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Stevanato Group SpA
STVN
25.355
USD
+0.235
+0.94%
Trading geöffnet (ET)
Kurse um 15 Minuten verzögert
USD
0.000
Vorbörsliches Trading (ET)
6.92B
Marktkapitalisierung
55.14
KGV TTM
Stevanato Group SpA
25.355
+0.235
+0.94%
Übersicht
Unternehmen
Finanzen
Berichte
Einkommensauszug
Bilanz
Cashflow-Statement
Übersicht
Unternehmen
Finanzen
Berichte
Einkommensauszug
Bilanz
Cashflow-Statement
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
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-51.31%
90.72M
32.83%
98.27M
20.32%
78.00M
27.65%
78.15M
7.88%
186.33M
-71.80%
73.98M
-77.44%
64.82M
-82.12%
61.22M
-56.17%
172.72M
-40.14%
262.34M
-36.91%
287.32M
165.95%
342.30M
223.81%
394.08M
--
438.26M
--
455.42M
--
128.71M
--
121.70M
- Barmittel und Barmitteläquivalente
-51.31%
90.72M
41.19%
98.27M
20.32%
78.00M
27.65%
78.15M
17.36%
186.33M
-69.57%
69.60M
-75.06%
64.82M
-80.56%
61.22M
-56.70%
158.76M
-44.35%
228.74M
-39.27%
259.93M
212.46%
314.91M
357.30%
366.69M
--
411.04M
--
427.97M
--
100.79M
--
80.19M
-Kurzfristige Anlagen
--
--
--
--
--
--
--
--
-100.00%
0.00
-86.96%
4.38M
-100.00%
0.00
-100.00%
0.00
-49.06%
13.95M
23.46%
33.60M
-0.19%
27.39M
-1.91%
27.39M
-34.02%
27.39M
--
27.22M
--
27.45M
--
27.93M
--
41.52M
Forderungen
4.16%
486.47M
0.47%
535.09M
11.72%
496.29M
12.11%
486.44M
14.75%
467.04M
43.87%
532.59M
18.08%
444.23M
31.78%
433.89M
33.73%
407.00M
32.78%
370.18M
40.10%
376.22M
41.63%
329.25M
37.12%
304.34M
--
278.80M
--
268.54M
--
232.47M
--
221.95M
-Forderungen aus Lieferungen und Leistungen
13.51%
250.82M
-1.93%
295.95M
16.80%
268.07M
3.29%
236.98M
-8.26%
220.96M
41.85%
301.77M
12.40%
229.52M
23.65%
229.44M
38.02%
240.86M
28.73%
212.73M
31.95%
204.20M
36.64%
185.55M
24.40%
174.51M
--
165.26M
--
154.75M
--
135.80M
--
140.28M
-Sonstige Forderungen
-5.59%
216.89M
2.41%
221.69M
8.29%
213.44M
28.59%
232.46M
59.96%
229.73M
58.68%
216.48M
43.63%
197.11M
60.29%
180.78M
40.45%
143.62M
54.20%
136.43M
46.92%
137.23M
104.57%
112.78M
125.98%
102.25M
--
88.47M
--
93.41M
--
55.13M
--
45.25M
Inventar
-7.57%
261.66M
-3.96%
245.22M
3.41%
286.59M
12.45%
302.78M
15.33%
283.09M
19.73%
255.32M
27.10%
277.15M
39.85%
269.26M
47.19%
245.45M
43.20%
213.25M
47.01%
218.05M
28.60%
192.54M
10.19%
166.76M
--
148.92M
--
148.33M
--
149.72M
--
151.35M
Sonstige kurzfristige Vermögenswerte
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-1.00K
--
-1.00K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Summe der kurzfristigen Vermögenswerte
-10.04%
845.47M
2.12%
880.12M
9.50%
863.52M
13.02%
869.69M
13.05%
939.79M
1.91%
861.89M
-11.16%
788.60M
-11.30%
769.51M
-4.06%
831.27M
-2.33%
845.77M
1.76%
887.62M
69.81%
867.55M
75.04%
866.43M
--
865.97M
--
872.28M
--
510.89M
--
495.00M
Langfristige Vermögenswerte
Nettoanlagevermögen
15.88%
1.28B
20.77%
1.26B
19.26%
1.17B
31.60%
1.16B
46.34%
1.11B
58.43%
1.05B
66.57%
984.79M
66.50%
878.69M
63.68%
756.73M
59.05%
660.69M
56.89%
591.21M
44.28%
527.73M
32.74%
462.31M
--
415.41M
--
376.82M
--
365.78M
--
348.28M
-Anlagevermögen
13.61%
1.86B
--
1.83B
16.48%
1.72B
25.35%
1.69B
35.22%
1.64B
--
--
44.97%
1.48B
44.33%
1.35B
41.34%
1.21B
154.40%
1.10B
36.29%
1.02B
29.07%
936.76M
23.24%
856.79M
--
431.13M
--
747.23M
--
725.79M
--
695.22M
-Abgegrenzte Abschreibungen
8.87%
577.05M
--
564.54M
10.91%
545.26M
13.76%
538.53M
16.69%
530.04M
--
--
15.08%
491.63M
15.73%
473.37M
15.14%
454.21M
2674.37%
436.07M
15.34%
427.22M
13.62%
409.04M
13.70%
394.48M
--
15.72M
--
370.41M
--
360.01M
--
346.94M
Goodwill und andere immaterielle Vermögenswerte
2.52%
83.08M
3.22%
83.57M
9.59%
83.09M
6.57%
82.18M
3.85%
81.03M
1.97%
80.97M
-7.19%
75.82M
-4.48%
77.11M
-1.65%
78.03M
0.29%
79.40M
3.12%
81.69M
1.24%
80.74M
-1.03%
79.34M
--
79.17M
--
79.22M
--
79.75M
--
80.17M
Sonstige langfristige Vermögenswerte
23.80%
97.99M
25.04%
95.34M
21.52%
86.99M
7.51%
82.83M
9.01%
79.15M
10.17%
76.25M
8.95%
71.58M
27.21%
77.04M
27.25%
72.61M
23.86%
69.21M
25.88%
65.70M
34.16%
60.56M
20.02%
57.06M
--
55.88M
--
52.19M
--
45.14M
--
47.54M
Summe der langfristigen Vermögenswerte
16.16%
1.48B
19.76%
1.45B
18.62%
1.35B
27.73%
1.33B
39.60%
1.27B
48.62%
1.21B
53.70%
1.14B
54.91%
1.04B
51.70%
911.85M
47.22%
813.92M
43.93%
740.61M
35.11%
670.83M
24.09%
601.09M
--
552.87M
--
514.58M
--
496.50M
--
484.39M
Summe der Vermögenswerte
5.04%
2.32B
12.42%
2.33B
14.89%
2.21B
21.47%
2.20B
26.94%
2.21B
24.82%
2.07B
18.35%
1.93B
17.57%
1.81B
18.78%
1.74B
16.98%
1.66B
17.40%
1.63B
52.71%
1.54B
49.84%
1.47B
--
1.42B
--
1.39B
--
1.01B
--
979.39M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
-5.77%
70.40M
-12.44%
68.36M
-22.56%
73.23M
-8.24%
89.31M
-5.13%
74.71M
9.16%
78.08M
23.70%
94.56M
14.50%
97.33M
13.48%
78.75M
4.35%
71.53M
0.78%
76.45M
44.99%
85.00M
25.56%
69.40M
--
68.54M
--
75.85M
--
58.63M
--
55.27M
Kurzfristige Rückstellungen
371.49%
5.34M
289.37%
4.14M
--
1.86M
--
1.46M
--
1.13M
--
1.06M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
-13.73%
80.62M
-20.86%
111.93M
-26.45%
73.15M
-5.36%
63.52M
12.06%
93.46M
105.79%
141.44M
52.13%
99.45M
19.83%
67.12M
64.23%
83.40M
64.48%
68.73M
28.69%
65.38M
-16.35%
56.01M
-29.40%
50.78M
--
41.78M
--
50.80M
--
66.96M
--
71.93M
-Kurzfristige Verbindlichkeiten
-99.92%
29.00K
-40.44%
50.03M
-98.83%
512.00K
-97.00%
341.00K
27.33%
35.80M
534.24%
84.00M
250.88%
43.63M
279.94%
11.36M
406.94%
28.11M
35697.30%
13.24M
123.63%
12.44M
-7.63%
2.99M
19.71%
5.55M
--
37.00K
--
5.56M
--
3.24M
--
4.63M
-Kurzfristige Leasingverpflichtungen
-22.09%
4.77M
-12.82%
5.09M
8.05%
5.34M
19.68%
5.83M
22.55%
6.13M
9.69%
5.84M
-12.32%
4.95M
-14.94%
4.87M
-12.93%
5.00M
-4.11%
5.33M
2.82%
5.64M
3.55%
5.72M
2.90%
5.74M
--
5.55M
--
5.49M
--
5.53M
--
5.58M
Aufgeschobene Verbindlichkeiten
-55.63%
11.43M
-25.83%
16.55M
135.83%
23.22M
110.68%
23.50M
148.43%
25.77M
50.24%
22.31M
-57.40%
9.85M
-51.41%
11.15M
-34.00%
10.37M
-20.90%
14.85M
65.81%
23.11M
255.87%
22.96M
191.36%
15.71M
--
18.77M
--
13.94M
--
6.45M
--
5.39M
Andere kurzfristige Verbindlichkeiten
-1.26%
113.83M
-15.01%
105.67M
-33.10%
105.29M
-22.86%
125.40M
-19.83%
115.27M
10.09%
124.34M
24.56%
157.39M
19.46%
162.56M
26.33%
143.79M
1.81%
112.94M
5.29%
126.35M
21.77%
136.08M
0.69%
113.82M
--
110.93M
--
120.01M
--
111.75M
--
113.05M
Summe der kurzfristigen Verbindlichkeiten
-5.11%
463.26M
-16.87%
477.47M
-14.80%
477.06M
-11.75%
499.56M
-5.39%
488.21M
24.19%
574.39M
26.19%
559.95M
37.59%
566.05M
47.94%
516.03M
36.58%
462.50M
35.46%
443.75M
24.26%
411.39M
13.24%
348.81M
--
338.62M
--
327.60M
--
331.08M
--
308.02M
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
-14.88%
9.66M
-12.57%
9.96M
-11.42%
11.12M
-11.65%
11.32M
-8.03%
11.35M
-17.88%
11.39M
-2.43%
12.55M
-7.00%
12.82M
-22.09%
12.34M
-9.67%
13.87M
-14.13%
12.86M
-6.16%
13.78M
-54.67%
15.84M
--
15.35M
--
14.98M
--
14.69M
--
34.94M
Langfristige Schulden und Leasingverbindlichkeiten
12.73%
302.02M
26.10%
305.23M
50.38%
276.35M
122.78%
240.51M
106.84%
267.92M
80.97%
242.05M
18.78%
183.77M
-32.05%
107.95M
-27.97%
129.53M
-27.30%
133.75M
-29.30%
154.72M
-35.32%
158.87M
-31.54%
179.84M
--
183.99M
--
218.83M
--
245.62M
--
262.70M
-Langfristige Verbindlichkeiten
12.73%
302.02M
26.10%
305.23M
50.38%
276.35M
122.78%
240.51M
106.84%
267.92M
80.97%
242.05M
18.78%
183.77M
-32.05%
107.95M
-27.97%
129.53M
-27.30%
133.75M
-29.30%
154.72M
-35.32%
158.87M
-31.54%
179.84M
--
183.99M
--
218.83M
--
245.62M
--
262.70M
Mitarbeitervorteile
-9.71%
6.69M
-3.37%
7.16M
10.08%
7.20M
7.04%
7.22M
9.22%
7.41M
-10.85%
7.41M
-17.74%
6.54M
-24.94%
6.75M
-44.70%
6.78M
-29.85%
8.31M
-27.70%
7.95M
-14.67%
8.99M
-54.17%
12.27M
--
11.85M
--
11.00M
--
10.54M
--
26.76M
Andere langfristige Verbindlichkeiten
15.65%
119.52M
17.64%
117.36M
77.97%
115.00M
135.89%
110.33M
212.50%
103.35M
212.49%
99.77M
123.91%
64.62M
199.67%
46.77M
82.90%
33.07M
78.41%
31.93M
71.93%
28.86M
-5.51%
15.61M
-50.82%
18.08M
--
17.89M
--
16.79M
--
16.52M
--
36.77M
Gesamt langfristige Verbindlichkeiten
12.92%
445.02M
22.61%
446.96M
53.34%
414.49M
97.67%
373.27M
100.45%
394.10M
81.11%
364.54M
22.11%
270.31M
-11.03%
188.83M
-16.03%
196.61M
-15.62%
201.29M
-17.33%
221.37M
-28.02%
212.25M
-29.61%
234.13M
--
238.56M
--
267.77M
--
294.87M
--
332.63M
Gesamtverbindlichkeiten
2.94%
908.28M
-1.54%
924.43M
7.38%
891.55M
15.63%
872.83M
23.81%
882.31M
41.45%
938.93M
24.83%
830.27M
21.04%
754.88M
22.25%
712.64M
15.00%
663.79M
11.72%
665.12M
-0.37%
623.64M
-9.01%
582.94M
--
577.18M
--
595.37M
--
625.94M
--
640.65M
Eigenkapital der Aktionäre
Stammkapital
0.00%
22.23M
2.46%
22.23M
2.46%
22.23M
2.46%
22.23M
2.46%
22.23M
0.00%
21.70M
0.00%
21.70M
0.00%
21.70M
0.00%
21.70M
0.00%
21.70M
0.00%
21.70M
8.48%
21.70M
8.48%
21.70M
--
21.70M
--
21.70M
--
20.00M
--
20.00M
Gewinnrücklagen
6.54%
1.39B
24.42%
1.38B
20.95%
1.30B
26.13%
1.30B
29.65%
1.31B
14.00%
1.11B
14.15%
1.07B
15.55%
1.03B
16.88%
1.01B
18.78%
974.43M
22.27%
941.60M
146.94%
893.30M
170.55%
863.24M
--
820.38M
--
770.12M
--
361.75M
--
319.06M
Nicht beherrschende Anteile
-24.56%
43.00K
-60.00%
46.00K
-56.25%
49.00K
138.03%
54.00K
129.23%
57.00K
152.27%
115.00K
160.87%
112.00K
43.87%
-142.00K
45.68%
-195.00K
46.99%
-220.00K
43.38%
-184.00K
15.95%
-253.00K
-8.46%
-359.00K
--
-415.00K
--
-325.00K
--
-301.00K
--
-331.00K
Gesamtes Eigenkapital
6.42%
1.42B
23.99%
1.40B
20.57%
1.32B
25.66%
1.32B
29.11%
1.33B
13.73%
1.13B
13.87%
1.10B
15.20%
1.05B
16.49%
1.03B
18.33%
995.91M
21.68%
963.11M
139.81%
914.74M
161.14%
884.58M
--
841.66M
--
791.49M
--
381.45M
--
338.74M
Währungseinheit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Prüfungsmeinungen
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