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NACCO Industries Inc

NC

40.110USD

+0.630+1.60%
Handelsschluss 07/17, 16:00ETKurse um 15 Minuten verzögert
298.50MMarktkapitalisierung
8.76KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
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FY2014Q3
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FY2014Q1
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FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
0.06%61.88M
-14.42%72.83M
-50.80%63.05M
-46.71%62.36M
-43.59%61.84M
-23.15%85.11M
38.18%128.17M
20.49%117.02M
34.33%109.64M
28.77%110.75M
6.00%92.75M
14.23%97.11M
3.14%81.62M
-2.76%86.00M
-10.31%87.51M
-11.03%85.01M
-15.57%79.13M
-28.03%88.45M
-15.20%97.57M
-2.92%95.55M
18.55%93.73M
44.14%122.89M
38.54%115.06M
23.10%98.42M
-5.21%79.06M
-16.09%85.26M
-11.59%83.05M
32.79%79.95M
47.81%83.40M
46.59%101.60M
112.21%93.94M
75.76%60.21M
57.98%56.43M
32.02%69.31M
273.65%44.27M
77.29%34.26M
21.85%35.72M
-14.13%52.50M
-76.59%11.85M
-68.27%19.32M
-58.17%29.31M
-35.91%61.13M
-36.24%50.60M
-28.39%60.91M
-27.67%70.07M
-31.79%95.39M
-49.03%79.35M
-71.95%85.06M
-69.24%96.87M
--139.85M
--155.70M
--303.20M
--314.90M
- Barmittel und Barmitteläquivalente
0.06%61.88M
-14.42%72.83M
-50.80%63.05M
-46.71%62.36M
-43.59%61.84M
-23.15%85.11M
38.18%128.17M
20.49%117.02M
34.33%109.64M
28.77%110.75M
6.00%92.75M
14.23%97.11M
3.14%81.62M
-2.76%86.00M
-10.31%87.51M
-11.03%85.01M
-15.57%79.13M
-28.03%88.45M
-15.20%97.57M
-2.92%95.55M
18.55%93.73M
44.14%122.89M
38.54%115.06M
23.10%98.42M
-5.21%79.06M
-16.09%85.26M
-11.59%83.05M
32.79%79.95M
47.81%83.40M
46.59%101.60M
112.21%93.94M
75.76%60.21M
57.98%56.43M
32.02%69.31M
273.65%44.27M
77.29%34.26M
21.85%35.72M
-14.13%52.50M
-76.59%11.85M
-68.27%19.32M
-58.17%29.31M
-35.91%61.13M
-36.24%50.60M
-28.39%60.91M
-27.67%70.07M
-31.79%95.39M
-49.03%79.35M
-71.95%85.06M
-69.24%96.87M
--139.85M
--155.70M
--303.20M
--314.90M
Forderungen
3.25%38.37M
20.30%55.50M
44.11%58.52M
-28.20%43.01M
-26.57%37.16M
-23.45%46.13M
-23.84%40.61M
41.00%59.91M
11.07%50.61M
30.09%60.27M
54.72%53.32M
13.17%42.49M
2.79%45.57M
12.24%46.33M
-24.44%34.46M
-6.92%37.54M
5.21%44.33M
88.85%41.27M
132.14%45.61M
53.51%40.34M
49.71%42.14M
-24.16%21.86M
-19.72%19.65M
-14.06%26.27M
-21.15%28.15M
-16.55%28.82M
-23.61%24.47M
-68.25%30.57M
-61.69%35.70M
66.07%34.53M
-69.48%32.03M
17.98%96.30M
18.80%93.19M
-81.78%20.79M
-13.17%104.97M
-10.73%81.62M
-16.66%78.44M
-36.92%114.11M
-14.85%120.89M
-24.66%91.43M
-12.06%94.13M
17.90%180.89M
2.75%141.98M
10.02%121.35M
-9.20%107.03M
2.77%153.43M
28.30%138.18M
-73.54%110.30M
-73.53%117.88M
--149.29M
--107.70M
--416.80M
--445.40M
-Forderungen aus Lieferungen und Leistungen
5.65%38.37M
22.54%55.50M
29.25%44.91M
-22.69%43.01M
2.26%36.32M
1.59%45.29M
14.76%34.74M
44.25%55.64M
7.52%35.52M
42.55%44.58M
18.71%30.27M
36.72%38.57M
10.79%33.03M
32.18%31.27M
26.08%25.50M
12.61%28.21M
8.42%29.81M
8.25%23.66M
2.96%20.23M
-4.66%25.05M
-2.30%27.50M
-24.16%21.86M
-19.72%19.65M
-14.06%26.27M
-21.15%28.15M
-16.55%28.82M
-23.61%24.47M
-68.25%30.57M
-61.69%35.70M
66.07%34.53M
-69.48%32.03M
17.98%96.30M
18.80%93.19M
-81.78%20.79M
-13.17%104.97M
-10.73%81.62M
-16.66%78.44M
-36.92%114.11M
-14.85%120.89M
-24.66%91.43M
-12.06%94.13M
17.90%180.89M
2.75%141.98M
10.02%121.35M
-9.20%107.03M
2.77%153.43M
28.30%138.18M
-73.54%110.30M
-73.53%117.88M
--149.29M
--107.70M
--416.80M
--445.40M
-Sonstige Forderungen
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--13.61M
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Inventar
-16.64%63.15M
22.87%94.61M
36.44%94.44M
27.89%83.40M
6.33%75.75M
7.71%77.00M
12.00%69.22M
14.49%65.21M
27.30%71.25M
32.18%71.49M
21.28%61.80M
14.56%56.96M
24.09%55.97M
13.74%54.09M
20.08%50.95M
39.14%49.72M
25.30%45.10M
17.51%47.55M
28.25%42.43M
15.73%35.73M
9.75%36.00M
29.66%40.47M
-0.29%33.09M
5.89%30.88M
8.91%32.80M
3.98%31.21M
8.51%33.18M
-82.19%29.16M
-81.06%30.11M
3.76%30.02M
-84.81%30.58M
-2.29%163.76M
-3.26%158.98M
-82.47%28.93M
-14.05%201.31M
-17.51%167.59M
-12.17%164.33M
-13.32%165.02M
6.17%234.21M
7.98%203.17M
-3.52%187.10M
3.22%190.38M
6.39%220.61M
12.35%188.15M
19.53%193.91M
8.86%184.44M
0.95%207.35M
-64.73%167.47M
-66.05%162.23M
--169.44M
--205.40M
--474.80M
--477.90M
Aktive Rechnungsabgrenzungsposten
28.82%14.49M
----
1.23%3.96M
0.59%7.19M
-5.00%11.25M
-10.46%1.79M
-8.05%3.91M
-7.93%7.15M
4.94%11.84M
-0.84%2.00M
1.55%4.25M
-2.65%7.77M
-5.21%11.28M
-81.46%2.02M
--4.18M
--7.98M
-30.26%11.90M
-29.66%10.87M
----
----
-9.68%17.07M
6.14%15.46M
16.29%12.52M
17.22%14.89M
44.55%18.90M
34.30%14.56M
70.20%10.76M
-43.09%12.70M
-36.15%13.07M
31.06%10.84M
-77.97%6.32M
1.82%22.32M
4.04%20.48M
-30.65%8.27M
36.95%28.70M
-11.08%21.93M
-25.13%19.68M
-8.88%11.93M
-18.70%20.95M
6.31%24.66M
23.57%26.28M
-2.05%13.09M
66.79%25.77M
47.54%23.20M
11.55%21.27M
3.45%13.37M
3.71%15.45M
-62.03%15.72M
-67.74%19.07M
--12.92M
--14.90M
--41.40M
--59.10M
Sonstige kurzfristige Vermögenswerte
86.15%36.41M
78.33%27.64M
180.81%34.58M
136.50%30.33M
51.40%19.56M
-2.56%15.50M
-28.22%12.31M
-10.01%12.83M
5.76%12.92M
8.80%15.91M
12.32%17.16M
57.24%14.25M
-0.79%12.21M
--14.62M
17.53%15.27M
-52.52%9.06M
--12.31M
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--13.00M
--19.09M
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100.45%23.02M
----
63.81%17.56M
----
-20.39%11.49M
-7.01%12.74M
1.10%10.72M
-5.76%14.45M
-39.63%14.43M
-39.11%13.70M
-63.18%10.60M
--15.34M
--23.90M
--22.50M
--28.80M
Summe der kurzfristigen Vermögenswerte
6.89%227.50M
14.11%264.74M
0.34%259.02M
-11.86%231.04M
-16.94%212.84M
-10.91%232.00M
12.59%258.15M
19.92%262.11M
24.00%256.25M
28.25%260.41M
19.18%229.28M
15.46%218.58M
7.20%206.65M
7.92%203.05M
-3.13%192.38M
-0.73%189.31M
2.04%192.78M
-6.24%188.15M
10.15%198.60M
8.61%190.70M
15.18%188.93M
22.23%200.67M
19.04%180.31M
15.22%175.58M
1.07%164.03M
-7.24%164.17M
-7.78%151.47M
-55.70%152.39M
-50.95%162.29M
-53.64%176.99M
-57.25%164.25M
7.16%343.96M
4.79%330.89M
5.62%381.73M
-6.58%384.25M
-5.57%320.96M
-11.06%315.77M
-19.17%361.43M
-8.69%411.29M
-16.35%339.90M
-11.96%355.01M
-3.07%447.15M
-0.99%450.44M
3.49%406.34M
-0.89%403.24M
-5.25%461.29M
-10.64%454.95M
-69.18%392.64M
-69.67%406.86M
--486.84M
--509.10M
--1.27B
--1.34B
Langfristige Vermögenswerte
Nettoanlagevermögen
10.69%273.16M
15.72%269.12M
3.36%252.46M
8.16%249.23M
9.20%246.78M
3.65%232.57M
10.35%244.26M
5.35%230.42M
10.22%225.99M
11.03%224.37M
11.45%221.35M
18.13%218.72M
14.49%205.05M
10.58%202.08M
18.89%198.60M
20.26%185.15M
18.85%179.09M
22.27%182.74M
18.22%167.05M
14.53%153.96M
8.94%150.69M
20.00%149.46M
12.10%141.31M
8.73%134.42M
15.45%138.32M
3.74%124.55M
8.35%126.06M
-6.43%123.63M
-9.34%119.81M
4.31%120.07M
-6.65%116.34M
-0.12%132.13M
-0.14%132.16M
-13.15%115.11M
-17.88%124.63M
-14.11%132.29M
-15.46%132.34M
-16.98%132.54M
-39.78%151.77M
-39.45%154.02M
-36.32%156.55M
-27.19%159.64M
30.01%252.04M
37.03%254.36M
33.57%245.86M
19.82%219.26M
0.19%193.86M
-32.43%185.63M
-27.33%184.06M
--182.99M
--193.50M
--274.70M
--253.30M
-Anlagevermögen
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-17.62%282.30M
----
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16.38%342.69M
----
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--294.46M
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-Abgegrenzte Abschreibungen
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-0.63%122.66M
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10.72%123.43M
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--111.48M
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Goodwill und andere immaterielle Vermögenswerte
-9.64%5.31M
-8.84%5.47M
-78.13%5.63M
-78.17%5.76M
-78.48%5.88M
-78.59%6.01M
-11.18%25.76M
-11.61%26.40M
-11.64%27.33M
-11.70%28.05M
-10.86%29.00M
-10.67%29.87M
-9.96%30.93M
-10.07%31.77M
-8.61%32.53M
-7.97%33.44M
-7.48%34.35M
-6.79%35.33M
-6.99%35.60M
-6.81%36.33M
-6.88%37.13M
-6.45%37.90M
-7.42%38.27M
-7.30%38.99M
-7.00%39.87M
-6.98%40.52M
-6.12%41.34M
-26.62%42.06M
-26.44%42.87M
-4.65%43.55M
-26.76%44.04M
-6.48%57.31M
-6.17%58.28M
-27.61%45.68M
-5.91%60.12M
-5.77%61.29M
-5.88%62.11M
-5.93%63.10M
12.08%63.90M
12.27%65.04M
12.00%65.99M
12.38%67.07M
-11.72%57.02M
-11.78%57.93M
-14.25%58.92M
-14.43%59.69M
-18.65%64.59M
15.61%65.67M
19.91%68.71M
--69.75M
--79.40M
--56.80M
--57.30M
Sonstige langfristige Vermögenswerte
27.14%74.69M
-28.81%40.41M
54.11%63.61M
41.30%58.65M
52.17%58.74M
40.81%56.76M
-18.69%41.28M
-11.71%41.51M
-25.66%38.60M
-21.30%40.31M
10.16%50.77M
3.99%47.02M
20.09%51.93M
24.99%51.23M
17.84%46.09M
23.45%45.22M
36.01%43.24M
27.54%40.98M
31.32%39.11M
31.66%36.63M
12.35%31.79M
16.19%32.13M
7.57%29.78M
-5.71%27.82M
-7.30%28.30M
-15.18%27.66M
-16.23%27.68M
-51.32%29.50M
-51.59%30.53M
-9.51%32.61M
-65.25%33.05M
-36.19%60.61M
-34.52%63.05M
-63.36%36.03M
25.55%95.11M
2.75%94.98M
26.56%96.29M
1.89%98.34M
8.75%75.75M
31.76%92.44M
6.42%76.08M
40.04%96.51M
8.65%69.66M
31.18%70.16M
32.17%71.49M
87.64%68.92M
60.29%64.11M
-46.08%53.48M
-44.69%54.09M
--36.73M
--40.00M
--99.20M
--97.80M
Summe der langfristigen Vermögenswerte
25.07%406.69M
19.25%366.95M
4.84%338.38M
6.34%329.02M
6.31%325.16M
0.01%307.71M
-2.47%322.76M
-5.89%309.40M
-0.16%305.87M
1.15%307.67M
11.60%330.93M
15.47%328.77M
6.95%306.36M
5.60%304.17M
10.94%296.54M
12.87%284.73M
15.97%286.45M
18.00%288.03M
14.99%267.30M
12.81%252.25M
7.50%246.99M
14.70%244.10M
8.08%232.46M
4.67%223.60M
8.43%229.76M
0.12%212.82M
-2.55%215.08M
-22.96%213.63M
-26.78%211.89M
-25.75%212.56M
-21.14%220.70M
-3.90%277.30M
-0.47%289.40M
-2.61%286.29M
-3.97%279.86M
-7.36%288.56M
-2.64%290.75M
-9.09%293.97M
-23.05%291.42M
-18.55%311.50M
-20.74%298.62M
-7.25%323.37M
17.20%378.72M
25.20%382.45M
22.78%376.76M
20.45%348.67M
3.27%323.13M
-29.07%305.48M
-24.86%306.87M
--289.46M
--312.90M
--430.70M
--408.40M
Summe der Vermögenswerte
17.88%634.19M
17.04%631.69M
2.84%597.41M
-2.00%560.06M
-4.29%538.00M
-4.99%539.71M
3.69%580.90M
4.42%571.51M
9.57%562.12M
12.00%568.07M
14.58%560.20M
15.46%547.34M
7.05%513.01M
6.52%507.22M
4.94%488.92M
7.02%474.04M
9.94%479.23M
7.06%476.18M
12.87%465.90M
10.97%442.95M
10.70%435.92M
17.98%444.77M
12.61%412.77M
9.06%399.18M
5.24%393.79M
-3.22%376.99M
-4.78%366.55M
-41.08%366.02M
-39.68%374.18M
-41.69%389.55M
-42.04%384.95M
1.93%621.26M
2.27%620.29M
1.92%668.02M
-5.49%664.11M
-6.43%609.52M
-7.21%606.51M
-14.94%655.41M
-15.25%702.72M
-17.42%651.40M
-16.20%653.64M
-4.87%770.52M
6.56%829.16M
12.99%788.79M
9.29%780.00M
4.33%809.96M
-5.34%778.09M
-59.05%698.12M
-59.21%713.73M
--776.31M
--822.00M
--1.70B
--1.75B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
73.62%33.63M
-8.57%18.50M
42.12%23.71M
109.71%20.57M
101.25%19.37M
141.75%20.23M
52.09%16.68M
-4.30%9.81M
-8.19%9.63M
-17.29%8.37M
0.37%10.97M
-3.76%10.25M
1.74%10.48M
17.51%10.12M
40.58%10.93M
39.19%10.65M
35.43%10.30M
-12.61%8.61M
-5.40%7.78M
-8.06%7.65M
-0.72%7.61M
18.13%9.85M
-19.89%8.22M
-12.65%8.32M
-25.86%7.66M
-25.16%8.34M
-29.33%10.26M
-68.80%9.53M
-61.19%10.34M
-19.21%11.15M
-52.49%14.52M
11.47%30.54M
4.97%26.63M
-50.41%13.80M
-32.49%30.56M
2.57%27.39M
-29.68%25.37M
3.26%27.82M
9.55%45.27M
-29.47%26.71M
10.04%36.08M
-24.90%26.94M
2.24%41.33M
24.12%37.87M
19.82%32.79M
15.45%35.88M
0.79%40.42M
-78.11%30.51M
-79.61%27.37M
--31.07M
--40.10M
--139.40M
--134.20M
Rückstellungen
31.36%11.91M
30.87%22.66M
39.63%18.78M
31.25%12.93M
14.48%9.07M
-4.35%17.32M
-19.16%13.45M
-12.69%9.85M
-1.47%7.92M
10.81%18.11M
27.89%16.64M
22.62%11.28M
10.00%8.04M
13.23%16.34M
23.15%13.01M
-19.33%9.20M
12.12%7.31M
-56.34%14.43M
-68.66%10.56M
-63.04%11.40M
-75.84%6.52M
66.46%33.05M
154.57%33.71M
220.54%30.86M
348.92%26.98M
15.40%19.85M
6.78%13.24M
-64.65%9.63M
-70.99%6.01M
11.12%17.20M
-64.48%12.40M
5.83%27.23M
6.27%20.72M
-69.96%15.48M
1.67%34.91M
-30.50%25.73M
-19.23%19.49M
53.98%51.53M
79.43%34.34M
149.54%37.02M
133.17%24.14M
15.28%33.47M
-14.83%19.14M
-19.27%14.84M
-23.83%10.35M
19.52%29.03M
24.83%22.47M
-57.36%18.38M
-57.53%13.59M
--24.29M
--18.00M
--43.10M
--32.00M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
-78.44%4.63M
-70.05%4.18M
16.88%4.18M
767.18%31.87M
630.48%21.50M
282.38%13.95M
21.12%3.58M
25.47%3.67M
-0.74%2.94M
44.40%3.65M
18.06%2.96M
-71.19%2.93M
-85.23%2.96M
-88.57%2.53M
160.73%2.50M
71.15%10.17M
68.17%20.07M
183.67%22.11M
143.65%960.00K
32.05%5.94M
160.94%11.93M
67.49%7.79M
-96.30%394.00K
-65.49%4.50M
-71.56%4.57M
-71.14%4.65M
811.56%10.65M
-44.50%13.04M
-50.88%16.08M
824.60%16.13M
-82.78%1.17M
205.79%23.49M
476.02%32.73M
-82.33%1.74M
-55.83%6.78M
-40.11%7.68M
-76.31%5.68M
-82.52%9.87M
-80.24%15.35M
-84.44%12.82M
-56.57%23.99M
80.30%56.47M
70.14%77.69M
140.71%82.40M
11.09%55.23M
-25.87%31.32M
-6.81%45.66M
-65.66%34.23M
-81.91%49.72M
--42.25M
--49.00M
--99.70M
--274.90M
-Kurzfristige Leasingverpflichtungen
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
112.90%1.19M
-72.67%44.00K
-87.69%33.00K
-90.41%33.00K
--558.00K
--161.00K
--268.00K
--344.00K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Aufgeschobene Verbindlichkeiten
----
----
-44.34%723.00K
-24.87%843.00K
-54.50%930.00K
5.40%878.00K
-2.62%1.30M
-37.77%1.12M
-31.62%2.04M
-79.59%833.00K
--1.33M
--1.80M
--2.99M
--4.08M
----
----
----
----
--1.69M
--1.23M
--2.20M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--1.60M
--9.40M
--11.70M
Andere kurzfristige Verbindlichkeiten
65.67%33.63M
-12.37%18.50M
35.87%24.43M
95.89%21.41M
73.97%20.30M
129.41%21.11M
46.16%17.98M
-9.31%10.93M
-13.39%11.67M
-35.20%9.20M
12.57%12.30M
13.16%12.05M
30.74%13.47M
64.92%14.20M
15.44%10.93M
19.97%10.65M
5.02%10.30M
-12.61%8.61M
15.20%9.47M
6.67%8.88M
28.03%9.81M
18.13%9.85M
-19.89%8.22M
-12.65%8.32M
-25.86%7.66M
-25.16%8.34M
-29.33%10.26M
-68.80%9.53M
-61.19%10.34M
-19.21%11.15M
-52.49%14.52M
11.47%30.54M
4.97%26.63M
-50.41%13.80M
-32.49%30.56M
2.57%27.39M
-29.68%25.37M
3.26%27.82M
9.55%45.27M
-29.47%26.71M
10.04%36.08M
-24.90%26.94M
2.24%41.33M
24.12%37.87M
19.82%32.79M
15.45%35.88M
-3.07%40.42M
-79.50%30.51M
-81.24%27.37M
--31.07M
--41.70M
--148.80M
--145.90M
Summe der kurzfristigen Verbindlichkeiten
4.10%66.56M
-7.28%64.89M
13.23%68.92M
118.14%81.83M
87.98%63.94M
58.09%69.99M
38.44%60.87M
-14.04%37.51M
-6.62%34.01M
-3.79%44.27M
7.48%43.97M
7.95%43.64M
-20.68%36.42M
-11.94%46.02M
11.84%40.91M
2.96%40.42M
20.50%45.92M
-15.67%52.26M
-30.69%36.58M
-26.16%39.26M
-23.12%38.11M
46.67%61.97M
19.44%52.77M
15.78%53.17M
21.38%49.57M
-21.73%42.25M
2.23%44.19M
-75.32%45.92M
-75.58%40.84M
-75.67%53.98M
-81.17%43.22M
15.07%186.05M
18.76%167.20M
15.69%221.83M
-10.35%229.51M
-16.14%161.68M
-23.98%140.80M
-24.71%191.75M
-10.96%256.00M
-17.75%192.80M
-8.34%185.22M
6.96%254.68M
14.78%287.50M
35.15%234.43M
11.48%202.06M
4.82%238.12M
2.74%250.47M
-74.87%173.46M
-79.18%181.25M
--227.17M
--243.80M
--690.30M
--870.50M
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
3.13%44.98M
-0.26%44.57M
-5.27%43.20M
-14.68%43.68M
-14.82%43.61M
-9.44%44.68M
-5.52%45.60M
6.01%51.20M
6.04%51.20M
1.24%49.34M
-1.60%48.27M
-1.32%48.30M
-1.11%48.28M
0.02%48.74M
1.69%49.05M
13.02%48.94M
13.66%48.82M
12.32%48.73M
12.90%48.24M
7.53%43.30M
-7.53%42.95M
-6.32%43.38M
-9.41%42.73M
-14.79%40.27M
-1.59%46.45M
-5.17%46.31M
-9.99%47.17M
-10.04%47.27M
-10.28%47.20M
-7.05%48.83M
-3.53%52.41M
-3.31%52.54M
-3.25%52.61M
5.43%52.53M
8.30%54.33M
12.84%54.34M
12.41%54.37M
3.77%49.83M
15.24%50.16M
11.24%48.15M
29.73%48.37M
28.34%48.02M
-2.57%43.53M
-16.91%43.28M
-29.59%37.29M
-16.55%37.41M
82.36%44.68M
-27.85%52.09M
-30.04%52.96M
--44.83M
--24.50M
--72.20M
--75.70M
Langfristige Schulden und Leasingverbindlichkeiten
174.63%99.80M
239.05%104.38M
171.36%73.69M
36.76%37.07M
47.05%36.34M
30.74%30.79M
11.91%27.16M
9.67%27.10M
-22.90%24.71M
-15.65%23.55M
-1.40%24.27M
-23.45%24.71M
-8.77%32.05M
-20.85%27.92M
-26.70%24.61M
-5.59%32.28M
1.28%35.13M
19.51%35.27M
69.05%33.57M
67.69%34.20M
67.16%34.69M
363.50%29.51M
189.97%19.86M
36.44%20.39M
-40.17%20.75M
-84.85%6.37M
-88.10%6.85M
-85.04%14.95M
-72.32%34.69M
-55.44%42.02M
-55.89%57.57M
-30.36%99.92M
-20.42%125.31M
-41.11%94.30M
-17.73%130.52M
-13.70%143.47M
-4.53%157.47M
-16.36%160.11M
14.17%158.65M
12.89%166.24M
-1.86%164.94M
25.59%191.43M
7.62%138.96M
13.55%147.26M
35.72%168.07M
12.54%152.43M
-18.48%129.12M
-37.59%129.69M
95.02%123.84M
--135.45M
--158.40M
--207.80M
--63.50M
-Langfristige Verbindlichkeiten
221.36%91.19M
333.28%95.33M
248.40%66.04M
44.74%29.03M
62.77%28.38M
37.36%22.00M
23.71%18.95M
29.40%20.05M
-22.77%17.43M
-11.90%16.02M
5.66%15.32M
-28.92%15.50M
-7.08%22.57M
-24.47%18.18M
-34.32%14.50M
-2.72%21.80M
7.62%24.29M
41.08%24.07M
207.04%22.08M
202.81%22.41M
203.07%22.57M
167.99%17.06M
4.99%7.19M
-50.48%7.40M
-78.53%7.45M
-84.85%6.37M
-88.10%6.85M
-85.04%14.95M
-72.32%34.69M
-55.44%42.02M
-55.89%57.57M
-30.36%99.92M
-20.42%125.31M
-41.11%94.30M
-17.73%130.52M
-13.70%143.47M
-4.53%157.47M
-16.36%160.11M
14.17%158.65M
12.89%166.24M
-1.86%164.94M
25.59%191.43M
7.62%138.96M
13.55%147.26M
35.72%168.07M
12.54%152.43M
-18.48%129.12M
-37.59%129.69M
95.02%123.84M
--135.45M
--158.40M
--207.80M
--63.50M
-Langfristige Leasingverbindlichkeiten
8.05%8.60M
2.96%9.04M
-6.69%7.65M
14.06%8.04M
9.40%7.96M
16.66%8.78M
-8.31%8.20M
-23.51%7.05M
-23.21%7.28M
-22.65%7.53M
-11.52%8.94M
-12.07%9.21M
-12.58%9.48M
-13.07%9.73M
-12.05%10.11M
-11.06%10.48M
-10.52%10.84M
-10.06%11.20M
-9.27%11.49M
-9.30%11.78M
-8.93%12.12M
--12.45M
--12.67M
--12.99M
--13.30M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Aufgeschobene Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
0.00%12.94M
-4.66%12.94M
--12.94M
--12.94M
-4.71%12.94M
--13.57M
----
----
--13.58M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Mitarbeitervorteile
-6.40%4.74M
-7.64%4.79M
16.33%4.71M
13.86%4.90M
5.88%5.06M
1.99%5.18M
-18.09%4.05M
-20.56%4.31M
-20.38%4.78M
-23.06%5.08M
-32.85%4.94M
-30.90%5.42M
-27.83%6.00M
-25.27%6.61M
-0.93%7.36M
-0.46%7.85M
-0.08%8.31M
0.35%8.84M
-20.66%7.43M
-18.82%7.88M
-17.33%8.32M
-15.55%8.81M
-11.23%9.37M
-11.05%9.71M
-10.86%10.07M
-11.82%10.43M
-18.37%10.55M
-18.44%10.92M
-18.07%11.29M
-17.13%11.83M
4.55%12.92M
5.01%13.39M
5.31%13.78M
42.06%14.27M
27.29%12.36M
29.66%12.75M
24.67%13.09M
-5.37%10.05M
32.81%9.71M
33.66%9.83M
41.69%10.50M
38.81%10.62M
-52.72%7.31M
-68.25%7.36M
-68.78%7.41M
-51.60%7.65M
-36.87%15.47M
-67.91%23.17M
-68.65%23.73M
--15.80M
--24.50M
--72.20M
--75.70M
Derivative-Verbindlichkeiten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
40.55%409.00K
----
----
----
--291.00K
----
----
----
----
----
----
----
----
----
----
----
Andere langfristige Verbindlichkeiten
4.64%58.72M
1.55%57.48M
-4.56%57.48M
-16.98%57.08M
-17.50%56.11M
-15.74%56.60M
-7.70%60.23M
4.83%68.75M
3.47%68.01M
1.19%67.17M
-6.68%65.25M
-7.39%65.58M
-7.20%65.73M
-5.44%66.38M
15.29%69.92M
36.68%70.82M
39.89%70.83M
36.36%70.20M
22.70%60.65M
9.94%51.81M
-4.77%50.64M
-31.20%51.48M
-34.37%49.43M
-36.47%47.13M
-27.92%53.17M
0.97%74.83M
-2.31%75.31M
-28.90%74.18M
-28.55%73.77M
-2.30%74.11M
-28.47%77.09M
-1.01%104.33M
-2.81%103.25M
-25.64%75.85M
4.30%107.77M
5.12%105.40M
5.66%106.23M
-9.45%102.00M
-6.21%103.32M
-8.27%100.26M
3.21%100.53M
16.32%112.64M
10.49%110.16M
5.11%109.30M
-5.90%97.41M
-7.81%96.84M
-4.77%99.70M
-44.21%103.99M
-44.94%103.51M
--105.05M
--104.70M
--186.40M
--188.00M
Gesamt langfristige Verbindlichkeiten
71.46%158.51M
85.22%161.85M
43.22%131.17M
-6.42%94.14M
-4.12%92.45M
-9.76%87.38M
-9.15%91.59M
-0.50%100.60M
-13.97%96.43M
-11.23%96.84M
-5.86%100.81M
-14.24%101.10M
-9.56%112.09M
-11.52%109.09M
-12.82%107.09M
12.89%117.89M
19.20%123.94M
31.99%123.30M
60.07%122.83M
41.37%104.42M
30.05%103.98M
11.16%93.42M
-6.60%76.74M
-17.12%73.86M
-26.28%79.95M
-27.63%84.04M
-38.99%82.16M
-56.36%89.13M
-52.55%108.45M
-48.59%116.13M
-43.49%134.66M
-17.93%204.25M
-13.32%228.56M
-13.95%225.90M
-9.04%238.30M
-6.62%248.87M
-0.67%263.70M
-13.75%262.52M
-3.84%261.97M
-4.68%266.50M
-7.95%265.47M
11.06%304.37M
8.15%272.42M
8.94%279.58M
14.45%288.40M
2.33%274.06M
-12.26%251.90M
-35.49%256.64M
-6.19%251.98M
--267.81M
--287.10M
--397.80M
--268.60M
Gesamtverbindlichkeiten
43.92%225.07M
44.08%226.74M
31.25%200.10M
27.41%175.97M
19.89%156.38M
11.52%157.37M
5.30%152.46M
-4.58%138.11M
-12.17%130.44M
-9.02%141.11M
-2.17%144.78M
-8.57%144.74M
-12.57%148.51M
-11.65%155.10M
-7.16%148.00M
10.18%158.31M
19.55%169.86M
12.98%175.56M
23.08%159.41M
13.11%143.68M
9.70%142.08M
23.04%155.38M
2.51%129.51M
-5.94%127.03M
-13.25%129.52M
-25.76%126.29M
-28.97%126.34M
-65.40%135.05M
-62.28%149.29M
-62.01%170.10M
-61.97%177.89M
-4.93%390.30M
-2.16%395.76M
-1.44%447.73M
-9.69%467.80M
-10.61%410.55M
-10.25%404.50M
-18.74%454.27M
-7.49%517.97M
-10.64%459.31M
-8.11%450.69M
9.15%559.05M
11.46%559.92M
19.51%514.01M
13.21%490.46M
3.48%512.18M
-5.37%502.37M
-60.47%430.09M
-61.97%433.24M
--494.98M
--530.90M
--1.09B
--1.14B
Eigenkapital der Aktionäre
Stammkapital
18.17%43.16M
15.27%41.64M
18.22%38.92M
16.59%37.80M
15.51%36.52M
16.31%36.12M
7.67%32.92M
20.23%32.43M
28.34%31.62M
32.07%31.05M
40.80%30.58M
34.24%26.97M
29.89%24.64M
30.98%23.51M
32.21%21.72M
25.77%20.09M
23.65%18.97M
13.08%17.95M
-2.36%16.43M
8.49%15.97M
13.13%15.34M
13.71%15.88M
26.65%16.82M
20.56%14.72M
18.16%13.56M
23.58%13.96M
46.53%13.28M
78.66%12.21M
67.93%11.48M
66.68%11.30M
33.78%9.06M
0.34%6.84M
-9.97%6.83M
-0.85%6.78M
-1.07%6.78M
-2.39%6.81M
6.20%7.59M
-5.50%6.84M
-7.38%6.85M
-8.48%6.98M
-8.35%7.15M
-8.08%7.24M
-10.96%7.39M
-37.60%7.63M
-72.51%7.80M
-76.12%7.87M
-75.06%8.30M
-62.62%12.22M
-10.21%28.37M
--32.97M
--33.30M
--32.70M
--31.60M
Gewinnrücklagen
5.99%375.90M
4.91%373.36M
-9.06%367.81M
-13.21%355.79M
-13.30%354.67M
-12.11%355.87M
3.01%404.48M
6.88%409.95M
17.57%409.06M
20.23%404.92M
18.86%392.67M
24.96%383.57M
15.26%347.92M
14.45%336.78M
9.74%330.37M
4.27%306.95M
4.20%301.86M
3.31%294.27M
7.59%301.05M
8.68%294.38M
9.64%289.68M
13.78%284.85M
16.67%279.80M
16.87%270.87M
16.65%264.22M
15.64%250.35M
15.60%239.82M
-6.64%231.76M
-6.55%226.51M
-9.59%216.49M
-3.36%207.45M
14.01%248.24M
10.81%242.38M
9.96%239.44M
6.88%214.67M
5.49%217.73M
0.84%218.74M
-2.98%217.75M
-26.78%200.85M
-26.27%206.40M
-26.26%216.93M
-25.73%224.43M
-16.31%274.30M
-12.22%279.92M
-6.84%294.18M
11.82%302.17M
2.01%327.75M
-51.51%318.88M
-50.69%315.77M
--270.23M
--321.30M
--657.60M
--640.40M
Kapitalrücklagen
22.86%35.72M
19.77%34.34M
24.42%31.62M
22.26%30.45M
20.59%29.07M
20.95%28.67M
9.38%25.41M
26.85%24.91M
39.29%24.11M
45.16%23.71M
59.78%23.23M
51.87%19.63M
46.46%17.31M
49.89%16.33M
55.02%14.54M
44.58%12.93M
42.08%11.82M
22.26%10.89M
-4.56%9.38M
15.62%8.94M
26.55%8.32M
26.54%8.91M
55.01%9.83M
46.78%7.73M
44.88%6.57M
58.35%7.04M
185.76%6.34M
--5.27M
--4.54M
--4.45M
--2.22M
--0.00
-100.00%0.00
--0.00
----
--0.00
--712.00K
--0.00
----
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-98.53%367.00K
-82.78%4.18M
-13.64%20.04M
--24.61M
--24.90M
--24.30M
--23.20M
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-3.81%-9.94M
-4.12%-10.05M
-5.24%-9.42M
-5.87%-9.50M
-6.52%-9.58M
-7.11%-9.65M
-14.47%-8.95M
-13.02%-8.97M
-11.59%-8.99M
-10.24%-9.01M
29.97%-7.82M
29.82%-7.94M
29.66%-8.06M
29.51%-8.18M
-1.71%-11.17M
-2.09%-11.31M
-2.45%-11.46M
-2.31%-11.60M
17.85%-10.98M
17.55%-11.08M
17.23%-11.18M
16.71%-11.34M
-3.64%-13.37M
-3.36%-13.44M
-3.07%-13.51M
-63.18%-13.61M
-36.51%-12.90M
46.08%-13.00M
46.91%-13.11M
67.83%-8.34M
62.41%-9.45M
5.69%-24.11M
-1.53%-24.69M
-10.59%-25.93M
-9.48%-25.13M
-20.12%-25.57M
-15.10%-24.32M
-16.12%-23.44M
-84.40%-22.96M
-66.79%-21.29M
-69.83%-21.13M
-64.69%-20.19M
79.36%-12.45M
79.77%-12.76M
80.46%-12.44M
43.92%-12.26M
4.99%-60.33M
15.21%-63.08M
-2.50%-63.65M
---21.86M
---63.50M
---74.40M
---62.10M
Nicht beherrschende Anteile
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-100.00%0.00
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--0.00
--800.00K
--800.00K
Gesamtes Eigenkapital
7.21%409.12M
5.91%404.95M
-7.27%397.31M
-11.38%384.09M
-11.60%381.61M
-10.45%382.34M
3.14%428.44M
7.65%433.40M
18.43%431.69M
21.26%426.97M
21.85%415.42M
27.52%402.60M
17.82%364.49M
17.13%352.12M
11.23%340.92M
5.50%315.73M
5.29%309.37M
3.88%300.62M
8.20%306.49M
9.97%299.27M
11.19%293.84M
15.43%289.39M
17.92%283.25M
17.83%272.15M
17.51%264.27M
14.24%250.70M
16.00%240.20M
0.01%230.97M
0.16%224.88M
-0.38%219.45M
5.48%207.06M
16.08%230.96M
11.14%224.53M
9.52%220.29M
6.26%196.31M
3.58%198.97M
-0.46%202.02M
-4.89%201.14M
-31.38%184.74M
-30.09%192.09M
-29.91%202.95M
-28.98%211.47M
-2.35%269.24M
2.52%274.79M
3.23%289.54M
5.85%297.78M
-5.28%275.72M
-56.54%268.03M
-54.07%280.49M
--281.33M
--291.10M
--616.70M
--610.70M
Währungseinheit
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