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Pearson PLC

PSO

14.240USD

-0.010-0.07%
Handelsschluss 07/17, 16:00ETKurse um 15 Minuten verzögert
9.49BMarktkapitalisierung
--KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
71.06%679.34M
-6.94%419.72M
-41.17%397.14M
-5.50%450.99M
-46.75%675.01M
-46.73%477.26M
-15.48%1.27B
5.19%895.99M
158.87%1.50B
60.93%851.81M
-20.04%579.42M
21.44%529.30M
1.95%724.60M
-28.65%435.83M
-60.78%710.73M
-54.59%610.88M
-28.97%1.81B
121.34%1.35B
200.03%2.55B
-25.03%607.78M
-30.13%850.28M
-11.46%810.69M
-29.89%1.22B
-42.27%915.65M
--1.74B
--1.59B
Forderungen
4.56%1.42B
2.67%1.40B
-2.38%1.36B
-7.65%1.36B
-19.99%1.39B
-16.90%1.47B
13.55%1.74B
31.42%1.77B
-9.58%1.53B
-16.59%1.35B
12.49%1.69B
15.53%1.62B
0.20%1.50B
-12.98%1.40B
-10.40%1.50B
-10.06%1.61B
-11.54%1.67B
-10.69%1.79B
-7.24%1.89B
-3.40%2.00B
5.05%2.04B
16.99%2.07B
8.24%1.94B
-14.73%1.77B
--1.79B
--2.08B
-Forderungen aus Lieferungen und Leistungen
-3.58%1.29B
1.48%1.37B
-3.00%1.34B
-8.36%1.35B
-18.98%1.38B
-7.34%1.47B
11.25%1.70B
17.67%1.59B
-9.58%1.53B
-16.59%1.35B
12.49%1.69B
15.53%1.62B
0.20%1.50B
-12.98%1.40B
-10.40%1.50B
-10.06%1.61B
-11.54%1.67B
-10.69%1.79B
-7.24%1.89B
-3.40%2.00B
5.05%2.04B
16.99%2.07B
8.24%1.94B
-14.73%1.77B
--1.79B
--2.08B
Inventar
-20.07%92.58M
-19.49%112.51M
-8.81%115.83M
11.44%139.74M
-4.20%127.02M
-28.02%125.40M
-24.83%132.58M
-19.25%174.22M
-21.29%176.38M
-19.83%215.74M
7.10%224.08M
22.00%269.09M
4.62%209.22M
-28.85%220.56M
-31.02%199.98M
-14.97%310.00M
-6.78%289.89M
-7.51%364.58M
-10.85%310.97M
-9.97%394.20M
-5.94%348.83M
-3.08%437.84M
-12.56%370.85M
-36.36%451.74M
--424.15M
--709.87M
Sonstige kurzfristige Vermögenswerte
-1.71%1.18B
-1.12%1.19B
2.20%1.21B
6.03%1.20B
-2.48%1.18B
-6.21%1.13B
-2.26%1.21B
6.41%1.21B
7.27%1.24B
7.41%1.14B
10.68%1.15B
3.96%1.06B
4.10%1.04B
-20.63%1.02B
-20.74%1.00B
2.03%1.28B
1.92%1.26B
0.84%1.26B
-2.94%1.24B
-1.07%1.25B
7.57%1.28B
7.21%1.26B
9.68%1.19B
9.61%1.18B
--1.08B
--1.07B
Summe der kurzfristigen Vermögenswerte
10.30%3.41B
0.39%3.19B
-8.71%3.09B
-1.11%3.17B
-22.05%3.39B
-20.89%3.21B
-2.66%4.35B
13.65%4.06B
21.36%4.47B
2.75%3.57B
5.76%3.68B
13.08%3.48B
2.00%3.48B
-19.53%3.07B
-32.30%3.41B
-19.67%3.82B
-16.58%5.04B
9.76%4.75B
32.67%6.04B
-5.89%4.33B
-3.90%4.55B
6.21%4.60B
-6.04%4.74B
-20.58%4.33B
--5.04B
--5.46B
Langfristige Vermögenswerte
Nettoanlagevermögen
-2.17%270.24M
-8.85%261.69M
-8.67%276.22M
-19.24%287.11M
-38.92%302.43M
-43.24%355.51M
-29.68%495.16M
-20.69%626.37M
-14.07%704.16M
-3.08%789.81M
171.02%819.41M
130.23%814.89M
-20.37%302.34M
-11.19%353.95M
-10.27%379.69M
-11.64%398.57M
-10.28%423.12M
-9.40%451.07M
-9.33%471.61M
-5.49%497.85M
-8.14%520.14M
3.38%526.77M
6.55%566.22M
-14.84%509.54M
--531.40M
--598.36M
Goodwill und andere immaterielle Vermögenswerte
-3.78%3.79B
-2.91%3.86B
2.38%3.93B
1.49%3.97B
2.59%3.84B
5.36%3.91B
-0.08%3.75B
-0.42%3.71B
-2.50%3.75B
-4.04%3.73B
0.17%3.85B
-4.05%3.89B
-4.15%3.84B
-4.78%4.05B
-5.68%4.00B
-43.07%4.25B
-44.21%4.25B
-19.84%7.47B
-22.55%7.61B
-10.35%9.32B
2.32%9.83B
4.15%10.40B
-4.95%9.60B
1.29%9.98B
--10.10B
--9.86B
Sonstige langfristige Vermögenswerte
-0.06%679.34M
-10.08%663.71M
-11.93%679.73M
-12.52%738.11M
-3.96%771.79M
26.60%843.72M
32.97%803.63M
8.81%666.46M
-6.60%604.35M
-3.10%612.51M
-19.62%647.04M
-33.62%632.11M
-6.92%804.97M
-2.91%952.23M
15.11%864.77M
1.25%980.79M
-16.84%751.26M
33.22%968.68M
19.62%903.44M
20.44%727.14M
35.77%755.29M
10.26%603.74M
49.48%556.28M
-13.27%547.56M
--372.15M
--631.34M
Summe der langfristigen Vermögenswerte
-4.73%5.21B
-4.92%5.29B
-0.03%5.47B
-5.37%5.57B
-2.07%5.47B
6.87%5.88B
-2.35%5.59B
-4.23%5.51B
-11.48%5.72B
-13.34%5.75B
-2.15%6.46B
-5.38%6.63B
-8.86%6.60B
-8.99%7.01B
-1.78%7.25B
-29.85%7.70B
-33.57%7.38B
-14.13%10.98B
-15.83%11.11B
-7.80%12.79B
-1.23%13.19B
3.21%13.87B
-0.30%13.36B
13.90%13.44B
--13.40B
--11.80B
Summe der Vermögenswerte
0.70%8.62B
-2.99%8.48B
-3.35%8.56B
-3.87%8.74B
-10.82%8.86B
-4.91%9.09B
-2.49%9.93B
2.62%9.56B
0.44%10.19B
-7.81%9.32B
0.58%10.14B
0.25%10.11B
-5.38%10.08B
-12.48%10.08B
-14.17%10.66B
-26.78%11.52B
-27.59%12.42B
-8.09%15.74B
-3.39%17.15B
-7.32%17.12B
-1.93%17.75B
3.94%18.47B
-1.87%18.10B
3.00%17.77B
--18.44B
--17.26B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
Kurzfristige Rückstellungen
-9.58%28.78M
-73.10%12.64M
-69.05%31.82M
37.89%47.01M
90.01%102.82M
-5.18%34.09M
58.32%54.12M
-25.65%35.95M
-50.42%34.18M
138.10%48.36M
170.23%68.95M
-26.78%20.31M
-24.47%25.51M
-21.14%27.73M
1.42%33.78M
-11.90%35.17M
-46.19%33.31M
-42.23%39.92M
-25.00%61.90M
-14.04%69.10M
-55.49%82.54M
60.15%80.38M
200.27%185.43M
-13.62%50.19M
--61.75M
--58.11M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
362.10%394.09M
315.30%395.70M
-18.02%85.28M
-47.83%95.28M
-50.39%104.03M
-15.34%182.62M
-39.62%209.70M
-40.42%215.70M
184.71%347.29M
102.30%362.05M
107.87%121.98M
310.64%178.97M
128.58%58.68M
-87.42%43.58M
-52.70%25.67M
126.42%346.47M
-86.94%54.28M
-86.71%153.02M
-21.96%415.61M
26.76%1.15B
-39.64%532.59M
44.22%908.17M
107.25%882.44M
28.51%629.70M
--425.77M
--490.00M
-Kurzfristige Verbindlichkeiten
-100.00%0.00
4046.33%316.05M
-78.96%3.82M
-91.87%7.62M
-84.58%18.15M
-21.16%93.75M
-52.44%117.70M
-47.59%118.91M
6121.67%247.48M
1091.74%226.90M
--3.98M
--19.04M
----
----
----
----
----
----
----
26.76%1.15B
----
--908.17M
----
----
----
----
-Kurzfristige Leasingverpflichtungen
-0.18%81.32M
-9.14%79.65M
-5.15%81.47M
-1.37%87.66M
-6.64%85.89M
-8.17%88.88M
-7.83%92.00M
-28.38%96.79M
-15.42%99.81M
-15.50%135.15M
--118.01M
--159.93M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Andere kurzfristige Verbindlichkeiten
-9.58%28.78M
-73.10%12.64M
-69.05%31.82M
37.89%47.01M
90.01%102.82M
-5.18%34.09M
58.32%54.12M
-25.65%35.95M
-50.42%34.18M
138.10%48.36M
170.23%68.95M
-26.78%20.31M
-24.47%25.51M
-21.14%27.73M
1.42%33.78M
-11.90%35.17M
-46.19%33.31M
-42.23%39.92M
-25.00%61.90M
-14.04%69.10M
-55.49%82.54M
60.15%80.38M
200.27%185.43M
-13.62%50.19M
--61.75M
--58.11M
Summe der kurzfristigen Verbindlichkeiten
3.47%1.85B
21.23%1.79B
-0.11%1.79B
-16.35%1.48B
-16.30%1.79B
-4.16%1.77B
-0.49%2.14B
0.25%1.84B
8.58%2.15B
3.25%1.84B
-0.66%1.98B
-9.26%1.78B
-8.86%1.99B
-16.56%1.96B
-7.94%2.18B
2.96%2.35B
-15.55%2.37B
-34.08%2.29B
-17.48%2.81B
-4.41%3.47B
-11.10%3.41B
13.95%3.63B
9.80%3.83B
1.76%3.18B
--3.49B
--3.13B
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
-10.04%67.56M
-18.05%70.80M
-17.22%75.10M
1.36%86.39M
-8.14%90.73M
-29.15%85.22M
-22.33%98.76M
-15.63%120.30M
-8.66%127.16M
-0.59%142.59M
-55.46%139.22M
-29.02%143.43M
45.48%312.55M
-25.05%202.07M
-20.11%214.84M
-6.62%269.62M
-13.11%268.92M
-15.66%288.74M
-18.88%309.50M
5.92%342.37M
5.23%381.54M
-8.79%323.25M
-20.88%362.58M
-15.48%354.39M
--458.28M
--419.32M
Langfristige Schulden und Leasingverbindlichkeiten
13.41%882.02M
2.68%1.06B
5.40%777.74M
43.34%1.04B
-19.79%737.92M
-22.86%723.19M
-14.51%919.98M
-5.37%937.47M
-1.39%1.08B
-31.11%990.68M
26.91%1.09B
1.86%1.44B
-40.31%859.83M
-40.31%1.41B
-51.83%1.44B
-23.51%2.37B
-0.93%2.99B
2.39%3.09B
2.93%3.02B
-14.90%3.02B
4.62%2.93B
3.29%3.55B
-14.19%2.80B
5.79%3.44B
--3.27B
--3.25B
-Langfristige Verbindlichkeiten
13.41%882.02M
2.68%1.06B
5.40%777.74M
43.34%1.04B
-19.79%737.92M
-22.86%723.19M
-14.51%919.98M
-5.37%937.47M
-1.39%1.08B
-31.11%990.68M
26.91%1.09B
1.86%1.44B
-40.31%859.83M
-40.31%1.41B
-51.83%1.44B
-23.51%2.37B
-0.93%2.99B
2.39%3.09B
2.93%3.02B
-14.90%3.02B
4.62%2.93B
3.29%3.55B
-14.19%2.80B
5.79%3.44B
--3.27B
--3.25B
Mitarbeitervorteile
-8.41%51.29M
-22.60%53.10M
-24.10%56.01M
-7.63%68.60M
-17.36%73.79M
-32.01%74.27M
-23.17%89.29M
-14.47%109.23M
-4.72%116.22M
4.81%127.71M
-4.38%121.98M
-7.74%121.85M
-9.22%127.57M
-27.57%132.07M
-18.05%140.53M
-4.83%182.35M
-16.30%171.47M
-10.95%191.61M
-19.30%204.86M
5.72%215.16M
7.97%253.84M
-1.61%203.53M
-15.89%235.10M
-20.17%206.86M
--279.52M
--259.13M
Derivative-Verbindlichkeiten
-89.65%5.00M
-93.06%3.79M
-25.95%48.37M
1.97%54.63M
60.95%65.32M
24.98%53.57M
-25.79%40.59M
-46.81%42.86M
71.87%54.69M
38.03%80.59M
-30.71%31.82M
-23.78%58.39M
-75.72%45.93M
-66.39%76.60M
-41.91%189.17M
-9.84%227.94M
62.48%325.67M
31.95%252.81M
76.31%200.44M
194.81%191.60M
43.05%113.68M
9.56%64.99M
--79.47M
3677.09%59.32M
--0.00
--1.57M
Andere langfristige Verbindlichkeiten
-14.23%171.40M
-18.64%152.97M
-15.28%199.84M
-19.98%188.02M
3.79%235.89M
14.82%234.98M
-3.91%227.29M
-9.32%204.64M
-6.60%236.54M
-28.02%225.66M
-50.37%253.25M
-12.08%313.52M
29.33%510.28M
-52.80%356.59M
-50.03%394.55M
-3.28%755.45M
-5.35%789.50M
-9.25%781.06M
-3.49%834.17M
11.82%860.63M
9.67%864.30M
6.75%769.64M
-14.02%788.07M
-11.03%720.96M
--916.55M
--810.38M
Gesamt langfristige Verbindlichkeiten
0.20%1.70B
-3.74%1.87B
-1.77%1.70B
4.62%1.94B
-13.78%1.73B
-12.97%1.86B
-15.96%2.01B
-6.42%2.13B
-1.88%2.39B
-20.79%2.28B
4.85%2.43B
6.27%2.88B
-23.67%2.32B
-32.40%2.71B
-35.04%3.04B
-17.43%4.01B
-4.06%4.68B
-6.03%4.86B
-2.87%4.88B
-2.83%5.17B
4.21%5.02B
-8.51%5.32B
-15.05%4.82B
15.64%5.81B
--5.67B
--5.03B
Gesamtverbindlichkeiten
1.88%3.55B
7.05%3.66B
-0.93%3.49B
-5.61%3.42B
-15.08%3.52B
-8.89%3.63B
-8.63%4.14B
-3.45%3.98B
2.81%4.54B
-11.60%4.12B
2.31%4.41B
-0.25%4.66B
-17.48%4.31B
-26.54%4.67B
-25.92%5.23B
-10.90%6.36B
-8.26%7.05B
-17.29%7.14B
-8.77%7.69B
-3.47%8.63B
-2.57%8.43B
-0.56%8.94B
-5.59%8.65B
10.32%9.00B
--9.16B
--8.15B
Eigenkapital der Aktionäre
Stammkapital
-1.75%3.52B
-0.59%3.55B
5.37%3.58B
4.38%3.57B
-10.68%3.40B
-11.89%3.42B
-0.81%3.81B
11.80%3.89B
3.08%3.84B
-2.35%3.48B
4.19%3.72B
-3.69%3.56B
-5.59%3.57B
1.14%3.70B
9.53%3.79B
-1.87%3.65B
-16.09%3.46B
-14.94%3.72B
-4.99%4.12B
-7.81%4.38B
-5.56%4.34B
13.02%4.75B
2.39%4.59B
-2.87%4.20B
--4.48B
--4.33B
Gewinnrücklagen
9.66%1.09B
-37.01%776.22M
-9.94%990.31M
6.88%1.23B
-22.44%1.10B
4.36%1.15B
17.44%1.42B
26.21%1.10B
-1.24%1.21B
-12.81%875.37M
-8.73%1.22B
0.03%1.00B
48.63%1.34B
84.80%1.00B
2.04%901.25M
-87.29%543.15M
-83.79%883.25M
1.44%4.27B
9.37%5.45B
-20.89%4.21B
-3.77%4.98B
27.85%5.32B
9.81%5.18B
-7.93%4.16B
--4.72B
--4.52B
Kapitalrücklagen
-1.45%3.31B
-0.15%3.34B
5.58%3.36B
4.62%3.35B
-10.35%3.19B
-11.75%3.20B
-0.83%3.55B
11.77%3.63B
3.36%3.58B
-2.09%3.24B
4.21%3.47B
-3.67%3.31B
-5.41%3.33B
1.55%3.44B
9.74%3.52B
-1.88%3.39B
-16.07%3.20B
-14.91%3.45B
-4.96%3.82B
-7.78%4.06B
-5.54%4.02B
13.02%4.40B
2.40%4.25B
-2.85%3.89B
--4.15B
--4.01B
Abzüglich: Eigene Aktien
-63.79%8.76M
-25.37%18.96M
33.28%24.19M
-5.14%25.41M
11.77%18.15M
176.73%26.78M
69.62%16.23M
-54.08%9.68M
-69.92%9.57M
-71.37%21.08M
-24.41%31.82M
-5.52%73.62M
-48.92%42.10M
-21.28%77.92M
--82.42M
--98.99M
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-9.15%106.11M
--113.08M
-28.01%116.80M
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-3.07%162.25M
-3.89%197.73M
--167.38M
--205.74M
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
-10.83%452.90M
-6.54%487.98M
-39.68%507.89M
-42.28%522.14M
48.53%841.95M
53.57%904.60M
-5.99%566.87M
-31.15%589.03M
-24.96%602.98M
-9.41%855.53M
-9.63%803.50M
21.60%944.35M
8.77%889.17M
-26.39%776.58M
-26.78%817.48M
53.66%1.06B
10921.44%1.12B
--686.59M
-109.46%-10.32M
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163.93%109.01M
-166.23%-384.82M
-181.98%-170.53M
34.53%581.02M
--208.01M
--431.89M
Verpflichtung aus dem Aktienbesitzplan
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--97.45M
--91.81M
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--167.61M
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Nicht beherrschende Anteile
5.31%18.77M
14.82%18.96M
13.32%17.82M
23.32%16.52M
16.24%15.73M
-3.14%13.39M
9.94%13.53M
11.52%13.83M
-7.19%12.31M
-2.32%12.40M
15.48%13.26M
6.79%12.69M
6.21%11.48M
82.52%11.89M
119.07%10.81M
63.15%6.51M
-16.30%4.93M
-57.64%3.99M
-36.91%5.90M
10.19%9.42M
-5.94%9.34M
-70.41%8.55M
-74.53%9.93M
8.24%28.90M
--39.00M
--26.70M
Gesamtes Eigenkapital
-0.11%5.07B
-9.45%4.82B
-4.95%5.08B
-2.72%5.32B
-7.76%5.34B
-2.07%5.47B
2.44%5.79B
7.42%5.58B
-1.39%5.65B
-4.57%5.20B
-0.70%5.73B
0.68%5.45B
6.25%5.77B
4.85%5.41B
1.30%5.43B
-39.96%5.16B
-43.29%5.36B
1.28%8.60B
1.49%9.46B
-10.94%8.49B
-1.34%9.32B
8.55%9.53B
1.81%9.45B
-3.55%8.78B
--9.28B
--9.10B
Währungseinheit
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Prüfungsmeinungen
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