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Vertiv Holdings Co

VRT

141.590USD

-4.010-2.75%
Handelsschluss 08/01, 16:00ETKurse um 15 Minuten verzögert
54.06BMarktkapitalisierung
81.15KGV TTM
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
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
199.98%1.74B
432.02%1.47B
57.30%1.23B
81.74%908.70M
110.88%579.70M
-0.11%275.80M
199.46%780.40M
93.80%500.00M
41.41%274.90M
-4.30%276.10M
-40.65%260.60M
-65.30%258.00M
-72.57%194.40M
-57.40%288.50M
-17.86%439.10M
129.29%743.60M
91.72%708.80M
130.97%677.20M
139.19%534.60M
117.21%324.30M
--369.70M
--293.20M
--223.50M
--149.30M
- Barmittel und Barmitteläquivalente
183.04%1.64B
432.02%1.47B
57.30%1.23B
81.74%908.70M
110.88%579.70M
-0.11%275.80M
199.46%780.40M
93.80%500.00M
41.41%274.90M
-4.30%276.10M
-40.65%260.60M
-65.30%258.00M
-72.57%194.40M
-57.40%288.50M
-17.86%439.10M
129.29%743.60M
91.72%708.80M
130.97%677.20M
139.19%534.60M
117.21%324.30M
--369.70M
--293.20M
--223.50M
--149.30M
-Kurzfristige Anlagen
--98.20M
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Forderungen
27.59%2.83B
10.18%2.31B
8.12%2.36B
15.23%2.33B
9.70%2.22B
5.28%2.10B
15.69%2.19B
15.88%2.02B
20.67%2.02B
29.82%1.99B
22.94%1.89B
25.81%1.74B
21.99%1.68B
18.52%1.53B
13.44%1.54B
7.56%1.39B
15.95%1.37B
13.16%1.29B
11.73%1.35B
6.68%1.29B
--1.19B
--1.14B
--1.21B
--1.21B
-Forderungen aus Lieferungen und Leistungen
27.59%2.83B
10.18%2.31B
8.12%2.36B
15.23%2.33B
9.70%2.22B
5.28%2.10B
15.69%2.19B
15.88%2.02B
20.67%2.02B
29.82%1.99B
22.94%1.89B
25.81%1.74B
21.99%1.68B
18.52%1.53B
13.44%1.54B
7.56%1.39B
15.95%1.37B
13.16%1.29B
11.73%1.35B
6.68%1.29B
--1.19B
--1.14B
--1.21B
--1.21B
Inventar
28.05%1.41B
40.16%1.38B
40.72%1.24B
36.18%1.26B
19.94%1.10B
9.25%987.10M
7.58%884.30M
14.60%921.70M
15.81%920.20M
16.66%903.50M
33.38%822.00M
39.30%804.30M
44.11%794.60M
51.54%774.50M
38.00%616.30M
24.04%577.40M
17.85%551.40M
14.73%511.10M
11.37%446.60M
5.03%465.50M
--467.90M
--445.50M
--401.00M
--443.20M
Sonstige kurzfristige Vermögenswerte
10.20%318.70M
10.52%300.40M
76.19%267.10M
74.80%312.20M
80.07%289.20M
60.73%271.80M
-19.06%151.60M
6.50%178.60M
8.22%160.60M
33.46%169.10M
75.37%187.30M
8.61%167.70M
-31.04%148.40M
-30.92%126.70M
-41.70%106.80M
-10.54%154.40M
19.16%215.20M
0.22%183.40M
1.38%183.20M
6.02%172.60M
--180.60M
--183.00M
--180.70M
--162.80M
Summe der kurzfristigen Vermögenswerte
50.36%6.30B
50.39%5.46B
27.50%5.10B
32.69%4.80B
24.07%4.19B
8.72%3.63B
26.68%4.00B
21.76%3.62B
20.07%3.38B
22.64%3.34B
17.05%3.16B
3.92%2.97B
-1.26%2.81B
2.17%2.72B
7.14%2.70B
27.12%2.86B
29.33%2.85B
29.07%2.67B
24.85%2.52B
14.66%2.25B
--2.20B
--2.07B
--2.02B
--1.96B
Langfristige Vermögenswerte
Nettoanlagevermögen
21.33%911.30M
12.09%841.10M
12.76%827.20M
17.14%779.80M
13.22%751.10M
13.35%750.40M
11.86%733.60M
9.02%665.70M
5.82%663.40M
3.75%662.00M
2.12%655.80M
11.75%610.60M
9.39%626.90M
15.66%638.10M
12.00%642.20M
2.26%546.40M
8.60%573.10M
4.97%551.70M
6.46%573.40M
2.10%534.30M
--527.70M
--525.60M
--538.60M
--523.30M
-Anlagevermögen
21.57%1.40B
14.42%1.30B
14.07%1.26B
18.77%1.21B
15.05%1.15B
15.07%1.14B
14.37%1.11B
11.64%1.02B
9.29%1.00B
7.32%987.80M
6.44%966.70M
13.73%910.40M
11.40%917.70M
17.19%920.40M
14.35%908.20M
8.32%800.50M
15.01%823.80M
12.28%785.40M
12.99%794.20M
9.60%739.00M
--716.30M
--699.50M
--702.90M
--674.30M
-Abgegrenzte Abschreibungen
22.02%491.60M
18.95%459.50M
16.67%434.00M
21.87%427.40M
18.64%402.90M
18.57%386.30M
19.65%372.00M
16.98%350.70M
16.78%339.60M
15.41%325.80M
16.88%310.90M
17.99%299.80M
16.00%290.80M
20.80%282.30M
20.47%266.00M
24.13%254.10M
32.93%250.70M
34.39%233.70M
34.39%220.80M
35.56%204.70M
--188.60M
--173.90M
--164.30M
--151.00M
Goodwill und andere immaterielle Vermögenswerte
-2.46%2.83B
-4.63%2.80B
-6.49%2.81B
-1.24%2.92B
-4.82%2.90B
-4.67%2.94B
-3.15%3.00B
-2.97%2.96B
-5.10%3.05B
-8.60%3.08B
-10.60%3.10B
71.30%3.05B
74.62%3.21B
81.10%3.37B
81.61%3.47B
-7.46%1.78B
-5.30%1.84B
-6.01%1.86B
-6.73%1.91B
-7.33%1.92B
--1.94B
--1.98B
--2.05B
--2.08B
Sonstige langfristige Vermögenswerte
36.95%364.70M
27.84%345.80M
51.92%395.30M
127.66%385.20M
57.85%266.30M
59.02%270.50M
44.24%260.20M
-12.65%169.20M
-4.53%168.70M
-3.35%170.10M
38.24%180.40M
162.11%193.70M
147.83%176.70M
117.28%176.00M
81.50%130.50M
17.49%73.90M
23.14%71.30M
42.11%81.00M
33.15%71.90M
28.37%62.90M
--57.90M
--57.00M
--54.00M
--49.00M
Summe der langfristigen Vermögenswerte
4.78%4.10B
0.75%3.99B
0.84%4.03B
7.74%4.09B
1.00%3.92B
1.14%3.96B
1.52%4.00B
-1.55%3.79B
-3.37%3.88B
-6.50%3.91B
-7.17%3.94B
60.54%3.85B
61.67%4.01B
67.80%4.19B
65.99%4.24B
-4.78%2.40B
-1.75%2.48B
-2.69%2.50B
-3.22%2.56B
-4.81%2.52B
--2.53B
--2.56B
--2.64B
--2.65B
Summe der Vermögenswerte
28.34%10.41B
24.50%9.45B
14.18%9.13B
19.92%8.89B
11.74%8.11B
4.63%7.59B
12.72%8.00B
8.60%7.41B
6.29%7.26B
4.98%7.26B
2.25%7.10B
29.75%6.83B
28.04%6.83B
33.90%6.91B
36.77%6.94B
10.27%5.26B
12.73%5.33B
11.48%5.16B
8.94%5.07B
3.48%4.77B
--4.73B
--4.63B
--4.66B
--4.61B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
--0.00
--0.00
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Rückstellungen
-6.19%522.70M
-1.95%487.50M
-0.35%566.90M
13.53%582.50M
12.54%557.20M
10.07%497.20M
21.43%568.90M
-3.33%513.10M
-9.06%495.10M
-21.32%451.70M
-24.47%468.50M
9.78%530.80M
-4.81%544.40M
3.48%574.10M
-0.56%620.30M
-19.48%483.50M
6.82%571.90M
5.72%554.80M
-7.14%623.80M
-3.77%600.50M
--535.40M
--524.80M
--671.80M
--624.00M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
-0.94%21.00M
-0.94%21.00M
-3.67%21.00M
-2.75%21.20M
-2.75%21.20M
-2.75%21.20M
0.00%21.80M
0.00%21.80M
0.00%21.80M
0.00%21.80M
0.00%21.80M
0.00%21.80M
0.00%21.80M
-0.91%21.80M
-0.91%21.80M
-46.96%21.80M
-48.34%21.80M
-0.90%22.00M
--22.00M
--41.10M
--42.20M
--22.20M
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Aufgeschobene Verbindlichkeiten
41.46%1.26B
48.99%1.10B
66.43%1.06B
87.04%1.02B
70.92%888.80M
46.15%735.00M
78.12%638.90M
66.20%543.30M
57.29%520.00M
41.98%502.90M
23.26%358.70M
10.36%326.90M
17.40%330.60M
29.36%354.20M
23.46%291.00M
24.40%296.20M
48.05%281.60M
45.64%273.80M
46.49%235.70M
36.53%238.10M
--190.20M
--188.00M
--160.90M
--174.40M
Andere kurzfristige Verbindlichkeiten
41.46%1.26B
48.99%1.10B
66.43%1.06B
87.04%1.02B
70.92%888.80M
46.15%735.00M
78.12%638.90M
66.20%543.30M
57.29%520.00M
41.98%502.90M
23.26%358.70M
10.36%326.90M
17.40%330.60M
29.36%354.20M
23.46%291.00M
24.40%296.20M
48.05%281.60M
45.64%273.80M
46.49%235.70M
36.53%238.10M
--190.20M
--188.00M
--160.90M
--174.40M
Summe der kurzfristigen Verbindlichkeiten
17.36%3.61B
17.50%3.18B
34.34%3.10B
66.03%3.49B
49.83%3.08B
37.45%2.71B
21.47%2.31B
14.31%2.10B
12.91%2.06B
3.56%1.97B
2.32%1.90B
11.63%1.84B
6.41%1.82B
15.70%1.90B
6.50%1.85B
2.82%1.65B
18.76%1.71B
19.39%1.65B
14.60%1.74B
8.86%1.60B
--1.44B
--1.38B
--1.52B
--1.47B
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
1.31%3.10B
0.22%3.08B
0.55%3.08B
0.52%3.06B
0.28%3.06B
-6.66%3.07B
-7.25%3.06B
-8.43%3.05B
-5.42%3.06B
7.50%3.29B
7.73%3.30B
49.03%3.33B
43.74%3.23B
37.24%3.06B
36.92%3.06B
-4.02%2.23B
-9.95%2.25B
-10.83%2.23B
-36.88%2.24B
-34.54%2.33B
--2.50B
--2.50B
--3.55B
--3.56B
-Langfristige Verbindlichkeiten
-0.45%2.90B
-0.41%2.90B
-0.41%2.91B
-0.46%2.91B
-0.47%2.91B
-7.60%2.92B
-7.89%2.92B
-9.33%2.92B
-6.10%2.93B
7.12%3.16B
7.41%3.17B
52.18%3.22B
46.86%3.12B
38.53%2.95B
38.49%2.95B
-5.21%2.12B
-11.88%2.12B
-12.07%2.13B
-38.55%2.13B
-35.77%2.23B
--2.41B
--2.42B
--3.47B
--3.48B
-Langfristige Leasingverbindlichkeiten
35.49%203.10M
12.33%172.20M
20.20%171.40M
23.35%155.30M
17.48%149.90M
15.70%153.30M
8.03%142.60M
18.89%125.90M
13.22%127.60M
17.46%132.50M
16.20%132.00M
-8.63%105.90M
-9.41%112.70M
10.48%112.80M
5.87%113.60M
24.49%115.90M
43.82%124.40M
26.21%102.10M
37.21%107.30M
21.22%93.10M
--86.50M
--80.90M
--78.20M
--76.80M
Aufgeschobene Verbindlichkeiten
49.65%106.40M
42.79%96.10M
--91.30M
--80.70M
--71.10M
--67.30M
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Derivative-Verbindlichkeiten
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-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
232.20%195.00M
448.83%140.50M
399.37%78.90M
-39.85%32.90M
-60.76%58.70M
-81.71%25.60M
-90.84%15.80M
-46.00%54.70M
70.58%149.60M
--140.00M
--172.50M
--101.30M
--87.70M
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Andere langfristige Verbindlichkeiten
15.49%310.10M
8.29%286.00M
7.75%282.30M
22.45%283.60M
19.65%268.50M
18.38%264.10M
19.31%262.00M
8.17%231.60M
-2.18%224.40M
-8.79%223.10M
-13.75%219.60M
-41.87%214.10M
-37.65%229.40M
-30.71%244.60M
-32.66%254.60M
4.13%368.30M
10.88%367.90M
14.68%353.00M
119.44%378.10M
150.85%353.70M
--331.80M
--307.80M
--172.30M
--141.00M
Gesamt langfristige Verbindlichkeiten
5.02%3.67B
3.23%3.60B
-2.09%3.60B
-0.29%3.59B
-1.47%3.49B
-6.56%3.49B
-2.07%3.68B
-3.29%3.60B
-3.06%3.54B
5.06%3.73B
2.42%3.76B
31.54%3.72B
27.02%3.65B
27.47%3.55B
30.03%3.67B
1.10%2.83B
-2.08%2.88B
-4.54%2.79B
-26.61%2.82B
-27.05%2.80B
--2.94B
--2.92B
--3.84B
--3.84B
Gesamtverbindlichkeiten
10.81%7.28B
9.47%6.78B
11.94%6.70B
24.16%7.08B
17.37%6.57B
8.65%6.20B
5.83%5.98B
2.53%5.70B
2.25%5.60B
4.54%5.70B
2.39%5.65B
24.22%5.56B
19.33%5.48B
23.11%5.46B
21.05%5.52B
1.73%4.48B
4.78%4.59B
3.13%4.43B
-14.93%4.56B
-17.10%4.40B
--4.38B
--4.30B
--5.36B
--5.31B
Eigenkapital der Aktionäre
Stammkapital
33.50%2.86B
3.07%2.83B
4.06%2.82B
-20.25%2.15B
-20.02%2.14B
3.13%2.75B
3.06%2.71B
2.91%2.70B
2.46%2.68B
2.09%2.66B
1.28%2.63B
31.93%2.62B
32.05%2.61B
31.98%2.61B
44.97%2.60B
21.04%1.99B
20.79%1.98B
20.77%1.98B
545.23%1.79B
491.25%1.64B
--1.64B
--1.64B
--277.70M
--277.70M
Gewinnrücklagen
141.23%222.00M
87.55%-88.00M
65.56%-238.30M
59.43%-371.20M
46.65%-538.40M
35.27%-707.10M
39.45%-691.90M
21.49%-915.00M
14.96%-1.01B
9.50%-1.09B
5.99%-1.14B
5.53%-1.17B
8.00%-1.19B
7.13%-1.21B
8.70%-1.22B
2.03%-1.23B
-3.74%-1.29B
-2.36%-1.30B
-33.04%-1.33B
-30.25%-1.26B
---1.24B
---1.27B
---1.00B
---966.70M
Kapitalrücklagen
33.50%2.86B
3.07%2.83B
4.06%2.82B
-20.25%2.15B
-20.02%2.14B
3.13%2.75B
3.06%2.71B
2.91%2.70B
2.46%2.68B
2.09%2.66B
1.28%2.63B
31.93%2.62B
32.05%2.61B
31.98%2.61B
44.97%2.60B
21.04%1.99B
20.79%1.98B
20.77%1.98B
545.23%1.79B
491.25%1.64B
--1.64B
--1.64B
--277.70M
--277.70M
Abzüglich: Eigene Aktien
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--605.90M
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Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
169.43%45.20M
-93.81%-75.20M
-3206.67%-148.80M
147.69%33.10M
-564.29%-65.10M
-105.29%-38.80M
90.26%-4.50M
63.36%-69.40M
86.81%-9.80M
-135.26%-18.90M
-229.78%-46.20M
-691.88%-189.40M
-235.09%-74.30M
1.90%53.60M
-30.87%35.60M
388.29%32.00M
225.57%55.00M
252.46%52.60M
184.53%51.50M
-54.17%-11.10M
---43.80M
---34.50M
--18.10M
---7.20M
Gesamtes Eigenkapital
103.28%3.13B
91.36%2.67B
20.81%2.43B
5.82%1.81B
-7.27%1.54B
-10.15%1.39B
39.74%2.01B
35.26%1.71B
22.67%1.66B
6.65%1.55B
1.71%1.44B
61.27%1.27B
81.75%1.35B
99.55%1.45B
176.84%1.42B
111.38%785.70M
111.94%743.70M
119.55%728.70M
172.66%512.10M
153.39%371.70M
--350.90M
--331.90M
---704.80M
---696.20M
Währungseinheit
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USD
Prüfungsmeinungen
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