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Metropolitan Bank Holding Corp

MCB

69.050USD

+0.290+0.42%
Trading geöffnet ETKurse um 15 Minuten verzögert
719.60MMarktkapitalisierung
10.77KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q1
FY2016Q4
FY2016Q3
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-9.74%474.08M
-210.04%-203.53M
-59.68%105.05M
-119.96%-32.62M
590.44%525.25M
141.83%184.96M
166.21%260.51M
-28.68%163.44M
76.98%-107.10M
-144.50%-442.12M
-304.05%-393.47M
-73.35%229.15M
-177.94%-465.33M
208.85%993.49M
30.70%192.83M
118.21%859.91M
137.16%597.01M
334.68%321.68M
-58.57%147.53M
-4.46%394.07M
-22.92%251.73M
-34.40%74.00M
16463.95%356.13M
637.60%412.44M
43.20%326.61M
246.66%112.81M
-98.69%2.15M
---76.72M
617.78%228.08M
-204.24%-76.92M
1086.71%164.47M
--31.78M
--73.79M
---16.67M
Nettoergebnis aus fortgeführten Aktivitäten
0.93%16.35M
47.02%21.42M
-44.40%12.27M
7.96%16.80M
-35.38%16.20M
288.22%14.57M
-11.59%22.06M
-32.89%15.56M
31.83%25.08M
-140.98%-7.74M
53.90%24.95M
73.88%23.19M
56.98%19.02M
60.39%18.89M
50.39%16.21M
23.36%13.34M
98.74%12.12M
49.76%11.78M
40.34%10.78M
78.49%10.81M
-28.53%6.10M
25.09%7.86M
8.03%7.68M
3.27%6.06M
35.61%8.53M
89.05%6.29M
85.02%7.11M
--5.87M
146.90%6.29M
6685.71%3.33M
165.29%3.84M
--2.55M
--49.00K
--1.45M
Betriebsergebnisse und -verluste
----
----
----
----
----
--828.00K
-75.81%628.00K
-49.47%571.00K
-24.89%872.00K
----
175.00%2.60M
1.71%1.13M
-8.73%1.16M
--1.74M
-57.27%944.00K
45.04%1.11M
5.74%1.27M
----
235.71%2.21M
61.60%766.00K
164.98%1.20M
-67.47%27.00K
55.92%658.00K
-1.66%474.00K
23.37%454.00K
-70.67%83.00K
68.13%422.00K
--482.00K
86.80%368.00K
40.10%283.00K
30.05%251.00K
--197.00K
--202.00K
--193.00K
Abgegrenzte Steuer
----
0.07%-2.80M
----
----
----
30.00%-2.80M
----
----
----
-3233.33%-4.00M
----
----
----
-141.38%-120.00K
----
----
----
115.55%290.00K
----
----
----
-17.07%-1.86M
----
-100.00%0.00
----
-325.96%-1.59M
-100.00%0.00
--62.00K
----
159.95%705.00K
182.93%34.00K
----
---1.18M
---41.00K
Andere nicht monetäre Posten
50.93%-1.56M
-255.00%-2.28M
-3727.84%-6.38M
-216.11%-2.55M
-1012.61%-3.19M
65.06%1.47M
-69.50%176.00K
-4.23%2.20M
-66.15%349.00K
86.97%890.00K
-25.84%577.00K
160.09%2.29M
492.53%1.03M
-25.86%476.00K
252.04%778.00K
187.30%882.00K
158.00%174.00K
-18.32%642.00K
-74.57%221.00K
-66.41%307.00K
-141.04%-300.00K
33.45%786.00K
935.58%869.00K
376.04%914.00K
4.73%731.00K
-10.76%589.00K
-642.86%-104.00K
--192.00K
771.15%698.00K
14.98%660.00K
95.24%-14.00K
---104.00K
--574.00K
---294.00K
Veränderung des Umlaufvermögens
-11.14%452.96M
-237.97%-223.67M
-59.85%94.00M
-136.62%-50.61M
474.19%509.77M
137.20%162.12M
155.00%234.15M
-30.21%138.19M
72.29%-136.24M
-144.84%-435.80M
-346.44%-425.74M
-76.47%198.02M
-184.58%-491.56M
217.18%971.80M
30.48%172.75M
121.26%841.63M
140.58%581.15M
378.14%306.38M
-61.53%132.40M
-5.44%380.39M
-24.10%241.56M
-39.61%64.08M
6194.03%344.13M
572.52%402.29M
45.36%318.27M
224.12%106.11M
-103.55%-5.65M
---85.14M
669.00%218.96M
-225.72%-85.49M
888.97%159.05M
--28.47M
--68.00M
---20.16M
-Änderung bei den Vorauszahlungen
----
----
----
----
----
----
----
----
----
-731.85%-10.77M
758.23%31.45M
-283.13%-19.98M
-108.81%-701.00K
119.00%1.71M
1213.62%3.67M
-195.01%-5.21M
222.06%7.96M
-243.92%-8.97M
-74.82%279.00K
262.98%5.49M
342.04%2.47M
-2187.20%-2.61M
274.49%1.11M
-84.75%-3.37M
496.45%559.00K
-89.63%125.00K
-31.20%-635.00K
---1.82M
-120.09%-141.00K
244.48%1.21M
-155.06%-484.00K
--702.00K
---834.00K
--879.00K
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
----
----
----
----
----
----
----
----
----
-747.38%-14.56M
75.21%13.20M
-2.50%-12.44M
173.01%13.80M
-106.97%-1.72M
237.11%7.53M
-242.04%-12.14M
-806.05%-18.91M
240.66%24.63M
-85.49%2.23M
532.71%8.55M
-70.91%2.68M
-1364.13%-17.51M
910.37%15.40M
62.22%-1.98M
454.52%9.21M
-226.16%-1.20M
-63.76%1.52M
---5.23M
-18.95%1.66M
192.67%948.00K
115.20%4.21M
--2.05M
---1.02M
--1.95M
-Änderung bei anderen kurzfristigen Vermögenswerten
-627.46%-10.33M
775.59%101.97M
-792.06%-22.01M
136.66%5.01M
-71.70%-1.42M
-136.27%-15.09M
73.78%-2.47M
-68.77%-13.67M
96.44%-827.00K
566.23%41.61M
-38.59%-9.41M
-272.16%-8.10M
-96.58%-23.26M
92.01%6.25M
-355.70%-6.79M
85.12%-2.18M
-64.42%-11.83M
-19.52%3.25M
3.56%-1.49M
-371.27%-14.63M
-56.18%-7.20M
24.29%4.04M
76.35%-1.54M
-29.27%-3.10M
-165.46%-4.61M
155.16%3.25M
-62.85%-6.53M
---2.40M
146.08%7.04M
-1670.57%-5.90M
26.50%-4.01M
--2.86M
---333.00K
---5.46M
-Änderung bei anderen kurzfristigen Verbindlichkeiten
-127.67%-3.03M
-0.56%-38.71M
338.90%15.76M
349.63%12.26M
2.13%10.94M
-2624.07%-38.49M
125.47%3.59M
-900.00%-4.91M
-27.58%10.72M
112.27%1.52M
-1385.56%-14.10M
-25.58%-491.00K
116.85%14.80M
-264.25%-12.43M
37.07%-949.00K
-104.93%-391.00K
-46.25%6.82M
36.94%-3.41M
-1874.12%-1.51M
968.37%7.94M
68.34%12.69M
-551.26%-5.41M
184.16%85.00K
-18.53%743.00K
419.22%7.54M
-132.72%-831.00K
---101.00K
--912.00K
-1235.58%-2.36M
--2.54M
----
--208.00K
----
----
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-9.74%474.08M
-210.04%-203.53M
-59.68%105.05M
-119.96%-32.62M
590.44%525.25M
141.83%184.96M
166.21%260.51M
-28.68%163.44M
76.98%-107.10M
-144.50%-442.12M
-304.05%-393.47M
-73.35%229.15M
-177.94%-465.33M
208.85%993.49M
30.70%192.83M
118.21%859.91M
137.16%597.01M
334.68%321.68M
-58.57%147.53M
-4.46%394.07M
-22.92%251.73M
-34.40%74.00M
16463.95%356.13M
637.60%412.44M
43.20%326.61M
246.66%112.81M
-98.69%2.15M
---76.72M
617.78%228.08M
-204.24%-76.92M
1086.71%164.47M
--31.78M
--73.79M
---16.67M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
1869.37%2.19M
35.80%1.14M
-79.19%629.00K
-17.07%753.00K
-88.67%111.00K
272.78%838.00K
-80.81%3.02M
-56.74%908.00K
-47.71%980.00K
-122.53%-485.00K
1340.31%15.76M
8173.08%2.10M
142.12%1.87M
173.31%2.15M
-56.19%1.09M
-104.58%-26.00K
-79.55%774.00K
-202.30%-2.94M
-27.26%2.50M
-2.07%568.00K
7985.42%3.79M
751.93%2.87M
1235.80%3.43M
-11.31%580.00K
-106.70%-48.00K
-37.59%337.00K
-50.39%257.00K
--654.00K
13.83%716.00K
42.48%540.00K
1026.09%518.00K
--629.00K
--379.00K
--46.00K
Investitionsausgaben
1869.37%2.19M
35.80%1.14M
-79.19%629.00K
-17.07%753.00K
-88.67%111.00K
--838.00K
-80.81%3.02M
-56.74%908.00K
-47.71%980.00K
----
1340.31%15.76M
--2.10M
142.12%1.87M
--2.15M
-56.19%1.09M
----
-79.55%774.00K
----
-27.26%2.50M
-2.07%568.00K
--3.79M
751.93%2.87M
1235.80%3.43M
-11.31%580.00K
----
-37.59%337.00K
-50.39%257.00K
--654.00K
13.83%716.00K
42.48%540.00K
1026.09%518.00K
--629.00K
--379.00K
--46.00K
Netto-Cashflow aus der Veräußerung von Anlagevermögen
1869.37%2.19M
35.80%1.14M
-79.19%629.00K
-17.07%753.00K
-88.67%111.00K
272.78%838.00K
-80.81%3.02M
-56.74%908.00K
-47.71%980.00K
-122.53%-485.00K
1340.31%15.76M
8173.08%2.10M
142.12%1.87M
173.31%2.15M
-56.19%1.09M
-104.58%-26.00K
-79.55%774.00K
-202.30%-2.94M
-27.26%2.50M
-2.07%568.00K
7985.42%3.79M
751.93%2.87M
1235.80%3.43M
-11.31%580.00K
-106.70%-48.00K
-37.59%337.00K
-50.39%257.00K
--654.00K
13.83%716.00K
42.48%540.00K
1026.09%518.00K
--629.00K
--379.00K
--46.00K
Netto-Cashflow aus Anlageprodukten
94.08%-1.93M
2428.09%24.75M
18.64%23.82M
251.65%4.03M
-275.91%-32.53M
108.84%979.00K
-16.72%20.08M
93.58%-2.66M
132.10%18.49M
96.86%-11.07M
139.55%24.11M
33.63%-41.46M
73.96%-57.61M
-314.65%-352.24M
-990.19%-60.96M
-797.42%-62.46M
-631.74%-221.24M
-667.89%-84.95M
104.80%6.85M
111.89%8.96M
3327.27%41.61M
424.07%14.96M
-9112.44%-142.67M
-6027.85%-75.34M
-24.88%1.21M
-416.82%-4.62M
-12.49%1.58M
--1.27M
-16.70%1.62M
190.89%1.46M
21.17%1.81M
--1.94M
---1.60M
--1.49M
Netto-Cashflow aus anderen Investitionstätigkeiten
-238.43%-306.19M
50.87%-134.13M
73.50%-54.36M
61.21%-116.43M
-691.33%-90.47M
-21.52%-273.01M
15.49%-205.13M
-17.24%-300.16M
97.07%-11.43M
-68.91%-224.67M
-57.28%-242.73M
-20.36%-256.02M
-284.21%-390.55M
9.65%-133.01M
-58.21%-154.33M
-67.91%-212.71M
-9.30%-101.65M
16.00%-147.22M
40.53%-97.55M
46.06%-126.68M
60.14%-93.00M
-17.65%-175.26M
-68.44%-164.03M
-219.53%-234.85M
-117.91%-233.32M
-246.40%-148.97M
-1.74%-97.38M
---73.50M
-150.27%-107.07M
55.91%-43.00M
-622.22%-95.71M
---42.78M
---97.53M
---13.25M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-162.57%-306.73M
58.61%-114.57M
84.02%-31.16M
64.92%-107.06M
-7451.54%-116.82M
-15.40%-276.82M
16.82%-195.05M
-1.40%-305.17M
100.35%1.59M
50.78%-239.88M
-8.37%-234.50M
-9.24%-300.95M
-40.26%-454.02M
-112.16%-487.40M
-144.34%-216.39M
-144.74%-275.50M
-456.44%-323.70M
-40.77%-229.73M
71.25%-88.56M
63.70%-112.57M
75.08%-58.17M
-2.28%-163.19M
-228.00%-308.08M
-312.98%-310.10M
-114.03%-233.42M
-279.69%-159.56M
1.02%-93.93M
---75.09M
-164.29%-109.06M
57.79%-42.02M
-769.76%-94.89M
---41.27M
---99.56M
---10.91M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-19.28%-171.16M
8.66%199.89M
99.92%-68.00K
-441.02%-150.06M
-197.22%-143.49M
-20.24%183.96M
-1651.13%-89.87M
15928.06%44.00M
666.75%147.59M
5573.16%230.64M
-103.17%-5.13M
-62.57%-278.00K
-905.48%-26.04M
-194.57%-4.21M
242.23%161.77M
99.57%-171.00K
-39.70%-2.59M
-89.63%4.46M
-147.27%-113.74M
-59.00%-39.75M
-106.20%-1.85M
-65.70%42.97M
-1464.63%-46.00M
-183.33%-25.00M
421.53%29.91M
10.79%125.27M
90.21%-2.94M
--30.00M
-145.52%-9.30M
88.83%113.08M
-493.88%-30.04M
--20.44M
--59.88M
--7.63M
Netto-Cashflow aus Schuldenemission/Rückzahlung
-11.51%-155.04M
8.70%199.96M
99.96%-36.00K
-412.79%-150.03M
-195.91%-139.04M
-20.36%183.96M
-1615.39%-88.03M
17353.96%47.97M
683.33%144.96M
7556.65%231.01M
-476.63%-5.13M
-969.23%-278.00K
-4982.00%-24.85M
-165.36%-3.10M
99.22%-890.00K
99.93%-26.00K
61.65%-489.00K
-88.97%4.74M
-147.23%-113.72M
-59.00%-39.75M
-104.25%-1.27M
-65.62%42.97M
-1433.33%-46.00M
-183.33%-25.00M
426.16%30.00M
8026.44%125.00M
90.01%-3.00M
--30.00M
-145.01%-9.20M
-102.76%-1.58M
-49.80%-30.04M
--20.44M
--57.21M
---20.05M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
---12.94M
----
----
----
----
----
----
----
----
----
----
----
----
--23.00K
--162.66M
----
----
----
----
----
----
----
--0.00
----
----
-100.00%0.00
----
----
----
--114.52M
-100.00%0.00
--0.00
----
--28.25M
Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
----
--2.67M
--2.85M
Barausschüttungen
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
----
----
----
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
----
----
----
----
----
----
----
---3.96M
--3.96M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
166.67%360.00K
----
----
----
--135.00K
----
----
----
----
Netto-Cashflow aus anderen Finanzierungsaktivitäten
28.39%-3.19M
---73.00K
98.26%-32.00K
---21.00K
-233.53%-4.46M
100.00%0.00
---1.83M
--0.00
-12.17%-1.34M
67.69%-368.00K
--0.00
100.00%0.00
43.31%-1.19M
-301.06%-1.14M
100.00%0.00
---145.00K
-262.87%-2.10M
-28300.00%-284.00K
---18.00K
--0.00
-557.95%-579.00K
98.85%-1.00K
-100.00%0.00
--0.00
16.19%-88.00K
---87.00K
--60.00K
--0.00
---105.00K
----
----
--0.00
--0.00
---3.42M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-19.28%-171.16M
8.66%199.89M
99.92%-68.00K
-441.02%-150.06M
-197.22%-143.49M
-20.24%183.96M
-1651.13%-89.87M
15928.06%44.00M
666.75%147.59M
5573.16%230.64M
-103.17%-5.13M
-62.57%-278.00K
-905.48%-26.04M
-194.57%-4.21M
242.23%161.77M
99.57%-171.00K
-39.70%-2.59M
-89.63%4.46M
-147.27%-113.74M
-59.00%-39.75M
-106.20%-1.85M
-65.70%42.97M
-1464.63%-46.00M
-183.33%-25.00M
421.53%29.91M
10.79%125.27M
90.21%-2.94M
--30.00M
-145.52%-9.30M
88.83%113.08M
-493.88%-30.04M
--20.44M
--59.88M
--7.63M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-25.68%200.27M
79.56%318.48M
21.25%244.66M
78.43%534.40M
4.68%269.46M
-74.98%177.37M
-84.96%201.78M
-78.82%299.50M
-89.09%257.42M
-61.84%708.78M
-21.95%1.34B
24.58%1.41B
172.98%2.36B
141.89%1.86B
108.98%1.72B
95.38%1.14B
121.21%864.30M
76.35%767.90M
89.82%822.68M
63.16%580.92M
67.73%390.72M
181.98%435.44M
73.95%433.39M
-4.53%356.05M
-10.83%232.95M
-42.18%154.43M
9.49%249.14M
--372.95M
215.00%261.23M
447.13%267.10M
230.89%227.55M
--82.93M
--48.82M
--68.77M
Änderungen des Cashflows im aktuellen Zeitraum
-101.44%-3.81M
-228.35%-118.21M
402.41%73.82M
-196.48%-289.74M
529.53%264.94M
120.40%92.10M
96.14%-24.41M
-35.59%-97.73M
104.45%42.09M
-189.94%-451.36M
-558.06%-633.10M
-112.34%-72.08M
-449.22%-945.39M
420.61%501.87M
352.35%138.22M
141.67%584.24M
41.21%270.72M
308.57%96.40M
-2773.11%-54.77M
212.56%241.75M
55.74%191.71M
-158.86%-46.22M
102.16%2.05M
163.50%77.34M
12.19%123.10M
1438.19%78.53M
-339.51%-94.72M
---121.81M
902.27%109.72M
-117.20%-5.87M
298.20%39.55M
--10.95M
--34.11M
---19.95M
Endbestand an Zahlungsmitteln
-63.24%196.46M
-25.68%200.27M
79.56%318.48M
21.25%244.66M
78.43%534.40M
4.68%269.46M
-74.98%177.37M
-84.96%201.78M
-78.82%299.50M
-89.09%257.42M
-61.84%708.78M
-21.95%1.34B
24.58%1.41B
172.98%2.36B
141.89%1.86B
108.98%1.72B
94.88%1.14B
122.06%864.30M
76.35%767.90M
89.82%822.68M
63.58%582.43M
67.08%389.22M
181.98%435.44M
72.57%433.39M
-4.02%356.05M
-10.83%232.95M
-42.18%154.43M
--251.14M
295.14%370.95M
215.00%261.23M
447.13%267.10M
--93.88M
--82.93M
--48.82M
Freier Cashflow
-10.14%471.90M
-211.16%-204.67M
-59.45%104.42M
-120.54%-33.38M
585.89%525.13M
141.64%184.12M
162.92%257.48M
-28.42%162.53M
76.87%-108.08M
-144.60%-442.12M
-313.43%-409.23M
-73.60%227.05M
-178.36%-467.20M
--991.34M
32.20%191.74M
118.53%859.91M
140.47%596.24M
----
-58.88%145.04M
-4.46%393.50M
--247.95M
-36.76%71.13M
18531.38%352.69M
632.30%411.86M
----
245.21%112.48M
-98.85%1.89M
---77.37M
629.98%227.37M
-205.52%-77.46M
1080.89%163.96M
--31.15M
--73.41M
---16.71M
Währungseinheit
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