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Vista Energy SAB de CV

VIST

44.030USD

+0.720+1.66%
Trading geöffnet ETKurse um 15 Minuten verzögert
4.64BMarktkapitalisierung
9.64KGV TTM
Vierteljährlich
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Vierteljährlich
Jährlich
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FY2019Q3
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FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
18.41%56.90M
-1.52%337.68M
121.83%245.63M
225.61%278.31M
-68.22%48.05M
62.08%342.90M
-40.44%110.73M
-46.92%85.47M
54.78%151.17M
56.57%211.56M
120.03%185.91M
46.16%161.02M
473.07%97.67M
613.72%135.12M
2866.75%84.49M
340.59%110.16M
319.67%17.04M
-54.16%18.93M
-94.40%2.85M
479.88%25.00M
-79.68%4.06M
-19.68%41.30M
2.60%50.89M
-144.36%-6.58M
835.82%19.98M
6980.86%51.42M
4089.27%49.60M
1467.47%14.84M
-350.09%-2.72M
---747.23K
--1.18M
---1.08M
--1.09M
Nettoergebnis aus fortgeführten Aktivitäten
5.27%82.79M
-29.46%93.77M
99.10%165.46M
167.61%139.64M
-38.90%78.65M
76.07%132.94M
8.40%83.10M
-48.76%52.18M
728.72%128.73M
112.36%75.50M
1520.05%76.66M
1749.88%101.84M
219.76%15.53M
357.42%35.55M
116.66%4.73M
114.04%5.50M
122.77%4.86M
68.79%-13.81M
-232.09%-28.40M
-1158.97%-39.20M
-55.96%-21.33M
-234.35%-44.25M
177.11%21.50M
109.06%3.70M
-294.29%-13.68M
1593.86%32.94M
-867.26%-27.89M
-1517.79%-40.88M
-20.03%-3.47M
---2.20M
---2.88M
--2.88M
---2.89M
Betriebsergebnisse und -verluste
52.93%125.98M
44.01%433.49M
62.47%114.70M
61.75%101.00M
27.96%82.37M
376.68%301.01M
5.51%70.60M
7.70%62.45M
37.48%64.37M
92.28%63.15M
37.45%66.91M
13.65%57.98M
4.68%46.82M
-39.59%32.84M
13.58%48.68M
61.38%51.02M
34.43%44.73M
44.93%54.37M
-7.49%42.86M
-28.91%31.61M
34.69%33.27M
113.68%37.51M
42.92%46.33M
43.99%44.47M
--24.70M
--17.55M
--32.42M
--30.88M
-100.00%0.00
----
--0.00
----
--14.00K
Andere nicht monetäre Posten
-122.81%-4.89M
-189.10%-350.12M
90.99%-1.40M
-8.31%7.41M
314.14%21.44M
-1861.04%-121.11M
45.42%-15.54M
135.58%8.08M
-55.50%-10.01M
181.01%6.88M
-2419.47%-28.47M
-251.16%-22.71M
8.36%-6.44M
-34.81%-8.49M
56.42%-1.13M
-417.21%-6.47M
-2791.57%-7.03M
-339.43%-6.30M
-139.57%-2.59M
250.48%2.04M
118.76%261.00K
59.09%-1.43M
-79.56%6.55M
92.30%-1.35M
-19971.43%-1.39M
-340.44%-3.50M
24030.60%32.07M
-2347.01%-17.59M
-99.01%7.00K
--1.46M
---134.00K
---719.00K
--705.00K
Veränderung des Umlaufvermögens
-29.92%-214.68M
12.74%115.68M
14.75%-61.06M
73.13%-9.06M
-293.81%-165.24M
650.50%102.61M
-689.79%-71.63M
-981.75%-33.72M
-243.32%-41.96M
-42.90%13.67M
-677.64%-9.07M
-117.67%-3.12M
44.32%-12.22M
334.71%23.95M
159.54%1.57M
-0.05%17.64M
-265.18%-21.95M
-172.48%-10.20M
-119.65%-2.64M
167.69%17.65M
67.37%-6.01M
54.16%14.07M
155.68%13.42M
-359.42%-26.08M
-6003.85%-18.42M
612.32%9.13M
-1027.60%-24.10M
506.47%10.05M
-87.42%312.00K
---1.78M
--2.60M
---2.47M
--2.48M
-Änderung der Forderungen
82.95%-19.87M
-54.21%16.24M
0.55%-90.53M
-54.18%-19.80M
-806.60%-116.53M
265.72%35.46M
-149.71%-91.03M
12.64%-12.84M
-166.79%-12.85M
-48.17%9.70M
-416.77%-36.45M
-156.18%-14.70M
84.12%-4.82M
240.37%18.71M
-44.70%-7.05M
89.72%26.16M
-464.31%-30.34M
-203.85%-13.33M
-171.47%-4.88M
207.69%13.79M
193.42%8.33M
89.12%12.83M
142.57%6.82M
35.03%-12.80M
-42357.14%-8.92M
--6.79M
-801200.00%-16.02M
-985250.00%-19.71M
---21.00K
----
--2.00K
---2.00K
--0.00
-Änderung des Inventars
-647.06%-9.03M
-124.50%-3.91M
483.62%7.06M
-71.55%-3.65M
-125.60%-1.21M
63.09%-1.74M
-73.55%1.21M
-164.43%-2.13M
277.85%4.72M
-447.21%-4.72M
354.51%4.57M
287.73%3.31M
-185.51%-2.66M
126.17%1.36M
-200.33%-1.80M
-143.83%-1.76M
386.44%3.10M
-1976.17%-5.20M
-124.04%-598.00K
289.80%4.02M
13.76%-1.08M
102.04%277.00K
-58.44%2.49M
5.28%-2.12M
---1.26M
---13.58M
--5.99M
---2.23M
--0.00
----
--0.00
----
----
-Änderung in Verbindlichkeiten und aufgelaufenen Ausgaben
-1777.84%-72.37M
174.81%78.58M
-26.15%18.15M
314.06%16.46M
-194.41%-3.85M
50.66%28.59M
85.76%24.58M
-26.69%3.98M
60.02%4.08M
850.42%18.98M
69.53%13.23M
69.60%5.42M
-67.02%2.55M
-139.98%-2.53M
3564.32%7.80M
263.53%3.20M
453.73%7.74M
204.17%6.33M
-93.84%213.00K
84.86%-1.96M
66.77%-2.19M
-141.50%-6.07M
113.93%3.46M
-137.35%-12.91M
-2100.61%-6.58M
--14.63M
-1513.62%-24.81M
--34.57M
--329.00K
----
--1.75M
----
----
-Änderung bei anderen kurzfristigen Verbindlichkeiten
-159.83%-113.40M
-38.50%24.78M
166.66%4.26M
90.90%-2.07M
-15.13%-43.65M
492.00%40.30M
-166.68%-6.39M
-896.74%-22.72M
-419.32%-37.91M
-260.47%-10.28M
266.39%9.58M
128.65%2.85M
-198.08%-7.30M
220.78%6.41M
-0.30%2.62M
-653.31%-9.95M
77.88%-2.45M
-71.62%2.00M
301.07%2.62M
2.39%1.80M
-564.80%-11.07M
552.25%7.04M
-93.91%654.00K
168.10%1.76M
-41725.00%-1.67M
12.74%-1.56M
1177.65%10.74M
-4.41%-2.58M
-99.84%4.00K
---1.78M
--841.00K
---2.47M
--2.48M
Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
18.41%56.90M
-1.52%337.68M
121.83%245.63M
225.61%278.31M
-68.22%48.05M
62.08%342.90M
-40.44%110.73M
-46.92%85.47M
54.78%151.17M
56.57%211.56M
120.03%185.91M
46.16%161.02M
473.07%97.67M
613.72%135.12M
2866.75%84.49M
340.59%110.16M
319.67%17.04M
-54.16%18.93M
-94.40%2.85M
479.88%25.00M
-79.68%4.06M
-19.68%41.30M
2.60%50.89M
-144.36%-6.58M
835.82%19.98M
6980.86%51.42M
4089.27%49.60M
1467.47%14.84M
-350.09%-2.72M
---747.23K
--1.18M
---1.08M
--1.09M
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
94.09%288.03M
20.93%301.94M
100.62%328.90M
67.69%273.88M
10.92%148.40M
64.28%249.68M
6.60%163.94M
63.77%163.32M
67.47%133.79M
89.61%151.99M
143.82%153.79M
16.57%99.73M
-0.10%79.89M
43.47%80.16M
170.64%63.08M
233.29%85.55M
53.55%79.96M
11.63%55.87M
-61.65%23.31M
-27.47%25.67M
-43.74%52.08M
-48.21%50.05M
194.70%60.77M
220.49%35.39M
--92.56M
--96.65M
--20.62M
--11.04M
--0.00
----
--0.00
----
----
Investitionsausgaben
94.09%288.03M
20.41%312.68M
100.62%328.90M
67.69%273.88M
10.92%148.40M
70.86%259.68M
6.60%163.94M
63.77%163.32M
67.47%133.79M
89.61%151.99M
143.82%153.79M
16.57%99.73M
-0.10%79.89M
43.47%80.16M
170.64%63.08M
233.29%85.55M
51.74%79.97M
9.29%55.87M
-61.65%23.31M
-36.79%25.67M
-43.33%52.70M
-47.10%51.12M
87.01%60.77M
173.17%40.61M
--93.00M
--96.65M
--32.50M
--14.87M
--0.00
----
--0.00
----
----
Netto-Cashflow aus der Veräußerung von Anlagevermögen
93.80%286.15M
20.26%295.75M
100.41%326.19M
68.23%272.20M
11.06%147.65M
65.48%245.92M
6.53%162.76M
63.44%161.80M
68.37%132.95M
86.57%148.61M
143.58%152.79M
16.60%99.00M
-1.12%78.96M
45.05%79.66M
188.71%62.73M
232.61%84.90M
56.30%79.85M
12.31%54.91M
-63.11%21.73M
-27.75%25.53M
-44.12%51.09M
-24.96%48.90M
185.59%58.90M
214.22%35.33M
--91.43M
--65.16M
--20.62M
--11.24M
--0.00
----
--0.00
----
----
Netto-Cashflow aus Transaktionen mit immateriellen Vermögenswerten
150.33%1.88M
64.76%6.19M
130.44%2.71M
10.46%1.68M
-10.83%749.00K
11.35%3.76M
17.72%1.18M
108.22%1.52M
-9.39%840.00K
572.11%3.37M
187.07%999.00K
12.31%730.00K
735.14%927.00K
-47.54%502.00K
-77.96%348.00K
354.55%650.00K
-88.73%111.00K
-17.21%957.00K
-15.97%1.58M
146.55%143.00K
-12.99%985.00K
-96.33%1.16M
--1.88M
128.71%58.00K
--1.13M
--31.49M
----
---202.00K
--0.00
----
----
----
----
Netto-Cashflow aus Geschäftstransaktionen
----
----
----
----
----
---14.29M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
100.00%0.00
----
----
----
---14.86M
--0.00
---708.14M
----
----
--0.00
----
----
Netto-Cashflow aus Anlageprodukten
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
----
Netto-Cashflow aus anderen Investitionstätigkeiten
-310.98%-22.92M
-679.78%-8.52M
-160.53%-1.75M
94.72%-594.00K
14.72%10.86M
83.58%-1.09M
60.34%2.88M
-244.28%-11.26M
110.52%9.47M
-262.39%-6.66M
-56.42%1.80M
-165.40%-3.27M
---90.00M
--4.10M
--4.13M
--5.00M
----
----
----
----
----
----
----
----
----
--14.37M
---202.00K
----
----
--0.00
----
--0.00
----
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
-126.08%-310.95M
-30.41%-313.75M
-105.30%-330.64M
-57.22%-274.48M
-10.63%-137.54M
-51.65%-240.59M
-5.96%-161.06M
-69.50%-174.58M
26.82%-124.32M
-108.59%-158.65M
-157.84%-151.99M
-27.86%-103.00M
-112.46%-169.89M
-36.13%-76.06M
-152.93%-58.95M
-213.81%-80.55M
-53.55%-79.96M
-11.63%-55.87M
61.65%-23.31M
27.47%-25.67M
43.74%-52.08M
48.47%-50.05M
-191.85%-60.77M
95.08%-35.39M
---92.56M
---97.14M
---20.82M
---719.18M
--0.00
--0.00
--0.00
--0.00
----
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
476.41%222.35M
832.67%480.84M
-74.53%8.73M
743.21%166.96M
-61.37%38.58M
-603.13%-65.63M
142.11%34.29M
-233.77%-25.96M
406.16%99.84M
397.74%13.04M
-4095.39%-81.43M
-117.35%-7.78M
-274.48%-32.61M
-125.88%-4.38M
-92.23%2.04M
193.68%44.81M
15.18%18.69M
177.02%16.93M
-85.30%26.24M
-57.09%15.26M
-79.35%16.23M
142.65%6.11M
453.58%178.49M
-68.37%35.56M
3899.08%78.58M
-102.20%-14.33M
-95.08%32.24M
2505.56%112.44M
-58.18%1.96M
--650.19M
--655.42M
---4.67M
--4.70M
Netto-Cashflow aus Schuldenemission/Rückzahlung
454.50%219.07M
1125.59%473.82M
55.35%57.18M
1088.71%223.40M
-61.22%39.51M
-349.14%-46.20M
145.20%36.81M
-240.98%-22.59M
412.39%101.88M
523.28%18.54M
-4095.39%-81.43M
-64.24%16.03M
-274.48%-32.61M
-125.88%-4.38M
-92.23%2.04M
193.68%44.81M
-43.74%18.69M
-89.73%16.93M
189.62%26.24M
-57.39%15.26M
37.32%33.22M
1433.63%164.88M
89.07%-29.27M
-85.61%35.81M
--24.19M
---12.36M
---267.76M
--248.87M
--0.00
----
--0.00
----
----
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
--0.00
--0.00
---49.86M
---49.98M
----
100.00%0.00
--0.00
----
----
---5.50M
--0.00
---23.80M
----
----
----
----
----
100.00%0.00
-100.00%0.00
100.00%0.00
-100.00%0.00
---175.76M
-37.27%267.76M
99.82%-248.00K
2667.99%54.39M
-100.00%0.00
-33.37%426.84M
---135.13M
7760.00%1.96M
--640.03M
--640.59M
----
--25.00K
Netto-Cashflow aus anderen Finanzierungsaktivitäten
451.34%3.28M
136.12%7.02M
156.43%1.42M
-92.06%-6.46M
54.11%-933.00K
---19.43M
---2.52M
---3.36M
---2.03M
----
----
----
----
----
--0.00
--0.00
100.00%0.00
-100.00%0.00
100.00%0.00
--0.00
---16.99M
170.13%16.99M
52.69%-60.00M
----
----
-338.35%-24.23M
---126.84M
----
----
--10.17M
----
---4.67M
---10.17M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
476.41%222.35M
832.67%480.84M
-74.53%8.73M
743.21%166.96M
-61.37%38.58M
-603.13%-65.63M
142.11%34.29M
-233.77%-25.96M
406.16%99.84M
397.74%13.04M
-4095.39%-81.43M
-117.35%-7.78M
-274.48%-32.61M
-125.88%-4.38M
-92.23%2.04M
193.68%44.81M
15.18%18.69M
177.02%16.93M
-85.30%26.24M
-57.09%15.26M
-79.35%16.23M
142.65%6.11M
453.58%178.49M
-68.37%35.56M
3899.08%78.58M
-102.20%-14.33M
-95.08%32.24M
2505.56%112.44M
-58.18%1.96M
--650.19M
--655.42M
---4.67M
--4.70M
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
260.65%755.61M
45.78%249.06M
46.38%321.56M
-58.36%144.76M
-13.41%209.52M
-5.50%170.85M
-11.62%219.68M
70.11%347.67M
-22.25%241.96M
-30.84%180.79M
5.09%248.56M
25.20%204.37M
54.59%311.22M
17.57%261.42M
8.33%236.51M
-19.24%163.24M
-14.05%201.31M
-5.92%222.37M
234.86%218.32M
178.45%202.12M
254.64%234.23M
91.68%236.37M
44.38%65.20M
-88.91%72.59M
-89.92%66.05M
2031.56%123.31M
173576.92%45.16M
11213.41%654.48M
--655.23M
--5.79M
--26.00K
--5.79M
--0.00
Änderungen des Cashflows im aktuellen Zeitraum
65.71%-22.21M
1209.93%506.55M
-48.47%-72.50M
238.14%176.80M
-161.26%-64.75M
-36.78%38.67M
27.94%-48.83M
-389.64%-127.99M
198.94%105.71M
22.83%61.16M
-372.00%-67.77M
-39.69%44.19M
-180.60%-106.84M
336.54%49.79M
515.31%24.91M
352.47%73.27M
-18.59%-38.08M
-885.07%-21.05M
-97.63%4.05M
319.10%16.19M
-590.87%-32.11M
96.27%-2.14M
183.55%171.17M
98.79%-7.39M
970.97%6.54M
-108.82%-57.26M
-90.81%60.37M
-10480.40%-609.33M
-112.98%-751.00K
--649.45M
--656.61M
---5.76M
--5.79M
Auswirkungen von Wechselkursänderungen
168.63%9.49M
-10.40%1.78M
111.52%3.78M
146.49%6.01M
34.08%-13.84M
141.54%1.99M
-61.91%-32.80M
-113.36%-12.92M
-942.15%-20.99M
2.00%-4.79M
-659.18%-20.25M
-425.78%-6.06M
-132.74%-2.01M
-371.19%-4.89M
-54.31%-2.67M
-172.00%-1.15M
2016.51%6.15M
-305.14%-1.04M
-167.30%-1.73M
263.10%1.60M
-159.55%-321.00K
-81.82%506.00K
494.02%2.57M
94.37%-981.00K
--539.00K
--2.78M
-32500.00%-652.00K
---17.42M
--0.00
----
---2.00K
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Endbestand an Zahlungsmitteln
406.63%733.40M
260.65%755.61M
45.78%249.06M
46.38%321.56M
-58.36%144.76M
-13.41%209.52M
-5.50%170.85M
-11.62%219.68M
70.11%347.67M
-22.25%241.96M
-30.84%180.79M
5.09%248.56M
25.20%204.37M
54.59%311.22M
17.57%261.42M
8.33%236.51M
-19.24%163.24M
-14.05%201.31M
-5.92%222.37M
234.86%218.32M
178.45%202.12M
254.64%234.23M
124.00%236.37M
44.38%65.20M
-88.91%72.59M
-89.92%66.05M
-83.93%105.52M
173576.92%45.16M
11213.41%654.48M
--655.23M
--656.63M
--26.00K
--5.79M
Freier Cashflow
-130.32%-231.13M
-69.96%25.00M
-56.49%-83.27M
105.69%4.43M
-677.25%-100.36M
39.70%83.22M
-265.67%-53.21M
-227.01%-77.85M
-2.23%17.39M
8.38%59.57M
49.95%32.12M
149.03%61.29M
128.26%17.78M
248.80%54.97M
204.69%21.42M
3801.05%24.61M
-29.37%-62.92M
-275.93%-36.94M
-106.96%-20.46M
98.59%-665.00K
33.38%-48.64M
78.28%-9.83M
-157.79%-9.88M
-168428.57%-47.19M
-2588.25%-73.01M
-5953.27%-45.23M
1344.59%17.10M
97.42%-28.00K
---2.72M
---747.23K
--1.18M
---1.08M
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Währungseinheit
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