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OrthoPediatrics Corp

KIDS

20.530USD

+0.140+0.69%
Handelsschluss 08/04, 16:00ETKurse um 15 Minuten verzögert
509.72MMarktkapitalisierung
VerlustKGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
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
FY2016Q4
FY2016Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
23.10%58.77M
-14.29%68.83M
-7.71%76.06M
-68.96%28.93M
-55.68%47.74M
-32.11%80.31M
-31.39%82.42M
82.14%93.19M
139.27%107.73M
120.93%118.29M
108.26%120.13M
-22.31%51.16M
-41.25%45.02M
-36.18%53.54M
-34.73%57.68M
-41.75%65.85M
43.03%76.64M
18.54%83.90M
349.30%88.37M
417.22%113.05M
1.53%53.58M
16.62%70.78M
-19.60%19.67M
-17.54%21.86M
52.57%52.77M
42.53%60.69M
993.07%24.46M
1049.44%26.51M
1314.19%34.59M
2546.49%42.58M
--2.24M
--2.31M
75.97%2.45M
--1.61M
--1.39M
- Barmittel und Barmitteläquivalente
23.10%58.77M
-14.29%68.83M
-7.71%76.06M
-68.96%28.93M
-55.68%47.74M
-32.11%80.31M
-31.39%82.42M
82.14%93.19M
139.27%107.73M
120.93%118.29M
108.26%120.13M
-22.31%51.16M
-41.25%45.02M
-36.18%53.54M
-34.73%57.68M
-41.75%65.85M
43.03%76.64M
18.54%83.90M
349.30%88.37M
417.22%113.05M
1.53%53.58M
16.62%70.78M
-19.60%19.67M
-17.54%21.86M
52.57%52.77M
42.53%60.69M
993.07%24.46M
1049.44%26.51M
1314.19%34.59M
2546.49%42.58M
--2.24M
--2.31M
75.97%2.45M
--1.61M
--1.39M
Forderungen
21.28%43.99M
22.36%42.36M
13.76%42.83M
24.16%42.03M
35.16%36.27M
39.58%34.62M
43.78%37.65M
33.09%33.85M
49.84%26.84M
38.22%24.80M
43.83%26.18M
31.67%25.43M
6.15%17.91M
2.24%17.94M
3.79%18.20M
24.20%19.32M
14.79%16.87M
5.93%17.55M
19.10%17.54M
0.41%15.55M
36.06%14.70M
74.37%16.57M
55.74%14.73M
58.78%15.49M
58.00%10.80M
69.57%9.50M
66.30%9.46M
49.48%9.76M
75.33%6.84M
36.73%5.60M
--5.69M
--6.53M
10.42%3.90M
--4.10M
--3.53M
-Forderungen aus Lieferungen und Leistungen
21.28%43.99M
22.36%42.36M
13.76%42.83M
24.16%42.03M
35.16%36.27M
39.58%34.62M
43.78%37.65M
33.09%33.85M
49.84%26.84M
38.22%24.80M
44.30%26.18M
32.32%25.43M
8.22%17.91M
4.24%17.94M
6.34%18.15M
29.03%19.22M
17.23%16.55M
7.55%17.21M
20.32%17.06M
-0.51%14.90M
37.12%14.12M
77.83%16.00M
49.98%14.18M
53.50%14.97M
50.57%10.30M
60.61%9.00M
66.30%9.46M
49.48%9.76M
75.33%6.84M
36.73%5.60M
--5.69M
--6.53M
10.42%3.90M
--4.10M
--3.53M
-Forderungen aus Darlehen
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-100.00%0.00
-87.61%59.00K
-85.52%95.00K
-44.50%323.00K
-40.25%337.00K
-12.66%476.00K
27.38%656.00K
14.57%582.00K
12.35%564.00K
--545.00K
--515.00K
--508.00K
--502.00K
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Inventar
6.27%119.75M
10.54%117.00M
20.29%120.93M
27.90%116.37M
32.70%112.69M
35.37%105.85M
35.78%100.53M
34.82%90.98M
32.53%84.92M
35.82%78.19M
33.51%74.04M
19.70%67.48M
15.94%64.08M
8.64%57.57M
6.58%55.46M
15.35%56.38M
25.70%55.27M
39.44%52.99M
50.67%52.03M
48.76%48.88M
56.57%43.97M
47.81%38.00M
28.47%34.53M
29.29%32.85M
19.97%28.08M
25.13%25.71M
41.38%26.88M
33.97%25.41M
40.95%23.41M
38.02%20.55M
--19.01M
--18.97M
9.35%16.61M
--14.89M
--15.19M
Aktive Rechnungsabgrenzungsposten
49.37%7.55M
87.23%7.02M
63.04%6.49M
23.53%4.50M
26.24%5.06M
-5.45%3.75M
44.67%3.98M
34.29%3.64M
31.40%4.00M
22.82%3.97M
0.22%2.75M
9.75%2.71M
61.78%3.05M
23.34%3.23M
32.93%2.75M
61.08%2.47M
24.44%1.88M
78.83%2.62M
27.23%2.06M
20.13%1.53M
4.27%1.51M
16.56%1.46M
55.31%1.62M
20.13%1.28M
30.34%1.45M
51.14%1.26M
69.92%1.04M
10.73%1.06M
162.74%1.11M
256.65%831.00K
--615.00K
--960.00K
-20.15%424.00K
--233.00K
--531.00K
Sonstige kurzfristige Vermögenswerte
1.43%1.99M
-0.76%1.96M
25.50%2.00M
22.99%1.96M
32.48%1.96M
34.06%1.97M
9.87%1.59M
17.61%1.60M
8.66%1.48M
7.77%1.47M
5.92%1.45M
-1.02%1.36M
-0.44%1.36M
-0.66%1.36M
-0.07%1.37M
0.73%1.37M
0.59%1.37M
9.92%1.37M
--1.37M
--1.36M
--1.36M
--1.25M
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--1.34M
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--1.09M
Summe der kurzfristigen Vermögenswerte
13.91%232.06M
4.71%237.17M
9.79%248.31M
-13.20%193.78M
-9.45%203.72M
-0.10%226.50M
0.72%226.17M
50.70%223.25M
71.18%224.98M
69.64%226.72M
65.78%224.56M
1.90%148.15M
-13.55%131.42M
-15.64%133.65M
-16.06%135.46M
-19.40%145.39M
32.06%152.03M
23.72%158.43M
48.43%161.38M
68.82%180.38M
23.64%115.12M
31.81%128.06M
75.80%108.72M
70.31%106.84M
41.19%93.11M
39.67%97.16M
114.06%61.84M
118.14%62.73M
182.12%65.95M
234.01%69.56M
--28.89M
--28.76M
7.56%23.38M
--20.83M
--21.73M
Langfristige Vermögenswerte
Nettoanlagevermögen
8.01%52.62M
23.26%50.60M
36.11%54.77M
33.47%53.48M
31.98%48.72M
19.72%41.05M
10.80%40.24M
9.48%40.07M
18.82%36.92M
20.24%34.29M
26.16%36.31M
29.60%36.60M
9.62%31.07M
4.73%28.52M
18.57%28.78M
17.04%28.24M
17.71%28.34M
27.53%27.23M
12.74%24.27M
14.96%24.13M
43.42%24.08M
67.21%21.35M
68.56%21.53M
64.37%20.99M
36.72%16.79M
22.88%12.77M
31.03%12.77M
30.51%12.77M
38.26%12.28M
20.94%10.39M
--9.75M
--9.79M
17.49%8.88M
--8.59M
--7.56M
-Anlagevermögen
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15.97%18.33M
----
--17.76M
14.14%16.22M
--15.81M
--14.21M
-Abgegrenzte Abschreibungen
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10.06%7.94M
----
--7.97M
10.34%7.33M
--7.22M
--6.65M
Goodwill und andere immaterielle Vermögenswerte
-4.37%172.76M
4.02%175.02M
6.38%175.96M
3.57%177.03M
9.89%180.66M
0.92%168.26M
-2.23%165.41M
16.92%170.93M
18.70%164.40M
17.32%166.72M
21.41%169.18M
9.08%146.19M
4.15%138.50M
5.46%142.11M
13.89%139.35M
8.10%134.03M
279.95%132.98M
311.51%134.76M
428.01%122.35M
425.37%123.98M
1561.92%35.00M
1401.47%32.75M
925.31%23.17M
908.50%23.60M
-12.76%2.11M
-7.15%2.18M
-7.49%2.26M
57.79%2.34M
57.26%2.41M
86.72%2.35M
--2.44M
--1.48M
73.45%1.54M
--1.26M
--885.00K
Sonstige langfristige Vermögenswerte
213.71%12.81M
254.32%10.42M
1551.53%10.26M
953.26%6.47M
--4.08M
--2.94M
--621.00K
--614.00K
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Summe der langfristigen Vermögenswerte
2.03%238.19M
11.21%236.04M
16.83%240.98M
11.99%236.98M
15.97%233.46M
5.59%212.25M
0.38%206.27M
15.77%211.62M
18.72%201.31M
17.81%201.01M
22.22%205.50M
12.65%182.79M
5.11%169.57M
5.34%170.63M
14.67%168.13M
9.56%162.27M
173.07%161.32M
199.44%161.98M
227.99%146.63M
232.18%148.11M
212.66%59.08M
261.87%54.10M
197.35%44.70M
195.10%44.59M
28.59%18.89M
17.34%14.95M
23.31%15.03M
34.10%15.11M
41.06%14.69M
29.34%12.74M
--12.19M
--11.27M
23.35%10.42M
--9.85M
--8.45M
Summe der Vermögenswerte
7.56%470.25M
7.86%473.21M
13.15%489.29M
-0.94%430.76M
2.56%437.19M
2.58%438.75M
0.56%432.44M
31.40%434.87M
41.63%426.29M
40.57%427.73M
41.65%430.05M
7.57%330.94M
-3.94%301.00M
-5.04%304.27M
-1.43%303.59M
-6.34%307.65M
79.88%313.35M
75.90%320.41M
100.75%308.00M
116.92%328.49M
55.53%174.20M
62.49%182.15M
99.57%153.42M
94.53%151.43M
38.89%112.01M
36.21%112.11M
87.13%76.88M
94.48%77.84M
138.64%80.64M
168.29%82.30M
--41.08M
--40.03M
11.98%33.79M
--30.68M
--30.18M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Fällige Dividenden
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--0.00
--0.00
--0.00
--0.00
-Weitere Verbindlichkeiten
-26.85%11.82M
-37.25%11.01M
-41.89%9.60M
-35.19%9.79M
33.12%16.16M
36.68%17.54M
44.92%16.52M
45.41%15.11M
-20.06%12.14M
-13.88%12.83M
-20.04%11.40M
-27.83%10.39M
5.57%15.18M
6.62%14.90M
2.25%14.26M
1.86%14.40M
482.98%14.38M
413.29%13.98M
916.18%13.94M
819.91%14.14M
46.06%2.47M
72.78%2.72M
-13.93%1.37M
-8.67%1.54M
78.54%1.69M
65.20%1.58M
-45.32%1.59M
-4.97%1.68M
-27.45%946.00K
-30.97%954.00K
--2.92M
--1.77M
-55.66%1.30M
--1.38M
--2.94M
Rückstellungen
15.89%11.32M
22.63%13.89M
52.47%13.22M
54.63%12.62M
56.55%9.77M
67.93%11.32M
37.13%8.67M
34.04%8.16M
40.81%6.24M
26.03%6.74M
35.83%6.32M
7.72%6.09M
-56.11%4.43M
-50.83%5.35M
-2.45%4.66M
25.55%5.65M
239.27%10.10M
150.22%10.88M
23.69%4.77M
12.22%4.50M
11.50%2.98M
22.44%4.35M
16.84%3.86M
23.91%4.01M
15.43%2.67M
22.27%3.55M
44.32%3.30M
37.10%3.24M
34.55%2.31M
30.91%2.91M
--2.29M
--2.36M
4.37%1.72M
--2.22M
--1.65M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
5.19%162.00K
5.26%160.00K
5.33%158.00K
5.41%156.00K
5.48%154.00K
5.56%152.00K
4.90%150.00K
4.96%148.00K
5.04%146.00K
5.11%144.00K
5.15%143.00K
5.22%141.00K
5.30%139.00K
4.58%137.00K
5.43%136.00K
4.69%134.00K
4.76%132.00K
5.65%131.00K
-99.57%129.00K
-99.58%128.00K
5.00%126.00K
5.08%124.00K
25646.15%30.12M
26092.17%30.12M
5.26%120.00K
4.42%118.00K
5.41%117.00K
4.55%115.00K
5.56%114.00K
5.61%113.00K
--111.00K
--110.00K
4.85%108.00K
--107.00K
--103.00K
-Kurzfristige Verbindlichkeiten
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--30.00M
--30.00M
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Andere kurzfristige Verbindlichkeiten
-26.85%11.82M
-37.25%11.01M
-41.89%9.60M
-35.19%9.79M
33.12%16.16M
36.68%17.54M
44.92%16.52M
45.41%15.11M
-20.06%12.14M
-13.88%12.83M
-20.04%11.40M
-27.83%10.39M
5.57%15.18M
6.62%14.90M
2.25%14.26M
1.86%14.40M
482.98%14.38M
413.29%13.98M
916.18%13.94M
819.91%14.14M
46.06%2.47M
72.78%2.72M
-13.93%1.37M
-8.67%1.54M
78.54%1.69M
65.20%1.58M
-45.32%1.59M
-4.97%1.68M
-27.45%946.00K
-30.97%954.00K
--2.92M
--1.77M
-55.66%1.30M
--1.38M
--2.94M
Summe der kurzfristigen Verbindlichkeiten
-18.15%37.51M
-18.49%33.96M
-27.75%34.63M
-10.70%39.57M
30.10%45.82M
34.97%41.67M
66.73%47.93M
41.96%44.31M
2.58%35.22M
3.89%30.87M
2.60%28.75M
2.91%31.21M
-6.25%34.33M
-15.17%29.71M
8.82%28.02M
22.44%30.33M
164.77%36.62M
156.37%35.03M
-44.25%25.75M
-41.28%24.77M
27.80%13.83M
48.24%13.66M
323.09%46.18M
302.16%42.19M
2.39%10.82M
-2.64%9.22M
4.80%10.92M
1.31%10.49M
19.56%10.57M
30.56%9.47M
--10.42M
--10.35M
21.08%8.84M
--7.25M
--7.30M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
619.40%73.03M
636.33%72.96M
11056.00%72.51M
1321.80%9.78M
1300.14%10.15M
1198.56%9.91M
-18.65%650.00K
-97.86%688.00K
-34.86%725.00K
-36.42%763.00K
-36.69%799.00K
2432.39%32.14M
-16.06%1.11M
14.94%1.20M
17.07%1.26M
-94.00%1.27M
-93.72%1.33M
-96.00%1.04M
-94.89%1.08M
-0.12%21.14M
-0.16%21.10M
23.51%26.13M
-16.56%21.09M
-16.35%21.16M
-16.53%21.13M
-16.51%21.16M
-8.04%25.28M
-0.52%25.30M
27.21%25.32M
45.37%25.34M
--27.49M
--25.43M
52.97%19.90M
--17.43M
--13.01M
-Langfristige Verbindlichkeiten
619.40%73.03M
636.33%72.96M
11056.00%72.51M
1321.80%9.78M
1300.14%10.15M
1198.56%9.91M
-18.65%650.00K
-97.84%688.00K
-16.86%725.00K
-15.88%763.00K
-15.18%799.00K
3158.55%31.84M
-13.75%872.00K
-13.12%907.00K
-12.62%942.00K
-95.35%977.00K
-95.20%1.01M
-95.99%1.04M
-94.89%1.08M
-0.45%21.02M
-0.43%21.04M
23.21%26.07M
-16.56%21.09M
-16.55%21.11M
-16.53%21.13M
-16.51%21.16M
-8.04%25.28M
-0.52%25.30M
27.21%25.32M
45.37%25.34M
--27.49M
--25.43M
52.97%19.90M
--17.43M
--13.01M
-Langfristige Leasingverbindlichkeiten
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2.74%300.00K
-23.49%241.00K
--293.00K
--320.00K
143.33%292.00K
452.63%315.00K
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135.29%120.00K
--57.00K
--63.00K
----
--51.00K
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Andere langfristige Verbindlichkeiten
69.20%9.18M
78.94%8.34M
78.23%7.21M
34.62%5.38M
-51.41%5.43M
-59.42%4.66M
-65.48%4.05M
-88.28%4.00M
-75.81%11.17M
-73.41%11.49M
-75.75%11.72M
-30.97%34.10M
-3.86%46.17M
-1.36%43.22M
15.82%48.35M
23.12%49.40M
--48.02M
--43.82M
92662.22%41.74M
--40.12M
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--45.00K
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Gesamt langfristige Verbindlichkeiten
311.91%85.60M
322.26%84.68M
722.05%83.75M
94.19%19.90M
15.98%20.78M
10.14%20.05M
-43.33%10.19M
-85.87%10.25M
-65.29%17.92M
-62.98%18.21M
-66.99%17.98M
30.12%72.51M
-5.43%51.62M
-2.82%49.19M
27.17%54.46M
-9.03%55.73M
158.69%54.58M
93.71%50.62M
102.61%42.82M
189.46%61.26M
-0.16%21.10M
23.51%26.13M
-16.39%21.14M
-16.35%21.16M
-16.53%21.13M
-16.51%21.16M
-8.04%25.28M
-0.52%25.30M
27.21%25.32M
45.37%25.34M
--27.49M
--25.43M
52.97%19.90M
--17.43M
--13.01M
Gesamtverbindlichkeiten
84.84%123.10M
92.23%118.64M
103.69%118.38M
9.00%59.47M
25.34%66.60M
25.76%61.72M
24.38%58.12M
-47.40%54.56M
-38.18%53.13M
-37.80%49.08M
-43.35%46.72M
20.53%103.72M
-5.76%85.95M
-7.87%78.91M
20.28%82.47M
0.03%86.05M
161.10%91.21M
115.22%85.64M
1.86%68.57M
35.80%86.03M
9.31%34.93M
31.01%39.79M
86.00%67.32M
77.01%63.35M
-10.96%31.96M
-12.74%30.37M
-4.51%36.19M
0.01%35.79M
24.85%35.89M
41.02%34.81M
--37.90M
--35.78M
41.50%28.75M
--24.68M
--20.31M
Eigenkapital der Aktionäre
Stammkapital
3.76%605.00M
3.55%600.90M
3.37%597.01M
3.20%593.09M
3.61%583.09M
3.47%580.29M
3.25%577.55M
37.37%574.68M
41.96%562.77M
42.01%560.82M
42.35%559.35M
6.88%418.36M
1.65%396.43M
1.62%394.90M
1.50%392.93M
1.53%391.42M
42.04%390.00M
43.31%388.63M
83.92%387.12M
84.22%385.51M
38.34%274.58M
37.35%271.19M
36.99%210.48M
36.72%209.27M
30.06%198.48M
31.26%197.45M
1510.26%153.65M
1334.19%153.06M
1200.08%152.60M
1072.91%150.43M
--9.54M
--10.67M
-29.05%11.74M
--12.82M
--16.54M
Gewinnrücklagen
-19.79%-246.22M
-19.13%-235.56M
-14.89%-219.50M
-13.47%-211.58M
-11.97%-205.55M
-11.87%-197.74M
-13.10%-191.05M
0.53%-186.46M
1.90%-183.57M
0.71%-176.77M
5.15%-168.92M
-6.57%-187.46M
-8.70%-187.13M
-10.05%-178.03M
-20.54%-178.10M
-22.82%-175.90M
-28.69%-172.15M
-25.57%-161.77M
-19.74%-147.75M
-18.62%-143.21M
-13.26%-133.77M
-11.93%-128.82M
-9.56%-123.39M
-9.00%-120.73M
-9.30%-118.11M
-11.67%-115.09M
-36.98%-112.62M
-37.27%-110.76M
-36.07%-108.07M
-31.91%-103.07M
---82.22M
---80.69M
-8.25%-79.42M
---78.13M
---73.37M
Kapitalrücklagen
3.76%604.99M
3.55%600.90M
3.37%597.01M
3.20%593.09M
3.61%583.09M
3.47%580.29M
3.25%577.54M
37.37%574.68M
41.96%562.77M
42.01%560.81M
42.35%559.34M
6.88%418.35M
1.65%396.43M
1.62%394.90M
1.50%392.93M
1.53%391.42M
42.04%390.00M
43.31%388.62M
83.92%387.12M
84.22%385.51M
38.34%274.58M
37.35%271.18M
36.99%210.48M
36.72%209.26M
30.06%198.48M
31.26%197.44M
1510.41%153.65M
1334.31%153.06M
1200.17%152.60M
1072.99%150.42M
--9.54M
--10.67M
-29.05%11.74M
--12.82M
--16.54M
Abzüglich: Eigene Aktien
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--187.00K
--0.00
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Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-67.02%-11.63M
-94.95%-10.77M
45.74%-6.60M
-29.24%-10.22M
-15.13%-6.96M
-2.33%-5.53M
-71.47%-12.17M
-114.74%-7.91M
-205.33%-6.05M
-163.60%-5.40M
-212.94%-7.09M
-160.57%-3.68M
33.96%5.74M
7.39%8.49M
9276.12%6.28M
3677.64%6.08M
414.84%4.29M
263666.67%7.91M
106.80%67.00K
135.38%161.00K
-322.67%-1.36M
99.52%-3.00K
-187.17%-985.00K
-88.02%-455.00K
-248.39%-322.00K
-561.48%-623.00K
-277.72%-343.00K
-436.11%-242.00K
--217.00K
--135.00K
--193.00K
--72.00K
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Gesamtes Eigenkapital
-6.32%347.15M
-5.96%354.57M
-0.91%370.92M
-2.37%371.29M
-0.69%370.58M
-0.43%377.02M
-2.35%374.33M
67.38%380.31M
73.52%373.15M
68.01%378.65M
73.36%383.33M
2.53%227.22M
-3.20%215.04M
-4.00%225.37M
-7.65%221.12M
-8.60%221.60M
59.51%222.15M
64.91%234.77M
178.07%239.44M
175.27%242.46M
73.98%139.27M
74.18%142.36M
111.64%86.11M
109.43%88.08M
78.86%80.05M
72.09%81.73M
1179.00%40.69M
891.44%42.06M
786.57%44.75M
692.38%47.49M
--3.18M
--4.24M
-48.82%5.05M
--5.99M
--9.86M
Währungseinheit
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