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JBG SMITH Properties

JBGS

20.591USD

-0.319-1.53%
Trading geöffnet ETKurse um 15 Minuten verzögert
1.28BMarktkapitalisierung
VerlustKGV TTM
Vierteljährlich
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Vierteljährlich
Jährlich
YOY
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FY2019Q3
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FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-65.08%12.94M
-38.37%42.20M
3.59%26.38M
-49.21%23.77M
-13.11%37.04M
43.65%68.48M
12.08%25.46M
22.99%46.80M
-38.75%42.63M
-24.58%47.67M
-26.38%22.72M
-33.31%38.05M
4.66%69.60M
53.55%63.21M
-27.12%30.86M
30.85%57.05M
58.66%66.50M
-32.90%41.17M
-29.27%42.34M
25.03%43.60M
134.06%41.92M
19.05%61.35M
38.83%59.86M
-40.77%34.88M
-48.33%17.91M
1.46%51.53M
187.52%43.12M
78.13%58.88M
-12.47%34.66M
-12.67%50.79M
-570.85%-49.27M
-0.01%33.06M
-31.56%39.60M
7.32%58.16M
--10.46M
--33.06M
--57.86M
--54.19M
Nettoergebnis aus fortgeführten Aktivitäten
-27.28%-53.70M
-88.08%-70.84M
52.63%-31.31M
-172.68%-33.41M
-273.55%-42.19M
-80.64%-37.66M
-206.29%-66.10M
-108.66%-12.25M
31671.43%24.31M
67.08%-20.85M
-2266.77%-21.58M
4364.44%141.49M
99.68%-77.00K
-26.24%-63.33M
103.98%996.00K
91.76%-3.32M
-149.96%-24.07M
-229.66%-50.17M
-337.42%-25.00M
-1109.83%-40.26M
70.54%48.17M
3792.56%38.69M
-60.08%10.53M
-113.85%-3.33M
690.22%28.25M
105.30%994.00K
133.83%26.38M
111.82%24.02M
-175.75%-4.79M
-248.47%-18.75M
-471.14%-77.99M
-32.43%11.34M
-45.28%6.32M
-20.99%12.63M
--21.01M
--16.78M
--11.55M
--15.98M
Betriebsergebnisse und -verluste
-23.44%57.93M
-0.79%88.99M
-53.40%51.75M
7.01%54.01M
38.50%75.67M
57.26%89.71M
117.31%111.04M
-0.13%50.47M
-7.65%54.64M
-32.40%57.04M
-11.55%51.10M
-12.41%50.53M
-10.02%59.16M
11.86%84.38M
0.48%57.77M
7.77%57.70M
33.20%65.75M
23.47%75.43M
20.25%57.50M
13.62%53.54M
-1.15%49.36M
-11.07%61.10M
0.35%47.81M
-4.11%47.12M
-0.47%49.94M
29.88%68.70M
5.60%47.65M
51.81%49.14M
46.73%50.17M
49.17%52.90M
41.86%45.12M
-2.15%32.37M
-1.53%34.19M
0.89%35.46M
--31.81M
--33.08M
--34.73M
--35.15M
Abgegrenzte Steuer
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-86.07%-1.34M
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93.10%-718.00K
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---10.41M
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Andere nicht monetäre Posten
365.37%9.61M
-364.15%-7.44M
72.14%-572.00K
150.55%1.06M
43.67%-3.62M
157.15%2.82M
67.83%-2.05M
-18.86%-2.10M
-52.94%-6.43M
-70.85%-4.93M
-85.87%-6.38M
24.85%-1.77M
13.14%-4.20M
-118.54%-2.88M
-117.83%-3.43M
-148.75%-2.35M
-91.04%-4.84M
528.48%15.56M
84.16%-1.58M
170.49%4.82M
52.47%-2.53M
39.30%-3.63M
-2276.81%-9.95M
-156.62%-6.84M
-795.63%-5.33M
-203.82%-5.98M
101.86%457.00K
637.04%12.08M
72.36%-595.00K
361.33%5.76M
-258.63%-24.53M
-326.76%-2.25M
-321.73%-2.15M
112.27%1.25M
---6.84M
---527.00K
--971.00K
---10.18M
Veränderung des Umlaufvermögens
-282.17%-8.96M
88.10%23.18M
92.57%-2.13M
-91.39%-9.34M
-88.27%-2.34M
317.41%12.32M
-18.40%-28.70M
51.03%-4.88M
-107.77%-1.25M
-58.74%2.95M
-32.69%-24.24M
-549.50%-9.96M
67.99%16.01M
143.82%7.15M
-185.19%-18.27M
121.83%2.22M
167.37%9.53M
-546.28%-16.32M
-333.97%-6.41M
50.50%-10.15M
51.79%-14.15M
-20.34%3.66M
113.49%2.74M
-379.87%-20.50M
-7.42%-29.35M
222.25%4.59M
-114.34%-20.30M
54.96%-4.27M
-3910.60%-27.32M
-80.50%1.43M
75.50%-9.47M
49.38%-9.49M
-92.93%717.00K
55.39%7.31M
---38.66M
---18.74M
--10.14M
--4.70M
-Änderung der Forderungen
-54.88%1.67M
713.27%6.75M
158.82%220.00K
1366.15%7.54M
-68.08%3.71M
86.44%-1.10M
103.87%85.00K
148.77%514.00K
748.30%11.62M
-258.77%-8.11M
70.71%-2.20M
-177.05%-1.05M
-118.23%-1.79M
214.17%5.11M
-237.84%-7.50M
122.85%1.37M
333.63%9.84M
-743.74%-4.47M
291.25%5.44M
-192.53%-5.99M
-0.60%-4.21M
108.97%695.00K
23.32%-2.84M
-117.18%-2.05M
30.69%-4.18M
-610.14%-7.75M
54.14%-3.71M
3409.72%11.91M
-224.96%-6.04M
200.20%1.52M
-250.02%-8.09M
13.67%-360.00K
776.95%4.83M
-340.70%-1.52M
---2.31M
---417.00K
--551.00K
---344.00K
-Änderung bei den Vorauszahlungen
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---1.80M
--9.93M
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
-24.39%-7.48M
46.23%10.05M
871.14%10.13M
-337.00%-13.56M
62.57%-6.01M
190.53%6.87M
145.89%1.04M
-196.97%-3.10M
-251.23%-16.07M
-13.84%2.37M
-139.77%-2.27M
196.30%3.20M
-443.35%-4.58M
454.32%2.75M
91.62%5.72M
-75.18%1.08M
85.89%-842.00K
-108.16%-775.00K
-73.70%2.98M
145.46%4.35M
68.49%-5.97M
-46.94%9.49M
78.95%11.34M
26.52%-9.57M
-10.20%-18.94M
713.34%17.89M
-66.14%6.34M
-274.79%-13.02M
-548.33%-17.19M
-124.81%-2.92M
283.28%18.72M
69.22%-3.48M
-77.98%3.83M
144.91%11.76M
---10.21M
---11.29M
--17.41M
---26.18M
-Änderung bei anderen kurzfristigen Vermögenswerten
-494.40%-1.83M
-15.72%11.25M
45.21%-14.56M
-73.33%761.00K
-67.32%464.00K
35.98%13.35M
-57.42%-26.58M
223.94%2.85M
203.88%1.42M
1461.30%9.81M
-36.89%-16.88M
-25.04%-2.30M
-164.63%-1.37M
-246.84%-721.00K
-7.44%-12.33M
-280.84%-1.84M
291.40%2.12M
-89.51%491.00K
-5.14%-11.48M
122.19%1.02M
-167.09%-1.10M
129.80%4.68M
18.36%-10.92M
-986.97%-4.59M
134.02%1.65M
-78.34%2.04M
25.77%-13.37M
91.19%-422.00K
51.97%-4.84M
198.70%9.40M
-43.58%-18.02M
-2.18%-4.79M
-298.85%-10.08M
436.32%3.15M
---12.55M
---4.69M
---2.53M
---936.00K
-Änderung bei anderen kurzfristigen Verbindlichkeiten
-162.43%-1.32M
28.39%-4.87M
163.96%2.08M
20.79%-4.07M
-128.26%-503.00K
-507.51%-6.80M
-12.60%-3.25M
47.56%-5.14M
-92.50%1.78M
-5428.57%-1.12M
30.44%-2.89M
-709.38%-9.80M
1605.90%23.75M
100.18%21.00K
-23.90%-4.15M
116.88%1.61M
44.96%-1.58M
-3.18%-11.57M
-164.95%-3.35M
-121.60%-9.53M
63.58%-2.87M
-47.77%-11.21M
154.00%5.16M
-56.86%-4.30M
-1154.56%-7.87M
-15.30%-7.59M
-358.45%-9.55M
-217.73%-2.74M
-64.98%746.00K
-8.19%-6.58M
84.67%-2.08M
63.20%-863.00K
161.01%2.13M
-127.35%-6.08M
---13.59M
---2.34M
---3.49M
--22.23M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-65.08%12.94M
-38.37%42.20M
3.59%26.38M
-49.21%23.77M
-13.11%37.04M
43.65%68.48M
12.08%25.46M
22.99%46.80M
-38.75%42.63M
-24.58%47.67M
-26.38%22.72M
-33.31%38.05M
4.66%69.60M
53.55%63.21M
-27.12%30.86M
30.85%57.05M
58.66%66.50M
-32.90%41.17M
-29.27%42.34M
25.03%43.60M
134.06%41.92M
19.05%61.35M
38.83%59.86M
-40.77%34.88M
-48.33%17.91M
1.46%51.53M
187.52%43.12M
78.13%58.88M
-12.47%34.66M
-12.67%50.79M
-570.85%-49.27M
-0.01%33.06M
-31.56%39.60M
7.32%58.16M
--10.46M
--33.06M
--57.86M
--54.19M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-548.91%-159.69M
-118.45%-59.04M
-57.17%-25.99M
-37.98%65.45M
263.57%35.57M
-117.97%-27.02M
-115.35%-16.53M
112.50%105.55M
-80.25%9.78M
-42.78%150.43M
110.29%107.70M
-3541.59%-844.53M
73.82%49.54M
218.83%262.89M
-42.77%51.22M
-66.94%24.54M
160.02%28.50M
-0.71%82.45M
21.25%89.50M
-33.93%74.22M
-17.28%-47.48M
1.44%83.04M
497.08%73.81M
175.07%112.34M
-149.08%-40.48M
-13.53%81.86M
-130.39%-18.59M
-669.72%-149.65M
189.65%82.49M
80.76%94.67M
-1.20%61.17M
-63.73%26.27M
-44.27%28.48M
-58.67%52.38M
--61.92M
--72.41M
--51.10M
--126.74M
Investitionsausgaben
-39.37%29.09M
-50.24%45.98M
-23.44%58.61M
-37.98%65.45M
-39.10%47.98M
-46.10%92.41M
-28.92%76.56M
39.93%105.55M
49.53%78.78M
-34.78%171.46M
110.29%107.70M
93.86%75.43M
84.87%52.69M
218.83%262.89M
-42.77%51.22M
-47.58%38.91M
-73.37%28.50M
-72.76%82.45M
-21.46%89.50M
-33.93%74.22M
38.63%107.01M
103.47%302.74M
20.35%113.95M
38.56%112.34M
-8.80%77.19M
57.17%148.79M
54.77%94.68M
208.65%81.08M
197.21%84.64M
80.76%94.67M
-1.20%61.17M
-63.73%26.27M
-44.27%28.48M
-58.67%52.38M
--61.92M
--72.41M
--51.10M
--126.74M
Netto-Cashflow aus Geschäftstransaktionen
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---92.78M
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Netto-Cashflow aus Anlageprodukten
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--0.00
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--0.00
--0.00
--1.23M
--17.80M
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-2891.06%-25.42M
----
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--0.00
---850.00K
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100.00%0.00
-100.00%0.00
100.00%0.00
48.73%-646.00K
86.03%-19.00K
4370.97%1.32M
-425.86%-2.13M
17.59%-1.26M
---136.00K
97.89%-31.00K
---406.00K
---1.53M
----
---1.47M
Netto-Cashflow aus anderen Investitionstätigkeiten
-99.71%465.00K
-44.96%682.00K
-99.95%5.00K
--3.63M
--160.25M
-75.01%1.24M
303.84%9.26M
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--4.96M
-93.56%2.29M
913.42%46.45M
--6.02M
-100.00%0.00
--35.60M
-93.53%4.58M
----
--247.00K
--0.00
6967.66%70.82M
-100.00%0.00
-100.00%0.00
-100.00%0.00
--1.00M
385.56%6.55M
-88.43%12.17M
-99.60%890.00K
--0.00
--1.35M
13626.24%105.14M
7440.04%223.34M
-100.00%0.00
100.00%0.00
-98.59%766.00K
--2.96M
--973.00K
---701.00K
--54.34M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
30.51%161.31M
146.35%61.74M
66.60%20.43M
43.39%-61.61M
563.40%123.60M
116.67%25.06M
111.05%12.26M
-113.30%-108.83M
19.05%-26.67M
44.71%-150.38M
-321.58%-110.90M
2099.16%818.25M
-11.64%-32.95M
-147.28%-271.99M
71.11%-26.31M
-287.19%-40.93M
-167.21%-29.52M
-15.50%-109.99M
-18.65%-91.04M
90.64%-10.57M
-0.61%43.92M
-322.25%-95.23M
-304.15%-76.73M
-178.05%-112.90M
147.34%44.19M
76.47%-22.55M
-76.30%37.59M
625.43%144.64M
-226.05%-93.34M
-75.24%-95.86M
367.16%158.60M
68.20%-27.53M
50.79%-28.63M
29.08%-54.70M
---59.36M
---86.56M
---58.18M
---77.14M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-135.18%-237.11M
-46.89%-90.89M
-15.01%-82.56M
71.02%-16.52M
-416.45%-100.82M
34.92%-61.88M
-138.82%-71.79M
91.86%-57.02M
126.65%31.86M
-133.75%-95.09M
1414.77%184.94M
-2596.13%-700.40M
-130.86%-119.53M
275.46%281.70M
92.58%-14.07M
-106.77%-25.98M
-160.44%-51.78M
-138.50%-160.55M
-424.03%-189.61M
1093.18%383.98M
277.86%85.67M
-597.22%-67.32M
-195.67%-36.18M
79.68%-38.66M
-53.08%-48.17M
-177.44%-9.65M
557.59%37.82M
-185.17%-190.25M
-357.80%-31.46M
204.27%12.47M
-121.79%-8.27M
289.75%223.38M
137.91%12.21M
-116.86%-11.96M
--37.92M
--57.31M
---32.20M
--70.90M
Netto-Cashflow aus Schuldenemission/Rückzahlung
-111.10%-65.83M
-262.58%-42.01M
-117.24%-11.07M
-16.06%97.20M
-134.87%-31.19M
145.68%25.84M
-77.30%64.20M
124.85%115.80M
7692.78%89.44M
-114.74%-56.57M
237.11%282.77M
-41953.61%-465.95M
47.27%-1.18M
493.11%383.88M
171.36%83.88M
-100.27%-1.11M
-101.31%-2.23M
-186.99%-97.65M
-5309.43%-117.55M
187.42%417.55M
5591.83%170.14M
-218.66%-34.03M
-103.13%-2.17M
-200.31%-477.64M
-1132.67%-3.10M
-93.65%28.68M
152.77%69.46M
-173.41%-159.05M
-54.06%300.00K
1706.35%451.71M
-2129.12%-131.63M
1372.16%216.66M
-92.68%653.00K
-93.38%25.01M
--6.49M
--14.72M
--8.92M
--377.88M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-199.78%-147.35M
96.32%-2.25M
56.09%-51.81M
50.69%-66.61M
-144.56%-49.15M
-9374.32%-61.02M
-84.38%-118.01M
34.14%-135.08M
77.95%-20.10M
100.88%658.00K
-1.43%-64.00M
-23405.91%-205.09M
-374.66%-91.15M
-153.02%-74.67M
-89.81%-63.10M
0.92%880.00K
53.36%-19.20M
-2125.53%-29.51M
---33.24M
-99.82%872.00K
---41.18M
144.05%1.46M
--0.00
--473.53M
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--597.00K
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Barausschüttungen
-7.95%14.79M
-31.13%14.82M
-34.80%15.02M
-32.31%16.11M
-37.40%16.07M
-15.99%21.52M
-10.57%23.03M
-13.98%23.79M
-10.47%25.66M
-12.23%25.62M
-13.29%25.75M
-6.50%27.66M
-3.32%28.66M
-1.61%29.19M
-1.08%29.70M
-1.86%29.58M
-1.77%29.65M
-1.71%29.66M
-0.53%30.02M
-0.11%30.14M
-23.19%30.18M
10.93%30.18M
11.41%30.18M
13.71%30.18M
48.07%39.30M
2.51%27.21M
--27.09M
--26.54M
--26.54M
--26.54M
--0.00
--0.00
--0.00
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Netto-Cashflow aus anderen Finanzierungsaktivitäten
-106.84%-9.13M
-73.54%-8.98M
-192.47%-4.67M
68.18%-4.44M
60.48%-4.42M
-28.39%-5.17M
161.33%5.04M
-182.54%-13.95M
-146.34%-11.17M
19.19%-4.03M
-59.64%-8.23M
-25.02%-4.94M
56.27%-4.54M
-34.03%-4.99M
41.48%-5.15M
8.18%-3.95M
20.86%-10.37M
19.98%-3.72M
-129.90%-8.80M
1.65%-4.30M
-122.32%-13.11M
60.34%-4.65M
20.16%-3.83M
6.10%-4.37M
-12.82%-5.89M
97.16%-11.72M
-103.89%-4.80M
-169.29%-4.66M
-145.23%-5.22M
-1017.11%-412.93M
292.02%123.23M
-84.22%6.72M
128.10%11.55M
87.96%-36.96M
--31.43M
--42.60M
---41.11M
---306.98M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-135.18%-237.11M
-46.89%-90.89M
-15.01%-82.56M
71.02%-16.52M
-416.45%-100.82M
34.92%-61.88M
-138.82%-71.79M
91.86%-57.02M
126.65%31.86M
-133.75%-95.09M
1414.77%184.94M
-2596.13%-700.40M
-130.86%-119.53M
275.46%281.70M
92.58%-14.07M
-106.77%-25.98M
-160.44%-51.78M
-138.50%-160.55M
-424.03%-189.61M
1093.18%383.98M
277.86%85.67M
-597.22%-67.32M
-195.67%-36.18M
79.68%-38.66M
-53.08%-48.17M
-177.44%-9.65M
557.59%37.82M
-185.17%-190.25M
-357.80%-31.46M
204.27%12.47M
-121.79%-8.27M
289.75%223.38M
137.91%12.21M
-116.86%-11.96M
--37.92M
--57.31M
---32.20M
--70.90M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-8.61%183.19M
0.81%170.14M
1.51%205.90M
-19.14%260.27M
-26.87%200.44M
-64.23%168.78M
-45.93%202.84M
46.84%321.89M
-9.28%274.07M
105.90%471.87M
57.16%375.12M
-11.80%219.21M
14.72%302.10M
-53.49%229.18M
-67.35%238.69M
-20.85%248.55M
84.78%263.34M
102.16%492.71M
146.32%731.03M
-24.05%314.02M
-64.33%142.52M
-35.90%243.72M
13.41%296.78M
66.44%413.46M
18.01%399.53M
2.44%380.21M
-7.97%261.69M
348.07%248.41M
949.37%338.56M
810.51%371.16M
514.63%284.35M
30.60%55.44M
-56.96%32.26M
25.45%40.76M
--46.26M
--42.45M
--74.97M
--32.49M
Änderungen des Cashflows im aktuellen Zeitraum
-205.07%-62.86M
-58.79%13.05M
-4.97%-35.76M
54.33%-54.36M
25.11%59.83M
116.01%31.66M
-135.21%-34.06M
-176.36%-119.05M
157.70%47.82M
-371.26%-197.80M
1116.72%96.75M
1682.15%155.91M
-460.43%-82.88M
131.79%72.92M
96.01%-9.52M
-102.36%-9.85M
-108.62%-14.79M
-126.65%-229.38M
-349.17%-238.32M
457.39%417.01M
1131.27%171.50M
-623.75%-101.20M
-144.77%-53.06M
-978.64%-116.68M
115.45%13.93M
159.27%19.32M
17.27%118.52M
-94.20%13.28M
-488.96%-90.15M
-283.51%-32.60M
1020.57%101.07M
5901.78%228.91M
171.28%23.18M
-117.73%-8.50M
---10.98M
--3.81M
---32.52M
--47.95M
Endbestand an Zahlungsmitteln
-53.76%120.33M
-8.61%183.19M
0.81%170.14M
1.51%205.90M
-19.14%260.27M
-26.87%200.44M
-64.23%168.78M
-45.93%202.84M
46.84%321.89M
-9.28%274.07M
105.90%471.87M
57.16%375.12M
-11.80%219.21M
14.72%302.10M
-53.49%229.18M
-67.35%238.69M
-20.85%248.55M
84.78%263.34M
102.16%492.71M
146.32%731.03M
-24.05%314.02M
-64.33%142.52M
-35.90%243.72M
13.41%296.78M
66.44%413.46M
18.01%399.53M
-1.35%380.21M
-7.97%261.69M
348.07%248.41M
949.37%338.56M
992.33%385.42M
514.63%284.35M
30.60%55.44M
-59.89%32.26M
--35.28M
--46.26M
--42.45M
--80.45M
Freier Cashflow
-47.69%-16.16M
84.22%-3.77M
36.91%-32.24M
29.04%-41.69M
69.74%-10.94M
80.67%-23.93M
39.87%-51.10M
-57.17%-58.75M
-313.75%-36.15M
38.01%-123.79M
-317.42%-84.99M
-305.99%-37.38M
-55.50%16.91M
-383.63%-199.69M
56.83%-20.36M
159.27%18.14M
158.38%38.00M
82.90%-41.29M
12.81%-47.16M
60.48%-30.62M
-9.81%-65.10M
-148.19%-241.40M
-4.91%-54.09M
-249.08%-77.47M
-18.61%-59.28M
-121.65%-97.26M
53.31%-51.56M
-426.87%-22.19M
-549.40%-49.98M
-858.79%-43.88M
-114.63%-110.44M
117.25%6.79M
64.62%11.12M
107.97%5.78M
---51.46M
---39.35M
--6.76M
---72.55M
Währungseinheit
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