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Radware Ltd

RDWR

25.480USD

+0.150+0.59%
Trading geöffnet ETKurse um 15 Minuten verzögert
1.09BMarktkapitalisierung
93.73KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
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FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
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FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
6.25%22.44M
380.55%12.75M
250.34%14.71M
373.28%23.03M
1808.90%21.12M
-72.25%2.65M
-745.32%-9.78M
-84.56%4.87M
88.17%-1.24M
-66.96%9.56M
-91.52%1.52M
258.68%31.52M
-164.64%-10.45M
59.57%28.93M
162.93%17.88M
-51.06%8.79M
-22.90%16.17M
357.99%18.13M
-66.44%6.80M
249.21%17.96M
-10.71%20.97M
-84.59%3.96M
129.44%20.26M
100.98%5.14M
93.09%23.49M
223.02%25.70M
51.24%8.83M
-77.48%2.56M
92.96%12.16M
-65.63%7.96M
559.04%5.84M
45.79%11.36M
-28.44%6.30M
47.91%23.15M
52.89%-1.27M
-45.92%7.79M
-25.17%8.81M
--15.65M
---2.70M
--14.41M
--11.77M
Nettoergebnis aus fortgeführten Aktivitäten
455.48%4.34M
141.91%2.45M
145.89%3.14M
128.65%1.66M
60.34%-1.22M
-41.85%-5.85M
-131.14%-6.85M
-284.26%-5.81M
-181.72%-3.08M
26.24%-4.12M
-159.70%-2.96M
-30.45%3.15M
-3.46%3.77M
-299.54%-5.59M
38.42%4.96M
573.40%4.53M
51.71%3.91M
-61.78%2.80M
-49.63%3.59M
-82.03%673.00K
-41.07%2.57M
-7.70%7.33M
128.75%7.12M
123.78%3.75M
538.99%4.37M
274.49%7.94M
310.77%3.11M
141.24%1.67M
75.60%-995.00K
199.44%2.12M
39.64%-1.48M
-205.88%-4.06M
-48.18%-4.08M
-150.04%-2.13M
-470.20%-2.45M
-118.47%-1.33M
-142.61%-2.75M
--4.26M
--661.00K
--7.19M
--6.46M
Betriebsergebnisse und -verluste
7.10%3.15M
-3.63%2.92M
-2.58%2.95M
-2.73%3.03M
-4.39%2.94M
5.21%3.03M
-2.32%3.02M
-3.59%3.11M
23.71%3.08M
15.86%2.88M
22.56%3.10M
27.28%3.23M
-6.04%2.49M
-7.17%2.48M
-3.40%2.53M
-3.79%2.54M
0.68%2.65M
-4.05%2.68M
-15.78%2.62M
-2.37%2.64M
-2.12%2.63M
16.11%2.79M
27.66%3.11M
10.56%2.70M
7.31%2.69M
-6.35%2.40M
-14.96%2.43M
-18.21%2.44M
-11.17%2.50M
-3.68%2.56M
9.45%2.86M
16.63%2.99M
11.25%2.82M
10.45%2.66M
7.26%2.61M
9.07%2.56M
14.92%2.53M
--2.41M
--2.44M
--2.35M
--2.21M
Abgegrenzte Steuer
----
-96.73%-1.08M
----
----
----
72.26%-551.00K
----
----
----
42.70%-1.99M
----
----
----
---3.47M
----
----
----
----
----
----
----
----
----
----
----
-2636.26%-2.31M
----
----
----
103.39%91.00K
----
----
----
-1349.77%-2.69M
----
----
----
--215.00K
----
----
----
Andere nicht monetäre Posten
-120.55%-161.00K
-129.78%-190.00K
-245.34%-234.00K
-88.86%80.00K
-130.80%-73.00K
-16.71%638.00K
-16.58%161.00K
-10.03%718.00K
-59.69%237.00K
-6.24%766.00K
-74.87%193.00K
9.77%798.00K
44.12%588.00K
263.11%817.00K
526.67%768.00K
749.11%727.00K
13.65%408.00K
27.84%225.00K
-60.71%-180.00K
30.43%-112.00K
101.69%359.00K
-65.69%176.00K
-158.33%-112.00K
-138.89%-161.00K
-35.51%178.00K
10.32%513.00K
-57.33%192.00K
53.33%414.00K
-23.55%276.00K
-59.39%465.00K
16.88%450.00K
-54.08%270.00K
-4.50%361.00K
98.10%1.15M
-28.31%385.00K
129.69%588.00K
-68.63%378.00K
--578.00K
--537.00K
--256.00K
--1.21M
Veränderung des Umlaufvermögens
-27.64%9.21M
149.77%1.73M
120.88%2.79M
682.94%11.96M
218.81%12.73M
-246.80%-3.48M
-107.81%-13.38M
-110.97%-2.05M
50.53%-10.71M
-91.91%2.37M
-220.21%-6.44M
970.08%18.70M
-547.69%-21.66M
274.08%29.33M
247.52%5.36M
-119.81%-2.15M
-58.92%4.84M
181.52%7.84M
-153.74%-3.63M
344.71%10.85M
-10.49%11.77M
-169.21%-9.62M
24918.52%6.75M
8.82%-4.43M
85.82%13.15M
2959.88%13.90M
-96.33%27.00K
-156.41%-4.86M
68.35%7.08M
-102.32%-486.00K
119.09%735.00K
128.14%8.62M
-33.77%4.21M
189.74%20.93M
52.23%-3.85M
54.71%3.78M
5390.83%6.35M
--7.22M
---8.06M
--2.44M
---120.00K
-Änderung der Forderungen
-3650.23%-8.21M
139.77%3.14M
24.46%5.54M
-358.80%-5.01M
78.21%-219.00K
-79.39%-7.89M
394.76%4.45M
-73.11%1.94M
82.83%-1.00M
-156.62%-4.40M
-121.49%-1.51M
183.84%7.20M
-184.35%-5.85M
31.89%-1.71M
145.13%7.02M
-190.97%-8.59M
272.25%6.94M
66.68%-2.52M
9.31%2.87M
1573.32%9.44M
-227.10%-4.03M
-670.34%-7.56M
2349.53%2.62M
75.00%-641.00K
8667.57%3.17M
134.54%1.32M
-97.99%107.00K
-176.49%-2.56M
97.45%-37.00K
-297.83%-3.84M
13.01%5.32M
81.39%3.35M
3.01%-1.45M
186.99%1.94M
1213.71%4.71M
-15.54%1.85M
-383.82%-1.50M
---2.23M
---423.00K
--2.19M
---309.00K
-Änderung des Inventars
-48.31%519.00K
80.90%-487.00K
137.70%253.00K
171.26%744.00K
573.83%1.00M
-344.25%-2.55M
-222.22%-671.00K
-605.41%-1.04M
-54.15%149.00K
-169.74%-574.00K
-31.12%549.00K
-170.14%-148.00K
-37.98%325.00K
227.60%823.00K
-2.33%797.00K
-71.79%211.00K
157.33%524.00K
-156.43%-645.00K
-7.38%816.00K
-38.74%748.00K
-175.16%-914.00K
-44.57%1.14M
143.61%881.00K
155.97%1.22M
921.62%1.22M
4395.83%2.06M
-376.33%-2.02M
144.87%477.00K
88.42%-148.00K
84.11%-48.00K
215.85%731.00K
-369.11%-1.06M
-403.15%-1.28M
-537.68%-302.00K
-708.97%-631.00K
758.33%395.00K
-142.98%-254.00K
--69.00K
---78.00K
---60.00K
--591.00K
-Änderung bei anderen kurzfristigen Vermögenswerten
-130.74%-186.00K
-39.96%4.04M
448.37%749.00K
-137.41%-199.00K
121.17%605.00K
9.61%6.72M
-105.58%-215.00K
204.52%532.00K
25.10%-2.86M
-46.74%6.13M
714.35%3.85M
90.78%-509.00K
14.48%-3.82M
270.91%11.51M
-34.84%-627.00K
-275.19%-5.52M
-872.11%-4.46M
-16.81%3.10M
60.02%-465.00K
14.53%-1.47M
76.64%-459.00K
588.38%3.73M
-464.56%-1.16M
31.19%-1.72M
-127.30%-1.96M
106.49%542.00K
55.12%-206.00K
-1176.02%-2.50M
596.23%7.20M
-830.36%-8.35M
-408.05%-459.00K
-84.91%-196.00K
440.13%1.03M
-55.66%1.14M
108.05%149.00K
85.05%-106.00K
-153.33%-304.00K
--2.58M
---1.85M
---709.00K
---120.00K
-Änderung bei anderen kurzfristigen Verbindlichkeiten
102.25%20.99M
-74.80%1.39M
50.29%-5.80M
297.78%12.80M
376.57%10.38M
-33.00%5.53M
-63.27%-11.67M
-145.55%-6.47M
76.40%-3.75M
-61.23%8.25M
-589.10%-7.15M
55.65%14.21M
-642.71%-15.90M
72.31%21.28M
80.03%-1.04M
494.14%9.13M
-84.91%2.93M
398.04%12.35M
-205.27%-5.19M
122.69%1.54M
75.98%19.41M
-135.46%-4.14M
83.28%4.93M
-1388.79%-6.77M
1074.55%11.03M
-2.19%11.68M
197.15%2.69M
-109.56%-455.00K
-84.59%939.00K
-22.87%11.95M
61.50%-2.77M
685.64%4.76M
-52.84%6.09M
266.53%15.49M
-80.48%-7.19M
-53.81%606.00K
374.61%12.92M
--4.22M
---3.99M
--1.31M
--2.72M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
6.25%22.44M
380.55%12.75M
250.34%14.71M
373.28%23.03M
1808.90%21.12M
-72.25%2.65M
-745.32%-9.78M
-84.56%4.87M
88.17%-1.24M
-66.96%9.56M
-91.52%1.52M
258.68%31.52M
-164.64%-10.45M
59.57%28.93M
162.93%17.88M
-51.06%8.79M
-22.90%16.17M
357.99%18.13M
-66.44%6.80M
249.21%17.96M
-10.71%20.97M
-84.59%3.96M
129.44%20.26M
100.98%5.14M
93.09%23.49M
223.02%25.70M
51.24%8.83M
-77.48%2.56M
92.96%12.16M
-65.63%7.96M
559.04%5.84M
45.79%11.36M
-28.44%6.30M
47.91%23.15M
52.89%-1.27M
-45.92%7.79M
-25.17%8.81M
--15.65M
---2.70M
--14.41M
--11.77M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-37.32%1.11M
193.97%1.06M
-55.78%1.41M
-35.17%1.03M
0.34%1.77M
-163.74%-1.13M
25.26%3.19M
-31.63%1.59M
-94.50%1.77M
6.96%1.77M
74.83%2.55M
101.29%2.33M
2312.90%32.16M
-19.17%1.65M
-10.50%1.46M
-54.46%1.16M
-45.64%1.33M
2.15%2.04M
-10.00%1.63M
6.84%2.54M
25.04%2.45M
-49.94%2.00M
13.48%1.81M
100.67%2.38M
-6.13%1.96M
147.92%4.00M
28.63%1.59M
-52.04%1.19M
11.00%2.09M
21.01%1.61M
-51.58%1.24M
-14.09%2.48M
-28.41%1.88M
-56.38%1.33M
-27.20%2.56M
-32.16%2.88M
-10.97%2.63M
--3.06M
--3.52M
--4.25M
--2.95M
Investitionsausgaben
-37.32%1.11M
13.14%1.06M
-55.78%1.41M
-35.17%1.03M
0.34%1.77M
-47.06%936.00K
25.26%3.19M
-31.63%1.59M
-94.50%1.77M
6.96%1.77M
74.83%2.55M
101.29%2.33M
2312.90%32.16M
-19.17%1.65M
-10.50%1.46M
-54.46%1.16M
-45.64%1.33M
2.15%2.04M
-10.00%1.63M
6.84%2.54M
25.04%2.45M
-49.94%2.00M
13.48%1.81M
100.67%2.38M
-6.13%1.96M
147.92%4.00M
28.63%1.59M
-52.04%1.19M
11.00%2.09M
21.01%1.61M
-51.58%1.24M
-14.09%2.48M
-28.41%1.88M
-56.38%1.33M
-27.20%2.56M
-32.16%2.88M
-10.97%2.63M
--3.06M
--3.52M
--4.25M
--2.95M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
-37.32%1.11M
13.14%1.06M
24.96%1.41M
-35.17%1.03M
0.34%1.77M
-47.06%936.00K
-55.67%1.13M
-31.63%1.59M
-18.30%1.77M
6.96%1.77M
74.83%2.55M
101.29%2.33M
62.34%2.16M
-19.17%1.65M
-10.50%1.46M
-54.46%1.16M
-45.64%1.33M
2.15%2.04M
-10.00%1.63M
6.84%2.54M
25.04%2.45M
-49.94%2.00M
13.48%1.81M
100.67%2.38M
-6.13%1.96M
147.92%4.00M
28.63%1.59M
-52.04%1.19M
11.00%2.09M
21.01%1.61M
-51.58%1.24M
-14.09%2.48M
-28.41%1.88M
-56.38%1.33M
-27.20%2.56M
-32.16%2.88M
-10.97%2.63M
--3.06M
--3.52M
--4.25M
--2.95M
Netto-Cashflow aus Transaktionen mit immateriellen Vermögenswerten
----
----
----
----
----
---2.06M
--2.06M
--0.00
-100.00%0.00
--0.00
--0.00
--0.00
--30.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
----
----
--0.00
----
----
----
Netto-Cashflow aus Geschäftstransaktionen
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
-100.00%0.00
100.00%0.00
--0.00
--0.00
--43.00K
---12.28M
--0.00
--0.00
--0.00
100.00%0.00
--0.00
--0.00
--0.00
---8.27M
----
----
----
----
--0.00
----
----
----
Netto-Cashflow aus Anlageprodukten
58.89%-5.92M
-161.21%-28.43M
-34.66%15.27M
-139.46%-6.76M
-228.81%-14.40M
522.32%46.45M
16836.96%23.37M
133.13%17.14M
-58.46%11.18M
-55.15%7.46M
100.86%138.00K
-435.97%-51.75M
1121.45%26.91M
403.95%16.64M
-386.69%-16.01M
514.92%15.40M
-32.83%-2.63M
-618.47%-5.47M
172.78%5.58M
73.57%-3.71M
79.65%-1.98M
103.23%1.06M
52.16%-7.67M
-44.01%-14.04M
46.43%-9.74M
-1443.18%-32.70M
-909.13%-16.04M
-36.81%-9.75M
39.42%-18.19M
-107.43%-2.12M
-107.78%-1.59M
27.23%-7.13M
-2157.14%-30.02M
228.28%28.51M
-9.83%20.44M
47.10%-9.80M
77.09%-1.33M
--8.68M
--22.66M
---18.52M
---5.81M
Netto-Cashflow aus anderen Investitionstätigkeiten
536.00%109.00K
472.73%41.00K
58.62%46.00K
1800.00%19.00K
-153.19%-25.00K
84.51%-11.00K
-57.97%29.00K
-98.91%1.00K
185.45%47.00K
-1114.29%-71.00K
527.27%69.00K
936.36%92.00K
-230.95%-55.00K
108.33%7.00K
173.33%11.00K
-22.22%-11.00K
2200.00%42.00K
-1100.00%-84.00K
-120.55%-15.00K
72.73%-9.00K
93.10%-2.00K
-450.00%-7.00K
--73.00K
-125.19%-33.00K
68.13%-29.00K
111.11%2.00K
100.00%0.00
522.58%131.00K
-293.62%-91.00K
66.04%-18.00K
-33.33%-4.00K
-93.75%-31.00K
147.37%47.00K
-231.25%-53.00K
90.91%-3.00K
---16.00K
137.25%19.00K
---16.00K
---33.00K
--0.00
---51.00K
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
57.26%-6.92M
-161.92%-29.45M
-31.19%13.91M
-150.04%-7.78M
-271.29%-16.20M
745.62%47.57M
962.89%20.21M
128.80%15.55M
277.93%9.46M
-62.49%5.63M
86.58%-2.34M
-479.34%-53.99M
-35.39%-5.31M
297.20%14.99M
-543.08%-17.45M
327.13%14.23M
11.54%-3.92M
-697.90%-7.60M
141.87%3.94M
61.83%-6.27M
81.52%-4.44M
97.40%-953.00K
46.64%-9.41M
-51.88%-16.42M
-17.92%-24.02M
-878.59%-36.70M
-522.31%-17.63M
-12.18%-10.81M
49.24%-20.37M
-113.83%-3.75M
-115.85%-2.83M
24.10%-9.63M
-918.38%-40.12M
383.29%27.12M
-6.49%17.87M
44.25%-12.69M
55.28%-3.94M
--5.61M
--19.11M
---22.77M
---8.81M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
100.48%4.00K
100.00%0.00
100.00%0.00
84.36%-3.07M
93.30%-839.00K
-5.53%-12.10M
-249.73%-20.65M
-214.40%-19.65M
43.76%-12.52M
21.56%-11.47M
-442.86%-5.90M
1921.74%17.18M
20.59%-22.26M
-249.28%-14.62M
115.71%1.72M
70.99%-943.00K
-64.15%-28.04M
-89.41%-4.19M
-115.32%-10.96M
52.86%-3.25M
-322.25%-17.08M
34.25%-2.21M
-176.11%-5.09M
-186.86%-6.90M
55.19%7.69M
-144.80%-3.36M
1426.94%6.69M
546.50%7.94M
278.02%4.95M
179.07%7.50M
32.73%438.00K
124.53%1.23M
119.32%1.31M
-14.70%-9.49M
101.39%330.00K
-187.47%-5.01M
60.78%-6.78M
---8.27M
---23.68M
--5.72M
---17.29M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
100.00%0.00
100.00%0.00
100.00%0.00
100.00%0.00
93.42%-839.00K
17.87%-10.10M
-227.49%-20.65M
-9.31%-19.74M
44.18%-12.74M
29.50%-12.30M
-3133.33%-6.30M
-289.39%-18.06M
24.39%-22.83M
-203.46%-17.45M
98.77%-195.00K
7.24%-4.64M
-61.71%-30.19M
-2.40%-5.75M
-79.92%-15.91M
50.02%-5.00M
-38793.75%-18.67M
-31.35%-5.62M
---8.84M
---10.01M
---48.00K
---4.28M
100.00%0.00
----
----
100.00%0.00
---413.00K
100.00%0.00
100.00%0.00
-22.40%-10.27M
100.00%0.00
---4.93M
65.63%-6.78M
---8.39M
---24.78M
--0.00
---19.73M
Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
----
----
----
----
----
--0.00
--0.00
----
----
--0.00
--0.00
--35.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Erlöse aus dem Ausüben von Aktienoptionen durch Mitarbeiter
--4.00K
-100.00%0.00
--0.00
-96.59%3.00K
-100.00%0.00
-92.43%63.00K
-100.00%0.00
-63.18%88.00K
-60.85%220.00K
-70.58%832.00K
-79.08%401.00K
-93.53%239.00K
-73.88%562.00K
-21.84%2.83M
-61.25%1.92M
111.26%3.69M
35.43%2.15M
6.26%3.62M
31.88%4.95M
-43.74%1.75M
-79.45%1.59M
53.10%3.41M
-43.91%3.75M
-60.84%3.11M
56.16%7.73M
-70.35%2.22M
685.90%6.69M
546.50%7.94M
278.02%4.95M
498.72%7.50M
157.88%851.00K
--1.23M
--1.31M
616.00%1.25M
-61.98%330.00K
-100.00%0.00
-100.00%0.00
--175.00K
--868.00K
--5.49M
--2.21M
Netto-Cashflow aus anderen Finanzierungsaktivitäten
----
100.00%0.00
--0.00
---3.08M
----
---2.06M
----
----
----
----
----
----
----
----
----
----
----
---2.05M
----
----
----
100.00%0.00
----
----
----
---1.31M
----
----
----
100.00%0.00
--0.00
100.00%0.00
----
-715.52%-473.00K
-100.00%0.00
-132.17%-74.00K
-100.00%0.00
---58.00K
--230.00K
--230.00K
--230.00K
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
100.48%4.00K
100.00%0.00
100.00%0.00
84.36%-3.07M
93.30%-839.00K
-5.53%-12.10M
-249.73%-20.65M
-214.40%-19.65M
43.76%-12.52M
21.56%-11.47M
-442.86%-5.90M
1921.74%17.18M
20.59%-22.26M
-249.28%-14.62M
115.71%1.72M
70.99%-943.00K
-64.15%-28.04M
-89.41%-4.19M
-115.32%-10.96M
52.86%-3.25M
-322.25%-17.08M
34.25%-2.21M
-176.11%-5.09M
-186.86%-6.90M
55.19%7.69M
-144.80%-3.36M
1426.94%6.69M
546.50%7.94M
278.02%4.95M
179.07%7.50M
32.73%438.00K
124.53%1.23M
119.32%1.31M
-14.70%-9.49M
101.39%330.00K
-187.47%-5.01M
60.78%-6.78M
---8.27M
---23.68M
--5.72M
---17.29M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
39.94%98.71M
255.98%115.42M
103.55%86.80M
78.18%74.63M
52.73%70.54M
-23.66%32.42M
-13.32%42.64M
-23.13%41.88M
-50.08%46.19M
-32.81%42.47M
-19.42%49.20M
39.78%54.48M
68.91%92.51M
30.51%63.20M
25.50%61.06M
-3.05%38.98M
34.40%54.77M
21.21%48.43M
42.29%48.65M
-23.21%40.21M
-9.85%40.75M
-32.92%39.95M
-44.56%34.19M
-15.53%52.36M
-30.71%45.20M
11.27%59.56M
23.14%61.68M
31.53%61.99M
-18.08%65.24M
37.76%53.53M
128.41%50.09M
48.05%47.13M
136.01%79.64M
87.22%38.86M
-21.75%21.93M
3.85%31.83M
-24.98%33.74M
--20.75M
--28.02M
--30.65M
--44.98M
Änderungen des Cashflows im aktuellen Zeitraum
279.77%15.53M
-143.82%-16.70M
379.93%28.61M
1497.90%12.18M
195.00%4.09M
925.73%38.12M
-51.89%-10.22M
114.42%762.00K
88.69%-4.30M
-87.32%3.72M
-413.31%-6.73M
-123.93%-5.28M
-140.82%-38.03M
362.13%29.31M
1071.95%2.15M
161.49%22.08M
-2802.94%-15.79M
696.73%6.34M
-103.83%-221.00K
146.47%8.44M
-107.60%-544.00K
105.54%796.00K
373.05%5.76M
-5742.44%-18.17M
320.25%7.16M
-222.68%-14.36M
-161.30%-2.11M
-110.52%-311.00K
90.00%-3.25M
-71.29%11.71M
-79.66%3.44M
129.85%2.96M
-1601.20%-32.51M
213.97%40.78M
332.91%16.93M
-276.62%-9.90M
86.66%-1.91M
--12.99M
---7.27M
---2.63M
---14.32M
Endbestand an Zahlungsmitteln
53.08%114.24M
39.94%98.71M
255.98%115.42M
103.55%86.80M
78.18%74.63M
52.73%70.54M
-23.66%32.42M
-13.32%42.64M
-23.13%41.88M
-50.08%46.19M
-32.81%42.47M
-19.42%49.20M
39.78%54.48M
68.91%92.51M
30.51%63.20M
25.50%61.06M
-3.05%38.98M
34.40%54.77M
21.21%48.43M
42.29%48.65M
-23.21%40.21M
-9.85%40.75M
-32.92%39.95M
-44.56%34.19M
-15.53%52.36M
-30.71%45.20M
11.27%59.56M
23.14%61.68M
31.53%61.99M
-18.08%65.24M
37.76%53.53M
128.41%50.09M
48.05%47.13M
136.01%79.64M
87.22%38.86M
-21.75%21.93M
3.85%31.83M
--33.74M
--20.75M
--28.02M
--30.65M
Freier Cashflow
10.24%21.33M
580.84%11.69M
202.47%13.30M
572.45%22.00M
744.07%19.35M
-77.96%1.72M
-1156.15%-12.98M
-88.79%3.27M
92.95%-3.00M
-71.44%7.79M
-106.29%-1.03M
282.58%29.19M
-387.23%-42.62M
69.58%27.28M
217.56%16.42M
-50.50%7.63M
-19.89%14.84M
722.02%16.09M
-71.98%5.17M
458.31%15.41M
-13.96%18.52M
-90.98%1.96M
155.00%18.45M
101.24%2.76M
113.67%21.53M
242.12%21.70M
57.34%7.24M
-84.57%1.37M
127.84%10.07M
-70.93%6.34M
219.98%4.60M
80.89%8.89M
-28.45%4.42M
73.22%21.81M
38.36%-3.83M
-51.67%4.91M
-29.92%6.18M
--12.59M
---6.22M
--10.17M
--8.82M
Währungseinheit
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