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MetLife Inc

MET

78.370USD

+0.130+0.17%
Handelsschluss 07/10, 16:00ETKurse um 15 Minuten verzögert
52.77BMarktkapitalisierung
12.26KGV 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
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
83.08%4.26B
-11.02%4.61B
19.97%4.17B
14.88%3.49B
14.91%2.33B
125.21%5.18B
-20.13%3.48B
-31.55%3.04B
-0.69%2.03B
-54.80%2.30B
24.10%4.35B
96.89%4.44B
36.36%2.04B
-1.20%5.09B
-7.57%3.51B
166.43%2.25B
-19.00%1.50B
-0.54%5.15B
-8.51%3.79B
-64.56%846.00M
-10.86%1.85B
298.23%5.18B
17.35%4.15B
-57.44%2.39B
59.88%2.07B
-36.54%1.30B
-25.37%3.53B
64.89%5.61B
-38.23%1.30B
-63.67%2.05B
64.60%4.73B
-20.74%3.40B
9.67%2.10B
24.71%5.64B
8.98%2.88B
2.12%4.29B
-28.78%1.91B
-16.61%4.53B
-34.50%2.64B
-5.30%4.20B
8.13%2.69B
-11.73%5.43B
50.90%4.03B
-3.14%4.44B
-9.11%2.48B
228.37%6.15B
-16.20%2.67B
-27.79%4.58B
-52.54%2.73B
--1.87B
--3.19B
--6.34B
--5.76B
Andere nicht monetäre Posten
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-19.00%1.50B
-0.54%5.15B
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-10.86%1.85B
298.23%5.18B
17.35%4.15B
-57.44%2.39B
59.88%2.07B
-36.54%1.30B
-25.37%3.53B
64.89%5.61B
-38.23%1.30B
-63.67%2.05B
64.60%4.73B
-20.74%3.40B
9.67%2.10B
24.71%5.64B
8.98%2.88B
2.12%4.29B
-28.78%1.91B
-16.61%4.53B
-34.50%2.64B
-5.30%4.20B
8.13%2.69B
--5.43B
50.90%4.03B
-3.14%4.44B
-9.11%2.48B
----
-16.20%2.67B
-27.79%4.58B
-52.54%2.73B
----
--3.19B
--6.34B
--5.76B
Veränderung des Umlaufvermögens
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--0.00
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-Änderung bei anderen kurzfristigen Verbindlichkeiten
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--0.00
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
83.08%4.26B
-11.02%4.61B
19.97%4.17B
14.88%3.49B
14.91%2.33B
125.21%5.18B
-20.13%3.48B
-31.55%3.04B
-0.69%2.03B
-54.80%2.30B
24.10%4.35B
96.89%4.44B
36.36%2.04B
-1.20%5.09B
-7.57%3.51B
166.43%2.25B
-19.00%1.50B
-0.54%5.15B
-8.51%3.79B
-64.56%846.00M
-10.86%1.85B
298.23%5.18B
17.35%4.15B
-57.44%2.39B
59.88%2.07B
-36.54%1.30B
-25.37%3.53B
64.89%5.61B
-38.23%1.30B
-63.67%2.05B
64.60%4.73B
-20.74%3.40B
9.67%2.10B
24.71%5.64B
8.98%2.88B
2.12%4.29B
-28.78%1.91B
-16.61%4.53B
-34.50%2.64B
-5.30%4.20B
8.13%2.69B
-11.73%5.43B
50.90%4.03B
-3.14%4.44B
-9.11%2.48B
228.37%6.15B
-16.20%2.67B
-27.79%4.58B
-52.54%2.73B
--1.87B
--3.19B
--6.34B
--5.76B
Investieren von Cashflow
Netto-Cashflow aus Geschäftstransaktionen
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--0.00
--0.00
-100.00%0.00
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100.00%0.00
--0.00
-82.28%590.00M
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96.50%-59.00M
--0.00
--3.33B
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-5162.50%-1.68B
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---32.00M
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--0.00
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--0.00
-660.26%-874.00M
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--0.00
--156.00M
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---16.00M
-100.00%0.00
--452.00M
-100.00%0.00
----
--13.00M
--0.00
--373.00M
--560.00M
--0.00
--0.00
--0.00
Netto-Cashflow aus Anlageprodukten
-49.90%-2.97B
-668.37%-4.91B
-10.50%-2.23B
88.69%-612.00M
-87.70%-1.98B
338.07%863.00M
37.62%-2.02B
-294.64%-5.41B
-477.50%-1.06B
107.78%197.00M
59.01%-3.24B
242.81%2.78B
-87.69%280.00M
-353.61%-2.53B
-37.90%-7.90B
-47.98%-1.95B
119.22%2.27B
115.26%998.00M
0.30%-5.73B
-215.15%-1.31B
-117.05%-11.83B
-226.52%-6.54B
2.08%-5.75B
127.56%1.14B
-1561.59%-5.45B
300.70%5.17B
29.23%-5.87B
-117.30%-4.14B
90.06%-328.00M
-87.67%1.29B
-109.29%-8.29B
46.64%-1.91B
44.66%-3.30B
461.94%10.46B
-477.41%-3.96B
-588.92%-3.57B
4.71%-5.96B
-17.38%-2.89B
85.35%-686.00M
108.48%731.00M
-317.21%-6.26B
67.69%-2.46B
-331.27%-4.68B
-355.91%-8.62B
136.11%2.88B
-477.98%-7.62B
383.08%2.02B
122.53%3.37B
-301.06%-7.98B
--2.02B
---715.00M
---14.95B
--3.97B
Netto-Cashflow aus anderen Investitionstätigkeiten
-264.29%-51.00M
161.11%11.00M
-216.67%-57.00M
-1514.29%-113.00M
85.57%-14.00M
47.06%-18.00M
-460.00%-18.00M
93.91%-7.00M
-219.75%-97.00M
-750.00%-34.00M
113.89%5.00M
-400.00%-115.00M
376.47%81.00M
-233.33%-4.00M
-24.14%-36.00M
-109.58%-23.00M
122.67%17.00M
250.00%3.00M
21.62%-29.00M
748.65%240.00M
-36.36%-75.00M
96.43%-2.00M
-408.33%-37.00M
50.00%-37.00M
-163.95%-55.00M
37.78%-56.00M
119.35%12.00M
22.92%-74.00M
187.76%86.00M
-23.29%-90.00M
55.40%-62.00M
56.76%-96.00M
-326.09%-98.00M
-155.30%-73.00M
-239.02%-139.00M
-246.88%-222.00M
73.26%-23.00M
162.86%132.00M
-95.24%-41.00M
-45.45%-64.00M
-30.30%-86.00M
-208.82%-210.00M
47.50%-21.00M
-144.44%-44.00M
-265.00%-66.00M
19.05%-68.00M
48.05%-40.00M
97.05%-18.00M
106.66%40.00M
---84.00M
---77.00M
---611.00M
---601.00M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-26.46%-3.32B
-1031.25%-5.36B
27.25%-2.16B
78.88%-1.34B
-74.67%-2.63B
392.39%576.00M
27.72%-2.97B
-400.05%-6.35B
-253.05%-1.50B
93.12%-197.00M
50.34%-4.11B
109.61%2.12B
59.58%-426.00M
-32.38%-2.86B
-23.97%-8.28B
172.54%1.01B
87.36%-1.05B
69.52%-2.16B
-24.82%-6.68B
-349.73%-1.39B
-46.29%-8.34B
-232.38%-7.09B
14.08%-5.35B
113.02%557.00M
-1075.05%-5.70B
1800.00%5.36B
37.78%-6.23B
-48.94%-4.28B
88.66%-485.00M
-96.77%282.00M
-113.96%-10.01B
31.09%-2.87B
25.49%-4.28B
350.24%8.74B
-3082.31%-4.68B
-3077.86%-4.17B
16.83%-5.74B
-3.10%-3.49B
97.04%-147.00M
101.58%140.00M
-418.85%-6.90B
60.58%-3.39B
-488.81%-4.97B
-575.03%-8.86B
122.27%2.16B
-500.28%-8.59B
198.46%1.28B
112.49%1.87B
-548.50%-9.72B
--2.15B
---1.30B
---14.94B
--2.17B
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
184.29%220.00M
-194.89%-519.00M
-35.14%-1.15B
-417.94%-1.21B
88.63%-261.00M
96.06%-176.00M
-149.82%-848.00M
104.15%379.00M
-223.06%-2.29B
-311.42%-4.47B
253.61%1.70B
-659.62%-9.13B
430.67%1.86B
84.47%-1.09B
-138.41%-1.11B
140.00%1.63B
-103.98%-564.00M
-593.06%-6.99B
23.98%2.88B
-27.19%680.00M
511.27%14.16B
69.72%-1.01B
315.26%2.33B
-33.00%934.00M
962.39%2.32B
-28.40%-3.33B
-222.42%-1.08B
301.15%1.39B
-85.46%218.00M
77.97%-2.60B
32.98%883.00M
-120.53%-693.00M
-65.07%1.50B
-820.75%-11.78B
330.56%664.00M
178.75%3.38B
149.04%4.29B
485.66%1.63B
-111.95%-288.00M
-232.93%-4.29B
147.09%1.72B
121.09%279.00M
234.39%2.41B
145.33%3.23B
-376.36%-3.66B
74.64%-1.32B
-72.67%-1.79B
-217.57%-7.11B
451.67%1.32B
---5.22B
---1.04B
--6.05B
--240.00M
Netto-Cashflow aus Schuldenemission/Rückzahlung
49.47%565.00M
42.35%-98.00M
-3823.53%-633.00M
34.26%-873.00M
134.68%378.00M
95.90%-170.00M
-99.21%17.00M
79.56%-1.33B
19.44%-1.09B
-894.83%-4.15B
716.73%2.15B
-438.61%-6.50B
6.88%-1.35B
111.42%522.00M
-52.01%263.00M
235.62%1.92B
-114.75%-1.45B
-167.41%-4.57B
-81.48%548.00M
-274.26%-1.42B
2591.80%9.85B
19.12%-1.71B
245.98%2.96B
4.77%812.00M
-42.45%366.00M
16.32%-2.11B
-218.40%-2.03B
-18.93%775.00M
61.83%636.00M
76.80%-2.52B
221.59%1.71B
-69.75%956.00M
-90.52%393.00M
-1423.84%-10.88B
-156.89%-1.41B
211.86%3.16B
19.42%4.14B
-44.83%822.00M
809.93%2.48B
-449.20%-2.83B
563.48%3.47B
250.66%1.49B
115.20%272.00M
174.63%809.00M
81.60%523.00M
81.69%-989.00M
-56.47%-1.79B
-115.98%-1.08B
113.37%288.00M
---5.40B
---1.14B
--6.78B
---2.15B
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-20.39%-1.41B
52.74%-406.00M
2.27%-774.00M
-27.23%-855.00M
-50.26%-1.17B
-44.13%-859.00M
-17.51%-792.00M
39.78%-672.00M
17.02%-780.00M
49.32%-596.00M
33.60%-674.00M
-0.27%-1.12B
5.91%-940.00M
-105.95%-1.18B
-1168.75%-1.01B
---1.11B
-99.80%-999.00M
-128.40%-571.00M
89.81%-80.00M
100.00%0.00
0.00%-500.00M
79.17%-250.00M
-23.43%-785.00M
32.74%-750.00M
51.97%-500.00M
-92.93%-1.20B
-28.48%-636.00M
-17.12%-1.11B
-21.33%-1.04B
-105.96%-622.00M
---495.00M
---952.00M
-1125.71%-858.00M
63.30%-302.00M
100.00%0.00
100.00%0.00
92.90%-70.00M
-285.78%-823.00M
75.63%-107.00M
-250.00%-14.00M
---986.00M
--443.00M
-143.90%-439.00M
---4.00M
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-100.00%0.00
--1.00B
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--1.00B
--0.00
--0.00
--0.00
Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
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100.00%0.00
-100.00%0.00
---500.00M
-100.00%0.00
---1.00B
--989.00M
--0.00
--972.00M
--0.00
--0.00
-100.00%0.00
-100.00%0.00
--0.00
--0.00
--780.00M
--494.00M
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--0.00
---555.00M
--580.00M
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--0.00
--0.00
--0.00
--0.00
Barausschüttungen
-0.90%440.00M
-2.15%410.00M
-1.96%450.00M
-1.86%423.00M
-2.42%444.00M
-0.71%419.00M
-1.08%459.00M
-1.37%431.00M
-1.09%455.00M
-2.76%422.00M
-2.52%464.00M
-4.17%437.00M
-3.36%460.00M
-3.34%434.00M
-0.42%476.00M
-8.06%456.00M
9.17%476.00M
-3.02%449.00M
7.42%478.00M
4.20%496.00M
-0.23%436.00M
-1.91%463.00M
-1.33%445.00M
0.42%476.00M
3.55%437.00M
1.07%472.00M
4.16%451.00M
-0.63%474.00M
-4.74%422.00M
-3.91%467.00M
-3.13%433.00M
-2.05%477.00M
5.73%443.00M
3.85%486.00M
4.93%447.00M
7.98%487.00M
-1.18%419.00M
9.09%468.00M
0.24%426.00M
5.87%451.00M
24.34%424.00M
25.44%429.00M
27.63%425.00M
27.93%426.00M
46.35%341.00M
-59.38%342.00M
1010.00%333.00M
974.19%333.00M
676.67%233.00M
--842.00M
--30.00M
--31.00M
--30.00M
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
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---89.00M
--10.00M
--4.00M
--75.00M
Netto-Cashflow aus anderen Finanzierungsaktivitäten
-187.23%-270.00M
-161.11%-33.00M
148.61%122.00M
121.88%71.00M
-95.83%-94.00M
159.34%54.00M
-70.75%-251.00M
139.51%32.00M
-318.18%-48.00M
-175.76%-91.00M
-188.24%-147.00M
-175.70%-81.00M
-86.98%22.00M
-126.61%-33.00M
-134.69%-51.00M
238.96%107.00M
328.38%169.00M
202.48%124.00M
-15.52%147.00M
66.67%-77.00M
26.00%-74.00M
-134.08%-121.00M
168.77%174.00M
-477.50%-231.00M
-172.99%-100.00M
61.36%355.00M
-1037.04%-253.00M
92.25%-40.00M
-41.95%137.00M
123.11%220.00M
125.47%27.00M
-276.64%-516.00M
1023.81%236.00M
-461.98%-952.00M
-85.96%-106.00M
-253.93%-137.00M
132.81%21.00M
270.78%263.00M
82.46%-57.00M
2325.00%89.00M
70.51%-64.00M
-121.51%-154.00M
-655.81%-325.00M
75.00%-4.00M
-223.88%-217.00M
31.14%716.00M
83.46%-43.00M
99.50%-16.00M
-112.71%-67.00M
--546.00M
---260.00M
---3.22B
--527.00M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
184.29%220.00M
-194.89%-519.00M
-35.14%-1.15B
-417.94%-1.21B
88.63%-261.00M
96.06%-176.00M
-149.82%-848.00M
104.15%379.00M
-223.06%-2.29B
-311.42%-4.47B
253.61%1.70B
-659.62%-9.13B
430.67%1.86B
84.47%-1.09B
-138.41%-1.11B
140.00%1.63B
-103.98%-564.00M
-593.06%-6.99B
23.98%2.88B
-27.19%680.00M
511.27%14.16B
69.72%-1.01B
315.26%2.33B
-33.00%934.00M
962.39%2.32B
-28.40%-3.33B
-222.42%-1.08B
301.15%1.39B
-85.46%218.00M
77.97%-2.60B
32.98%883.00M
-120.53%-693.00M
-65.07%1.50B
-820.75%-11.78B
330.56%664.00M
178.75%3.38B
149.04%4.29B
485.66%1.63B
-111.95%-288.00M
-232.93%-4.29B
147.09%1.72B
121.09%279.00M
234.39%2.41B
145.33%3.23B
-376.36%-3.66B
74.64%-1.32B
-72.67%-1.79B
-217.57%-7.11B
451.67%1.32B
---5.22B
---1.04B
--6.05B
--240.00M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-2.77%20.07B
45.96%21.77B
34.83%20.79B
7.50%19.84B
2.20%20.64B
-32.83%14.91B
-24.97%15.42B
-21.50%18.46B
0.39%20.20B
16.48%22.20B
-18.27%20.55B
16.13%23.51B
-2.16%20.12B
-21.91%19.06B
3.51%25.14B
-15.97%20.25B
23.87%20.56B
25.46%24.41B
31.75%24.29B
66.10%24.09B
4.91%16.60B
55.74%19.45B
13.01%18.43B
4.16%14.51B
24.56%15.82B
-4.09%12.49B
-5.81%16.31B
-20.01%13.93B
-28.95%12.70B
-18.01%13.02B
1.48%17.32B
31.01%17.41B
40.19%17.88B
55.47%15.88B
111.38%17.07B
63.53%13.29B
17.99%12.75B
16.32%10.22B
9.21%8.07B
-5.20%8.13B
42.49%10.81B
-22.79%8.78B
-19.50%7.39B
-14.12%8.57B
-51.80%7.58B
-32.88%11.38B
-42.73%9.18B
-46.52%9.98B
50.44%15.74B
--16.95B
--16.04B
--18.67B
--10.46B
Änderungen des Cashflows im aktuellen Zeitraum
257.45%1.26B
-129.63%-1.70B
293.86%979.00M
131.13%946.00M
54.05%-799.00M
385.64%5.73B
-130.57%-505.00M
-2.56%-3.04B
-151.22%-1.74B
-289.69%-2.00B
127.16%1.65B
-160.53%-2.96B
1181.21%3.40B
127.49%1.06B
-5343.10%-6.08B
2410.26%4.89B
-104.19%-314.00M
-34.72%-3.85B
-88.59%116.00M
-95.04%195.00M
670.04%7.50B
-185.68%-2.85B
126.61%1.02B
64.74%3.93B
-207.26%-1.31B
1134.47%3.33B
11.03%-3.82B
2692.39%2.38B
363.09%1.23B
-116.15%-322.00M
-262.84%-4.30B
-102.44%-92.00M
-186.62%-466.00M
-21.37%1.99B
-155.28%-1.18B
7226.42%3.78B
120.07%538.00M
25.23%2.54B
54.10%2.14B
95.51%-53.00M
-371.36%-2.68B
153.42%2.02B
-36.59%1.39B
-47.68%-1.18B
117.17%988.00M
-212.79%-3.79B
139.56%2.19B
69.64%-799.00M
-170.13%-5.75B
---1.21B
--915.00M
---2.63B
--8.21B
Auswirkungen von Wechselkursänderungen
141.00%98.00M
-393.10%-425.00M
173.75%118.00M
100.91%1.00M
-802.94%-239.00M
-59.61%145.00M
44.64%-160.00M
71.28%-110.00M
140.48%34.00M
517.44%359.00M
-44.50%-289.00M
---383.00M
56.25%-84.00M
-154.78%-86.00M
-270.94%-200.00M
-100.00%0.00
-12.28%-192.00M
134.33%157.00M
211.43%117.00M
17.65%60.00M
-4175.00%-171.00M
1575.00%67.00M
-128.26%-105.00M
115.09%51.00M
-102.03%-4.00M
106.78%4.00M
-147.92%-46.00M
-563.01%-338.00M
-7.51%197.00M
90.30%-59.00M
308.70%96.00M
-73.84%73.00M
191.78%213.00M
-360.61%-608.00M
25.81%-46.00M
358.33%279.00M
138.42%73.00M
55.10%-132.00M
23.46%-62.00M
-590.91%-108.00M
-18900.00%-190.00M
-1076.00%-294.00M
-313.16%-81.00M
116.67%22.00M
98.92%-1.00M
-92.31%-25.00M
-42.42%38.00M
-59.04%-132.00M
-326.83%-93.00M
---13.00M
--66.00M
---83.00M
--41.00M
Endbestand an Zahlungsmitteln
7.49%21.33B
-2.77%20.07B
45.96%21.77B
34.83%20.79B
7.50%19.84B
2.20%20.64B
-32.83%14.91B
-24.97%15.42B
-21.50%18.46B
0.39%20.20B
16.48%22.20B
-18.27%20.55B
16.13%23.51B
-2.16%20.12B
-21.91%19.06B
3.51%25.14B
-15.97%20.25B
23.87%20.56B
25.46%24.41B
31.75%24.29B
66.10%24.09B
4.91%16.60B
55.74%19.45B
13.01%18.43B
4.16%14.51B
24.56%15.82B
-4.09%12.49B
-5.81%16.31B
-20.01%13.93B
-28.95%12.70B
-18.01%13.02B
1.48%17.32B
31.01%17.41B
40.19%17.88B
55.47%15.88B
111.38%17.07B
63.53%13.29B
17.99%12.75B
16.32%10.22B
9.21%8.07B
-5.20%8.13B
42.49%10.81B
-22.79%8.78B
-19.50%7.39B
-14.12%8.57B
-51.80%7.58B
-32.88%11.38B
-42.73%9.18B
-46.52%9.98B
--15.74B
--16.95B
--16.04B
--18.67B
Freier Cashflow
83.08%4.26B
-11.02%4.61B
19.97%4.17B
14.88%3.49B
14.91%2.33B
125.21%5.18B
-20.13%3.48B
-31.55%3.04B
-0.69%2.03B
-54.80%2.30B
24.10%4.35B
96.89%4.44B
36.36%2.04B
-1.20%5.09B
-7.57%3.51B
166.43%2.25B
-19.00%1.50B
-0.54%5.15B
-8.51%3.79B
-64.56%846.00M
-10.86%1.85B
298.23%5.18B
17.35%4.15B
-57.44%2.39B
59.88%2.07B
-36.54%1.30B
-25.37%3.53B
64.89%5.61B
-38.23%1.30B
-63.67%2.05B
64.60%4.73B
-20.74%3.40B
9.67%2.10B
24.71%5.64B
8.98%2.88B
2.12%4.29B
-28.78%1.91B
-16.61%4.53B
-34.50%2.64B
-5.30%4.20B
8.13%2.69B
-11.73%5.43B
50.90%4.03B
-3.14%4.44B
-9.11%2.48B
228.37%6.15B
-16.20%2.67B
-27.79%4.58B
-52.54%2.73B
--1.87B
--3.19B
--6.34B
--5.76B
Währungseinheit
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