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Sachem Capital Corp

SACH

1.174USD

+0.014+1.22%
Trading geöffnet ETKurse um 15 Minuten verzögert
55.55MMarktkapitalisierung
VerlustKGV TTM
Vierteljährlich
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FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-95.47%191.00K
-121.30%-620.00K
-66.02%2.33M
-1.60%6.96M
-15.83%4.22M
291.93%2.91M
35.19%6.86M
3263.64%7.08M
-33.70%5.01M
-93.06%742.69K
-54.85%5.07M
-106.68%-223.66K
170.88%7.56M
378.26%10.71M
229.21%11.24M
48.87%3.35M
61.46%2.79M
178.93%2.24M
-4.79%3.41M
-12.24%2.25M
48.14%1.73M
-67.25%802.48K
330.70%3.59M
57.18%2.56M
-10.52%1.17M
18.10%2.45M
-25.06%832.51K
23.53%1.63M
283.86%1.30M
61.97%2.08M
40.55%1.11M
41.80%1.32M
-51.18%339.48K
83.09%1.28M
4.44%790.37K
--930.41K
--695.32K
--699.72K
--756.76K
Nettoergebnis aus fortgeführten Aktivitäten
-80.64%904.00K
-3157.45%-36.13M
-181.60%-5.05M
-153.62%-3.06M
-8.79%4.67M
-117.68%-1.11M
22.49%6.19M
9.00%5.70M
17.67%5.12M
46.44%6.28M
17.01%5.05M
106.55%5.23M
99.32%4.35M
82.38%4.29M
101.93%4.32M
11.66%2.53M
-2.48%2.18M
149.58%2.35M
4.07%2.14M
98.27%2.27M
8.87%2.24M
-42.49%941.58K
5.29%2.06M
-48.28%1.14M
4.24%2.06M
-3.10%1.64M
48.10%1.95M
131.03%2.21M
119.97%1.97M
105.15%1.69M
95.33%1.32M
10.05%956.65K
31.29%896.78K
24.32%823.58K
-13.24%674.70K
--869.28K
--683.07K
--662.46K
--777.66K
Betriebsergebnisse und -verluste
-2.31%92.00K
-33.32%186.00K
58.54%412.00K
-64.34%171.83K
134.66%94.17K
80.78%278.93K
19.73%259.87K
34.89%481.87K
-85.81%40.13K
-43.33%154.29K
27.36%217.06K
13.31%357.24K
533.92%282.74K
-13.72%272.24K
1010.45%170.42K
21.40%315.26K
-83.25%44.60K
-27.69%315.55K
-17.57%15.35K
1329.69%259.69K
3449.02%266.28K
447.38%436.37K
172.45%18.62K
211.35%18.16K
-1.72%7.50K
1083.84%79.72K
-21.75%6.83K
-24.57%5.83K
48.06%7.63K
106.96%6.73K
-90.97%8.73K
--7.73K
--5.16K
---96.70K
--96.70K
----
--0.00
----
----
Andere nicht monetäre Posten
-17.71%1.59M
109.33%14.44M
810.36%8.68M
1180.48%9.21M
175.86%1.94M
1470.39%6.90M
71.46%953.58K
12.45%719.04K
49.54%701.73K
-30.67%439.27K
65.25%556.15K
69251.84%639.42K
48.07%469.25K
159.19%633.63K
176.80%336.55K
-99.23%922.00
171.41%316.91K
-56.56%244.46K
85.49%121.58K
101.10%119.15K
148.03%116.76K
1095.32%562.71K
40.81%65.55K
103.91%59.25K
223.37%47.08K
-18.37%47.08K
219.72%46.55K
205.00%29.06K
-0.01%14.56K
398.89%57.67K
25.95%14.56K
-339.39%-27.67K
12.03%14.56K
71.79%11.56K
71.79%11.56K
--11.56K
--13.00K
--6.73K
--6.73K
Veränderung des Umlaufvermögens
-9.38%-2.79M
58.57%-1.20M
-79.98%-2.12M
304.65%988.07K
-2328.11%-2.55M
49.04%-2.90M
34.79%-1.18M
93.85%-482.82K
-89.34%114.36K
-209.71%-5.70M
-127.79%-1.81M
-1633.94%-7.86M
886.19%1.07M
2866.32%5.19M
486.89%6.51M
224.88%512.14K
123.81%108.76K
76.07%-187.72K
-23.77%1.11M
-145.68%-410.10K
51.49%-456.76K
-223.85%-784.54K
234.46%1.46M
245.92%897.71K
-36.14%-941.67K
97.29%633.44K
-404.84%-1.08M
-280.74%-615.23K
-25.64%-691.70K
-29.38%321.07K
-2989.93%-214.38K
586.74%340.40K
-73500.80%-550.53K
1389.62%454.68K
126.84%7.42K
--49.57K
---748.00
--30.52K
---27.64K
-Änderung der Forderungen
44.50%-482.00K
326.92%2.44M
217.06%1.41M
133.55%735.40K
47.02%-868.40K
71.26%-1.08M
-25.48%-1.21M
1.17%-2.19M
-82.35%-1.64M
-318.75%-3.74M
54.40%-961.94K
-707.05%-2.22M
0.98%-898.91K
43.02%-893.92K
-686.87%-2.11M
87.72%365.35K
4.79%-907.83K
-15.66%-1.57M
-71.15%359.42K
-81.84%194.62K
-33.13%-953.49K
-464.32%-1.36M
241.38%1.25M
273.45%1.07M
-682.55%-716.20K
85.18%372.31K
-281.66%-881.13K
-255.94%-617.87K
926.01%122.94K
4133.93%201.05K
-64.29%-230.87K
-89.81%-173.59K
69.53%-14.88K
92.96%-4.98K
-87.30%-140.53K
---91.45K
---48.85K
---70.84K
---75.03K
-Änderung bei den Vorauszahlungen
----
----
----
----
----
-90.47%-293.02K
-45.43%28.75K
160.76%153.66K
----
17.06%-153.84K
-22.42%52.69K
198.28%58.93K
141.32%42.22K
-622.43%-185.48K
301.89%67.92K
149.53%19.76K
-1094.33%-102.17K
185.46%35.50K
-230.86%-33.64K
-277.28%-39.89K
87.87%-8.55K
-2.43%12.44K
33.57%25.71K
259.71%22.50K
-149.57%-70.51K
-62.31%12.75K
-43.54%19.25K
64.93%-14.09K
12.42%-28.25K
--33.82K
--34.09K
---40.17K
---32.26K
----
----
----
--0.00
----
----
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
-472.45%-1.61M
337.17%784.00K
-533.17%-221.00K
-39.86%45.19K
4028.71%432.81K
-74.84%179.33K
-86.49%51.02K
122.46%75.14K
-2.21%10.48K
130.65%712.90K
406.98%377.70K
-51.67%-334.61K
-93.45%10.72K
305.40%309.08K
-155.74%-123.04K
-604.84%-220.62K
1911.57%163.66K
-261.84%-150.48K
243.52%220.74K
-76.00%43.70K
104.33%8.14K
--92.98K
---153.81K
--182.11K
---187.82K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-Änderung bei anderen kurzfristigen Vermögenswerten
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
----
-100.00%0.00
-100.00%0.00
890.14%172.21K
-223.36%-172.21K
125.07%35.00K
246.35%36.68K
-70.05%-21.80K
--139.60K
-179.62%-139.60K
60.92%-25.06K
88.47%-12.82K
--0.00
-70.59%175.33K
89.24%-64.14K
---111.19K
----
--596.07K
---596.07K
----
----
----
--0.00
----
----
-Änderung bei anderen kurzfristigen Verbindlichkeiten
67.19%-693.00K
-143.50%-4.43M
-5449.19%-3.31M
-85.25%207.48K
-221.19%-2.11M
-15.78%-1.82M
103.98%61.97K
125.38%1.41M
-2.98%1.74M
-127.09%-1.57M
-117.90%-1.56M
-1782.68%-5.54M
87.45%1.80M
313.84%5.80M
1221.95%8.69M
151.19%329.35K
108.14%958.44K
110.78%1.40M
237.89%657.61K
-193.10%-643.41K
1098.43%460.48K
1919.22%664.75K
176.02%194.62K
-1.24%-219.51K
108.54%38.42K
155.16%32.92K
-402.90%-256.03K
-205.42%-216.84K
-113.27%-449.73K
-122.75%-59.68K
-42.99%84.53K
39.82%205.68K
-473.71%-210.88K
166.35%262.31K
297.39%148.27K
--147.10K
--56.43K
--98.49K
--37.31K
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-95.47%191.00K
-121.30%-620.00K
-66.02%2.33M
-1.60%6.96M
-15.83%4.22M
291.93%2.91M
35.19%6.86M
3263.64%7.08M
-33.70%5.01M
-93.06%742.69K
-54.85%5.07M
-106.68%-223.66K
170.88%7.56M
378.26%10.71M
229.21%11.24M
48.87%3.35M
61.46%2.79M
178.93%2.24M
-4.79%3.41M
-12.24%2.25M
48.14%1.73M
-67.25%802.48K
330.70%3.59M
57.18%2.56M
-10.52%1.17M
18.10%2.45M
-25.06%832.51K
23.53%1.63M
283.86%1.30M
61.97%2.08M
40.55%1.11M
41.80%1.32M
-51.18%339.48K
83.09%1.28M
4.44%790.37K
--930.41K
--695.32K
--699.72K
--756.76K
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
182.66%41.00K
2975.54%103.00K
95.81%-52.00K
-0.94%11.49K
-97.96%14.51K
-98.84%3.35K
-360.31%-1.24M
-98.57%11.60K
19333.65%710.88K
6274.04%289.19K
1053.97%476.82K
9.60%811.68K
-89.80%3.66K
-85.12%4.54K
-25.95%41.32K
2157.23%740.60K
20.53%35.87K
-32.62%30.49K
78.04%55.80K
40.58%32.81K
-79.03%29.76K
-93.53%45.25K
-90.54%31.34K
1274.58%23.34K
7042.63%141.92K
125.67%699.23K
1893.42%331.39K
-114.42%-1.99K
-98.06%1.99K
-785.24%-2.72M
--16.62K
--13.78K
--102.33K
--397.45K
----
----
--0.00
----
----
Investitionsausgaben
182.66%41.00K
3250.83%613.00K
----
-87.03%11.49K
-98.22%14.51K
-94.18%18.29K
-93.82%34.50K
-89.08%88.61K
349.75%814.02K
-65.62%314.46K
531.24%558.07K
-6.34%811.68K
-7.76%180.99K
254.32%914.75K
-85.57%88.41K
26.87%866.58K
-51.79%196.23K
-70.29%258.17K
364.21%612.56K
2826.66%683.05K
-19.35%407.05K
-23.50%868.98K
-64.81%131.96K
-53.48%23.34K
3786.19%504.70K
668.26%1.14M
-0.94%375.02K
-12.53%50.17K
-89.25%12.99K
-79.48%147.86K
18023.12%378.59K
-87.93%57.35K
40.89%120.81K
--720.51K
--2.09K
--475.12K
--85.75K
--0.00
--0.00
Netto-Cashflow aus der Veräußerung von Anlagevermögen
182.66%41.00K
2975.54%103.00K
95.81%-52.00K
-0.94%11.49K
-97.96%14.51K
-98.84%3.35K
-360.31%-1.24M
-98.57%11.60K
19333.65%710.88K
6274.04%289.19K
1053.97%476.82K
9.60%811.68K
-89.80%3.66K
-85.12%4.54K
-25.95%41.32K
2157.23%740.60K
20.53%35.87K
-32.62%30.49K
78.04%55.80K
40.58%32.81K
-79.03%29.76K
-93.53%45.25K
-90.54%31.34K
1274.58%23.34K
7042.63%141.92K
125.67%699.23K
1893.42%331.39K
-114.42%-1.99K
-98.06%1.99K
-785.24%-2.72M
--16.62K
--13.78K
--102.33K
--397.45K
----
----
--0.00
----
----
Netto-Cashflow aus Anlageprodukten
-769.08%-4.13M
-460321.15%-19.24M
305.14%605.00K
2007.04%38.08M
95.14%-475.68K
-100.04%-4.18K
72.81%-294.92K
-606.14%-2.00M
-139.74%-9.78M
344.54%11.51M
90.09%-1.08M
105.06%394.47K
2217.40%24.61M
49.56%-4.71M
11.17%-10.95M
-1591.99%-7.79M
46.55%1.06M
42.03%-9.33M
-374293.17%-12.33M
226.10%522.35K
404.45%724.49K
-2277.69%-16.10M
-100.52%-3.29K
419.30%160.18K
-2063.35%-237.97K
135.07%739.29K
705.36%628.90K
-15.13%-50.17K
-115.35%-11.00K
-1205.95%-2.11M
-75.19%78.09K
82.29%-43.57K
183.55%71.64K
--190.60K
--314.74K
---245.97K
---85.75K
--0.00
--0.00
Netto-Cashflow aus anderen Investitionstätigkeiten
-28.81%5.69M
2146.77%36.54M
1861.20%23.24M
51.51%-14.12M
142.14%8.00M
84.12%-1.79M
104.53%1.18M
58.11%-29.12M
69.24%-18.97M
84.46%-11.24M
44.63%-26.17M
-331.26%-69.50M
-4820.67%-61.69M
-125.44%-72.37M
-255.84%-47.27M
-45522.20%-16.12M
92.59%-1.25M
-349.01%-32.10M
-94.53%-13.28M
101.15%35.48K
-289.30%-16.92M
-803.08%-7.15M
-9.45%-6.83M
46.75%-3.07M
-0.78%-4.35M
92.48%-791.61K
-35.02%-6.24M
29.48%-5.77M
30.29%-4.31M
-224.39%-10.53M
-910.16%-4.62M
-540.80%-8.18M
-256.01%-6.18M
8.08%-3.25M
88.98%-457.44K
---1.28M
---1.74M
---3.53M
---4.15M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
33.06%5.75M
826.29%35.65M
790.92%16.73M
174.40%23.21M
112.72%4.32M
40.94%-4.91M
92.10%-2.42M
56.74%-31.20M
29.91%-33.96M
89.78%-8.31M
47.34%-30.66M
-192.59%-72.12M
-2238.96%-48.44M
-96.15%-81.33M
-126.85%-58.22M
-4795.20%-24.65M
87.23%-2.07M
-78.00%-41.46M
-273.94%-25.66M
117.89%525.02K
-243.30%-16.22M
-2999.45%-23.29M
-15.52%-6.86M
49.54%-2.94M
-9.27%-4.73M
92.42%-751.54K
-30.31%-5.94M
29.39%-5.82M
30.42%-4.32M
-187.13%-9.92M
-3095.10%-4.56M
-441.06%-8.24M
-240.95%-6.22M
2.22%-3.45M
96.56%-142.70K
---1.52M
---1.82M
---3.53M
---4.15M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
115.07%410.00K
-103.66%-22.84M
-480.41%-23.75M
-300.87%-38.01M
-110.64%-2.72M
-168.17%-11.22M
-80.44%6.24M
-56.61%18.92M
-55.00%25.57M
-104.48%-4.18M
698.46%31.92M
-33.09%43.62M
3291.13%56.81M
75.26%93.32M
-82.61%4.00M
26111.66%65.18M
34.58%-1.78M
75.57%53.25M
105.48%22.99M
-89.64%248.68K
-160.89%-2.72M
1555.25%30.33M
225.99%11.19M
-58.95%2.40M
69.97%4.47M
-126.79%-2.08M
32.14%3.43M
-21.33%5.85M
-53.62%2.63M
1601.07%7.78M
124.56%2.60M
753.46%7.43M
1062.39%5.67M
-87.33%457.24K
-53.11%1.16M
--870.82K
--487.81K
--3.61M
--2.47M
Netto-Cashflow aus Schuldenemission/Rückzahlung
4951.40%7.81M
-79.51%-19.81M
-412.66%-19.03M
-236.97%-33.78M
-100.72%-161.07K
-1996.47%-11.04M
-74.75%6.09M
-44.48%24.67M
-53.05%22.51M
-100.71%-526.38K
670.49%24.11M
627.14%44.42M
7280.69%47.95M
29.05%74.44M
-115.99%-4.23M
2356.66%6.11M
-7279.01%-667.80K
68.65%57.69M
1797.61%26.43M
103.31%248.68K
-100.18%-9.05K
83477.77%34.20M
-130.44%-1.56M
-193.84%-7.50M
20.06%5.17M
99.33%-41.02K
36.05%5.12M
-0.17%8.00M
208.63%4.31M
-1379.01%-6.08M
200.78%3.76M
252.14%8.01M
-296.38%-3.96M
-127.40%-411.06K
8.70%1.25M
--2.27M
---1.00M
--1.50M
--1.15M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
----
-102.27%-116.00K
-124.34%-1.37M
----
-77.67%2.05M
94.08%5.12M
-63.42%5.64M
-91.04%509.42K
-40.95%9.18M
-89.52%2.64M
92.67%15.42M
-73.36%5.68M
906.20%15.55M
--25.18M
--8.01M
--21.33M
--1.55M
----
----
----
----
---191.20K
--15.28M
--15.46M
----
-100.00%0.00
--0.00
--0.00
-100.00%0.00
--17.25M
--0.00
--0.00
--13.00M
----
----
----
--0.00
----
----
Netto-Cashflow aus Ausgabe/Rückerwerb von Vorzugsaktien
----
-17.89%549.00K
11.81%1.54M
441.66%2.06M
1038.35%1.56M
1055.15%668.61K
--1.38M
--380.28K
--136.71K
---70.00K
-100.00%0.00
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----
--0.00
--4.85M
--40.61M
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Barausschüttungen
-43.56%3.48M
-41.93%3.47M
-28.71%4.89M
-5.17%6.29M
-1.61%6.17M
-4.10%5.97M
11.11%6.86M
26.35%6.63M
29.23%6.27M
41.09%6.22M
44.67%6.18M
88.33%5.25M
82.65%4.85M
66.14%4.41M
60.84%4.27M
--2.79M
0.03%2.65M
0.03%2.65M
13.01%2.65M
-100.00%0.00
1.12%2.65M
43.28%2.65M
38.30%2.35M
26.94%2.05M
62.15%2.62M
14.44%1.85M
45.65%1.70M
191.56%1.62M
--1.62M
--1.62M
--1.17M
--555.16K
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Erlöse aus der Ausgabe von Optionsscheinen
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--82.03K
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Netto-Cashflow aus anderen Finanzierungsaktivitäten
---3.92M
--3.65M
----
----
----
----
100.00%0.00
100.00%0.00
----
100.00%0.00
-296.05%-1.44M
-1353.48%-1.24M
-67263.88%-1.84M
-6.04%-1.89M
54.35%-362.44K
---85.48K
95.32%-2.73K
-60.07%-1.78M
-333.35%-793.91K
100.00%0.00
-103.03%-58.35K
-484.22%-1.11M
-1345.26%-183.20K
-557.46%-3.50M
3445.30%1.92M
89.25%-190.60K
370.03%14.71K
-2113.21%-532.45K
98.29%-57.53K
-304.29%-1.77M
103.35%3.13K
98.29%-24.06K
-326.24%-3.37M
-58.83%868.30K
-107.10%-93.50K
---1.40M
--1.49M
--2.11M
--1.32M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
115.07%410.00K
-103.66%-22.84M
-480.41%-23.75M
-300.87%-38.01M
-110.64%-2.72M
-168.17%-11.22M
-80.44%6.24M
-56.61%18.92M
-55.00%25.57M
-104.48%-4.18M
698.46%31.92M
-33.09%43.62M
3291.13%56.81M
75.26%93.32M
-82.61%4.00M
26111.66%65.18M
34.58%-1.78M
75.57%53.25M
105.48%22.99M
-89.64%248.68K
-160.89%-2.72M
1555.25%30.33M
225.99%11.19M
-58.95%2.40M
69.97%4.47M
-126.79%-2.08M
32.14%3.43M
-21.33%5.85M
-53.62%2.63M
1601.07%7.78M
124.56%2.60M
753.46%7.43M
1062.39%5.67M
-87.33%457.24K
-53.11%1.16M
--870.82K
--487.81K
--3.61M
--2.47M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
43.40%18.07M
-77.22%5.88M
-30.09%10.58M
-9.44%18.41M
-46.87%12.60M
-27.22%25.81M
-48.06%15.13M
-64.86%20.33M
-43.46%23.71M
84.30%35.46M
-53.19%29.13M
215.41%57.86M
116.09%41.94M
257.39%19.24M
1238.77%62.23M
1028.25%18.35M
3.00%19.41M
-51.08%5.38M
50.14%4.65M
52.05%1.63M
11760.79%18.84M
1923.33%11.00M
39.38%3.10M
90.11%1.07M
-83.35%158.86K
-46.50%543.90K
18.91%2.22M
-58.51%562.51K
-38.90%954.22K
-68.98%1.02M
26.85%1.87M
13.54%1.36M
-14.84%1.56M
210.06%3.28M
-25.87%1.47M
--1.19M
--1.83M
--1.06M
--1.99M
Änderungen des Cashflows im aktuellen Zeitraum
9.16%6.35M
192.21%12.19M
-143.96%-4.70M
-50.59%-7.84M
272.02%5.82M
-12.45%-13.21M
68.67%10.68M
81.89%-5.20M
-121.23%-3.38M
-151.78%-11.75M
114.74%6.33M
-165.48%-28.73M
1598.96%15.92M
61.84%22.70M
-5939.36%-42.98M
1352.05%43.88M
93.83%-1.06M
78.95%14.02M
-90.69%736.10K
49.13%3.02M
-1990.75%-17.22M
2135.35%7.84M
571.54%7.91M
22.17%2.03M
332.45%910.53K
-517.40%-385.04K
-96.99%-1.68M
223.88%1.66M
-90.19%-391.71K
96.36%-62.37K
-147.19%-851.46K
83.95%512.14K
67.81%-205.96K
-320.64%-1.71M
294.09%1.80M
--278.42K
---639.90K
--777.26K
---929.58K
Endbestand an Zahlungsmitteln
32.59%24.41M
43.40%18.07M
-77.22%5.88M
-30.09%10.58M
-9.44%18.41M
-46.87%12.60M
-27.22%25.81M
-48.06%15.13M
-64.86%20.33M
-43.46%23.71M
84.30%35.46M
-53.19%29.13M
215.41%57.86M
116.09%41.94M
257.39%19.24M
1238.77%62.23M
1028.25%18.35M
3.00%19.41M
-51.08%5.38M
50.14%4.65M
52.05%1.63M
11760.79%18.84M
1923.33%11.00M
39.38%3.10M
90.11%1.07M
-83.35%158.86K
-46.50%543.90K
18.91%2.22M
-58.51%562.51K
-38.90%954.22K
-68.98%1.02M
26.85%1.87M
13.54%1.36M
-14.84%1.56M
210.06%3.28M
--1.47M
--1.19M
--1.83M
--1.06M
Freier Cashflow
-96.43%150.00K
-142.63%-1.23M
-65.85%2.33M
-0.52%6.95M
0.16%4.20M
575.47%2.89M
51.13%6.83M
774.86%6.99M
-43.11%4.20M
-95.63%428.23K
-59.50%4.52M
-141.74%-1.04M
184.40%7.37M
394.42%9.79M
298.05%11.15M
58.46%2.48M
96.38%2.59M
3077.69%1.98M
-18.89%2.80M
-38.34%1.57M
99.64%1.32M
-105.06%-66.50K
654.91%3.45M
60.70%2.54M
-48.74%661.36K
-31.79%1.31M
-37.53%457.49K
25.17%1.58M
490.00%1.29M
243.78%1.93M
-7.10%732.29K
177.18%1.26M
-64.13%218.67K
-19.88%560.58K
4.17%788.28K
--455.30K
--609.57K
--699.72K
--756.76K
Währungseinheit
USD
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Prüfungsmeinungen
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