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nasdaq-udmy
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Udemy Inc
UDMY
7.270
USD
-0.340
-4.47%
Handelsschluss 08/01, 16:00(ET)
Kurse um 15 Minuten verzögert
USD
0.000
Nachbörsliches Trading (ET)
1.09B
Marktkapitalisierung
Verlust
KGV TTM
Udemy Inc
7.270
-0.340
-4.47%
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
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-6.88%
391.98M
-17.11%
357.01M
-25.68%
354.44M
-25.52%
357.11M
-9.58%
420.92M
-3.27%
430.69M
2.48%
476.94M
-2.94%
479.44M
-9.11%
465.51M
-12.86%
445.25M
-12.83%
465.37M
279.45%
493.97M
213.83%
512.17M
--
510.96M
--
533.87M
--
130.18M
--
163.20M
- Barmittel und Barmitteläquivalente
-15.46%
230.26M
-26.16%
189.62M
-37.63%
190.59M
-37.63%
204.56M
-15.74%
272.36M
-6.83%
256.81M
-2.59%
305.56M
-23.36%
327.97M
-36.89%
323.23M
-46.06%
275.63M
-41.24%
313.69M
228.71%
427.91M
213.83%
512.17M
--
510.96M
--
533.87M
--
130.18M
--
163.20M
-Kurzfristige Anlagen
8.86%
161.72M
-3.73%
167.40M
-4.39%
163.84M
0.71%
152.55M
4.41%
148.56M
2.52%
173.88M
12.98%
171.37M
129.31%
151.47M
--
142.29M
--
169.61M
--
151.69M
--
66.05M
--
--
--
--
--
--
--
--
--
--
Forderungen
2.88%
84.44M
11.43%
111.17M
-4.69%
88.22M
-2.04%
81.16M
-5.65%
82.08M
3.47%
99.77M
-11.46%
92.56M
15.75%
82.86M
25.52%
87.00M
42.43%
96.42M
42.84%
104.53M
76.07%
71.58M
62.07%
69.31M
--
67.70M
--
73.18M
--
40.66M
--
42.76M
-Forderungen aus Lieferungen und Leistungen
2.88%
84.44M
11.43%
111.17M
-4.69%
88.22M
-2.04%
81.16M
-5.65%
82.08M
3.47%
99.77M
-11.46%
92.56M
15.75%
82.86M
25.52%
87.00M
42.43%
96.42M
42.84%
104.53M
76.07%
71.58M
62.07%
69.31M
--
67.70M
--
73.18M
--
40.66M
--
42.76M
Aktive Rechnungsabgrenzungsposten
15.04%
22.92M
2.04%
26.13M
8.66%
22.73M
34.93%
24.78M
40.74%
19.92M
47.03%
25.61M
99.05%
20.92M
85.42%
18.36M
36.66%
14.15M
48.43%
17.42M
-15.67%
10.51M
28.79%
9.90M
76.61%
10.36M
--
11.73M
--
12.46M
--
7.69M
--
5.87M
Sonstige kurzfristige Vermögenswerte
7.07%
48.16M
-1.32%
46.74M
-2.32%
40.94M
9.52%
44.96M
16.30%
44.98M
31.82%
47.36M
21.14%
41.91M
24.60%
41.05M
27.26%
38.68M
34.98%
35.93M
54.74%
34.60M
20.13%
32.95M
40.07%
30.39M
--
26.62M
--
22.36M
--
27.43M
--
21.70M
Summe der kurzfristigen Vermögenswerte
-3.59%
547.50M
-10.34%
541.06M
-19.93%
506.33M
-18.29%
508.01M
-6.18%
567.90M
1.41%
603.43M
2.82%
632.33M
2.19%
621.71M
-2.71%
605.34M
-3.57%
595.02M
-4.18%
615.01M
195.41%
608.40M
166.45%
622.22M
--
617.02M
--
641.87M
--
205.95M
--
233.52M
Langfristige Vermögenswerte
Nettoanlagevermögen
-1.77%
16.29M
103.07%
16.80M
52.85%
15.48M
24.74%
15.15M
17.58%
16.58M
-48.47%
8.27M
-44.91%
10.13M
-41.47%
12.15M
-38.01%
14.11M
-35.60%
16.05M
85.99%
18.39M
95.99%
20.75M
113.25%
22.75M
--
24.93M
--
9.89M
--
10.59M
--
10.67M
-Anlagevermögen
3.83%
47.11M
29.53%
47.02M
20.19%
45.21M
13.14%
44.34M
12.06%
45.37M
-12.93%
36.30M
-13.65%
37.61M
-13.05%
39.19M
-12.12%
40.49M
-11.47%
41.69M
41.28%
43.56M
48.33%
45.07M
55.41%
46.07M
--
47.09M
--
30.83M
--
30.39M
--
29.64M
-Abgegrenzte Abschreibungen
7.07%
30.82M
7.82%
30.22M
8.15%
29.72M
7.94%
29.19M
9.12%
28.79M
9.33%
28.03M
9.19%
27.48M
11.21%
27.04M
13.13%
26.38M
15.67%
25.64M
20.17%
25.17M
22.84%
24.32M
22.89%
23.32M
--
22.16M
--
20.95M
--
19.80M
--
18.98M
Goodwill und andere immaterielle Vermögenswerte
-7.01%
45.42M
-6.95%
45.60M
-5.35%
46.62M
-2.35%
48.58M
-2.69%
48.84M
-1.89%
49.01M
-0.27%
49.26M
1.67%
49.75M
5.39%
50.19M
6.58%
49.95M
6.68%
49.39M
6.60%
48.93M
172.48%
47.63M
--
46.87M
--
46.30M
--
45.90M
--
17.48M
Sonstige langfristige Vermögenswerte
-9.98%
34.75M
-5.08%
35.53M
-5.04%
37.19M
-12.71%
37.16M
-8.50%
38.61M
-14.48%
37.43M
-8.21%
39.17M
5.89%
42.57M
9.91%
42.19M
24.80%
43.77M
34.21%
42.67M
46.12%
40.21M
53.57%
38.39M
--
35.07M
--
31.79M
--
27.52M
--
25.00M
Summe der langfristigen Vermögenswerte
-7.28%
96.46M
-6.75%
97.94M
-8.79%
99.30M
-12.10%
100.89M
-10.93%
104.03M
-13.83%
105.03M
-11.17%
108.87M
-5.91%
114.78M
-5.63%
116.80M
0.01%
121.88M
25.08%
122.55M
45.22%
122.00M
132.88%
123.77M
--
121.87M
--
97.98M
--
84.01M
--
53.15M
Summe der Vermögenswerte
-4.16%
643.96M
-9.80%
638.99M
-18.29%
605.63M
-17.32%
608.90M
-6.95%
671.94M
-1.18%
708.45M
0.49%
741.20M
0.84%
736.49M
-3.20%
722.14M
-2.98%
716.90M
-0.31%
737.57M
151.90%
730.39M
160.23%
745.99M
--
738.89M
--
739.85M
--
289.95M
--
286.67M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
-7.76%
35.60M
10.95%
39.24M
-2.32%
43.07M
-6.82%
39.69M
-11.60%
38.59M
-15.88%
35.37M
-0.47%
44.09M
15.45%
42.59M
18.69%
43.66M
21.61%
42.05M
11.87%
44.30M
9.23%
36.90M
14.56%
36.78M
--
34.58M
--
39.60M
--
33.78M
--
32.11M
Rückstellungen
-13.68%
38.75M
-21.36%
39.86M
15.17%
45.54M
6.89%
47.14M
28.37%
44.89M
30.80%
50.69M
4.04%
39.54M
-15.42%
44.10M
-21.19%
34.97M
-11.61%
38.76M
-20.92%
38.00M
21.94%
52.14M
1.72%
44.38M
--
43.84M
--
48.06M
--
42.76M
--
43.63M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
0.00
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Aufgeschobene Verbindlichkeiten
0.47%
311.22M
3.41%
326.33M
4.18%
291.11M
7.26%
299.95M
8.56%
309.77M
14.31%
315.56M
2.00%
279.41M
17.57%
279.65M
18.58%
285.35M
21.23%
276.05M
31.53%
273.94M
43.41%
237.85M
47.86%
240.63M
--
227.70M
--
208.27M
--
165.86M
--
162.75M
Andere kurzfristige Verbindlichkeiten
-0.44%
346.82M
4.17%
365.57M
3.30%
334.17M
5.40%
339.65M
5.88%
348.36M
10.32%
350.94M
1.66%
323.51M
17.29%
322.24M
18.60%
329.00M
21.28%
318.10M
28.39%
318.24M
37.62%
274.75M
42.37%
277.41M
--
262.28M
--
247.87M
--
199.64M
--
194.85M
Summe der kurzfristigen Verbindlichkeiten
-1.51%
402.67M
2.95%
420.32M
4.56%
397.48M
4.24%
402.85M
6.60%
408.84M
6.73%
408.29M
-1.75%
380.13M
7.87%
386.45M
8.38%
383.53M
12.64%
382.53M
13.35%
386.91M
29.35%
358.25M
29.31%
353.87M
--
339.60M
--
341.34M
--
276.95M
--
273.66M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
-24.90%
6.29M
671.01%
7.29M
639.77%
8.31M
348.04%
7.42M
155.03%
8.37M
-80.79%
945.00K
-82.83%
1.12M
-79.32%
1.66M
-66.27%
3.28M
-57.06%
4.92M
--
6.54M
--
8.01M
--
9.73M
--
11.46M
--
0.00
--
0.00
--
0.00
-Langfristige Verbindlichkeiten
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
0.00
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-Langfristige Leasingverbindlichkeiten
-24.90%
6.29M
671.01%
7.29M
639.77%
8.31M
348.04%
7.42M
155.03%
8.37M
-80.79%
945.00K
-82.83%
1.12M
-79.32%
1.66M
-66.27%
3.28M
-57.06%
4.92M
--
6.54M
--
8.01M
--
9.73M
--
11.46M
--
--
--
--
--
--
Aufgeschobene Verbindlichkeiten
-33.46%
1.64M
-13.46%
2.02M
-18.73%
2.44M
-6.19%
2.36M
12.76%
2.46M
-46.18%
2.34M
-30.91%
3.00M
-18.60%
2.52M
-27.90%
2.18M
54.35%
4.35M
90.44%
4.34M
127.31%
3.10M
146.49%
3.02M
--
2.82M
--
2.28M
--
1.36M
--
1.23M
Andere langfristige Verbindlichkeiten
-33.66%
1.64M
-25.64%
2.03M
-19.82%
2.44M
-6.91%
2.37M
11.91%
2.47M
-37.51%
2.73M
-36.58%
3.05M
-66.58%
2.55M
-70.31%
2.21M
-40.36%
4.37M
-45.44%
4.81M
37.47%
7.62M
34.90%
7.44M
--
7.33M
--
8.81M
--
5.54M
--
5.52M
Gesamt langfristige Verbindlichkeiten
-26.90%
7.93M
153.50%
9.32M
157.89%
10.76M
133.02%
9.79M
97.45%
10.84M
-60.44%
3.67M
-63.25%
4.17M
-73.11%
4.20M
-68.02%
5.49M
-50.55%
9.29M
28.87%
11.35M
182.08%
15.63M
211.28%
17.17M
--
18.78M
--
8.81M
--
5.54M
--
5.52M
Gesamtverbindlichkeiten
-2.17%
410.60M
4.29%
429.63M
6.23%
408.23M
5.63%
412.65M
7.88%
419.69M
5.14%
411.96M
-3.50%
384.30M
4.49%
390.65M
4.85%
389.02M
9.33%
391.81M
13.74%
398.26M
32.35%
373.88M
32.91%
371.04M
--
358.38M
--
350.15M
--
282.49M
--
279.17M
Eigenkapital der Aktionäre
Stammkapital
1.14%
1.03B
-1.79%
1.02B
-6.89%
1.00B
-5.18%
991.18M
0.62%
1.02B
5.34%
1.03B
13.09%
1.08B
13.99%
1.05B
14.33%
1.02B
13.58%
982.13M
12.23%
951.95M
509.98%
917.03M
529.66%
888.52M
--
864.68M
--
848.23M
--
150.34M
--
141.11M
Gewinnrücklagen
-3.98%
-800.49M
-9.31%
-806.76M
-11.85%
-804.99M
-13.68%
-795.12M
-12.77%
-769.85M
-12.34%
-738.04M
-17.52%
-719.70M
-24.85%
-699.45M
-32.93%
-682.68M
-35.68%
-656.95M
-33.56%
-612.40M
-34.31%
-560.25M
-25.91%
-513.56M
--
-484.18M
--
-458.53M
--
-417.14M
--
-407.88M
Kapitalrücklagen
1.14%
1.03B
-1.79%
1.02B
-6.89%
1.00B
-5.18%
991.18M
0.62%
1.02B
5.34%
1.03B
13.08%
1.08B
13.99%
1.05B
14.33%
1.02B
13.58%
982.13M
12.23%
951.95M
509.98%
917.03M
529.66%
888.52M
--
864.68M
--
848.23M
--
150.34M
--
141.11M
Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
204.55%
46.00K
79.73%
-15.00K
-113.75%
-11.00K
425.81%
202.00K
8.33%
-44.00K
22.92%
-74.00K
134.33%
80.00K
76.60%
-62.00K
-152.63%
-48.00K
-1166.67%
-96.00K
-23200.00%
-233.00K
--
-265.00K
--
-19.00K
--
9.00K
--
-1.00K
--
--
--
--
Gesamtes Eigenkapital
-7.49%
233.36M
-29.39%
209.36M
-44.69%
197.39M
-43.25%
196.26M
-24.28%
252.25M
-8.79%
296.49M
5.18%
356.89M
-2.99%
345.84M
-11.15%
333.12M
-14.57%
325.08M
-12.93%
339.31M
4678.80%
356.52M
4901.95%
374.95M
--
380.51M
--
389.70M
--
7.46M
--
7.50M
Währungseinheit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Prüfungsmeinungen
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