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S&T Bancorp Inc

STBA

36.227USD

+0.497+1.39%
Trading geöffnet ETKurse um 15 Minuten verzögert
1.39BMarktkapitalisierung
10.41KGV TTM
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Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
10.84%138.51M
-45.93%183.06M
-98.53%2.05M
362.93%124.66M
652.88%124.96M
317.98%338.56M
193.20%139.52M
109.57%26.93M
-144.71%-22.60M
-262.13%-155.32M
-466.43%-149.70M
-258.89%-281.49M
-90.74%50.55M
161.12%95.80M
87.13%-26.43M
-78.88%177.16M
1524.02%545.67M
-218.40%-156.73M
-228.42%-205.35M
1520.35%838.68M
-120.17%-38.32M
-46.90%132.37M
68.86%159.91M
56.03%51.76M
6489.57%189.96M
367.62%249.27M
46.47%94.70M
958.29%33.17M
-101.54%-2.97M
-64.81%53.31M
20.53%64.66M
-103.22%-3.87M
14.91%193.32M
9668.48%151.47M
-2.12%53.64M
219.06%119.87M
-22.32%168.24M
-105.78%-1.58M
-58.01%54.80M
104.97%37.57M
-0.78%216.59M
822.38%27.37M
36249.03%130.50M
-54.93%18.33M
1416.39%218.30M
-107.70%-3.79M
99.86%-361.00K
89.50%40.67M
538.77%14.40M
--49.18M
---264.11M
--21.46M
---3.28M
Nettoergebnis aus fortgeführten Aktivitäten
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8.56%24.18M
-37.98%16.70M
-226.71%-33.07M
-42.29%13.23M
-17.07%22.27M
-12.77%26.94M
21.76%26.10M
-12.36%22.93M
188.94%26.85M
35.91%30.88M
-5.84%21.44M
43.85%26.16M
-47.37%9.29M
10.40%22.72M
33.45%22.77M
13.02%18.19M
1.35%17.66M
10.44%20.58M
-6.21%17.06M
25.38%16.09M
20.19%17.42M
27.11%18.64M
23.56%18.19M
-8.54%12.84M
22.24%14.50M
19.71%14.66M
4.37%14.72M
13.81%14.03M
24.50%11.86M
-2.76%12.25M
63.99%14.10M
254.31%12.33M
--9.53M
--12.60M
--8.60M
--3.48M
Betriebsergebnisse und -verluste
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209.33%4.18M
3.89%1.60M
-52.00%697.00K
-17.54%1.17M
4.65%1.35M
35.77%1.54M
25.50%1.45M
39.63%1.42M
43.17%1.29M
51.94%1.14M
140.54%1.16M
175.61%1.02M
17.01%901.00K
-23.78%747.00K
-50.51%481.00K
-59.27%369.00K
--770.00K
--980.00K
--972.00K
-37.95%906.00K
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-100.00%0.00
30.94%1.46M
17.77%1.19M
-4.61%1.20M
-18.83%1.19M
-29.87%1.11M
-40.20%1.01M
-31.76%1.26M
-24.72%1.47M
5.51%1.59M
--1.69M
--1.84M
--1.95M
--1.51M
Abgegrenzte Steuer
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-1055.38%-4.40M
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-110.86%-381.00K
----
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-74.63%3.51M
----
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2480.60%13.83M
----
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225.53%536.00K
----
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-127.80%-427.00K
----
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165.14%1.54M
----
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-183.12%-2.36M
----
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--2.84M
----
---2.28M
--646.00K
Andere nicht monetäre Posten
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-785.89%-2.19M
-741.45%-2.48M
-251.49%-862.00K
19.31%618.00K
-26.83%319.00K
101.93%386.00K
64.45%569.00K
20.75%518.00K
-25.34%436.00K
-4266.74%-20.04M
-42.14%346.00K
13.19%429.00K
12.09%584.00K
9.57%481.00K
18.65%598.00K
-53.15%379.00K
-2.98%521.00K
6.81%439.00K
353.27%504.00K
-10.90%809.00K
53.43%537.00K
32.15%411.00K
-117.96%-199.00K
2.37%908.00K
-44.00%350.00K
-55.12%311.00K
601.27%1.11M
-32.80%887.00K
5581.82%625.00K
-40.05%693.00K
-81.86%158.00K
180.25%1.32M
--11.00K
--1.16M
--871.00K
--471.00K
Veränderung des Umlaufvermögens
39.74%109.82M
-57.08%128.28M
-131.20%-25.49M
774.18%79.99M
217.54%78.58M
256.80%298.88M
140.52%81.70M
96.59%-11.87M
-85.48%-66.86M
-470.65%-190.61M
-187.53%-201.63M
-350.03%-348.19M
-107.91%-36.05M
127.73%51.42M
70.66%-70.13M
-82.27%139.26M
716.98%455.52M
-274.94%-185.48M
-290.79%-239.04M
3629.42%785.27M
-146.48%-73.83M
-50.43%106.02M
53.15%125.29M
3285.21%21.06M
601.19%158.84M
692.61%213.89M
119.05%81.81M
102.09%622.00K
-118.80%-31.69M
-78.53%26.98M
30.85%37.35M
-131.06%-29.80M
14.08%168.57M
638.86%125.72M
-11.25%28.54M
465.69%95.94M
-26.09%147.77M
-379.70%-23.33M
-71.46%32.16M
663.28%16.96M
-0.94%199.94M
150.04%8.34M
718.06%112.67M
-90.65%2.22M
116771.68%201.84M
-154.35%-16.67M
93.53%-18.23M
382.57%23.78M
99.03%-173.00K
--30.67M
---281.68M
--4.93M
---17.93M
-Änderung bei anderen kurzfristigen Vermögenswerten
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32.46%34.69M
-373.01%-94.80M
1101.69%68.23M
-2647.47%-149.16M
176.63%26.19M
-9251.14%-20.04M
-16.86%-6.81M
-221.84%-5.43M
590.77%9.47M
-78.76%219.00K
-1324.58%-5.83M
33.33%4.46M
-134.59%-1.93M
-66.40%1.03M
116.40%476.00K
195.98%3.34M
122.24%5.58M
-73.61%3.07M
-115.84%-2.90M
-629.98%-3.48M
-626.84%-25.08M
3024.73%11.62M
-120.17%-1.34M
-78.84%657.00K
-185.63%-3.45M
-93.24%372.00K
-55.34%6.67M
185.12%3.10M
-44.51%4.03M
24.91%5.50M
355.38%14.93M
-64.24%1.09M
--7.26M
--4.40M
--3.28M
--3.04M
-Änderung bei anderen kurzfristigen Verbindlichkeiten
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19.57%-8.90M
-116.28%-3.08M
-63.10%3.54M
1056.93%55.66M
-163.64%-11.06M
153.27%18.94M
8458.04%9.59M
54.40%4.81M
-171.46%-4.20M
265.54%7.48M
103.91%112.00K
133.76%3.12M
177.27%5.87M
472.00%2.05M
0.93%-2.86M
-83.63%1.33M
-3702.37%-7.60M
-125.23%-550.00K
2.83%-2.89M
382.63%8.14M
-94.43%211.00K
193.44%2.18M
-289.14%-2.97M
-5.06%1.69M
104.65%3.79M
8.55%-2.33M
30.48%-764.00K
108.41%1.78M
215.33%1.85M
-117.53%-2.55M
-123.62%-1.10M
-2203.49%-21.12M
---1.60M
--14.55M
--4.65M
---917.00K
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
10.84%138.51M
-45.93%183.06M
-98.53%2.05M
362.93%124.66M
652.88%124.96M
317.98%338.56M
193.20%139.52M
109.57%26.93M
-144.71%-22.60M
-262.13%-155.32M
-466.43%-149.70M
-258.89%-281.49M
-90.74%50.55M
161.12%95.80M
87.13%-26.43M
-78.88%177.16M
1524.02%545.67M
-218.40%-156.73M
-228.42%-205.35M
1520.35%838.68M
-120.17%-38.32M
-46.90%132.37M
68.86%159.91M
56.03%51.76M
6489.57%189.96M
367.62%249.27M
46.47%94.70M
958.29%33.17M
-101.54%-2.97M
-64.81%53.31M
20.53%64.66M
-103.22%-3.87M
14.91%193.32M
9668.48%151.47M
-2.12%53.64M
219.06%119.87M
-22.32%168.24M
-105.78%-1.58M
-58.01%54.80M
104.97%37.57M
-0.78%216.59M
822.38%27.37M
36249.03%130.50M
-54.93%18.33M
1416.39%218.30M
-107.70%-3.79M
99.86%-361.00K
89.50%40.67M
538.77%14.40M
--49.18M
---264.11M
--21.46M
---3.28M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
223.83%1.73M
-33.28%858.00K
-68.94%696.00K
41.50%849.00K
-61.43%533.00K
30.43%1.29M
86.59%2.24M
-26.92%600.00K
128.81%1.38M
-34.31%986.00K
552.72%1.20M
-26.37%821.00K
-18.05%604.00K
42.68%1.50M
-87.56%184.00K
-22.19%1.11M
-48.43%737.00K
-1.87%1.05M
1.30%1.48M
80.71%1.43M
-18.67%1.43M
-32.32%1.07M
-17.00%1.46M
60.53%793.00K
778.50%1.76M
58.08%1.58M
235.05%1.76M
-75.50%494.00K
-72.57%200.00K
28.63%1.00M
-61.59%525.00K
126.01%2.02M
56.77%729.00K
-34.70%779.00K
32.08%1.37M
-44.11%892.00K
-44.77%465.00K
-35.83%1.19M
-29.45%1.03M
26.47%1.60M
114.25%842.00K
760.65%1.86M
27.57%1.47M
301.91%1.26M
-22.94%393.00K
-46.00%216.00K
1016.50%1.15M
-49.52%314.00K
-44.08%510.00K
--400.00K
--103.00K
--622.00K
--912.00K
Investitionsausgaben
168.43%1.73M
-33.74%860.00K
-67.65%725.00K
-31.97%849.00K
-55.32%643.00K
31.64%1.30M
69.64%2.24M
39.29%1.25M
118.03%1.44M
-34.31%986.00K
617.93%1.32M
-19.64%896.00K
-18.62%660.00K
41.60%1.50M
-87.68%184.00K
-22.19%1.11M
-43.25%811.00K
-3.55%1.06M
-0.07%1.49M
78.68%1.43M
-18.67%1.43M
-30.62%1.10M
-16.20%1.50M
62.02%802.00K
468.61%1.76M
51.15%1.58M
184.08%1.78M
-78.22%495.00K
-58.52%309.00K
28.43%1.05M
-54.62%628.00K
154.82%2.27M
59.19%745.00K
-41.55%816.00K
8.81%1.38M
-44.80%892.00K
-44.88%468.00K
-24.91%1.40M
-15.26%1.27M
28.05%1.62M
85.78%849.00K
694.44%1.86M
25.19%1.50M
68.72%1.26M
-29.91%457.00K
-41.50%234.00K
452.53%1.20M
16.33%748.00K
-29.05%652.00K
--400.00K
--217.00K
--643.00K
--919.00K
Netto-Cashflow aus der Veräußerung von Anlagevermögen
223.83%1.73M
-33.28%858.00K
-68.94%696.00K
41.50%849.00K
-61.43%533.00K
30.43%1.29M
86.59%2.24M
-26.92%600.00K
128.81%1.38M
-34.31%986.00K
552.72%1.20M
-26.37%821.00K
-18.05%604.00K
42.68%1.50M
-87.56%184.00K
-22.19%1.11M
-48.43%737.00K
-1.87%1.05M
1.30%1.48M
80.71%1.43M
-18.67%1.43M
-32.32%1.07M
-17.00%1.46M
60.53%793.00K
778.50%1.76M
58.08%1.58M
235.05%1.76M
-75.50%494.00K
-72.57%200.00K
28.63%1.00M
-61.59%525.00K
126.01%2.02M
56.77%729.00K
-34.70%779.00K
32.08%1.37M
-44.11%892.00K
-44.77%465.00K
-35.83%1.19M
-29.45%1.03M
26.47%1.60M
114.25%842.00K
760.65%1.86M
27.57%1.47M
301.91%1.26M
-22.94%393.00K
-46.00%216.00K
1016.50%1.15M
-49.52%314.00K
-44.08%510.00K
--400.00K
--103.00K
--622.00K
--912.00K
Netto-Cashflow aus Geschäftstransaktionen
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--63.76M
--0.00
--0.00
-100.00%0.00
-100.00%0.00
--0.00
--0.00
--4.54M
--4.40M
--0.00
--0.00
-100.00%0.00
--0.00
--0.00
--0.00
253.05%25.02M
--0.00
--0.00
--0.00
---16.35M
----
--0.00
--0.00
-100.00%0.00
--0.00
-100.00%0.00
-100.00%0.00
5.16%4.75M
----
--13.78M
--342.00K
--4.52M
Netto-Cashflow aus Anlageprodukten
-16.75%-8.35M
-111.21%-1.94M
-448.62%-3.53M
-138.20%-4.92M
-142.28%-7.15M
483.51%17.31M
-96.25%1.01M
119.84%12.89M
110.11%16.91M
91.19%-4.51M
173.27%26.99M
-166.31%-64.97M
-207.86%-167.24M
12.47%-51.24M
-143.39%-36.84M
-1688.56%-24.40M
-1618.67%-54.32M
-522.08%-58.54M
8733.61%84.89M
-106.80%-1.36M
-66.74%3.58M
-293.18%-9.41M
-29.29%961.00K
667.96%20.07M
296.96%10.76M
172.32%4.87M
113.94%1.36M
-113.86%-3.53M
71.38%-5.46M
82.29%-6.74M
-202.90%-9.75M
1092.33%25.48M
-134.40%-19.08M
-1188.75%-38.02M
-10.48%9.47M
85.37%-2.57M
-50975.00%-8.14M
116.23%3.49M
135.16%10.58M
45.35%-17.55M
100.04%16.00K
16.50%-21.52M
-234.97%-30.10M
-37.40%-32.12M
-96.95%-38.96M
34.68%-25.77M
72.83%-8.99M
-335.53%-23.38M
-130.30%-19.78M
---39.45M
---33.08M
---5.37M
--65.28M
Netto-Cashflow aus anderen Investitionstätigkeiten
-995.61%-93.09M
59.62%-53.52M
111.31%22.57M
27.92%-56.73M
86.23%-8.50M
-78.25%-132.52M
-254.52%-199.47M
8.31%-78.72M
-237.92%-61.70M
-62.39%-74.35M
-387.04%-56.27M
-150.38%-85.85M
29.38%44.73M
-129.22%-45.78M
-86.06%19.60M
146.19%170.41M
128.22%34.58M
540.41%156.66M
183.96%140.57M
-267.29%-368.95M
-2444.63%-122.51M
75.10%-35.57M
-638.95%-167.42M
-57.42%-100.45M
-82.45%5.22M
-339.92%-142.85M
75.20%-22.66M
-161.46%-63.81M
120.01%29.78M
130.98%59.54M
-192.13%-91.36M
88.64%-24.41M
2.02%-148.78M
-79.26%-192.20M
76.18%-31.27M
-92.97%-214.82M
-396.41%-151.84M
-56.68%-107.22M
-76.62%-131.28M
-8.76%-111.32M
51.25%-30.59M
-16.81%-68.43M
-1.01%-74.33M
-58.53%-102.35M
-59.73%-62.75M
19.90%-58.58M
-786.64%-73.59M
-946.89%-64.56M
-177.68%-39.28M
---73.14M
--10.72M
---6.17M
--50.57M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-1140.27%-103.41M
43.52%-65.17M
108.26%17.46M
11.63%-62.24M
85.04%-8.34M
-25.33%-115.39M
-532.60%-211.46M
53.13%-70.42M
54.66%-55.74M
6.19%-92.07M
-94.29%-33.43M
-202.21%-150.24M
-525.59%-122.94M
-198.33%-98.15M
-107.70%-17.20M
140.98%146.99M
84.36%-19.65M
392.16%99.82M
230.75%223.36M
-328.43%-358.64M
-630.09%-125.64M
114.72%20.28M
-825.70%-170.83M
-13.35%-83.71M
-15.83%23.70M
-339.89%-137.81M
81.90%-18.45M
-5111.86%-73.85M
116.91%28.16M
124.50%57.45M
-329.34%-101.94M
99.36%-1.42M
-22.68%-166.51M
-129.35%-234.48M
81.00%-23.74M
-65.17%-222.70M
-210.34%-135.73M
-16.25%-102.24M
-14.54%-124.93M
3.41%-134.83M
56.45%-43.74M
-5.77%-87.94M
-28.60%-109.08M
-56.80%-139.59M
-90.59%-100.44M
24.99%-83.14M
-1115.81%-84.81M
-718.57%-89.03M
-143.78%-52.70M
---110.84M
---6.98M
---10.88M
--120.37M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
52.32%-68.08M
55.64%-101.15M
-145.71%-37.72M
-186.64%-23.57M
-226.92%-142.77M
-170.70%-228.01M
409.49%82.53M
157.48%27.21M
531.53%112.49M
3388.42%322.50M
-266.90%-26.67M
-359.68%-47.34M
69.06%-26.07M
55.25%-9.81M
88.06%-7.27M
96.74%-10.30M
-154.78%-84.25M
82.94%-21.91M
-198.75%-60.88M
-932.33%-316.35M
160.96%153.82M
-44.93%-128.44M
175.62%61.66M
-42.20%38.01M
-755.74%-252.33M
17.98%-88.62M
-415.32%-81.53M
148.73%65.76M
52.13%-29.49M
-211.00%-108.04M
9405.88%25.86M
-65.28%26.44M
-501.68%-61.59M
10.77%97.33M
-99.30%272.00K
-36.07%76.15M
93.51%-10.24M
233.84%87.87M
596.91%38.89M
79.93%119.11M
-285.42%-157.70M
166.40%26.32M
-110.77%-7.83M
90.94%66.19M
-6.87%-40.92M
-175.81%-39.64M
-66.19%72.67M
475.98%34.67M
-3826.77%-38.29M
--52.29M
--214.91M
--6.02M
---975.00K
Netto-Cashflow aus Schuldenemission/Rückzahlung
57.72%-55.02M
59.04%-88.12M
-126.37%-25.02M
-116.90%-10.12M
-204.19%-130.12M
-164.24%-215.12M
932.74%94.88M
292.95%59.88M
953.17%124.89M
17600.21%334.89M
-406.04%-11.39M
-3721.47%-31.04M
79.99%-14.64M
117.30%1.89M
107.46%3.72M
100.28%857.00K
-141.10%-73.14M
90.79%-10.94M
-167.33%-49.92M
-709.50%-305.36M
177.44%177.99M
-77.51%-118.82M
213.80%74.14M
-32.74%50.10M
-986.21%-229.85M
33.31%-66.94M
-298.47%-65.15M
119.71%74.48M
61.13%-21.16M
-196.24%-100.37M
376.86%32.83M
-59.09%33.90M
-1397.25%-54.44M
10.31%104.29M
-84.75%6.88M
-33.90%82.87M
97.61%-3.64M
196.18%94.55M
1724.58%45.15M
75.97%125.37M
-322.64%-152.14M
191.15%31.92M
-103.60%-2.78M
-15.41%71.25M
-6.53%-36.00M
-61.48%-35.02M
-64.81%77.13M
1408.31%84.22M
-1297.41%-33.79M
---21.69M
--219.17M
--5.58M
--2.82M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-10.81%-41.00K
92.42%-21.00K
-74.36%-68.00K
96.33%-744.00K
-94.74%-37.00K
10.65%-277.00K
98.90%-39.00K
-347.38%-20.27M
66.07%-19.00K
5.49%-310.00K
---3.55M
-2613.17%-4.53M
58.52%-56.00K
---328.00K
--0.00
-438.71%-167.00K
98.97%-135.00K
--0.00
100.00%0.00
98.91%-31.00K
0.31%-13.12M
100.00%0.00
---3.12M
---2.85M
-1903.50%-13.16M
-1225500.00%-12.26M
-100.00%0.00
100.00%0.00
-238.66%-657.00K
---1.00K
0.00%1.00K
-326.72%-495.00K
---194.00K
100.00%0.00
--1.00K
-262.50%-116.00K
100.00%0.00
---71.00K
--0.00
-3300.00%-32.00K
50.93%-79.00K
100.00%0.00
----
100.00%1.00K
---161.00K
-100.00%-2.00K
-100.00%0.00
-1044.01%-45.09M
-100.00%0.00
--78.44M
--85.00K
--4.78M
--448.00K
Barausschüttungen
3.18%13.02M
3.18%13.01M
2.61%12.64M
2.47%12.71M
1.92%12.62M
4.38%12.61M
5.04%12.31M
5.37%12.40M
8.83%12.38M
6.26%12.08M
6.67%11.72M
7.13%11.77M
3.64%11.37M
3.59%11.37M
0.28%10.99M
0.25%10.99M
-0.69%10.97M
14.80%10.98M
18.63%10.96M
18.60%10.96M
18.61%11.05M
1.46%9.56M
5.90%9.24M
5.96%9.24M
21.49%9.32M
22.87%9.42M
25.13%8.72M
25.19%8.72M
10.19%7.67M
10.20%7.67M
5.43%6.97M
5.40%6.97M
5.44%6.96M
5.44%6.96M
5.34%6.61M
5.74%6.61M
23.22%6.60M
23.50%6.60M
24.37%6.28M
23.73%6.25M
12.59%5.36M
12.34%5.34M
13.16%5.05M
13.32%5.05M
6.68%4.76M
6.68%4.76M
2.76%4.46M
2.81%4.46M
5.69%4.46M
--4.46M
--4.34M
--4.34M
--4.22M
Erlöse aus der Ausgabe von Optionsscheinen
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
100.00%0.00
----
----
--0.00
---7.65M
----
----
----
----
----
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Netto-Cashflow aus anderen Finanzierungsaktivitäten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
100.00%0.00
----
----
----
---51.00K
---125.00K
----
----
----
----
----
----
--0.00
----
----
----
----
-100.00%0.00
-100.00%0.00
100.00%0.00
100.00%0.00
--24.00K
--20.00K
---123.00K
-278.32%-255.00K
--0.00
100.00%0.00
100.00%0.00
--143.00K
--0.00
-140.00%-12.00K
-40.00%-35.00K
--0.00
--0.00
---5.00K
---25.00K
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
52.32%-68.08M
55.64%-101.15M
-145.71%-37.72M
-186.64%-23.57M
-226.92%-142.77M
-170.70%-228.01M
409.49%82.53M
157.48%27.21M
531.53%112.49M
3388.42%322.50M
-266.90%-26.67M
-359.68%-47.34M
69.06%-26.07M
55.25%-9.81M
88.06%-7.27M
96.74%-10.30M
-154.78%-84.25M
82.94%-21.91M
-198.75%-60.88M
-932.33%-316.35M
160.96%153.82M
-44.93%-128.44M
175.62%61.66M
-42.20%38.01M
-755.74%-252.33M
17.98%-88.62M
-415.32%-81.53M
148.73%65.76M
52.13%-29.49M
-211.00%-108.04M
9405.88%25.86M
-65.28%26.44M
-501.68%-61.59M
10.77%97.33M
-99.30%272.00K
-36.07%76.15M
93.51%-10.24M
233.84%87.87M
596.91%38.89M
79.93%119.11M
-285.42%-157.70M
166.40%26.32M
-110.77%-7.83M
90.94%66.19M
-6.87%-40.92M
-175.81%-39.64M
-66.19%72.67M
475.98%34.67M
-3826.77%-38.29M
--52.29M
--214.91M
--6.02M
---975.00K
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
4.80%244.82M
-4.35%228.09M
8.09%246.31M
-15.03%207.46M
11.24%233.61M
76.76%238.45M
-33.89%227.87M
-70.36%244.15M
-77.23%210.01M
-85.56%134.90M
-65.02%344.69M
22.69%823.76M
301.55%922.22M
202.89%934.38M
180.41%985.28M
257.74%671.43M
16.10%229.67M
77.69%308.49M
185.95%351.37M
60.66%187.68M
27.23%197.82M
30.88%173.61M
-10.92%122.88M
3.52%116.82M
32.72%155.49M
15.91%132.65M
9.59%137.93M
7.78%112.85M
-16.01%117.15M
-8.57%114.44M
32.50%125.86M
-13.94%104.70M
40.33%139.49M
8.51%125.16M
-35.20%94.99M
-2.46%121.67M
-9.29%99.40M
-19.80%115.35M
12.55%146.58M
-32.68%124.74M
1.13%109.58M
-38.78%143.83M
-47.37%130.24M
-29.04%185.30M
-67.91%108.36M
-32.31%234.93M
-38.64%247.43M
-32.46%261.12M
24.83%337.71M
--347.08M
--403.24M
--386.64M
--270.53M
Änderungen des Cashflows im aktuellen Zeitraum
-26.13%-32.98M
445.59%16.73M
-272.11%-18.22M
338.55%38.85M
-176.59%-26.15M
-106.45%-4.84M
105.05%10.59M
96.60%-16.29M
134.68%34.14M
717.55%75.11M
-312.15%-209.79M
-252.64%-479.06M
-122.29%-98.46M
84.57%-12.16M
-18.72%-50.90M
91.74%313.85M
4457.07%441.76M
-425.53%-78.82M
-184.51%-42.88M
2602.79%163.68M
73.78%-10.14M
6.02%24.21M
1060.31%50.73M
-75.86%6.06M
-798.65%-38.67M
742.15%22.84M
53.75%-5.28M
18.56%25.08M
87.63%-4.30M
-81.07%2.71M
-137.86%-11.42M
179.31%21.16M
-256.18%-34.78M
189.81%14.32M
196.60%30.17M
-222.12%-26.68M
46.93%22.27M
53.44%-15.95M
-329.74%-31.23M
139.67%21.84M
-80.30%15.16M
72.94%-34.25M
208.73%13.60M
-302.19%-55.07M
200.47%76.95M
-1251.54%-126.57M
77.74%-12.50M
-182.46%-13.69M
-165.96%-76.59M
---9.37M
---56.17M
--16.60M
--116.11M
Endbestand an Zahlungsmitteln
2.11%211.84M
4.80%244.82M
-4.35%228.09M
8.09%246.31M
-15.03%207.46M
11.24%233.61M
76.76%238.45M
-33.89%227.87M
-70.36%244.15M
-77.23%210.01M
-85.56%134.90M
-65.02%344.69M
22.69%823.76M
301.55%922.22M
202.89%934.38M
180.41%985.28M
257.74%671.43M
16.10%229.67M
77.69%308.49M
185.95%351.37M
60.66%187.68M
27.23%197.82M
30.88%173.61M
-10.92%122.88M
3.52%116.82M
32.72%155.49M
15.91%132.65M
9.59%137.93M
7.78%112.85M
-16.01%117.15M
-8.57%114.44M
32.50%125.86M
-13.94%104.70M
40.33%139.49M
8.51%125.16M
-35.20%94.99M
-2.46%121.67M
-9.29%99.40M
-19.80%115.35M
12.55%146.58M
-32.68%124.74M
1.13%109.58M
-38.78%143.83M
-47.37%130.24M
-29.04%185.30M
-67.91%108.36M
-32.31%234.93M
-38.64%247.43M
-32.46%261.12M
--337.71M
--347.08M
--403.24M
--386.64M
Freier Cashflow
10.03%136.78M
-45.98%182.20M
-99.04%1.32M
382.13%123.81M
617.11%124.32M
315.77%337.26M
190.90%137.28M
109.09%25.68M
-148.19%-24.04M
-265.76%-156.30M
-467.48%-151.02M
-260.40%-282.38M
-90.84%49.89M
159.76%94.30M
87.13%-26.61M
-78.97%176.04M
1470.78%544.86M
-220.20%-157.79M
-230.58%-206.85M
1543.04%837.24M
-121.12%-39.75M
-47.00%131.27M
70.49%158.41M
55.94%50.96M
5834.46%188.21M
373.97%247.69M
45.12%92.92M
632.39%32.68M
-101.70%-3.28M
-65.31%52.26M
22.52%64.03M
-105.16%-6.14M
14.79%192.58M
5157.17%150.65M
-2.38%52.26M
230.92%118.98M
-22.24%167.77M
-111.68%-2.98M
-58.50%53.53M
110.66%35.95M
-0.96%215.74M
734.15%25.51M
8369.04%129.00M
-57.24%17.07M
1485.00%217.84M
-108.25%-4.02M
99.41%-1.56M
91.76%39.92M
427.24%13.74M
--48.78M
---264.32M
--20.82M
---4.20M
Währungseinheit
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