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StoneCo Ltd

STNE

12.570USD

-0.210-1.64%
Handelsschluss 08/01, 16:00ETKurse um 15 Minuten verzögert
3.41BMarktkapitalisierung
VerlustKGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q3
FY2023Q2
FY2023Q1
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FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q1
FY2017Q4
FY2017Q3
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
125.25%624.33M
---300.79M
-307.26%-131.46M
-186.01%-716.07M
-311.66%-2.47B
137.50%63.43M
16.50%832.50M
46.94%1.17B
-42.34%343.04M
-109.51%-169.13M
-45.95%714.61M
991.83%795.17M
145.22%594.99M
206.53%1.78B
17.92%1.32B
-124.60%-89.16M
136.57%242.64M
-978.01%-1.67B
159.53%1.12B
222.93%362.46M
68.79%-663.49M
129.04%190.19M
---1.88B
-25.52%-294.85M
-318.97%-2.13B
112.31%83.04M
---234.90M
---507.34M
---674.37M
Nettoergebnis aus fortgeführten Aktivitäten
38.32%516.75M
---2.92B
31.98%542.88M
62.20%498.30M
65.53%373.60M
108.73%411.34M
162.79%307.21M
172.10%225.69M
109.84%78.83M
115.64%197.07M
-193.01%-489.26M
-297.73%-313.04M
-361.83%-801.45M
-605.85%-1.26B
325.57%526.00M
-0.19%158.31M
15.96%306.10M
30.20%249.13M
-28.08%123.60M
-10.40%158.62M
107.74%263.96M
111.55%191.34M
--171.85M
617.01%177.04M
991.68%127.06M
712.00%90.45M
--24.69M
---14.25M
---14.78M
Betriebsergebnisse und -verluste
18.89%258.40M
--3.80B
18.33%263.83M
1.14%224.22M
2.28%217.34M
9.39%222.96M
12.60%221.69M
14.95%212.49M
92.47%214.76M
-4.74%203.82M
102.20%196.88M
118.92%184.86M
56.37%111.58M
247.64%213.98M
54.08%97.37M
40.28%84.44M
28.12%71.35M
40.35%61.55M
85.18%63.19M
102.52%60.19M
70.71%55.69M
79.37%43.85M
--34.13M
71.79%29.72M
89.31%32.62M
70.97%24.45M
--17.30M
--17.23M
--14.30M
Abgegrenzte Steuer
-366.91%-12.20M
---59.45M
133.44%14.37M
-95.08%2.01M
-87.84%4.57M
3.10%-42.98M
151.93%40.86M
184.20%37.57M
127.35%14.60M
78.89%-44.36M
-326.26%-78.69M
-303.50%-44.62M
-867.61%-53.37M
-773.42%-210.17M
-19.89%34.78M
-34.17%-11.06M
-57.27%6.95M
38.60%31.21M
21.61%43.41M
-56.84%-8.24M
975.55%16.27M
259.26%22.52M
--35.70M
-19.70%-5.25M
128.33%1.51M
-318.57%-14.14M
---4.39M
---5.34M
--6.47M
Andere nicht monetäre Posten
7.27%76.86M
--17.23M
-55.20%40.20M
143.60%68.00M
494.12%71.66M
184.21%89.73M
-17.70%27.91M
-41.40%12.06M
-23.32%25.20M
63.18%31.57M
18135.48%33.92M
105.29%20.58M
254.67%32.87M
230.57%19.35M
-97.94%186.00K
-6.69%10.03M
-35.23%9.27M
-18.20%5.85M
-45.42%9.03M
101.52%10.74M
1437.20%14.31M
149.00%7.16M
--16.55M
-2.02%5.33M
-207.11%-1.07M
-1324.68%-14.60M
--5.44M
--999.00K
---1.02M
Veränderung des Umlaufvermögens
57.13%-1.75B
---2.40B
-75.16%-2.21B
-7235.48%-2.25B
-2236.04%-4.07B
-31.74%-1.26B
-115.72%-30.73M
32.25%190.67M
-996.84%-492.18M
-187.27%-959.07M
-72.07%195.56M
124.71%144.17M
118.54%54.88M
156.25%1.10B
7.17%700.26M
-232.13%-583.55M
75.32%-296.00M
-443.91%-1.95B
127.55%653.44M
74.15%-175.70M
49.06%-1.20B
-90.72%-359.19M
---2.37B
-67.65%-679.71M
-317.38%-2.35B
75.66%-188.33M
---405.43M
---564.18M
---773.64M
-Änderung der Forderungen
165.80%1.45B
---1.60B
227.37%1.84B
-113.50%-174.58M
-186.32%-2.20B
-176.61%-1.44B
-14.25%1.29B
62.75%2.55B
-88.21%-830.36M
71.25%-521.09M
209.84%1.51B
144.66%1.57B
38.06%-441.19M
47.14%-1.81B
-175.21%-1.37B
-46.00%640.10M
58.81%-712.23M
-70549.97%-3.43B
77.50%-498.82M
200.30%1.19B
34.98%-1.73B
99.30%-4.85M
---2.22B
-158.20%-1.18B
-94.12%-2.66B
14.13%-695.65M
---457.75M
---1.37B
---810.13M
-Änderung bei den Vorauszahlungen
-614.27%-99.69M
---33.35M
-3.13%19.44M
315.71%82.37M
-152.09%-13.96M
-38.75%20.07M
-56.31%19.82M
-61.01%26.79M
-56.91%6.14M
176.89%32.76M
387.88%45.35M
128.50%68.71M
784.92%14.26M
-1450.36%-42.60M
981.97%9.30M
-126.59%-241.04M
-123.04%-2.08M
180.94%3.15M
-117.54%-1.05M
-684.09%-106.38M
-22.91%9.04M
110.74%1.12M
--6.01M
-200.42%-13.57M
300.79%11.72M
-734.48%-10.46M
---4.52M
---5.84M
---1.25M
-Änderung bei anderen kurzfristigen Vermögenswerten
23.67%-147.37M
---207.18M
---149.19M
---121.32M
---193.08M
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-Änderung bei anderen kurzfristigen Verbindlichkeiten
-255.38%-152.74M
--95.56M
348.19%137.43M
119.31%142.72M
53.12%-42.98M
-90.18%30.66M
109.65%65.08M
-221.98%-91.67M
424.68%90.61M
25680.51%312.34M
167.57%31.04M
10.06%75.15M
-370.54%-27.91M
-101.02%-1.22M
-255.00%-45.94M
1948.48%68.28M
-119.14%-5.93M
550.25%119.54M
442.77%29.64M
33.31%-3.69M
-25.49%30.98M
-46.79%18.38M
---8.65M
-121.21%-5.54M
69.85%41.58M
1558.87%34.55M
--26.11M
--24.48M
---2.37M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
125.25%624.33M
---300.79M
-307.26%-131.46M
-186.01%-716.07M
-311.66%-2.47B
137.50%63.43M
16.50%832.50M
46.94%1.17B
-42.34%343.04M
-109.51%-169.13M
-45.95%714.61M
991.83%795.17M
145.22%594.99M
206.53%1.78B
17.92%1.32B
-124.60%-89.16M
136.57%242.64M
-978.01%-1.67B
159.53%1.12B
222.93%362.46M
68.79%-663.49M
129.04%190.19M
---1.88B
-25.52%-294.85M
-318.97%-2.13B
112.31%83.04M
---234.90M
---507.34M
---674.37M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
-6.23%287.50M
--325.11M
69.12%297.86M
2.49%340.43M
-26.33%306.61M
65.01%176.12M
53.32%332.15M
87.92%416.18M
-72.29%151.38M
-29.48%106.73M
-3.49%216.65M
-41.17%221.47M
1011.82%546.29M
-16.01%151.36M
110.85%224.47M
235.58%376.44M
29.36%49.13M
-16.20%180.20M
34.05%106.46M
68.95%112.18M
120.74%37.98M
445.12%215.04M
--79.42M
6.50%66.40M
-71.22%17.21M
-19.98%39.45M
--62.35M
--59.78M
--49.30M
Investitionsausgaben
-6.24%287.51M
--325.11M
68.96%298.04M
3.74%344.61M
-26.36%306.65M
61.45%176.39M
53.21%332.19M
72.17%416.39M
-71.64%155.32M
-27.82%109.26M
-3.41%216.82M
-35.77%241.85M
1001.77%547.71M
-16.79%151.36M
101.67%224.48M
235.66%376.54M
30.55%49.71M
-15.47%181.90M
39.04%111.31M
68.36%112.18M
44.66%38.08M
404.58%215.18M
--80.06M
1.67%66.63M
-55.97%26.32M
-21.37%42.65M
--65.53M
--59.78M
--54.23M
Netto-Cashflow aus der Veräußerung von Anlagevermögen
-0.21%180.20M
--206.07M
208.90%169.97M
5.08%206.12M
-46.91%180.58M
23.62%55.02M
16.33%196.14M
192.13%340.12M
-87.00%61.18M
-49.25%44.51M
-11.38%168.61M
-65.18%116.43M
1176.44%470.57M
-42.31%87.71M
121.48%190.27M
270.65%334.34M
91.43%36.87M
-22.86%152.03M
39.20%85.91M
65.77%90.20M
197.51%19.26M
565.23%197.07M
--61.72M
5.34%54.42M
-88.23%6.47M
-29.76%29.63M
--51.66M
--54.98M
--42.18M
Netto-Cashflow aus Transaktionen mit immateriellen Vermögenswerten
-14.86%107.30M
--119.04M
5.61%127.89M
-1.24%134.32M
65.69%126.03M
94.61%121.10M
183.16%136.01M
-27.59%76.06M
19.13%90.21M
-2.24%62.23M
40.46%48.03M
149.47%105.05M
517.19%75.72M
125.94%63.65M
66.42%34.20M
91.62%42.11M
-34.48%12.27M
56.75%28.17M
16.09%20.55M
83.38%21.98M
74.45%18.73M
82.94%17.97M
--17.70M
12.08%11.98M
123.39%10.73M
37.98%9.82M
--10.69M
--4.80M
--7.12M
Netto-Cashflow aus Geschäftstransaktionen
----
--0.00
--0.00
---9.05M
---4.20M
100.00%0.00
100.00%0.00
100.00%0.00
-432500.00%-4.33M
99.90%-7.46M
-273.68%-35.52M
---41.85M
100.00%-1.00K
-25674.87%-7.21B
83.43%-9.51M
----
---162.09M
---27.96M
---57.37M
----
--0.00
100.00%0.00
----
----
--0.00
---2.94M
----
----
--0.00
Netto-Cashflow aus Anlageprodukten
-87.65%374.09M
---135.04M
-117.31%-258.62M
383.06%416.64M
542.26%3.03B
1101.50%1.49B
-157.42%-147.19M
198.12%471.64M
-327.33%-665.33M
-103.39%-149.18M
-76.71%256.34M
-124.88%-480.67M
225.13%292.67M
159.63%4.40B
-32.03%1.10B
-135.55%-213.74M
210.15%90.02M
-9282.01%-7.38B
8716.64%1.62B
282.36%601.22M
96.88%-81.72M
-218.09%-78.66M
---18.79M
1215.80%157.24M
-1687.42%-2.62B
138.22%66.61M
---14.09M
--164.83M
---174.25M
Netto-Cashflow aus anderen Investitionstätigkeiten
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---200.00K
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Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-97.06%79.31M
---479.28M
-143.06%-566.81M
86.84%-66.85M
5131.77%2.70B
575.77%1.32B
-4826.93%-508.06M
106.87%51.62M
-228.46%-833.07M
90.66%-276.70M
-101.19%-10.31M
-20.00%-751.07M
-107.61%-253.63M
61.16%-2.96B
-40.13%863.74M
-226.57%-625.87M
2.30%-122.16M
-2457.30%-7.62B
1477.92%1.44B
447.64%494.46M
95.26%-125.04M
-1388.40%-298.12M
---104.69M
218.12%90.29M
-2633.03%-2.64B
110.37%23.14M
---76.44M
--104.10M
---223.22M
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-110.39%-268.59M
--2.00B
-152.53%-58.28M
3254.67%517.69M
391.30%2.58B
111.19%110.96M
101.39%15.43M
-149.19%-887.28M
-131.48%-351.06M
39.27%-991.87M
-162.31%-1.11B
-331.34%-356.07M
863.13%1.12B
-118.75%-1.63B
236.83%1.78B
150.57%153.92M
-92.34%115.80M
4475.62%8.71B
-163.17%-1.30B
-4683.98%-304.36M
-69.03%1.51B
336.81%190.31M
--2.06B
15.50%-6.36M
445.86%4.88B
-147.12%-80.37M
---7.53M
--893.61M
--170.54M
Netto-Cashflow aus Schuldenemission/Rückzahlung
-115.91%-411.56M
--1.01B
-582.07%-544.55M
-1199.08%-178.56M
392.36%2.59B
111.41%112.96M
101.46%16.25M
-116.71%-884.98M
-131.36%-350.25M
39.32%-990.38M
-143.70%-1.11B
-363.69%-408.36M
761.28%1.12B
-542.82%-1.63B
486.39%2.54B
1104.04%154.86M
-91.42%129.69M
-248.90%-253.89M
-248.33%-657.71M
309.21%12.86M
104.56%1.51B
4432.27%170.52M
--443.40M
-23.73%-6.15M
10429.18%738.74M
33.19%-3.94M
---4.97M
---7.15M
---5.89M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
---843.41M
---608.34M
---742.47M
---236.53M
----
--0.00
--0.00
-100.00%0.00
--0.00
--0.00
100.00%0.00
123.01%53.41M
100.00%0.00
-100.00%0.00
-2530.96%-756.74M
-388.52%-232.08M
-15431.11%-13.98M
--7.85B
---28.76M
---47.51M
-100.00%-90.00K
100.00%0.00
--0.00
-100.00%0.00
5749.57%4.15B
-135.84%-63.23M
--3.24M
--70.89M
--176.43M
Netto-Cashflow aus anderen Finanzierungsaktivitäten
36060.15%986.39M
--1.59B
68287.01%1.23B
177083.49%932.70M
-94.82%-2.74M
-54.28%-1.80M
-318.25%-527.00K
-74.47%-1.41M
-13.98%-1.50M
-55.94%-1.17M
86.03%-126.00K
---807.00K
---1.32M
-100.07%-749.00K
99.85%-902.00K
----
----
5482.91%1.12B
-138.06%-616.58M
---500.00M
---4.00K
100.00%20.00M
--1.62B
----
-100.00%0.00
--10.00M
----
--1.05B
--0.00
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-110.39%-268.59M
--2.00B
-152.53%-58.28M
3254.67%517.69M
391.30%2.58B
111.19%110.96M
101.39%15.43M
-149.19%-887.28M
-131.48%-351.06M
39.27%-991.87M
-162.31%-1.11B
-331.34%-356.07M
863.13%1.12B
-118.75%-1.63B
236.83%1.78B
150.57%153.92M
-92.34%115.80M
4475.62%8.71B
-163.17%-1.30B
-4683.98%-304.36M
-69.03%1.51B
336.81%190.31M
--2.06B
15.50%-6.36M
445.86%4.88B
-147.12%-80.37M
---7.53M
--893.61M
--170.54M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
140.20%5.23B
--4.01B
115.34%4.74B
168.83%4.99B
43.89%2.18B
-41.83%2.20B
-55.50%1.86B
-66.35%1.51B
-22.97%2.34B
-35.52%3.79B
123.75%4.17B
83.72%4.50B
38.75%3.04B
111.49%5.87B
22.71%1.86B
152.70%2.45B
794.46%2.19B
1628.63%2.78B
1645.91%1.52B
225.02%968.34M
41.20%245.10M
12.42%160.63M
--86.98M
-53.59%297.93M
15.04%173.59M
-83.74%142.89M
--641.95M
--150.89M
--878.86M
Änderungen des Cashflows im aktuellen Zeitraum
-84.97%422.71M
--1.21B
-148.98%-729.96M
-170.60%-245.10M
719.88%2.81B
203.23%1.49B
190.69%347.14M
205.19%342.97M
-157.13%-830.56M
49.00%-1.44B
-109.55%-382.76M
44.13%-326.03M
470.84%1.45B
-384.34%-2.83B
218.65%4.01B
-206.04%-583.52M
-64.79%254.67M
-791.96%-584.46M
1608.21%1.26B
360.85%550.27M
481.66%723.24M
175.18%84.46M
--73.65M
33.41%-210.95M
-74.68%124.34M
104.22%30.69M
---316.77M
--491.06M
---727.96M
Auswirkungen von Wechselkursänderungen
-14253.49%-12.34M
---2.10M
5734.96%26.60M
176.83%20.13M
-100.84%-86.00K
92.11%-472.00K
-69.79%7.27M
172.75%10.23M
459.16%10.53M
60.31%-5.98M
-39.71%24.07M
37.22%-14.07M
-115.93%-2.93M
-1285.38%-15.08M
1760.90%39.93M
-876.72%-22.41M
1877.96%18.39M
-38.88%1.27M
-104.77%-2.40M
-8092.86%-2.29M
-89.60%930.00K
-57.39%2.08M
---1.17M
-101.33%-28.00K
1197.97%8.94M
632.61%4.88M
--2.10M
--689.00K
---917.00K
Endbestand an Zahlungsmitteln
13.27%5.65B
--5.23B
8.67%4.01B
115.34%4.74B
168.83%4.99B
57.61%3.69B
-41.83%2.20B
-55.50%1.86B
-66.35%1.51B
-22.97%2.34B
-35.52%3.79B
123.75%4.17B
83.72%4.50B
38.75%3.04B
111.49%5.87B
22.71%1.86B
152.70%2.45B
794.46%2.19B
1628.63%2.78B
1645.91%1.52B
225.02%968.34M
41.20%245.10M
--160.63M
-73.25%86.98M
-53.59%297.93M
15.04%173.59M
--325.18M
--641.95M
--150.89M
Freier Cashflow
112.12%336.82M
---625.90M
-280.22%-429.50M
-312.00%-1.06B
-469.64%-2.78B
59.42%-112.96M
0.51%500.31M
35.91%752.01M
297.09%187.72M
-117.11%-278.39M
-54.65%497.79M
218.81%553.32M
-75.50%47.27M
187.89%1.63B
8.69%1.10B
-286.07%-465.70M
127.50%192.93M
-7309.60%-1.85B
151.43%1.01B
169.24%250.28M
67.40%-701.57M
-161.88%-24.99M
---1.96B
-20.32%-361.48M
-279.45%-2.15B
105.54%40.39M
---300.44M
---567.12M
---728.61M
Währungseinheit
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Prüfungsmeinungen
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