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Kimbell Royalty Partners LP

KRP

14.730USD

-0.140-0.94%
Handelsschluss 08/01, 16:00ETKurse um 15 Minuten verzögert
1.38BMarktkapitalisierung
234.99KGV 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
FY2016Q3
FY2016Q1
FY2015Q4
FY2015Q2
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-10.21%35.63M
10.25%34.17M
-12.20%34.71M
48.92%30.95M
107.99%39.68M
25.80%30.99M
138.78%39.53M
56.02%20.78M
80.18%19.08M
249.32%24.64M
30.36%16.55M
2.76%13.32M
30.32%10.59M
-28.07%7.05M
2.84%12.70M
15.08%12.96M
-43.90%8.12M
-30.97%9.80M
-39.17%12.35M
-33.31%11.26M
6.92%14.48M
-9.95%14.20M
22.81%20.30M
102.62%16.89M
98.11%13.54M
180.40%15.77M
165.45%16.53M
43.03%8.33M
75.66%6.84M
1012.02%5.63M
816.15%6.23M
--5.83M
952.72%3.89M
33.22%505.88K
--679.63K
--369.70K
--379.74K
--500.99K
- Barmittel und Barmitteläquivalente
-10.21%35.63M
10.25%34.17M
-12.20%34.71M
48.92%30.95M
107.99%39.68M
25.80%30.99M
138.78%39.53M
56.02%20.78M
80.18%19.08M
249.32%24.64M
30.36%16.55M
2.76%13.32M
30.32%10.59M
-28.07%7.05M
2.84%12.70M
15.08%12.96M
-43.90%8.12M
-30.97%9.80M
-39.17%12.35M
-33.31%11.26M
6.92%14.48M
-9.95%14.20M
22.81%20.30M
102.62%16.89M
98.11%13.54M
180.40%15.77M
165.45%16.53M
43.03%8.33M
75.66%6.84M
1012.02%5.63M
816.15%6.23M
--5.83M
952.72%3.89M
33.22%505.88K
--679.63K
--369.70K
--379.74K
--500.99K
Forderungen
10.77%63.75M
-19.80%48.70M
-21.08%50.65M
15.51%55.61M
47.63%57.55M
20.10%60.72M
31.02%64.18M
-13.63%48.14M
-11.15%38.98M
35.55%50.56M
53.66%48.98M
122.35%55.74M
66.67%43.88M
101.32%37.30M
87.67%31.88M
106.25%25.07M
77.36%26.33M
-3.75%18.53M
-2.23%16.99M
-36.85%12.15M
-32.57%14.84M
2.06%19.25M
-3.07%17.37M
182.05%19.25M
217.59%22.01M
168.29%18.86M
225.81%17.92M
37.53%6.82M
4.87%6.93M
758.86%7.03M
954.61%5.50M
--4.96M
1497.71%6.61M
-54.00%818.47K
--521.66K
--413.72K
--1.78M
--626.76K
-Forderungen aus Lieferungen und Leistungen
10.77%63.75M
-19.80%48.70M
-21.08%50.65M
15.51%55.61M
47.63%57.55M
20.10%60.72M
31.02%64.18M
-13.63%48.14M
-11.15%38.98M
35.55%50.56M
53.66%48.98M
122.35%55.74M
66.67%43.88M
101.32%37.30M
87.67%31.88M
106.25%25.07M
77.36%26.33M
-3.75%18.53M
-2.23%16.99M
-36.85%12.15M
-32.57%14.84M
2.06%19.25M
-3.07%17.37M
182.05%19.25M
217.59%22.01M
168.29%18.86M
225.81%17.92M
37.53%6.82M
4.87%6.93M
758.86%7.03M
954.61%5.50M
--4.96M
1497.71%6.61M
-54.00%818.47K
--521.66K
--413.72K
--1.78M
--626.76K
Aktive Rechnungsabgrenzungsposten
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--193.61K
--276.03K
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Sonstige kurzfristige Vermögenswerte
--0.00
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--900.00K
--300.00K
--200.00K
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--258.79K
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--284.39K
Summe der kurzfristigen Vermögenswerte
-3.80%99.38M
-17.33%85.27M
-12.38%92.17M
25.76%88.93M
77.92%103.31M
37.17%103.14M
60.51%105.19M
-0.54%70.72M
2.64%58.06M
65.56%75.19M
46.04%65.54M
85.98%71.10M
64.20%56.57M
60.31%45.42M
52.99%44.88M
43.46%38.23M
-6.04%34.45M
-17.01%28.33M
-26.76%29.33M
-30.04%26.65M
3.02%36.66M
-9.24%34.14M
16.26%40.05M
151.29%38.09M
158.48%35.59M
197.23%37.61M
187.42%34.45M
38.02%15.16M
27.75%13.77M
855.56%12.66M
897.82%11.99M
--10.98M
1275.76%10.78M
-38.66%1.32M
--1.20M
--783.41K
--2.16M
--1.41M
Langfristige Vermögenswerte
Nettoanlagevermögen
3.51%1.22B
-15.98%1.03B
-12.79%1.11B
34.08%1.15B
59.63%1.18B
61.80%1.22B
149.50%1.28B
63.34%855.58M
38.18%739.39M
38.72%756.75M
1.96%512.40M
2.52%523.79M
3.11%535.11M
3.70%545.53M
-20.22%502.54M
-22.92%510.92M
-16.98%518.98M
-25.82%526.08M
-19.38%629.94M
-19.93%662.88M
-27.95%625.14M
-0.29%709.17M
20.95%781.37M
295.71%827.88M
288.74%867.65M
151.87%711.25M
135.60%646.00M
-24.92%209.21M
-16.08%223.19M
1370.63%282.38M
1302.01%274.20M
--278.65M
1133.19%265.96M
-25.29%19.20M
--19.56M
--21.57M
--25.70M
--37.91M
-Anlagevermögen
10.98%2.28B
0.06%2.05B
-0.01%2.05B
27.77%2.05B
39.59%2.05B
39.61%2.05B
69.73%2.05B
32.81%1.61B
21.54%1.47B
21.53%1.47B
4.65%1.21B
4.68%1.21B
4.70%1.21B
4.76%1.21B
0.13%1.15B
0.11%1.15B
11.23%1.15B
11.18%1.15B
16.19%1.15B
16.60%1.15B
5.03%1.04B
26.75%1.04B
35.69%992.61M
244.47%989.18M
231.99%988.50M
175.05%819.02M
156.46%731.54M
0.65%287.16M
10.90%297.75M
318.52%297.78M
300.83%285.25M
--285.32M
277.00%268.50M
-0.01%71.15M
--71.16M
--71.22M
--71.16M
--70.74M
-Abgegrenzte Abschreibungen
21.11%1.05B
23.80%1.02B
21.14%936.05M
20.57%904.00M
19.29%871.07M
16.04%827.03M
11.01%772.71M
9.46%749.75M
8.34%730.18M
7.40%712.72M
6.72%696.09M
6.40%684.97M
6.01%673.99M
5.65%663.60M
24.62%652.25M
31.24%643.78M
53.93%635.79M
90.96%628.10M
147.77%523.40M
204.11%490.53M
241.77%413.04M
205.17%328.91M
146.97%211.24M
106.94%161.30M
62.09%120.85M
600.13%107.78M
674.22%85.53M
1069.07%77.95M
2840.44%74.56M
-70.37%15.39M
-78.59%11.05M
--6.67M
-94.89%2.54M
14.28%51.95M
--51.61M
--49.65M
--45.46M
--32.83M
Langfristige Verbindlichkeiten
-30.59%4.73M
-28.17%5.26M
-4.33%5.79M
-0.42%6.28M
173.79%6.81M
143.85%7.33M
85.19%6.05M
68.32%6.31M
-36.89%2.49M
-28.72%3.00M
-23.69%3.27M
-17.52%3.75M
-17.86%3.94M
-17.14%4.21M
191.46%4.28M
169.75%4.54M
146.03%4.80M
129.42%5.09M
-40.84%1.47M
-38.73%1.68M
-33.21%1.95M
-30.25%2.22M
-27.73%2.48M
1127.58%2.75M
1119.16%2.92M
1145.50%3.18M
1168.81%3.44M
-21.82%223.96K
-20.69%239.58K
1856.22%255.21K
950.96%270.83K
--286.46K
721.46%302.08K
-72.25%13.05K
--25.77K
--36.77K
--47.02K
--47.02K
Langfristige im Voraus bezahlte Aufwendungen
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-100.00%0.00
-100.00%0.00
-83.70%79.93K
--35.20K
--183.05K
--336.77K
--490.49K
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Sonstige langfristige Vermögenswerte
--0.00
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-100.00%0.00
-100.00%0.00
-94.75%180.86K
--426.05K
--735.03K
--1.12M
--3.44M
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--9.68M
----
--986.00K
----
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--24.72M
----
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--3.95M
----
--2.38M
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Summe der langfristigen Vermögenswerte
3.26%1.23B
-16.20%1.03B
-12.62%1.12B
33.63%1.15B
20.27%1.19B
23.27%1.23B
69.93%1.28B
12.38%863.47M
25.40%987.58M
80.11%1.00B
47.60%755.97M
47.44%768.33M
48.72%787.52M
3.69%556.07M
-19.48%512.17M
-22.07%521.10M
-17.72%529.53M
-24.94%536.30M
-19.35%636.12M
-19.49%668.71M
-26.07%643.59M
-0.17%714.45M
21.44%788.69M
254.73%830.63M
289.63%870.57M
153.21%715.67M
133.26%649.44M
-16.05%234.16M
-16.83%223.43M
1370.96%282.64M
1321.71%278.42M
--278.94M
1143.49%268.64M
-25.37%19.21M
--19.58M
--21.60M
--25.75M
--37.95M
Summe der Vermögenswerte
2.70%1.33B
-16.29%1.12B
-12.60%1.21B
33.04%1.24B
23.47%1.29B
24.24%1.34B
69.17%1.39B
11.29%934.19M
23.88%1.05B
79.01%1.08B
47.48%821.51M
50.08%839.43M
49.67%844.08M
6.53%601.49M
-16.29%557.05M
-19.56%559.33M
-17.09%563.98M
-24.57%564.63M
-19.70%665.45M
-19.96%695.36M
-24.93%680.26M
-0.62%748.59M
21.18%828.75M
248.44%868.73M
282.02%906.16M
155.10%753.29M
135.50%683.89M
-14.00%249.32M
-15.11%237.20M
1337.73%295.29M
1297.21%290.41M
--289.92M
1148.12%279.42M
-26.40%20.54M
--20.78M
--22.39M
--27.91M
--39.37M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Fällige Dividenden
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--0.00
--1.25M
-Weitere Verbindlichkeiten
48.02%7.88M
5.30%5.99M
6.63%10.87M
12.14%8.98M
10.16%5.33M
23.99%5.68M
67.20%10.20M
64.55%8.01M
39.13%4.83M
51.94%4.58M
1.31%6.10M
5.56%4.86M
2.41%3.47M
-32.78%3.02M
8.13%6.02M
4.26%4.61M
7.59%3.39M
12.85%4.49M
-1.74%5.57M
5.10%4.42M
-2.84%3.15M
61.10%3.98M
41.86%5.67M
242.83%4.21M
153.06%3.25M
41.35%2.47M
86.08%3.99M
26.73%1.23M
5.20%1.28M
1452.48%1.75M
1610.39%2.15M
--968.00K
1258.63%1.22M
212.81%112.51K
--125.52K
--89.74K
--35.97K
--3.99K
Kurzfristige Rückstellungen
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-100.00%0.00
-100.00%0.00
--0.00
-100.00%0.00
2108.75%27.01K
--27.01K
--1.22K
--1.22K
--1.22K
Andere kurzfristige Verbindlichkeiten
48.02%7.88M
5.30%5.99M
6.63%10.87M
12.14%8.98M
10.16%5.33M
23.99%5.68M
67.20%10.20M
64.55%8.01M
39.13%4.83M
51.94%4.58M
1.31%6.10M
5.56%4.86M
2.41%3.47M
-32.78%3.02M
8.13%6.02M
4.26%4.61M
7.59%3.39M
12.85%4.49M
-1.74%5.57M
5.10%4.42M
-2.84%3.15M
61.10%3.98M
41.86%5.67M
242.83%4.21M
153.06%3.25M
41.35%2.47M
86.08%3.99M
26.73%1.23M
5.20%1.28M
1151.90%1.75M
1307.48%2.15M
--968.00K
1240.37%1.22M
275.16%139.52K
--152.53K
--90.96K
--37.19K
--5.21K
Summe der kurzfristigen Verbindlichkeiten
35.65%16.52M
-1.78%12.75M
17.13%17.74M
54.42%15.66M
49.61%12.18M
-30.85%12.98M
-50.78%15.15M
-76.38%10.14M
-83.38%8.14M
-33.74%18.77M
-25.09%30.77M
49.30%42.92M
209.55%48.99M
223.04%28.32M
424.57%41.08M
388.74%28.75M
278.72%15.83M
61.18%8.77M
15.18%7.83M
9.14%5.88M
-5.23%4.18M
43.14%5.44M
8.49%6.80M
-21.50%5.39M
94.41%4.41M
69.11%3.80M
172.53%6.27M
402.97%6.87M
20.39%2.27M
92.00%2.25M
115.96%2.30M
--1.37M
230.65%1.88M
-42.08%1.17M
--1.06M
--569.80K
--2.02M
--1.86M
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
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-100.00%0.00
-100.00%0.00
--0.00
-100.00%0.00
-63.02%14.47K
--14.18K
--39.41K
--39.13K
--38.86K
Langfristige Schulden und Leasingverbindlichkeiten
5.74%303.65M
-18.02%242.72M
-18.76%253.76M
-1.55%267.46M
27.02%287.16M
25.86%296.09M
51.47%312.38M
24.32%271.67M
-1.28%226.07M
7.09%235.25M
5.57%206.24M
31.92%218.52M
33.66%229.00M
25.96%219.68M
13.17%195.35M
-5.19%165.65M
64.30%171.33M
68.89%174.40M
82.28%172.62M
98.71%174.71M
18.63%104.28M
18.27%103.26M
-36.15%94.70M
104.61%87.93M
184.99%87.90M
183.07%87.31M
567.64%148.31M
135.27%42.97M
695.45%30.84M
191.01%30.84M
103.82%22.21M
--18.27M
-65.68%3.88M
-7.42%10.60M
--10.90M
--11.30M
--11.45M
--10.70M
-Langfristige Verbindlichkeiten
4.78%299.00M
-18.71%239.16M
-18.76%252.16M
-1.42%265.76M
27.44%285.36M
26.26%294.20M
52.22%310.40M
24.75%269.60M
-1.15%223.92M
7.32%233.02M
5.82%203.92M
32.64%216.12M
34.40%226.52M
26.56%217.12M
13.56%192.71M
-5.12%162.93M
66.50%168.53M
71.32%171.55M
85.95%169.70M
96.68%171.72M
15.94%101.22M
14.69%100.14M
-38.47%91.26M
103.17%87.31M
183.07%87.31M
183.07%87.31M
567.64%148.31M
135.27%42.97M
695.45%30.84M
191.01%30.84M
103.82%22.21M
--18.27M
-65.68%3.88M
-7.42%10.60M
--10.90M
--11.30M
--11.45M
--10.70M
-Langfristige Leasingverbindlichkeiten
159.07%4.65M
88.70%3.56M
-18.86%1.60M
-17.62%1.70M
-16.52%1.80M
-15.59%1.89M
-14.74%1.98M
-13.97%2.07M
-13.32%2.15M
-12.69%2.24M
-12.10%2.32M
-11.55%2.40M
-11.26%2.48M
-10.08%2.56M
-9.59%2.64M
-9.15%2.72M
-8.51%2.80M
-8.83%2.85M
-15.06%2.92M
385.57%2.99M
415.80%3.06M
--3.12M
--3.44M
--615.52K
--592.71K
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Derivative-Verbindlichkeiten
38.24%1.99M
1363.64%879.56K
-99.85%2.29K
544.19%1.10M
542.21%1.44M
-86.09%60.09K
-18.57%1.53M
-97.11%170.53K
-97.03%223.97K
-89.69%432.14K
-77.07%1.88M
-25.44%5.89M
-11.61%7.55M
32.30%4.19M
203.02%8.18M
2155.31%7.90M
--8.54M
--3.17M
--2.70M
20.25%350.36K
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-51.40%291.36K
301.55%967.54K
-100.00%0.00
--3.04M
--599.56K
--240.95K
--134.87K
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Andere langfristige Verbindlichkeiten
-75.00%41.67K
-63.16%72.92K
-54.54%104.17K
-48.00%135.42K
-98.19%166.67K
-97.77%197.92K
-97.42%229.17K
-97.06%260.42K
3.07%9.21M
1883.77%8.89M
1754.21%8.88M
--8.87M
--8.93M
--447.92K
--479.17K
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-100.00%0.00
-100.00%0.00
--0.00
-100.00%0.00
-30.02%137.63K
--145.93K
--177.39K
--196.66K
--38.86K
Gesamt langfristige Verbindlichkeiten
5.86%305.68M
-17.77%243.67M
-19.18%253.87M
-1.25%268.70M
-38.87%288.76M
-38.45%296.35M
-30.79%314.13M
-42.13%272.10M
-2.08%472.40M
114.64%481.47M
122.49%453.90M
170.92%470.18M
168.21%482.44M
26.33%224.32M
16.36%204.01M
-0.86%173.55M
72.49%179.87M
71.96%177.57M
85.13%175.32M
98.45%175.06M
17.34%104.28M
18.27%103.26M
-38.04%94.70M
102.46%88.22M
185.90%88.87M
181.84%87.31M
587.99%152.83M
138.56%43.57M
701.66%31.08M
188.53%30.98M
101.13%22.21M
--18.27M
-66.21%3.88M
-7.81%10.74M
--11.04M
--11.48M
--11.65M
--10.74M
Gesamtverbindlichkeiten
7.06%322.20M
-17.10%256.42M
-17.51%271.61M
0.75%284.35M
-37.37%300.94M
-38.16%309.32M
-32.06%329.28M
-44.99%282.24M
-9.58%480.54M
98.01%500.24M
97.75%484.67M
153.63%513.10M
171.56%531.43M
35.58%252.64M
33.82%245.09M
11.80%202.30M
80.43%195.70M
71.42%186.33M
80.45%183.15M
93.30%180.95M
16.27%108.46M
19.31%108.70M
-36.20%101.50M
85.58%93.61M
179.68%93.28M
174.22%91.11M
549.02%159.10M
156.95%50.44M
478.88%33.35M
179.05%33.23M
102.43%24.51M
--19.63M
-52.17%5.76M
-12.87%11.91M
--12.11M
--12.05M
--13.67M
--12.60M
Eigenkapital der Aktionäre
Stammkapital
-7.24%594.96M
-30.88%464.22M
-23.58%532.02M
21.04%722.88M
8.15%641.41M
11.44%671.57M
43.39%696.14M
25.55%597.22M
28.20%593.08M
82.83%602.62M
78.87%485.47M
66.37%475.68M
83.36%462.63M
27.44%329.60M
-16.77%271.41M
-13.32%285.91M
-31.49%252.30M
-8.88%258.63M
-4.97%326.09M
-2.50%329.84M
21.97%368.30M
-3.78%283.83M
38.67%343.14M
70.10%338.29M
48.12%301.95M
12.55%294.97M
-6.94%247.44M
-26.42%198.88M
-25.51%203.85M
2936.02%262.07M
2964.98%265.89M
--270.29M
2546.31%273.66M
-39.38%8.63M
--8.68M
--10.34M
--14.24M
--26.77M
Kapitalrücklagen
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Nicht beherrschende Anteile
172.33%92.31M
96.07%83.27M
89.58%95.43M
-245.51%-79.64M
221.15%33.90M
262.68%42.47M
133.87%50.34M
136.64%54.73M
81.34%-27.98M
-235.61%-26.11M
-837.69%-148.63M
-648.62%-149.36M
-306.31%-149.98M
-75.00%19.25M
-82.35%20.15M
-80.98%27.22M
-55.31%72.70M
-72.61%77.00M
-63.26%114.16M
-60.78%143.14M
-63.08%162.68M
-5.58%281.16M
48.36%310.74M
--365.01M
--440.65M
--297.76M
--209.45M
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Gesamtes Eigenkapital
1.37%1.00B
-16.04%863.49M
-11.07%943.06M
47.01%958.45M
75.21%990.13M
78.40%1.03B
214.84%1.06B
99.79%651.95M
80.74%565.10M
65.26%576.51M
7.98%336.84M
-8.60%326.32M
-15.11%312.65M
-7.79%348.85M
-35.32%311.96M
-30.59%357.03M
-35.59%368.28M
-40.88%378.30M
-33.68%482.30M
-33.63%514.41M
-29.66%571.80M
-3.36%639.89M
38.58%727.25M
289.74%775.12M
298.77%812.88M
152.68%662.18M
97.37%524.80M
-26.42%198.88M
-25.51%203.85M
2936.02%262.07M
2964.98%265.89M
--270.29M
2546.31%273.66M
-39.38%8.63M
--8.68M
--10.34M
--14.24M
--26.77M
Währungseinheit
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Prüfungsmeinungen
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