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Snap Inc

SNAP

9.470USD

+0.420+4.64%
Handelsschluss 08/04, 16:00ETKurse um 15 Minuten verzögert
15.97BMarktkapitalisierung
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
FY2016Q2
FY2015Q4
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
10.16%3.21B
-4.73%3.38B
-11.66%3.19B
-16.48%3.08B
-29.06%2.91B
-10.03%3.54B
-18.41%3.61B
-24.28%3.69B
-17.95%4.10B
6.67%3.94B
27.20%4.43B
40.52%4.87B
95.60%5.00B
45.53%3.69B
27.77%3.48B
22.54%3.47B
22.81%2.56B
20.10%2.54B
20.54%2.73B
138.82%2.83B
72.24%2.08B
65.18%2.11B
59.84%2.26B
-24.54%1.18B
-33.64%1.21B
-37.39%1.28B
-38.45%1.41B
-43.88%1.57B
-43.83%1.82B
106.92%2.04B
88.47%2.30B
90.50%2.80B
--3.24B
54.08%987.37M
--1.22B
--1.47B
--640.81M
- Barmittel und Barmitteläquivalente
-14.07%911.23M
-41.22%1.05B
-19.54%964.97M
-13.68%1.06B
-32.82%1.06B
25.11%1.78B
-37.50%1.20B
-46.54%1.23B
-34.57%1.58B
-28.62%1.42B
-2.71%1.92B
12.00%2.30B
149.34%2.41B
265.42%1.99B
139.34%1.97B
63.93%2.05B
7.34%967.52M
4.86%545.62M
13.07%824.07M
272.82%1.25B
266.94%901.34M
34.40%520.32M
108.00%728.83M
-14.61%335.74M
-47.32%245.64M
15.89%387.15M
10.34%350.40M
-21.63%393.18M
-67.32%466.32M
122.53%334.06M
56.08%317.55M
-14.68%501.68M
--1.43B
-76.57%150.12M
--203.45M
--587.97M
--640.81M
-Kurzfristige Anlagen
24.05%2.30B
32.10%2.33B
-7.74%2.23B
-17.88%2.02B
-26.71%1.85B
-29.90%1.76B
-3.82%2.41B
-4.42%2.46B
-2.46%2.52B
48.08%2.52B
66.29%2.51B
81.88%2.57B
62.89%2.59B
-14.70%1.70B
-20.59%1.51B
-10.30%1.42B
34.62%1.59B
25.08%1.99B
24.09%1.90B
85.84%1.58B
22.58%1.18B
78.55%1.59B
43.97%1.53B
-27.85%849.05M
-28.92%963.09M
-47.81%891.91M
-46.28%1.06B
-48.74%1.18B
-25.36%1.36B
104.12%1.71B
94.95%1.98B
160.72%2.30B
--1.82B
--837.25M
--1.02B
--880.60M
--0.00
Forderungen
4.44%1.16B
5.50%1.35B
7.09%1.20B
14.63%1.14B
24.18%1.11B
8.04%1.28B
12.47%1.12B
-1.92%996.08M
-5.22%892.51M
10.69%1.18B
8.67%992.75M
27.41%1.02B
53.68%941.72M
43.61%1.07B
72.41%913.54M
110.30%797.15M
55.50%612.76M
51.22%744.29M
41.64%529.87M
20.91%379.05M
39.53%394.05M
38.66%492.19M
42.87%374.09M
28.06%313.50M
22.04%282.41M
27.01%354.96M
34.29%261.83M
42.73%244.81M
56.70%231.41M
71.82%279.47M
58.71%194.97M
150.76%171.53M
--147.68M
266.97%162.66M
--122.85M
--68.40M
--44.33M
-Forderungen aus Lieferungen und Leistungen
4.44%1.16B
5.50%1.35B
7.09%1.20B
14.63%1.14B
24.18%1.11B
8.04%1.28B
12.47%1.12B
-1.92%996.08M
-5.22%892.51M
10.69%1.18B
8.67%992.75M
27.41%1.02B
53.68%941.72M
43.61%1.07B
72.41%913.54M
110.30%797.15M
55.50%612.76M
51.22%744.29M
41.64%529.87M
20.91%379.05M
39.53%394.05M
38.66%492.19M
42.87%374.09M
28.06%313.50M
22.04%282.41M
27.01%354.96M
34.29%261.83M
42.73%244.81M
56.70%231.41M
71.82%279.47M
58.71%194.97M
150.76%171.53M
--147.68M
266.97%162.66M
--122.85M
--68.40M
--44.33M
Aktive Rechnungsabgrenzungsposten
26.97%212.53M
18.50%182.01M
39.27%200.90M
28.47%198.07M
13.89%167.38M
14.25%153.59M
24.38%144.25M
21.26%154.18M
25.51%146.97M
45.73%134.43M
51.26%115.97M
75.46%127.15M
69.11%117.10M
64.29%92.24M
26.02%76.67M
45.71%72.47M
33.31%69.25M
44.01%56.15M
44.02%60.84M
19.97%49.73M
24.56%51.94M
-6.95%38.99M
-13.59%42.24M
-23.27%41.46M
-28.68%41.70M
-5.38%41.90M
-10.61%48.89M
-30.53%54.03M
-19.88%58.47M
47.81%44.28M
151.97%54.69M
397.14%77.78M
--72.97M
303.26%29.96M
--21.71M
--15.64M
--7.43M
Sonstige kurzfristige Vermögenswerte
--0.00
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Summe der kurzfristigen Vermögenswerte
9.32%4.58B
-1.39%4.91B
-5.86%4.59B
-8.64%4.42B
-18.59%4.19B
-5.34%4.98B
-11.98%4.87B
-19.55%4.84B
-15.13%5.14B
8.30%5.26B
23.83%5.54B
38.70%6.02B
87.11%6.06B
45.42%4.85B
34.87%4.47B
33.10%4.34B
28.12%3.24B
26.25%3.34B
23.86%3.32B
111.61%3.26B
64.91%2.53B
57.76%2.64B
55.18%2.68B
-17.61%1.54B
-27.40%1.53B
-29.19%1.68B
-32.29%1.73B
-38.66%1.87B
-39.04%2.11B
100.58%2.37B
86.80%2.55B
96.24%3.05B
--3.46B
70.38%1.18B
--1.36B
--1.55B
--692.56M
Langfristige Vermögenswerte
Nettoanlagevermögen
9.83%1.03B
9.96%1.02B
36.20%983.36M
42.21%965.59M
42.46%937.48M
44.26%927.19M
15.74%722.00M
4.68%678.98M
2.75%658.08M
22.45%642.73M
29.65%623.79M
35.56%648.64M
43.57%640.47M
17.05%524.90M
8.28%481.13M
10.08%478.50M
1.10%446.09M
-0.15%448.44M
3.99%444.34M
-4.92%434.69M
-8.04%441.23M
111.29%449.11M
97.27%427.30M
113.41%457.19M
151.14%479.79M
27.46%212.56M
51.36%216.61M
67.33%214.23M
64.51%191.04M
65.79%166.76M
65.12%143.11M
84.84%128.03M
--116.13M
128.19%100.58M
--86.67M
--69.27M
--44.08M
-Anlagevermögen
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133.03%118.39M
--99.83M
--80.13M
--50.81M
-Abgegrenzte Abschreibungen
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164.75%17.81M
--13.15M
--10.86M
--6.73M
Goodwill und andere immaterielle Vermögenswerte
-2.89%1.77B
-3.37%1.78B
-4.40%1.79B
-4.78%1.80B
-0.91%1.82B
-0.67%1.84B
0.72%1.88B
1.41%1.89B
-5.25%1.84B
-0.83%1.85B
6.69%1.86B
8.76%1.87B
67.29%1.94B
78.54%1.87B
92.23%1.75B
99.19%1.72B
37.83%1.16B
22.49%1.05B
30.80%907.91M
21.77%862.47M
12.79%840.29M
12.51%853.27M
-9.93%694.13M
-9.51%708.28M
-7.14%744.98M
-5.94%758.42M
-0.87%770.66M
22.52%782.68M
94.72%802.23M
104.08%806.36M
115.34%777.43M
157.16%638.83M
--411.99M
123.01%395.12M
--361.03M
--248.42M
--177.17M
Sonstige langfristige Vermögenswerte
11.95%39.09M
3.23%233.91M
29.84%37.83M
30.04%39.63M
23.53%34.92M
731.18%226.60M
-17.01%29.14M
43.97%30.47M
-90.79%28.27M
-90.64%27.26M
-91.49%35.11M
-92.64%21.17M
42.30%307.07M
51.22%291.30M
175.53%412.77M
93.53%287.43M
142.14%215.79M
193.88%192.64M
127.39%149.81M
109.78%148.52M
30.80%89.12M
-2.45%65.55M
-7.70%65.88M
-16.66%70.80M
-12.11%68.13M
-17.71%67.19M
-3.67%71.38M
37.66%84.95M
53.66%77.52M
131.30%81.66M
223.93%74.10M
169.54%61.72M
--50.45M
120.38%35.30M
--22.88M
--22.90M
--16.02M
Summe der langfristigen Vermögenswerte
1.06%3.01B
1.26%3.03B
5.41%3.00B
6.09%3.00B
8.57%2.98B
7.90%2.99B
3.68%2.85B
1.84%2.83B
-4.84%2.75B
3.38%2.77B
4.11%2.75B
11.74%2.78B
58.52%2.89B
59.07%2.68B
75.70%2.64B
71.81%2.48B
32.79%1.82B
23.27%1.69B
26.51%1.50B
16.94%1.45B
6.01%1.37B
31.76%1.37B
12.15%1.19B
14.27%1.24B
20.74%1.29B
-1.57%1.04B
6.43%1.06B
30.57%1.08B
85.08%1.07B
94.32%1.05B
106.41%994.65M
135.60%828.58M
--578.57M
120.32%542.81M
--481.88M
--351.68M
--246.37M
Summe der Vermögenswerte
5.88%7.59B
-0.39%7.94B
-1.70%7.59B
-3.21%7.42B
-9.14%7.17B
-0.77%7.97B
-6.79%7.72B
-12.79%7.67B
-11.81%7.89B
6.54%8.03B
16.51%8.29B
28.88%8.79B
76.82%8.94B
50.00%7.54B
47.60%7.11B
45.00%6.82B
29.76%5.06B
25.23%5.02B
24.67%4.82B
69.45%4.70B
37.96%3.90B
47.82%4.01B
38.82%3.86B
-5.92%2.78B
-11.20%2.83B
-20.68%2.71B
-21.42%2.78B
-23.86%2.95B
-21.27%3.18B
98.61%3.42B
91.92%3.54B
103.51%3.88B
--4.04B
83.48%1.72B
--1.85B
--1.90B
--938.94M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
--0.00
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7.18%-4.80M
-1.45%-1.19M
-1.45%-2.37M
-493.01%-20.79M
-116.09%-5.17M
-108.00%-1.17M
-124.18%-2.34M
---3.50M
107.19%32.12M
--14.63M
--9.68M
--15.50M
Rückstellungen
-4.02%796.26M
25.24%1.01B
12.51%921.39M
22.19%875.12M
-7.71%829.58M
-18.38%805.84M
-8.34%818.91M
-13.80%716.17M
47.18%898.90M
46.47%987.34M
35.26%893.41M
35.11%830.84M
5.13%610.73M
21.61%674.11M
30.25%660.54M
39.05%614.94M
35.43%580.92M
35.00%554.34M
93.00%507.13M
83.55%442.24M
75.08%428.93M
56.83%410.61M
-0.97%262.77M
-6.14%240.94M
-10.19%245.00M
-4.82%261.81M
-5.56%265.35M
6.72%256.70M
19.42%272.80M
157.18%275.06M
175.57%280.96M
54.70%240.54M
--228.44M
-23.05%106.95M
--101.95M
--155.49M
--138.99M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
--36.23M
--36.21M
--36.19M
--36.17M
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-7.18%4.80M
1.45%1.19M
1.45%2.37M
493.01%20.79M
--5.17M
--1.17M
--2.34M
--3.50M
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-Kurzfristige Leasingverpflichtungen
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-7.18%4.80M
1.45%1.19M
1.45%2.37M
493.01%20.79M
--5.17M
--1.17M
--2.34M
--3.50M
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Aufgeschobene Verbindlichkeiten
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--3.40M
--2.03M
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Andere kurzfristige Verbindlichkeiten
--0.00
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7.18%-4.80M
-1.45%-1.19M
-1.45%-2.37M
-493.01%-20.79M
-116.09%-5.17M
-106.49%-1.17M
-119.99%-2.34M
---3.50M
107.19%32.12M
--18.03M
--11.70M
--15.50M
Summe der kurzfristigen Verbindlichkeiten
-4.32%1.06B
9.65%1.24B
12.56%1.14B
18.61%1.11B
1.92%1.11B
-6.70%1.13B
-11.44%1.01B
-11.87%937.66M
29.51%1.09B
42.71%1.22B
40.99%1.14B
42.21%1.06B
12.09%842.80M
27.64%851.79M
32.52%808.50M
37.63%748.15M
43.72%751.93M
33.55%667.33M
65.31%610.11M
59.92%543.61M
62.03%523.19M
70.72%499.68M
29.26%369.06M
21.69%339.94M
7.15%322.90M
-15.47%292.69M
-3.59%285.52M
8.14%279.34M
24.38%301.36M
120.91%346.26M
138.40%296.16M
53.38%258.31M
--242.28M
0.31%156.74M
--124.23M
--168.41M
--156.26M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
7.70%4.15B
-2.63%4.18B
2.17%4.18B
1.94%4.18B
-6.26%3.86B
4.04%4.30B
-0.75%4.09B
-1.27%4.10B
-1.22%4.11B
60.12%4.13B
62.12%4.13B
45.69%4.16B
64.76%4.16B
31.40%2.58B
31.34%2.54B
49.83%2.85B
111.81%2.53B
64.23%1.96B
66.27%1.94B
510.86%1.90B
262.32%1.19B
--1.19B
--1.17B
--311.66M
--329.29M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Langfristige Verbindlichkeiten
8.34%3.58B
-3.78%3.61B
-3.80%3.61B
-3.83%3.60B
-11.83%3.30B
0.18%3.75B
0.18%3.75B
0.18%3.75B
0.20%3.74B
66.11%3.74B
66.10%3.74B
46.58%3.74B
66.44%3.74B
34.50%2.25B
36.47%2.25B
56.90%2.55B
148.54%2.25B
87.85%1.68B
87.44%1.65B
--1.63B
--903.34M
--891.78M
--880.39M
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-Langfristige Leasingverbindlichkeiten
3.92%575.43M
5.27%575.08M
66.78%577.91M
62.47%579.90M
50.26%553.74M
41.42%546.28M
-9.88%346.51M
-14.30%356.93M
-13.66%368.53M
18.67%386.27M
31.45%384.50M
38.11%416.50M
51.44%426.83M
13.30%325.51M
1.88%292.51M
8.45%301.58M
-2.73%281.85M
-5.24%287.29M
0.81%287.11M
-10.78%278.07M
-12.01%289.75M
--303.18M
--284.80M
--311.66M
--329.29M
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Andere langfristige Verbindlichkeiten
-10.37%61.31M
-52.17%59.24M
-50.90%61.93M
-51.37%58.70M
-35.29%68.40M
18.57%123.85M
5.37%126.13M
-5.30%120.71M
-71.84%105.70M
-66.92%104.45M
-62.35%119.70M
-59.18%127.47M
409.94%375.43M
389.74%315.76M
344.42%317.97M
404.16%312.26M
28.44%73.62M
12.36%64.47M
1154.09%71.55M
701.55%61.94M
647.41%57.32M
-38.70%57.38M
-94.15%5.71M
-89.10%7.73M
-89.44%7.67M
119.57%93.62M
283.61%97.56M
130.62%70.90M
293.42%72.63M
33.27%42.64M
9.79%25.43M
166.81%30.74M
--18.46M
534.93%31.99M
--23.16M
--11.52M
--5.04M
Gesamt langfristige Verbindlichkeiten
7.39%4.21B
-4.02%4.24B
0.58%4.24B
0.42%4.24B
-6.99%3.92B
4.40%4.42B
-0.58%4.22B
-1.39%4.22B
-7.06%4.22B
46.26%4.23B
48.29%4.25B
35.34%4.28B
74.54%4.54B
42.79%2.89B
42.49%2.86B
60.99%3.16B
107.99%2.60B
61.85%2.03B
71.57%2.01B
515.47%1.97B
271.08%1.25B
1034.20%1.25B
925.62%1.17B
265.84%319.39M
279.35%336.96M
33.06%110.42M
60.92%114.16M
14.48%87.30M
38.85%88.83M
76.06%82.98M
87.61%70.95M
195.76%76.26M
--63.97M
154.32%47.13M
--37.82M
--25.78M
--18.53M
Gesamtverbindlichkeiten
4.80%5.28B
-1.23%5.49B
2.90%5.38B
3.72%5.35B
-5.16%5.04B
1.92%5.55B
-2.88%5.23B
-3.47%5.16B
-1.34%5.31B
45.45%5.45B
46.69%5.38B
36.65%5.35B
60.53%5.38B
39.04%3.75B
40.17%3.67B
55.93%3.91B
89.03%3.35B
53.78%2.69B
70.07%2.62B
280.59%2.51B
168.78%1.77B
334.63%1.75B
285.29%1.54B
79.83%659.33M
69.12%659.87M
-6.09%403.11M
8.87%399.68M
9.59%366.64M
27.40%390.18M
110.54%429.24M
126.55%367.11M
72.29%334.57M
--306.26M
16.64%203.88M
--162.04M
--194.19M
--174.79M
Eigenkapital der Aktionäre
Stammkapital
6.76%15.88B
7.05%15.64B
7.72%15.39B
8.55%15.13B
9.20%14.87B
9.79%14.61B
11.10%14.29B
11.21%13.93B
11.54%13.62B
10.28%13.31B
9.56%12.86B
12.58%12.53B
24.89%12.21B
18.32%12.07B
17.74%11.74B
13.87%11.13B
4.23%9.78B
10.81%10.20B
10.31%9.97B
13.75%9.77B
11.82%9.38B
11.98%9.21B
11.59%9.04B
7.79%8.59B
7.36%8.39B
7.67%8.22B
8.41%8.10B
7.71%7.97B
9.16%7.81B
179.78%7.63B
174.45%7.47B
179.50%7.40B
--7.16B
85.97%2.73B
--2.72B
--2.65B
--1.47B
Vorzugsaktien
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0.00%1.00K
--1.00K
--1.00K
--1.00K
Gewinnrücklagen
-7.05%-13.13B
-8.60%-12.74B
-12.89%-12.74B
-15.30%-12.59B
-16.35%-12.27B
-14.80%-11.73B
-19.77%-11.29B
-20.45%-10.92B
-21.97%-10.54B
-23.30%-10.21B
-13.47%-9.43B
-10.09%-9.07B
-6.94%-8.64B
-4.98%-8.28B
-6.80%-8.31B
-8.66%-8.24B
-11.45%-8.08B
-13.61%-7.89B
-16.01%-7.78B
-16.99%-7.58B
-16.55%-7.25B
-17.48%-6.95B
-17.21%-6.71B
-20.05%-6.48B
-23.41%-6.22B
-26.97%-5.91B
-32.84%-5.72B
-39.66%-5.40B
-47.42%-5.04B
-285.53%-4.66B
-314.94%-4.31B
-322.85%-3.86B
---3.42B
-74.24%-1.21B
---1.04B
---913.69M
---693.22M
Kapitalrücklagen
6.76%15.88B
7.05%15.64B
7.72%15.39B
8.55%15.13B
9.20%14.87B
9.79%14.61B
11.10%14.29B
11.21%13.93B
11.54%13.62B
10.28%13.31B
9.56%12.86B
12.58%12.53B
24.89%12.21B
18.32%12.07B
17.74%11.74B
13.87%11.13B
4.23%9.78B
10.81%10.20B
10.31%9.97B
13.75%9.77B
11.82%9.38B
11.98%9.21B
11.59%9.04B
7.79%8.59B
7.36%8.39B
7.67%8.22B
8.41%8.10B
7.71%7.97B
9.16%7.81B
179.78%7.63B
174.45%7.47B
179.50%7.40B
--7.16B
85.97%2.73B
--2.72B
--2.65B
--1.47B
Abzüglich: Eigene Aktien
-5.76%448.51M
-4.02%460.62M
-4.61%465.50M
-4.37%471.00M
-4.22%475.94M
-4.12%479.90M
-2.50%487.98M
--492.50M
--496.91M
--500.51M
--500.51M
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Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
1582.27%12.62M
-62.22%2.69M
262.18%28.84M
117.15%2.77M
145.07%750.00K
151.03%7.13M
46.55%-17.78M
18.56%-16.16M
58.53%-1.66M
-353.11%-13.97M
-440.23%-33.27M
-243.30%-19.84M
-133.69%-4.01M
-74.16%5.52M
15.06%9.78M
2373.73%13.85M
511.26%11.91M
3628.27%21.36M
218.49%8.50M
-128.97%-609.00K
-4158.82%-2.90M
-81.79%573.00K
-210.87%-7.17M
-74.39%2.10M
-100.32%-68.00K
-77.77%3.15M
-44.62%6.47M
128.61%8.21M
1382.14%20.96M
788.24%14.16M
4287.10%11.68M
306.11%3.59M
---1.64M
---2.06M
---279.00K
--884.00K
--0.00
Gesamtes Eigenkapital
8.44%2.31B
1.52%2.45B
-11.35%2.21B
-17.49%2.07B
-17.34%2.13B
-6.46%2.41B
-14.04%2.49B
-27.26%2.50B
-27.63%2.58B
-31.91%2.58B
-15.69%2.90B
18.42%3.44B
108.83%3.56B
62.67%3.79B
56.46%3.44B
32.50%2.91B
-19.71%1.71B
3.10%2.33B
-5.41%2.20B
3.68%2.19B
-1.89%2.12B
-2.21%2.26B
-2.50%2.32B
-18.09%2.12B
-22.42%2.17B
-22.77%2.31B
-24.92%2.38B
-27.02%2.58B
-25.26%2.79B
97.00%2.99B
88.58%3.18B
107.06%3.54B
--3.74B
98.77%1.52B
--1.68B
--1.71B
--764.14M
Währungseinheit
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