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Priority Technology Holdings Inc

PRTH

6.740USD

-0.110-1.61%
Handelsschluss 08/01, 16:00ETKurse um 15 Minuten verzögert
537.26MMarktkapitalisierung
VerlustKGV 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
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-25.18%9.96M
177.02%23.76M
-23.15%19.84M
49.64%28.70M
-51.92%13.31M
-57.03%8.58M
27.68%25.82M
-7.44%19.18M
187.91%27.68M
67.11%19.96M
-52.48%20.22M
468.48%20.72M
171.60%9.61M
574.42%11.94M
6888.01%42.56M
-78.65%3.65M
-85.08%-13.43M
-93.84%1.77M
-91.17%609.00K
244.27%17.08M
-485.00%-7.25M
341.45%28.75M
-72.43%6.90M
13075.46%4.96M
-796.33%-1.24M
2219.89%6.51M
6953.76%25.01M
-297.87%-38.23K
54.81%-138.34K
-111.06%-307.19K
--354.60K
--19.32K
-17226.88%-306.17K
---145.54K
--0.00
---1.77K
--0.00
Nettoergebnis aus fortgeführten Aktivitäten
59.21%8.27M
6911.32%7.22M
12293.10%10.61M
262.42%994.00K
1126.28%5.19M
91.92%-106.00K
89.02%-87.00K
-313.24%-612.00K
-51.95%-506.00K
-109.31%-1.31M
-44.26%-792.00K
103.03%287.00K
87.57%-333.00K
1577.36%14.09M
-100.64%-549.00K
-20.60%-9.48M
54.35%-2.68M
86.69%-954.00K
1567.15%85.74M
44.39%-7.86M
8.95%-5.87M
-95.13%-7.17M
47.15%-5.84M
-8593.51%-14.13M
-4292.50%-6.45M
-27451.56%-3.67M
-7358.10%-11.06M
-116.64%-162.53K
22.29%-146.75K
79.28%-13.34K
518.75%152.35K
---75.02K
-2499.74%-188.84K
-600.74%-64.35K
---36.38K
---7.26K
---9.18K
Betriebsergebnisse und -verluste
-9.68%13.78M
-8.49%13.81M
-20.50%13.73M
-15.22%15.24M
-15.49%15.25M
-16.18%15.09M
-3.04%17.27M
2.71%17.98M
4.01%18.05M
2.46%18.01M
44.50%17.82M
63.25%17.50M
91.32%17.35M
64.83%17.57M
9.79%12.33M
3.47%10.72M
-11.70%9.07M
3.22%10.66M
11.45%11.23M
6.17%10.36M
15.09%10.27M
46.28%10.33M
-20.52%10.08M
--9.76M
--8.93M
--7.06M
--12.68M
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Abgegrenzte Steuer
-19.44%-2.24M
120.53%750.00K
-98.90%79.00K
70.51%-1.15M
67.25%-1.87M
20.84%-3.65M
1498.25%7.19M
-2343.10%-3.90M
-77.13%-5.72M
-92.41%-4.62M
-171.29%-514.00K
-87.73%174.00K
-40.37%-3.23M
35.77%-2.40M
-92.98%721.00K
175.83%1.42M
-35.31%-2.30M
-119.32%-3.73M
685.18%10.26M
-132.00%-1.87M
-4.81%-1.70M
-40.16%-1.70M
-76.99%-1.75M
--5.84M
---1.62M
---1.22M
---991.00K
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Andere nicht monetäre Posten
-18.00%1.46M
131.12%1.64M
32.10%2.43M
1661.59%9.95M
55.15%1.78M
-264.73%-5.26M
148.38%1.84M
-35.13%565.00K
35.14%1.15M
166.47%3.19M
3117.39%740.00K
-75.80%871.00K
61.22%848.00K
154.56%1.20M
105.32%23.00K
27.17%3.60M
-53.62%526.00K
154.77%471.00K
-200.23%-432.00K
583.57%2.83M
390.91%1.13M
-2488.89%-860.00K
-70.49%431.00K
--414.00K
--231.00K
--36.00K
--1.46M
----
----
-100.00%0.00
100.00%0.00
----
----
-65.75%3.15K
---30.64K
--5.50K
--9.18K
Veränderung des Umlaufvermögens
-48.62%-12.90M
-197.94%-902.00K
-345.21%-8.42M
-46.21%1.83M
-167.96%-8.68M
-65.41%921.00K
-201.18%-1.89M
895.32%3.40M
293.88%12.77M
122.67%2.66M
-96.62%1.87M
-98.46%342.00K
67.91%-6.59M
-83.66%-11.74M
3383.88%55.32M
103.37%22.16M
-60.10%-20.53M
-124.11%-6.39M
7.08%1.59M
1308.14%10.90M
-172.50%-12.82M
988.96%26.53M
-89.35%1.48M
125.56%774.00K
-2672.64%-4.71M
1622.51%2.44M
4197.52%13.92M
89.21%343.15K
401.29%182.89K
-243.05%-160.00K
383.28%323.93K
--181.35K
---60.70K
---46.64K
--67.03K
--0.00
----
-Änderung der Forderungen
-41.57%-12.18M
14.49%7.21M
-2041.55%-8.87M
-95.07%876.00K
-10393.90%-8.61M
174.01%6.30M
-140.51%-414.00K
576.79%17.76M
99.43%-82.00K
-59.79%-8.51M
148.21%1.02M
1386.27%2.62M
-64.60%-14.34M
-75.71%-5.32M
52.32%-2.12M
-153.40%-204.00K
-2843.58%-8.71M
-3466.67%-3.03M
-340.71%-4.45M
125.69%382.00K
88.51%-296.00K
102.16%90.00K
-83.24%1.85M
---1.49M
---2.58M
---4.17M
--11.02M
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-Änderung bei den Vorauszahlungen
82.82%-73.00K
-292.09%-3.25M
-278.49%-1.66M
82.11%-723.00K
-188.36%-425.00K
-29.86%1.69M
-50.27%930.00K
12.32%-4.04M
193.29%481.00K
590.00%2.42M
682.55%1.87M
-73.99%-4.61M
128.13%164.00K
-41.57%350.00K
72.01%-321.00K
-674.62%-2.65M
-249.49%-583.00K
242.62%599.00K
-86.20%-1.15M
-17.38%461.00K
151.86%390.00K
-74.27%-420.00K
-249.51%-616.00K
3958.18%558.00K
-2283.29%-752.00K
-1049.34%-241.00K
400.50%412.00K
285.59%13.75K
51.43%-31.55K
145.14%25.39K
--82.32K
--3.57K
---64.96K
---56.24K
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-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
-464.53%-5.80M
6.19%-3.30M
57.47%-427.00K
548.31%11.70M
-59.40%1.59M
-157.87%-3.52M
7.12%-1.00M
-127.54%-2.61M
-26.34%3.92M
379.81%6.08M
16.72%-1.08M
410.29%9.48M
-38.42%5.32M
-305.87%-2.17M
-160.88%-1.30M
9.49%1.86M
343.80%8.63M
-79.01%1.06M
280.37%2.13M
233.02%1.70M
2.56%-3.54M
146.69%5.03M
-372.35%-1.18M
-487.07%-1.27M
-1794.65%-3.63M
1726.19%2.04M
105.09%434.00K
122.88%329.40K
4929.06%214.44K
-385.07%-125.39K
215.71%211.61K
--147.79K
--4.26K
--43.98K
--67.03K
--0.00
----
-Änderung bei anderen kurzfristigen Verbindlichkeiten
65.61%260.00K
27.44%-1.96M
-79.92%636.00K
-235.58%-522.00K
-37.20%157.00K
-447.67%-2.70M
54.71%3.17M
109.76%385.00K
2023.08%250.00K
-134.60%-493.00K
404.61%2.05M
-223.54%-3.94M
-100.50%-13.00K
351.77%1.43M
-218.52%-672.00K
-205.51%-1.22M
258.11%2.60M
-140.54%-566.00K
709.68%567.00K
79.07%-399.00K
-173.23%-1.65M
-19.07%1.40M
94.61%-93.00K
---1.91M
--2.25M
--1.73M
---1.73M
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-25.18%9.96M
177.02%23.76M
-23.15%19.84M
49.64%28.70M
-51.92%13.31M
-57.03%8.58M
27.68%25.82M
-7.44%19.18M
187.91%27.68M
67.11%19.96M
-52.48%20.22M
468.48%20.72M
171.60%9.61M
574.42%11.94M
6888.01%42.56M
-78.65%3.65M
-85.08%-13.43M
-93.84%1.77M
-91.17%609.00K
244.27%17.08M
-485.00%-7.25M
341.45%28.75M
-72.43%6.90M
13075.46%4.96M
-796.33%-1.24M
2219.89%6.51M
6953.76%25.01M
-297.87%-38.23K
54.81%-138.34K
-111.06%-307.19K
--354.60K
--19.32K
-17226.88%-306.17K
---145.54K
--0.00
---1.77K
--0.00
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-22.92%5.09M
62.82%7.67M
-49.80%5.33M
160.87%12.58M
-14.83%6.61M
-46.31%4.71M
26.90%10.61M
-24.92%4.82M
134.40%7.76M
155.46%8.77M
16.53%8.36M
-85.02%6.42M
-41.82%3.31M
32.34%3.43M
148.15%7.17M
895.91%42.88M
76.25%5.69M
-28.42%2.59M
-24.85%2.89M
-6.35%4.31M
-96.06%3.23M
-94.56%3.62M
-88.96%3.85M
--4.60M
--81.99M
--66.58M
--34.84M
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Investitionsausgaben
-22.92%5.09M
28.04%7.67M
-49.80%5.33M
160.87%12.58M
-14.83%6.61M
-31.72%5.99M
26.90%10.61M
-24.92%4.82M
134.40%7.76M
155.46%8.77M
16.53%8.36M
-85.02%6.42M
-41.82%3.31M
32.34%3.43M
148.15%7.17M
895.91%42.88M
76.25%5.69M
-28.42%2.59M
-24.85%2.89M
-6.35%4.31M
-96.06%3.23M
-94.56%3.62M
-88.96%3.85M
--4.60M
--81.99M
--66.58M
--34.84M
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Netto-Cashflow aus der Veräußerung von Anlagevermögen
-22.92%5.09M
-22.36%4.65M
-1.35%5.33M
5.91%5.11M
30.99%6.61M
-20.18%5.99M
0.56%5.40M
32.46%4.82M
112.91%5.05M
242.71%7.50M
132.63%5.37M
47.53%3.64M
-13.94%2.37M
50.97%2.19M
30.99%2.31M
25.41%2.47M
20.74%2.75M
-40.96%1.45M
-46.77%1.76M
-33.74%1.97M
-4.24%2.28M
13.91%2.46M
-60.62%3.31M
--2.97M
--2.38M
--2.16M
--8.41M
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Netto-Cashflow aus Transaktionen mit immateriellen Vermögenswerten
----
335.97%3.02M
-100.00%0.00
--7.47M
-100.00%0.00
-200.87%-1.28M
74.19%5.21M
-100.00%0.00
188.52%2.71M
1.93%1.27M
-38.53%2.99M
-93.11%2.78M
-67.96%941.00K
8.74%1.24M
331.00%4.87M
1628.66%40.42M
209.81%2.94M
-2.05%1.14M
110.24%1.13M
43.61%2.34M
-98.81%948.00K
-98.19%1.17M
-97.97%537.00K
--1.63M
--79.61M
--64.43M
--26.43M
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Netto-Cashflow aus Geschäftstransaktionen
---4.47M
100.00%0.00
----
----
----
99.20%-40.00K
---28.18M
----
----
-132.57%-4.98M
100.00%0.00
100.00%0.00
----
--15.28M
-307.69%-372.62M
---34.51M
----
--0.00
--179.42M
--0.00
100.00%0.00
--0.00
100.00%0.00
--0.00
---184.00K
--0.00
---7.51M
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Netto-Cashflow aus anderen Investitionstätigkeiten
86.12%-147.00K
-1497.78%-3.15M
83.36%1.19M
48.67%-347.00K
-694.94%-1.06M
113.54%225.00K
--649.00K
-12.67%-676.00K
107.42%178.00K
---1.66M
--0.00
---600.00K
---2.40M
----
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---500.00K
100.00%0.00
-181.12%-3.00M
----
----
---3.57M
16457.91%3.70M
-277.81%-127.49K
100.00%0.00
100.00%0.00
---22.61K
--71.70K
---3.19M
---51.50M
--0.00
----
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-26.68%-9.71M
-138.99%-10.81M
89.16%-4.14M
-135.12%-12.93M
-1.13%-7.67M
70.64%-4.52M
-356.24%-38.14M
21.71%-5.50M
-32.78%-7.58M
-230.08%-15.41M
97.80%-8.36M
90.92%-7.02M
-0.35%-5.71M
556.63%11.85M
-315.15%-379.80M
-1697.28%-77.39M
-76.25%-5.69M
37.10%-2.59M
4688.64%176.53M
43.33%-4.31M
96.07%-3.23M
93.81%-4.12M
91.62%-3.85M
-305.46%-7.60M
-64356.87%-82.18M
---66.58M
---45.92M
16457.91%3.70M
-277.81%-127.49K
100.00%0.00
100.00%0.00
---22.61K
--71.70K
---3.19M
---51.50M
--0.00
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Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
559.77%47.26M
18.44%62.86M
416.38%66.57M
-67.17%28.43M
-117.87%-10.28M
219.72%53.08M
248.84%12.89M
4482.64%86.60M
2167.02%57.54M
2581.91%16.60M
-101.08%-8.66M
-105.16%-1.98M
159.82%2.54M
-97.94%619.00K
573.46%801.58M
2653.56%38.33M
-1590.44%-4.24M
3108.29%30.11M
-4851.86%-169.30M
-346.07%-1.50M
-100.32%-251.00K
-101.71%-1.00M
-127.59%-3.42M
116.50%610.00K
59278.70%78.83M
--58.42M
--12.39M
---3.70M
--132.75K
-100.00%0.00
-100.00%0.00
----
----
63763.12%3.19M
--52.01M
----
--5.00K
Netto-Cashflow aus Schuldenemission/Rückzahlung
-495.95%-10.00M
646.76%112.55M
-107.92%-2.09M
6066.59%177.51M
77.77%-1.68M
204.48%15.07M
362.44%26.38M
-200.85%-2.98M
-15.27%-7.55M
419.35%4.95M
-102.97%-10.05M
109.88%2.95M
-34.77%-6.55M
87.09%-1.55M
404.82%338.38M
-1888.41%-29.85M
-294.56%-4.86M
-1099.00%-12.00M
-3069.82%-111.01M
-150.07%-1.50M
-96.83%2.50M
-101.70%-1.00M
-105.38%-3.50M
1029.17%3.00M
59278.70%78.83M
--58.88M
--65.10M
--265.50K
--132.75K
--0.00
100.00%0.00
----
----
--0.00
---76.52K
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Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-249.17%-1.47M
-38.66%-330.00K
---604.00K
82.02%-183.00K
---421.00K
91.48%-238.00K
100.00%0.00
51.03%-1.02M
----
-64.06%-2.79M
-153.67%-2.59M
---2.08M
----
---1.70M
---1.02M
----
----
--0.00
--0.00
----
----
--0.00
--0.00
39.75%-2.39M
----
----
----
---3.96M
----
-100.00%0.00
-100.00%0.00
----
----
12676.51%3.19M
--52.22M
----
--25.00K
Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
----
---88.06M
--0.00
---136.94M
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Barausschüttungen
-100.00%0.00
271.29%25.29M
--5.71M
520.81%40.19M
-38.55%7.03M
--6.81M
-100.00%0.00
81.27%6.47M
226.25%11.44M
----
80.41%4.40M
126.73%3.57M
--3.50M
--3.44M
--2.44M
--1.57M
----
----
----
----
----
----
-100.00%0.00
----
----
--0.00
--7.08M
----
----
----
----
----
----
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Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
--110.00K
--1.82M
----
----
----
----
----
398.08%777.00K
-398.08%-777.00K
-100.00%0.00
-100.00%0.00
125.53%156.00K
-125.28%-156.00K
--6.00K
--369.00K
---611.00K
--617.00K
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Erlöse aus der Ausgabe von Optionsscheinen
----
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--0.00
100.00%0.00
----
----
--0.00
---12.70M
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----
----
----
Netto-Cashflow aus anderen Finanzierungsaktivitäten
5184.13%58.62M
38.00%62.17M
655.96%74.97M
-68.47%30.36M
-101.49%-1.15M
211.89%45.05M
-260.79%-13.48M
16852.46%96.29M
506.31%77.30M
106.82%14.45M
-97.86%8.39M
100.76%568.00K
--12.75M
-602.79%-211.75M
843.54%391.42M
---74.64M
100.00%0.00
--42.12M
-63525.30%-52.64M
--0.00
---2.75M
100.00%0.00
100.27%83.00K
--0.00
--0.00
---2.57M
---30.82M
----
----
100.00%0.00
100.00%0.00
----
----
95.14%-971.00
---134.27K
----
---20.00K
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
559.77%47.26M
18.44%62.86M
416.38%66.57M
-67.17%28.43M
-117.87%-10.28M
219.72%53.08M
248.84%12.89M
4482.64%86.60M
2167.02%57.54M
2581.91%16.60M
-101.08%-8.66M
-105.16%-1.98M
159.82%2.54M
-97.94%619.00K
573.46%801.58M
2653.56%38.33M
-1590.44%-4.24M
3108.29%30.11M
-4851.86%-169.30M
-346.07%-1.50M
-100.32%-251.00K
-101.71%-1.00M
-127.59%-3.42M
116.50%610.00K
59278.70%78.83M
--58.42M
--12.39M
---3.70M
--132.75K
-100.00%0.00
-100.00%0.00
----
----
63763.12%3.19M
--52.01M
----
--5.00K
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
24.82%993.86M
24.21%918.06M
13.17%835.78M
24.03%791.58M
42.03%796.22M
37.01%739.10M
37.72%738.52M
21.68%638.24M
8.21%560.61M
9.27%539.46M
1727.54%536.25M
709.96%524.53M
487.94%518.09M
739.17%493.69M
-42.46%29.34M
63.00%64.76M
74.62%88.12M
119.16%58.83M
87.42%51.00M
35.88%39.73M
49.17%50.47M
-24.34%26.84M
-38.14%27.21M
74655.84%29.24M
19546.80%33.83M
7300.57%35.48M
35151.35%43.99M
-69.46%39.11K
-52.50%172.20K
-5.83%479.38K
45608.06%124.78K
--128.07K
7150.70%362.54K
--509.05K
--273.00
--5.00K
--0.00
Änderungen des Cashflows im aktuellen Zeitraum
1123.51%47.50M
32.70%75.81M
14283.92%82.28M
-55.93%44.20M
-105.98%-4.64M
170.07%57.13M
-82.14%572.00K
755.58%100.28M
1105.45%77.63M
-13.34%21.15M
-99.31%3.20M
133.09%11.72M
127.57%6.44M
-16.67%24.41M
5830.29%464.34M
-414.29%-35.42M
-117.63%-23.36M
23.99%29.29M
2221.95%7.83M
655.67%11.27M
-133.81%-10.73M
1535.12%23.62M
95.66%-369.00K
-5205.15%-2.03M
-3349.75%-4.59M
-435.83%-1.65M
-2500.09%-8.51M
-1062.62%-38.23K
43.24%-133.08K
-109.66%-307.19K
-30.30%354.60K
---3.29K
-13169.04%-234.46K
-3030.32%-146.52K
--508.78K
---1.77K
--5.00K
Endbestand an Zahlungsmitteln
31.55%1.04B
24.82%993.86M
24.21%918.06M
13.17%835.78M
24.03%791.58M
42.03%796.22M
37.01%739.10M
37.72%738.52M
21.68%638.24M
8.21%560.61M
9.27%539.46M
1727.54%536.25M
709.96%524.53M
487.94%518.09M
739.17%493.69M
-42.46%29.34M
63.00%64.76M
74.62%88.12M
119.16%58.83M
87.42%51.00M
35.88%39.73M
49.17%50.47M
-24.34%26.84M
3067769.22%27.21M
74655.84%29.24M
19546.80%33.83M
7300.57%35.48M
-99.29%887.00
-69.46%39.11K
-52.50%172.20K
-5.83%479.38K
--124.78K
3861.37%128.07K
7150.70%362.54K
--509.05K
--3.23K
--5.00K
Freier Cashflow
-27.42%4.86M
521.72%16.09M
-4.57%14.52M
12.27%16.12M
-66.37%6.70M
-76.87%2.59M
28.24%15.21M
0.42%14.36M
216.03%19.92M
31.48%11.19M
-66.47%11.86M
136.44%14.30M
132.97%6.30M
1134.14%8.51M
1650.53%35.38M
-407.27%-39.24M
-82.36%-19.12M
-103.28%-823.00K
-174.82%-2.28M
3427.62%12.77M
87.41%-10.48M
141.82%25.12M
131.05%3.05M
1047.00%362.00K
-60065.39%-83.23M
-19455.25%-60.07M
-2870.58%-9.82M
-297.87%-38.23K
54.81%-138.34K
-111.06%-307.19K
--354.60K
--19.32K
-17226.88%-306.17K
---145.54K
--0.00
---1.77K
----
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