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Radian Group Inc

RDN

32.800USD

-0.120-0.36%
Trading geöffnet ETKurse um 15 Minuten verzögert
4.44BMarktkapitalisierung
7.44KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
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FY2025Q1
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FY2012Q3
FY2012Q2
FY2012Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
32.84%67.81M
-201.68%-269.42M
-416.27%-237.92M
-386.02%-207.28M
-56.29%51.04M
149.61%264.96M
-28.56%75.23M
20.43%72.47M
0.09%116.78M
-30.99%106.15M
-17.35%105.30M
-51.02%60.17M
-23.76%116.67M
-3.68%153.81M
-34.14%127.41M
-17.81%122.87M
-1.78%153.03M
-14.90%159.68M
14.70%193.47M
24.21%149.49M
-28.46%155.80M
0.95%187.63M
-11.74%168.68M
-34.01%120.35M
83.86%217.78M
30.75%185.86M
1490.83%191.11M
48.90%182.38M
41.12%118.45M
55.21%142.15M
-91.21%12.01M
9.49%122.48M
115.60%83.93M
370.33%91.59M
124.72%136.65M
267.26%111.87M
5745.20%38.93M
-77.64%19.47M
36.71%60.81M
41.79%-66.88M
100.55%666.00K
189.52%87.10M
116.11%44.48M
8.51%-114.91M
26.59%-121.85M
-41.56%-97.30M
-245.65%-276.07M
39.46%-125.60M
-7.46%-165.97M
---68.73M
---79.87M
---207.45M
---154.45M
Nettoergebnis aus fortgeführten Aktivitäten
--144.56M
--148.29M
--151.89M
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--428.33M
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-10.79%-187.50M
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---169.23M
Betriebsergebnisse und -verluste
--14.38M
--25.73M
--18.75M
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--10.17M
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37.02%18.89M
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--13.79M
Abgegrenzte Steuer
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-341.44%-24.27M
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---5.50M
Andere nicht monetäre Posten
---81.96M
---392.12M
---382.54M
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-30.99%106.15M
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-3.68%153.81M
-34.14%127.41M
-17.81%122.87M
-1.78%153.03M
-14.90%159.68M
14.70%193.47M
24.21%149.49M
-28.46%155.80M
0.95%187.63M
-11.74%168.68M
-34.01%120.35M
83.86%217.78M
30.75%185.86M
1490.83%191.11M
48.90%182.38M
41.12%118.45M
55.21%142.15M
-91.21%12.01M
9.49%122.48M
--83.93M
370.33%91.59M
--136.65M
--111.87M
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103.93%19.47M
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---495.24M
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-245.65%-276.07M
----
337.07%126.30M
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---79.87M
----
---53.27M
Veränderung des Umlaufvermögens
---9.17M
---51.31M
---26.02M
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--143.83M
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-266.34%-99.40M
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--59.76M
-Änderung bei den Vorauszahlungen
----
---50.74M
---32.60M
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-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
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962.71%37.41M
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---4.34M
-Änderung bei anderen kurzfristigen Vermögenswerten
--8.76M
--16.99M
---1.33M
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---48.21M
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-132.96%-3.54M
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--10.75M
-Änderung bei anderen kurzfristigen Verbindlichkeiten
---22.68M
---6.37M
--10.38M
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--25.03M
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
32.84%67.81M
-201.68%-269.42M
-416.27%-237.92M
-386.02%-207.28M
-56.29%51.04M
149.61%264.96M
-28.56%75.23M
20.43%72.47M
0.09%116.78M
-30.99%106.15M
-17.35%105.30M
-51.02%60.17M
-23.76%116.67M
-3.68%153.81M
-34.14%127.41M
-17.81%122.87M
-1.78%153.03M
-14.90%159.68M
14.70%193.47M
24.21%149.49M
-28.46%155.80M
0.95%187.63M
-11.74%168.68M
-34.01%120.35M
83.86%217.78M
30.75%185.86M
1490.83%191.11M
48.90%182.38M
41.12%118.45M
55.21%142.15M
-91.21%12.01M
9.49%122.48M
115.60%83.93M
370.33%91.59M
124.72%136.65M
267.26%111.87M
5745.20%38.93M
-77.64%19.47M
36.71%60.81M
41.79%-66.88M
100.55%666.00K
189.52%87.10M
116.11%44.48M
8.51%-114.91M
26.59%-121.85M
-41.56%-97.30M
-245.65%-276.07M
39.46%-125.60M
-7.46%-165.97M
---68.73M
---79.87M
---207.45M
---154.45M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-22.40%1.21M
-81.87%342.00K
-95.17%207.00K
-79.99%1.07M
-67.45%1.56M
-65.85%1.89M
-8.19%4.28M
56.22%5.33M
17.45%4.79M
42.31%5.52M
25.14%4.66M
16.78%3.41M
96.58%4.08M
69.25%3.88M
-9.74%3.73M
-48.26%2.92M
-58.12%2.07M
-66.86%2.29M
-24.93%4.13M
-33.97%5.64M
-25.66%4.95M
21.71%6.92M
-31.21%5.50M
12.09%8.55M
41.62%6.66M
62.29%5.69M
-31.84%8.00M
32.46%7.63M
-38.83%4.70M
-51.95%3.50M
0.89%11.73M
-43.05%5.76M
17.93%7.69M
17.54%7.29M
35.03%11.63M
23.51%10.11M
163.89%6.52M
-4.07%6.20M
116.22%8.61M
55.24%8.18M
-10.80%2.47M
177.83%6.46M
34.30%3.98M
1406.29%5.27M
664.92%2.77M
--2.33M
--2.96M
392.96%350.00K
-4.99%362.00K
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--71.00K
--381.00K
Investitionsausgaben
-22.40%1.21M
-81.87%342.00K
-95.17%207.00K
-79.99%1.07M
-67.45%1.56M
-65.85%1.89M
-8.19%4.28M
56.22%5.33M
17.45%4.79M
42.31%5.52M
25.14%4.66M
16.78%3.41M
96.58%4.08M
69.25%3.88M
-9.74%3.73M
-48.26%2.92M
-58.12%2.07M
-66.86%2.29M
-24.93%4.13M
-33.97%5.64M
-25.66%4.95M
21.71%6.92M
-31.21%5.50M
12.09%8.55M
41.62%6.66M
62.29%5.69M
-31.84%8.00M
32.46%7.63M
-38.83%4.70M
-51.95%3.50M
0.89%11.73M
-43.05%5.76M
17.93%7.69M
17.54%7.29M
35.03%11.63M
23.51%10.11M
163.89%6.52M
-4.07%6.20M
116.22%8.61M
55.24%8.18M
-10.80%2.47M
177.83%6.46M
34.30%3.98M
1406.29%5.27M
664.92%2.77M
--2.33M
--2.96M
392.96%350.00K
-4.99%362.00K
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--71.00K
--381.00K
Netto-Cashflow aus der Veräußerung von Anlagevermögen
-22.40%1.21M
-81.87%342.00K
-95.17%207.00K
-79.99%1.07M
-67.45%1.56M
-65.85%1.89M
-8.19%4.28M
56.22%5.33M
17.45%4.79M
42.31%5.52M
25.14%4.66M
16.78%3.41M
96.58%4.08M
69.25%3.88M
-9.74%3.73M
-48.26%2.92M
-58.12%2.07M
-66.86%2.29M
-24.93%4.13M
-33.97%5.64M
-25.66%4.95M
21.71%6.92M
-31.21%5.50M
12.09%8.55M
41.62%6.66M
62.29%5.69M
-31.84%8.00M
32.46%7.63M
-38.83%4.70M
-51.95%3.50M
0.89%11.73M
-43.05%5.76M
17.93%7.69M
17.54%7.29M
35.03%11.63M
23.51%10.11M
163.89%6.52M
-4.07%6.20M
116.22%8.61M
55.24%8.18M
-10.80%2.47M
177.83%6.46M
34.30%3.98M
1406.29%5.27M
664.92%2.77M
--2.33M
--2.96M
392.96%350.00K
-4.99%362.00K
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--71.00K
--381.00K
Netto-Cashflow aus Geschäftstransaktionen
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--0.00
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--0.00
--0.00
-100.00%0.00
-100.00%0.00
--0.00
--0.00
--612.00K
--15.87M
100.00%0.00
100.00%0.00
100.00%0.00
100.00%0.00
-1023.38%-7.30M
---28.00K
---373.00K
-203.49%-261.00K
-333.33%-650.00K
--0.00
--0.00
---86.00K
95.57%-150.00K
--0.00
--0.00
100.00%0.00
-205.51%-3.38M
--0.00
100.00%0.00
---6.45M
---1.11M
--0.00
---295.98M
--0.00
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Netto-Cashflow aus Anlageprodukten
194.69%68.03M
79.11%-22.87M
476.92%358.56M
100.06%31.00K
-178.93%-71.84M
-127.16%-109.51M
-334.22%-95.13M
-161.68%-54.16M
61.97%-25.76M
-233.90%-48.21M
-11.96%40.62M
937.32%87.81M
15.21%-67.72M
125.14%36.00M
130.14%46.14M
101.39%8.46M
-478.97%-79.86M
-8.32%-143.23M
-1114.16%-153.09M
-1337.13%-607.40M
111.79%21.07M
22.23%-132.23M
89.64%-12.61M
119.72%49.10M
-55.68%-178.68M
-39.24%-170.03M
-814.66%-121.68M
-167.77%-248.96M
-303.84%-114.78M
30.00%-122.11M
-112.71%-13.30M
2.50%-92.97M
182.72%56.31M
59.57%-174.44M
414.29%104.63M
-342.35%-95.36M
-299.58%-68.07M
-446.55%-431.43M
82.66%-33.29M
185.73%39.35M
-74.27%34.11M
-112865.71%-78.94M
-167.85%-191.95M
-135.76%-45.90M
130.34%132.54M
-99.90%70.00K
234.05%282.90M
-41.73%128.35M
-254.08%-436.91M
--72.46M
--84.69M
--220.25M
--283.56M
Netto-Cashflow aus anderen Investitionstätigkeiten
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-78.11%92.88M
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--424.36M
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--91.90M
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--570.00K
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Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
244.74%106.24M
131.70%35.32M
469.03%366.86M
98.26%-1.03M
-140.32%-73.40M
-107.32%-111.40M
-376.51%-99.41M
-170.49%-59.49M
57.46%-30.54M
-267.27%-53.73M
-15.23%35.95M
1422.07%84.40M
12.38%-71.80M
122.07%32.12M
126.97%42.41M
100.91%5.54M
-356.11%-81.94M
-4.58%-145.52M
-768.20%-157.22M
-1610.34%-612.43M
117.26%31.99M
23.97%-139.15M
86.04%-18.11M
115.78%40.55M
-54.79%-185.34M
-44.95%-183.01M
-418.14%-129.70M
-160.26%-256.96M
-346.71%-119.74M
-41.86%-126.26M
-126.92%-25.03M
6.38%-98.73M
165.07%48.53M
-434.26%-89.00M
321.96%93.00M
-438.44%-105.46M
-396.12%-74.59M
80.74%-16.66M
78.62%-41.90M
108.98%31.16M
-80.59%25.19M
-196.50%-86.51M
-169.99%-195.93M
-371.21%-347.14M
129.68%129.77M
23.72%89.64M
228.34%279.93M
-41.87%128.00M
-254.42%-437.27M
--72.46M
--85.26M
--220.18M
--283.18M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-701.55%-187.17M
229.01%245.50M
-719.07%-114.65M
15536.84%195.28M
133.80%31.11M
-268.30%-190.29M
108.37%18.52M
99.11%-1.27M
-43.84%-92.05M
72.79%-51.67M
-46.39%-221.26M
-24.49%-142.25M
-54.30%-64.00M
-2842.58%-189.88M
-338.56%-151.15M
-123.53%-114.27M
81.33%-41.47M
-44.95%-6.45M
80.58%-34.47M
331.79%485.68M
-1801.41%-222.14M
56.26%-4.45M
-242.58%-177.44M
-525.83%-209.53M
-133.23%-11.68M
45.75%-10.18M
-276.29%-51.80M
277.08%49.21M
132.58%35.15M
-69392.59%-18.76M
112.38%29.38M
-66.70%-27.79M
-312.98%-107.91M
99.90%-27.00K
-20281.53%-237.24M
-162.38%-16.67M
5348.17%50.67M
-5338.24%-25.89M
8.42%-1.16M
-94.48%26.72M
370.35%930.00K
87.52%-476.00K
-247.27%-1.27M
691481.43%484.11M
-100.06%-344.00K
-1041.92%-3.81M
96.28%-366.00K
100.59%70.00K
553.46%601.05M
---334.00K
---9.83M
---11.89M
---132.55M
Netto-Cashflow aus Schuldenemission/Rückzahlung
-58.86%48.70M
479.62%349.67M
-95.96%4.22M
563.93%285.51M
380.85%118.38M
-1244.66%-92.11M
848.98%104.54M
-30.14%43.00M
-330.28%-42.15M
53.33%-6.85M
-60.51%11.02M
1825.91%61.55M
-10.71%-9.80M
-182.03%-14.68M
373.81%27.89M
-99.37%3.20M
-131.50%-8.85M
-15.03%17.89M
88.83%-10.19M
1071.40%511.32M
37.06%28.09M
333.04%21.05M
-77.60%-91.18M
-158.58%-52.64M
-54.67%20.50M
55.00%-9.04M
-272.53%-51.34M
426.75%89.86M
141.02%45.22M
-24386.59%-20.08M
112.55%29.76M
-69.59%-27.50M
-172.86%-110.24M
99.69%-82.00K
-24488.80%-237.04M
-107.11%-16.22M
--151.31M
---26.65M
-62.56%-964.00K
-3.90%227.93M
--0.00
100.00%0.00
---593.00K
--237.18M
----
---3.38M
100.00%0.00
100.00%0.00
328.26%301.79M
--0.00
---9.49M
---11.55M
---132.22M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-321.35%-208.81M
-20.54%-76.02M
2.06%-48.97M
-1009.10%-49.59M
-253.38%-49.56M
-390.35%-63.06M
74.96%-50.00M
97.33%-4.47M
24.83%-14.02M
91.28%-12.86M
-30.77%-199.65M
-87.80%-167.68M
-124.86%-18.66M
-307310.42%-147.46M
-610796.00%-152.67M
-270663.64%-89.29M
96.31%-8.30M
100.19%48.00K
100.03%25.00K
100.02%33.00K
-615.86%-224.86M
-9721.01%-24.73M
-26989.94%-85.51M
-291.29%-156.14M
-236.31%-31.41M
-93.32%257.00K
98.75%318.00K
-15934.52%-39.90M
-426.00%-9.34M
929.14%3.85M
-42.45%160.00K
514.63%252.00K
102.86%2.87M
-70.89%374.00K
--278.00K
100.02%41.00K
---100.16M
--1.28M
--0.00
-181.65%-202.00M
--0.00
--0.00
----
--247.39M
----
--0.00
----
--0.00
--299.54M
----
----
----
--0.00
Barausschüttungen
-0.73%37.29M
5.32%36.73M
3.71%37.16M
2.51%40.51M
5.26%37.56M
9.97%34.88M
10.47%35.83M
9.97%39.52M
0.94%35.69M
26.19%31.72M
24.13%32.43M
28.61%35.93M
46.73%35.35M
4.32%25.13M
8.58%26.13M
15.64%27.94M
-4.15%24.09M
4699.40%24.09M
4655.73%24.06M
4555.68%24.16M
4607.49%25.14M
-5.99%502.00K
-5.07%506.00K
-2.63%519.00K
-1.11%534.00K
-1.11%534.00K
-0.93%533.00K
-0.93%533.00K
0.37%540.00K
0.56%540.00K
0.56%538.00K
0.37%538.00K
8.25%538.00K
3.87%537.00K
2.69%535.00K
11.67%536.00K
3.97%497.00K
8.39%517.00K
9.00%521.00K
0.63%480.00K
10.39%478.00K
10.42%477.00K
10.39%478.00K
10.16%477.00K
29.64%433.00K
29.34%432.00K
29.25%433.00K
30.03%433.00K
0.30%334.00K
--334.00K
--335.00K
--333.00K
--333.00K
Netto-Cashflow aus anderen Finanzierungsaktivitäten
7310.56%10.24M
3704.62%8.58M
-16957.29%-32.75M
50.18%-140.00K
26.42%-142.00K
0.83%-238.00K
1.03%-192.00K
-47.12%-281.00K
-2.12%-193.00K
90.82%-240.00K
18.83%-194.00K
19.41%-191.00K
19.23%-189.00K
-774.58%-2.62M
0.00%-239.00K
84.38%-237.00K
1.27%-234.00K
-7.17%-299.00K
0.00%-239.00K
-540.08%-1.52M
-1.28%-237.00K
67.82%-279.00K
-0.42%-239.00K
-7.73%-237.00K
-26.49%-234.00K
56.50%-867.00K
---238.00K
---220.00K
---185.00K
-1014.22%-1.99M
-100.00%0.00
-100.00%0.00
-100.00%0.00
--218.00K
-83.80%52.00K
-96.62%43.00K
-98.58%20.00K
-100.00%0.00
260.50%321.00K
7376.47%1.27M
1482.02%1.41M
--1.00K
-398.51%-200.00K
-96.62%17.00K
78.00%89.00K
--0.00
--67.00K
--503.00K
--50.00K
----
----
----
--0.00
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-701.55%-187.17M
229.01%245.50M
-719.07%-114.65M
15536.84%195.28M
133.80%31.11M
-268.30%-190.29M
108.37%18.52M
99.11%-1.27M
-43.84%-92.05M
72.79%-51.67M
-46.39%-221.26M
-24.49%-142.25M
-54.30%-64.00M
-2842.58%-189.88M
-338.56%-151.15M
-123.53%-114.27M
81.33%-41.47M
-44.95%-6.45M
80.58%-34.47M
331.79%485.68M
-1801.41%-222.14M
56.26%-4.45M
-242.58%-177.44M
-525.83%-209.53M
-133.23%-11.68M
45.75%-10.18M
-276.29%-51.80M
277.08%49.21M
132.58%35.15M
-69392.59%-18.76M
112.38%29.38M
-66.70%-27.79M
-312.98%-107.91M
99.90%-27.00K
-20281.53%-237.24M
-162.38%-16.67M
5348.17%50.67M
-5338.24%-25.89M
8.42%-1.16M
-94.48%26.72M
370.35%930.00K
87.52%-476.00K
-247.27%-1.27M
691481.43%484.11M
-100.06%-344.00K
-1041.92%-3.81M
96.28%-366.00K
100.59%70.00K
553.46%601.05M
---334.00K
---9.83M
---11.89M
---132.55M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
106.69%41.47M
-47.05%30.07M
-74.73%15.78M
-43.20%28.82M
-64.52%20.07M
1.77%56.79M
-54.01%62.46M
-61.99%50.74M
-62.94%56.56M
-64.36%55.81M
-1.51%135.82M
7.87%133.50M
62.11%152.62M
81.13%156.57M
62.88%137.91M
99.86%123.76M
-2.21%94.15M
65.46%86.44M
7.01%84.67M
-51.53%61.92M
-10.03%96.27M
-54.31%52.25M
-24.45%79.12M
-1.81%127.75M
11.18%107.00M
15.72%114.34M
27.09%104.72M
50.60%130.10M
55.70%96.24M
66.46%98.81M
28.04%82.40M
15.33%86.39M
3.20%61.81M
-28.54%59.36M
25.26%64.36M
30.94%74.90M
96.61%59.90M
168.55%83.06M
21.24%51.38M
191.89%57.20M
33.15%30.46M
-6.78%30.93M
33.14%42.38M
-33.19%19.60M
-27.49%22.88M
29.64%33.18M
-2.41%31.83M
-7.71%29.33M
-11.33%31.55M
--25.59M
--32.62M
--31.78M
--35.59M
Änderungen des Cashflows im aktuellen Zeitraum
-249.81%-13.12M
131.03%11.40M
352.27%14.29M
-211.32%-13.04M
250.62%8.76M
-4984.18%-36.73M
92.92%-5.67M
405.17%11.71M
69.58%-5.82M
119.01%752.00K
-528.62%-80.02M
-83.60%2.32M
-164.54%-19.12M
-151.35%-3.96M
949.94%18.67M
-37.80%14.14M
186.22%29.62M
-82.51%7.70M
106.62%1.78M
146.76%22.74M
-265.52%-34.35M
700.16%44.03M
-379.54%-26.87M
-91.64%-48.64M
-38.71%20.75M
-186.45%-7.34M
-41.39%9.61M
-536.70%-25.38M
37.78%33.86M
-204.19%-2.56M
313.22%16.40M
62.20%-3.99M
63.77%24.58M
110.61%2.46M
-143.58%-7.69M
-81.08%-10.54M
-43.88%15.01M
-4881.29%-23.16M
248.46%17.65M
-125.56%-5.82M
914.72%26.74M
95.48%-465.00K
-440.24%-11.89M
812.33%22.78M
-47.77%-3.28M
-369.93%-10.30M
178.43%3.49M
199.76%2.50M
41.63%-2.22M
--3.81M
---4.46M
--833.00K
---3.81M
Auswirkungen von Wechselkursänderungen
----
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
----
----
--0.00
-100.00%0.00
---4.00K
100.00%0.00
-100.00%0.00
-97.44%1.00K
-100.00%0.00
-104.17%-1.00K
418.18%315.00K
137.86%39.00K
119.06%53.00K
2500.00%24.00K
-8.79%-99.00K
-4.04%-103.00K
-369.90%-278.00K
97.83%-1.00K
-378.95%-91.00K
-175.00%-99.00K
615.00%103.00K
-757.14%-46.00K
---19.00K
---36.00K
-168.97%-20.00K
124.14%7.00K
--0.00
100.00%0.00
462.50%29.00K
-323.08%-29.00K
--0.00
---16.00K
---8.00K
--13.00K
Endbestand an Zahlungsmitteln
-1.65%28.35M
106.69%41.47M
-47.05%30.07M
-74.73%15.78M
-43.20%28.82M
-64.52%20.07M
1.77%56.79M
-54.01%62.46M
-61.99%50.74M
-62.94%56.56M
-64.36%55.81M
-1.51%135.82M
7.87%133.50M
62.11%152.62M
81.13%156.57M
62.88%137.91M
99.86%123.76M
-2.21%94.15M
65.46%86.44M
7.01%84.67M
-51.53%61.92M
-10.03%96.27M
-54.31%52.25M
-24.45%79.12M
-1.81%127.75M
11.18%107.00M
15.72%114.34M
27.09%104.72M
50.60%130.10M
55.70%96.24M
74.36%98.81M
28.04%82.40M
15.33%86.39M
3.20%61.81M
-17.91%56.67M
25.26%64.36M
30.94%74.90M
96.61%59.90M
126.39%69.03M
21.24%51.38M
191.89%57.20M
33.15%30.46M
-13.68%30.49M
33.14%42.38M
-33.19%19.60M
-22.20%22.88M
25.43%35.33M
-2.41%31.83M
-7.71%29.33M
--29.41M
--28.16M
--32.62M
--31.78M
Freier Cashflow
34.58%66.60M
-202.54%-269.76M
-435.65%-238.13M
-410.30%-208.35M
-55.81%49.49M
161.43%263.07M
-29.50%70.94M
18.28%67.14M
-0.54%111.99M
-32.88%100.63M
-18.63%100.63M
-52.67%56.77M
-25.41%112.60M
-4.74%149.93M
-34.68%123.68M
-16.61%119.95M
0.07%150.96M
-12.91%157.38M
16.03%189.34M
28.66%143.85M
-28.55%150.85M
0.30%180.71M
-10.89%163.18M
-36.02%111.80M
85.61%211.12M
29.95%180.17M
64376.06%183.11M
49.71%174.75M
49.18%113.75M
64.47%138.65M
-99.77%284.00K
14.71%116.72M
135.24%76.25M
535.20%84.30M
139.51%125.03M
235.56%101.76M
1896.62%32.41M
-83.54%13.27M
28.89%52.20M
37.54%-75.07M
98.55%-1.80M
180.94%80.63M
114.51%40.50M
4.58%-120.18M
25.08%-124.61M
-44.94%-99.62M
-249.36%-279.04M
39.31%-125.95M
-7.43%-166.33M
---68.73M
---79.87M
---207.52M
---154.83M
Währungseinheit
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