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NI Holdings Inc

NODK

12.725USD

+0.215+1.72%
Trading geöffnet ETKurse um 15 Minuten verzögert
263.39MMarktkapitalisierung
VerlustKGV TTM
Vierteljährlich
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Vierteljährlich
Jährlich
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FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-38.76%9.89M
-25.06%21.73M
12.48%-7.49M
-33.13%6.61M
471.11%16.15M
608.29%28.99M
77.68%-8.55M
0.88%9.88M
-213.04%-4.35M
-128.99%-5.70M
-213.67%-38.33M
-10.23%9.80M
-64.34%3.85M
-1.93%19.68M
-233.67%-12.22M
-39.99%10.91M
198.51%10.79M
-26.12%20.07M
172.92%9.14M
167.14%18.19M
-14.54%3.62M
5.82%27.16M
35.42%-12.54M
-34.29%6.81M
-2.49%4.23M
-2.11%25.67M
-6.40%-19.41M
141.77%10.36M
-29.61%4.34M
-1.18%26.22M
32.75%-18.24M
81.80%4.29M
6.90%6.16M
18.98%26.53M
-115.15%-27.13M
-58.27%2.36M
213.71%5.77M
--22.30M
---12.61M
--5.65M
--1.84M
Nettoergebnis aus fortgeführten Aktivitäten
0.64%6.46M
36.57%9.85M
-2143.96%-6.09M
-97.16%-16.24M
242.64%6.42M
627.65%7.21M
102.93%298.00K
82.34%-8.23M
-320.70%-4.50M
-83.87%991.00K
-109.28%-10.17M
-1605.78%-46.64M
-79.16%2.04M
-72.63%6.14M
-231.82%-4.86M
-114.57%-2.73M
375.16%9.78M
30.90%22.45M
152.97%3.69M
646.20%18.77M
-125.77%-3.56M
14.63%17.15M
-170.46%-6.96M
882.42%2.52M
124.25%13.80M
11.31%14.96M
466.77%9.88M
118.80%256.00K
29.54%6.15M
986.42%13.44M
-169.57%-2.69M
106.43%117.00K
-23.64%4.75M
-82.44%1.24M
-115.87%-999.00K
-287.85%-1.82M
31.93%6.22M
--7.05M
--6.29M
---469.00K
--4.71M
Betriebsergebnisse und -verluste
-1.59%16.70M
3.93%20.32M
6.68%17.80M
16.62%15.54M
-10.15%16.97M
361.45%19.55M
-6.67%16.69M
-19.42%13.33M
18.73%18.89M
-77.12%4.24M
35.68%17.88M
-18.03%16.54M
14.66%15.91M
44.60%18.51M
-19.21%13.18M
19.83%20.18M
21.12%13.88M
32.17%12.80M
41.27%16.31M
0.78%16.84M
9.12%11.46M
24.48%9.69M
-5.16%11.55M
91.54%16.71M
46.27%10.50M
14.75%7.78M
22.57%12.17M
32.90%8.72M
43.07%7.18M
76.31%6.78M
45.84%9.93M
4.17%6.56M
19.88%5.02M
67.00%3.85M
15.07%6.81M
-9.87%6.30M
5.02%4.18M
--2.30M
--5.92M
--6.99M
--3.98M
Abgegrenzte Steuer
-261.47%-683.00K
-97.85%36.00K
1632.35%2.36M
-22.30%-998.00K
114.72%423.00K
-27.14%1.68M
330.51%136.00K
82.67%-816.00K
-111.32%-2.87M
38483.33%2.30M
96.07%-59.00K
-1077.25%-4.71M
-327.81%-1.36M
-100.52%-6.00K
-425.60%-1.50M
-123.04%-400.00K
122.05%597.00K
-11.75%1.15M
119.52%461.00K
256.54%1.74M
-284.47%-2.71M
6018.18%1.30M
-37.50%210.00K
-25.17%-1.11M
1323.33%1.47M
-104.78%-22.00K
--336.00K
-290.13%-886.00K
74.25%-120.00K
151.69%460.00K
----
19.18%466.00K
-370.71%-466.00K
-2970.97%-890.00K
32.99%516.00K
257.66%391.00K
-147.83%-99.00K
--31.00K
--388.00K
---248.00K
--207.00K
Andere nicht monetäre Posten
-52.51%85.00K
-5.35%478.00K
-26.58%163.00K
-72.86%38.00K
-38.28%179.00K
94.23%505.00K
-39.34%222.00K
-66.27%140.00K
-38.30%290.00K
-73.84%260.00K
-29.89%366.00K
-23.43%415.00K
-2.49%470.00K
23.94%994.00K
10.13%522.00K
97.09%542.00K
70.92%482.00K
10.77%802.00K
60.68%474.00K
-2.48%275.00K
12.80%282.00K
10.70%724.00K
106.84%295.00K
0.00%282.00K
-28.37%250.00K
-17.84%654.00K
-1235.26%-4.31M
-46.59%282.00K
436.92%349.00K
220.97%796.00K
57.68%380.00K
150.24%528.00K
-66.49%65.00K
49.40%248.00K
51.57%241.00K
31.06%211.00K
49.23%194.00K
--166.00K
--159.00K
--161.00K
--130.00K
Veränderung des Umlaufvermögens
-25.77%-12.29M
-20.62%-9.75M
-2.22%-30.80M
-284.09%-9.04M
35.83%-9.77M
73.52%-8.08M
37.97%-30.13M
-84.94%4.91M
20.47%-15.22M
-1465.38%-30.52M
-144.64%-48.57M
1412.16%32.59M
-117.35%-19.14M
64.69%-1.95M
-176.77%-19.85M
71.45%-2.48M
49.65%-8.81M
-276.51%-5.52M
58.64%-7.17M
19.46%-8.70M
-20.27%-17.49M
44.93%3.13M
49.85%-17.34M
-652.07%-10.80M
-57.96%-14.54M
-51.79%2.16M
-44.21%-34.58M
164.16%1.96M
-256.17%-9.21M
-80.26%4.48M
16.06%-23.98M
-29.90%-3.05M
47.16%-2.58M
79.04%22.68M
-13.46%-28.56M
-289.39%-2.35M
26.60%-4.89M
--12.67M
---25.18M
---603.00K
---6.67M
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
-363.49%-4.62M
-608.55%-4.80M
80.51%-1.54M
-25.66%10.03M
81.17%-997.00K
94.60%-678.00K
-197.26%-7.91M
-40.55%13.49M
-15473.53%-5.29M
-361.86%-12.54M
34.63%-2.66M
143.35%22.68M
99.20%-34.00K
-143.15%-2.72M
-395.62%-4.07M
3.23%9.32M
-83.46%-4.24M
-160.37%-1.12M
69.04%-821.00K
45.89%9.03M
29.13%-2.31M
80.87%-429.00K
16.63%-2.65M
-31.48%6.19M
-32.01%-3.26M
-33.29%-2.24M
-54.04%-3.18M
35.49%9.03M
-469.98%-2.47M
56.04%-1.68M
-316.00%-2.06M
127.62%6.67M
48.88%-433.00K
-12.70%-3.83M
-44.29%956.00K
-30.85%2.93M
46.56%-847.00K
---3.40M
--1.72M
--4.24M
---1.58M
-Änderung bei anderen kurzfristigen Vermögenswerten
-38.28%3.63M
68.31%10.04M
-1508.52%-6.61M
-863.31%-12.42M
69.43%5.89M
128.18%5.97M
87.22%-411.00K
113.26%1.63M
-10.95%3.47M
-231.28%-21.17M
-141.97%-3.21M
36.39%-12.27M
67.78%3.90M
347.65%16.13M
1078.29%7.66M
-403.60%-19.29M
-71.04%2.33M
-67.21%3.60M
-119.51%-783.00K
74.80%-3.83M
174.84%8.03M
-5.97%10.99M
120.37%4.01M
-514.76%-15.20M
173.25%2.92M
-15.83%11.69M
-127.95%-19.71M
-105.91%-2.47M
-83.93%1.07M
-75.81%13.88M
79.01%-8.64M
94.62%-1.20M
872.66%6.65M
8.77%57.39M
-4.89%-41.20M
-104.51%-22.34M
275.38%684.00K
--52.77M
---39.28M
---10.92M
---390.00K
-Änderung bei anderen kurzfristigen Verbindlichkeiten
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-42.86%52.00K
-80.63%104.00K
----
-677.78%-208.00K
--91.00K
--537.00K
---32.00K
--36.00K
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-38.76%9.89M
-25.06%21.73M
12.48%-7.49M
-33.13%6.61M
471.11%16.15M
608.29%28.99M
77.68%-8.55M
0.88%9.88M
-213.04%-4.35M
-128.99%-5.70M
-213.67%-38.33M
-10.23%9.80M
-64.34%3.85M
-1.93%19.68M
-233.67%-12.22M
-39.99%10.91M
198.51%10.79M
-26.12%20.07M
172.92%9.14M
167.14%18.19M
-14.54%3.62M
5.82%27.16M
35.42%-12.54M
-34.29%6.81M
-2.49%4.23M
-2.11%25.67M
-6.40%-19.41M
141.77%10.36M
-29.61%4.34M
-1.18%26.22M
32.75%-18.24M
81.80%4.29M
6.90%6.16M
18.98%26.53M
-115.15%-27.13M
-58.27%2.36M
213.71%5.77M
--22.30M
---12.61M
--5.65M
--1.84M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-61.54%20.00K
235.29%161.00K
28.95%147.00K
55.31%351.00K
-82.25%52.00K
21.71%-119.00K
-55.81%114.00K
150.79%226.00K
-48.69%293.00K
-209.35%-152.00K
84.29%258.00K
-248.33%-445.00K
388.03%571.00K
157.41%139.00K
204.35%140.00K
125.56%300.00K
-62.26%117.00K
-80.78%54.00K
-81.15%46.00K
-62.54%133.00K
-24.39%310.00K
-71.47%281.00K
32.61%244.00K
46.69%355.00K
190.78%410.00K
95.05%985.00K
-35.89%184.00K
-10.37%242.00K
-48.16%141.00K
770.69%505.00K
-36.08%287.00K
328.57%270.00K
37.37%272.00K
-81.05%58.00K
2706.25%449.00K
210.53%63.00K
-25.56%198.00K
--306.00K
--16.00K
---57.00K
--266.00K
Investitionsausgaben
-61.54%20.00K
--214.00K
28.95%147.00K
62.82%578.00K
-82.25%52.00K
----
-55.81%114.00K
--355.00K
-48.69%293.00K
255.40%494.00K
84.29%258.00K
----
388.03%571.00K
157.41%139.00K
204.35%140.00K
125.56%300.00K
-62.26%117.00K
-80.78%54.00K
-81.15%46.00K
-62.54%133.00K
-24.39%310.00K
-71.47%281.00K
32.61%244.00K
46.69%355.00K
190.78%410.00K
95.05%985.00K
-35.89%184.00K
-10.37%242.00K
-48.16%141.00K
770.69%505.00K
-36.08%287.00K
328.57%270.00K
37.37%272.00K
-81.05%58.00K
2706.25%449.00K
--63.00K
-25.56%198.00K
--306.00K
--16.00K
----
--266.00K
Netto-Cashflow aus der Veräußerung von Anlagevermögen
-61.54%20.00K
235.29%161.00K
28.95%147.00K
55.31%351.00K
-82.25%52.00K
21.71%-119.00K
-55.81%114.00K
150.79%226.00K
-48.69%293.00K
-209.35%-152.00K
84.29%258.00K
-248.33%-445.00K
388.03%571.00K
157.41%139.00K
204.35%140.00K
125.56%300.00K
-62.26%117.00K
-80.78%54.00K
-81.15%46.00K
-62.54%133.00K
-24.39%310.00K
-71.47%281.00K
32.61%244.00K
46.69%355.00K
190.78%410.00K
95.05%985.00K
-35.89%184.00K
-10.37%242.00K
-48.16%141.00K
770.69%505.00K
-36.08%287.00K
328.57%270.00K
37.37%272.00K
-81.05%58.00K
2706.25%449.00K
210.53%63.00K
-25.56%198.00K
--306.00K
--16.00K
---57.00K
--266.00K
Netto-Cashflow aus Geschäftstransaktionen
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--0.00
----
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--0.00
--0.00
--0.00
---703.00K
----
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Netto-Cashflow aus Anlageprodukten
32.28%-3.44M
-67.79%-9.90M
311.48%7.48M
-135.36%-12.66M
-125.82%-5.08M
-128.55%-5.90M
-111.42%-3.54M
-1424.88%-5.38M
259.17%19.66M
370.50%20.67M
16315.71%30.97M
201.25%406.00K
76.31%-12.36M
-58.74%4.39M
74.33%-191.00K
74.16%-401.00K
-686.56%-52.16M
6.39%10.65M
96.70%-744.00K
88.92%-1.55M
-149.10%-6.63M
327.66%10.01M
-276.16%-22.57M
-220.27%-14.00M
59.67%-2.66M
-270.66%-4.40M
280.61%12.81M
94.80%-4.37M
23.73%-6.60M
73.56%-1.19M
-70.02%3.37M
-1409.64%-84.13M
-105.63%-8.65M
72.06%-4.49M
1758.94%11.23M
-20.60%-5.57M
-68.23%-4.21M
---16.05M
---677.00K
---4.62M
---2.50M
Netto-Cashflow aus anderen Investitionstätigkeiten
----
977.78%194.00K
--1.77M
18850.00%10.50M
-100.00%0.00
--18.00K
----
91.03%-56.00K
-91.03%56.00K
-100.00%0.00
--0.00
---624.00K
-25.27%624.00K
488.24%66.00K
100.00%0.00
--0.00
1165.15%835.00K
-1800.00%-17.00K
-1508.70%-324.00K
100.00%0.00
65.00%66.00K
--1.00K
-99.92%23.00K
---1.00K
122.22%40.00K
-100.00%0.00
--27.48M
--0.00
800.00%18.00K
--81.00K
--0.00
--0.00
-97.30%2.00K
100.00%0.00
-100.00%0.00
100.00%0.00
7300.00%74.00K
---3.00K
--3.00K
---1.00K
--1.00K
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
32.57%-3.46M
-70.67%-9.87M
349.40%9.10M
55.64%-2.51M
-126.41%-5.13M
-127.77%-5.78M
-111.88%-3.65M
-2593.83%-5.66M
257.93%19.43M
381.97%20.82M
9379.15%30.71M
132.38%227.00K
76.08%-12.30M
-59.16%4.32M
70.29%-331.00K
58.40%-701.00K
-578.79%-51.44M
8.73%10.58M
95.11%-1.11M
88.26%-1.69M
-149.93%-7.58M
280.78%9.73M
-156.83%-22.80M
-211.18%-14.36M
54.91%-3.03M
-234.22%-5.38M
1202.47%40.12M
94.53%-4.61M
24.66%-6.72M
64.56%-1.61M
-71.43%3.08M
-1397.55%-84.40M
-105.98%-8.93M
72.24%-4.54M
1662.61%10.78M
-23.46%-5.64M
-56.60%-4.33M
---16.36M
---690.00K
---4.56M
---2.77M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
96.95%-157.00K
89.25%-30.00K
68.68%-3.41M
70.01%-7.08M
-547.36%-5.14M
92.83%-279.00K
-853.77%-10.89M
-2425.67%-23.61M
90.35%-794.00K
-252.13%-3.89M
-20.97%-1.14M
44.11%-935.00K
-6.18%-8.23M
-26.87%-1.10M
79.39%-944.00K
68.32%-1.67M
-405.48%-7.75M
---871.00K
---4.58M
-163.65%-5.28M
-6868.18%-1.53M
100.00%0.00
--0.00
---2.00M
---22.00K
---3.00M
--0.00
100.00%0.00
-100.00%0.00
100.00%0.00
-100.00%0.00
---8.04M
--90.75M
-177.03%-8.31M
177.03%8.31M
--0.00
----
---3.00M
--3.00M
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Netto-Cashflow aus Schuldenemission/Rückzahlung
-4.00%-26.00K
-62.50%-26.00K
---25.00K
---23.00K
---25.00K
---16.00K
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--0.00
--0.00
--0.00
100.00%0.00
100.00%0.00
-100.00%0.00
--0.00
---2.40M
-177.03%-8.31M
177.03%8.31M
--0.00
----
---3.00M
--3.00M
----
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Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
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100.00%0.00
100.00%0.00
-332.06%-4.06M
-178.59%-2.60M
37.71%-621.00K
-18.55%-1.31M
0.53%-939.00K
44.11%-934.00K
-67.28%-997.00K
-26.87%-1.10M
79.39%-944.00K
68.36%-1.67M
60.32%-596.00K
---871.00K
---4.58M
-163.52%-5.28M
-75000.00%-1.50M
100.00%0.00
--0.00
---2.00M
---2.00K
---3.00M
--0.00
100.00%0.00
-100.00%0.00
--0.00
--0.00
---8.04M
--93.14M
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--0.00
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Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
14.38%-131.00K
-300.00%-4.00K
--0.00
0.00%-1.00K
11.56%-153.00K
--2.00K
100.00%0.00
0.00%-1.00K
69.33%-173.00K
--0.00
---203.00K
50.00%-1.00K
-16.05%-564.00K
--0.00
--0.00
---2.00K
-1467.74%-486.00K
--0.00
--0.00
-100.00%0.00
-55.00%-31.00K
--0.00
--0.00
--1.00K
---20.00K
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
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Netto-Cashflow aus anderen Finanzierungsaktivitäten
----
100.00%0.00
50.46%-3.39M
66.41%-7.06M
---4.96M
89.73%-265.00K
---6.83M
---21.01M
100.00%0.00
---2.58M
--0.00
--0.00
0.00%-6.67M
--0.00
--0.00
--0.00
---6.67M
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
96.95%-157.00K
89.25%-30.00K
68.68%-3.41M
70.01%-7.08M
-547.36%-5.14M
92.83%-279.00K
-853.77%-10.89M
-2425.67%-23.61M
90.35%-794.00K
-252.13%-3.89M
-20.97%-1.14M
44.11%-935.00K
-6.18%-8.23M
-26.87%-1.10M
79.39%-944.00K
68.32%-1.67M
-405.48%-7.75M
---871.00K
---4.58M
-163.65%-5.28M
-6868.18%-1.53M
100.00%0.00
--0.00
---2.00M
---22.00K
---3.00M
--0.00
100.00%0.00
-100.00%0.00
100.00%0.00
-100.00%0.00
---8.04M
--90.75M
-177.03%-8.31M
177.03%8.31M
--0.00
----
---3.00M
--3.00M
----
----
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
24.11%50.93M
156.07%39.10M
26.18%51.39M
9.80%52.86M
-12.69%41.04M
-53.10%15.27M
-35.39%40.73M
-10.75%48.15M
-33.45%47.00M
-31.79%32.56M
2.95%63.03M
2.39%53.94M
-30.13%70.62M
-33.06%47.73M
-9.78%61.22M
-6.98%52.68M
62.68%101.08M
182.49%71.31M
12.02%67.86M
-19.24%56.64M
-9.89%62.13M
-51.14%25.24M
95.68%60.57M
178.18%70.13M
149.87%68.95M
1631.23%51.66M
70.57%30.95M
-76.29%25.21M
50.64%27.59M
-35.69%2.98M
43.18%18.15M
566.30%106.30M
26.15%18.32M
-59.94%4.64M
-42.08%12.68M
-23.30%15.95M
-33.17%14.52M
--11.58M
--21.88M
--20.80M
--21.73M
Änderungen des Cashflows im aktuellen Zeitraum
74.51%6.27M
-54.10%11.83M
51.73%-12.29M
80.16%-1.47M
-74.84%3.59M
1876.00%25.77M
-190.76%-25.46M
-181.62%-7.42M
185.62%14.28M
-94.30%1.30M
35.12%-8.76M
6.44%9.09M
65.53%-16.68M
-23.10%22.89M
-491.47%-13.49M
-23.89%8.54M
-780.69%-48.39M
-19.30%29.77M
109.76%3.45M
217.46%11.22M
-566.86%-5.50M
113.36%36.89M
-270.64%-35.33M
-266.25%-9.55M
149.35%1.18M
-29.74%17.29M
236.54%20.70M
106.52%5.75M
-102.71%-2.38M
79.92%24.61M
-88.72%-15.16M
-2588.44%-88.15M
6039.85%87.98M
365.71%13.68M
21.98%-8.04M
-402.77%-3.28M
254.25%1.43M
--2.94M
---10.30M
--1.08M
---929.00K
Endbestand an Zahlungsmitteln
28.17%57.20M
24.11%50.93M
156.07%39.10M
26.18%51.39M
-27.17%44.63M
21.19%41.04M
-71.87%15.27M
-35.39%40.73M
13.61%61.28M
-52.05%33.86M
13.72%54.28M
2.95%63.03M
2.39%53.94M
-30.13%70.62M
-33.06%47.73M
-9.78%61.22M
-6.98%52.68M
62.68%101.08M
182.49%71.31M
12.02%67.86M
-19.24%56.64M
-9.89%62.13M
-51.14%25.24M
95.68%60.57M
178.18%70.13M
149.87%68.95M
1631.23%51.66M
70.57%30.95M
-76.29%25.21M
50.64%27.59M
-35.69%2.98M
43.18%18.15M
566.30%106.30M
26.15%18.32M
-59.94%4.64M
-42.08%12.68M
-23.30%15.95M
--14.52M
--11.58M
--21.88M
--20.80M
Freier Cashflow
-38.69%9.87M
--21.51M
11.94%-7.63M
-36.71%6.03M
446.58%16.09M
----
77.53%-8.67M
--9.53M
-241.67%-4.64M
-131.72%-6.20M
-212.20%-38.59M
----
-69.30%3.28M
-2.36%19.54M
-235.89%-12.36M
-41.21%10.61M
222.96%10.68M
-25.55%20.01M
171.17%9.10M
179.78%18.05M
-13.48%3.31M
8.91%26.88M
34.78%-12.78M
-36.22%6.45M
-8.98%3.82M
-4.02%24.68M
-5.74%-19.59M
152.00%10.12M
-28.75%4.20M
-2.87%25.71M
32.80%-18.53M
75.02%4.01M
5.82%5.89M
20.37%26.47M
-118.43%-27.58M
--2.29M
254.20%5.57M
--21.99M
---12.63M
----
--1.57M
Währungseinheit
USD
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