.00K
103.21%204.00K
-570.49%-42.48M
-45.98%-22.90M
644.99%5.20M
-1255.92%-6.35M
351.17%9.03M
-21302.70%-15.69M
-99.00%698.00K
3560.00%549.00K
1540.16%2.00M
640.00%74.00K
368121.05%69.96M
114.29%15.00K
-18.67%122.00K
-77.27%10.00K
--19.00K
--7.00K
-91.38%150.00K
--44.00K
--0.00
--0.00
--1.74M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
---99.96M
---119.85M
---76.56M
---88.98M
----
--0.00
--0.00
--0.00
----
100.00%0.00
--0.00
100.00%0.00
-4834.84%-42.64M
-36.16%-23.44M
--0.00
---11.06M
---864.00K
---17.22M
-100.00%0.00
----
----
--0.00
--69.78M
----
----
----
----
----
----
----
----
----
----
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
111.11%494.00K
416.36%1.42M
-79.30%565.00K
-52.24%395.00K
-86.01%234.00K
-56.83%275.00K
396.18%2.73M
305.39%827.00K
939.13%1.67M
17.96%637.00K
-89.42%550.00K
-95.67%204.00K
-98.37%161.00K
-64.66%540.00K
644.99%5.20M
758.11%4.71M
394.35%9.89M
1964.86%1.53M
292.13%698.00K
3560.00%549.00K
1540.16%2.00M
640.00%74.00K
836.84%178.00K
114.29%15.00K
-18.67%122.00K
-77.27%10.00K
--19.00K
--7.00K
1150.00%150.00K
--44.00K
--0.00
--0.00
--12.00K
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-42606.84%-99.47M
-43165.09%-118.43M
-2884.57%-75.99M
-10811.61%-88.58M
-86.01%234.00K
-56.83%275.00K
396.18%2.73M
305.39%827.00K
103.94%1.67M
102.78%637.00K
-89.42%550.00K
103.21%204.00K
-570.49%-42.48M
-45.98%-22.90M
644.99%5.20M
-1255.92%-6.35M
351.17%9.03M
-21302.70%-15.69M
-99.00%698.00K
3560.00%549.00K
1540.16%2.00M
640.00%74.00K
368121.05%69.96M
114.29%15.00K
-18.67%122.00K
-77.27%10.00K
--19.00K
--7.00K
-91.38%150.00K
--44.00K
--0.00
--0.00
--1.74M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
7.56%155.33M
23.26%164.84M
-42.45%92.00M
30.09%120.93M
48.05%144.41M
73.57%133.73M
80.82%159.85M
108.11%92.96M
43.15%97.54M
11.78%77.05M
43.11%88.40M
-31.17%44.67M
-1.16%68.14M
0.14%68.93M
-4.62%61.77M
43.78%64.90M
54.13%68.94M
41.33%68.83M
124.29%64.77M
138.18%45.14M
80.93%44.73M
136.13%48.70M
-12.49%28.88M
-18.09%18.95M
40.52%24.72M
41.14%20.63M
168.32%33.00M
115.82%23.14M
112.63%17.59M
--14.61M
--12.30M
--10.72M
--8.27M
Änderungen des Cashflows im aktuellen Zeitraum
60.05%-9.38M
-189.05%-9.51M
378.85%72.84M
-143.25%-28.93M
-412.80%-23.48M
-47.89%10.68M
-130.03%-26.12M
52.96%66.89M
80.49%-4.58M
2687.37%20.49M
-258.69%-11.36M
1497.70%43.73M
-481.27%-23.47M
-868.93%-792.00K
75.91%7.16M
-115.94%-3.13M
-1082.24%-4.04M
102.59%103.00K
-79.48%4.07M
97.75%19.63M
107.12%411.00K
-197.14%-3.98M
260.27%19.83M
0.65%9.93M
-204.10%-5.77M
37.46%4.09M
-634.20%-12.37M
524.97%9.86M
37.75%5.54M
--2.98M
--2.32M
--1.58M
--4.02M
Auswirkungen von Wechselkursänderungen
226.65%556.00K
-261.79%-1.34M
253.91%728.00K
-320.00%-132.00K
-329.84%-439.00K
-15.44%827.00K
65.35%-473.00K
105.57%60.00K
226.49%191.00K
3661.54%978.00K
-263.03%-1.36M
-7792.86%-1.08M
32.29%-151.00K
-95.56%26.00K
-260.68%-376.00K
-90.41%14.00K
4.29%-223.00K
334.07%586.00K
351.61%234.00K
1985.71%146.00K
-876.67%-233.00K
310.94%135.00K
-304.35%-93.00K
106.54%7.00K
372.73%30.00K
-184.21%-64.00K
-128.05%-23.00K
-511.54%-107.00K
-466.67%-11.00K
--76.00K
--82.00K
--26.00K
--3.00K
Endbestand an Zahlungsmitteln
20.69%145.95M
7.56%155.33M
23.26%164.84M
-42.45%92.00M
30.09%120.93M
48.05%144.41M
73.57%133.73M
80.82%159.85M
108.11%92.96M
43.15%97.54M
11.78%77.05M
43.11%88.40M
-31.17%44.67M
-1.16%68.14M
0.14%68.93M
-4.62%61.77M
43.78%64.90M
54.13%68.94M
41.33%68.83M
124.29%64.77M
138.18%45.14M
80.93%44.73M
136.13%48.70M
-12.49%28.88M
-18.09%18.95M
40.52%24.72M
41.14%20.63M
168.32%33.00M
88.13%23.14M
--17.59M
--14.61M
--12.30M
--12.30M
Freier Cashflow
-41.84%13.96M
-47.41%32.21M
-17.73%33.97M
-20.82%41.81M
15.55%24.00M
7.79%61.25M
-8.65%41.30M
13.76%52.81M
-34.17%20.77M
7.80%56.82M
-9.98%45.20M
0.01%46.42M
28.26%31.55M
26.86%52.71M
66.89%50.22M
4127.23%46.41M
308.59%24.60M
52.52%41.55M
123.54%30.09M
-94.04%1.10M
151.61%6.02M
190.66%27.24M
88.42%13.46M
45.73%18.41M
-67.45%2.39M
59.49%9.37M
90.91%7.14M
401.23%12.64M
222.46%7.35M
--5.88M
--3.74M
--2.52M
--2.28M
Währungseinheit
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Prüfungsmeinungen
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