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Exxon Mobil Corp

XOM

109.640USD

-2.000-1.79%
Trading geöffnet ETKurse um 15 Minuten verzögert
472.55BMarktkapitalisierung
14.24KGV TTM
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FY2012Q3
FY2012Q2
FY2012Q1
Betriebliche Cashflows (indirekte Methode)
Cashflow aus fortgeführten Betriebstätigkeiten
-11.67%12.95B
-10.62%12.23B
10.06%17.57B
12.54%10.56B
-10.26%14.66B
-22.35%13.68B
-34.64%15.96B
-53.00%9.38B
10.50%16.34B
2.90%17.62B
102.01%24.43B
106.87%19.96B
59.63%14.79B
327.57%17.12B
175.48%12.09B
--9.65B
47.66%9.26B
-36.95%4.00B
-51.66%4.39B
-100.00%0.00
-24.75%6.27B
-26.20%6.35B
-18.27%9.08B
-23.56%5.95B
-2.12%8.34B
16.14%8.61B
47.42%11.11B
11.99%7.78B
4.23%8.52B
0.20%7.41B
40.71%7.54B
53.73%6.95B
69.85%8.17B
68.86%7.40B
-41.63%5.36B
-48.60%4.52B
-39.83%4.81B
-40.93%4.38B
-25.99%9.17B
-13.82%8.79B
-47.04%8.00B
-27.36%7.42B
-7.71%12.40B
32.79%10.20B
11.12%15.10B
-22.81%10.21B
-0.08%13.43B
-24.80%7.68B
-29.53%13.59B
--13.22B
--13.44B
--10.22B
--19.29B
Nettoergebnis aus fortgeführten Aktivitäten
-6.22%8.03B
-0.71%7.96B
-4.01%8.97B
17.39%9.57B
-27.67%8.57B
-38.63%8.01B
-53.73%9.35B
-56.11%8.15B
105.97%11.84B
43.79%13.05B
190.95%20.20B
288.50%18.57B
105.65%5.75B
144.07%9.08B
1079.13%6.94B
508.98%4.78B
463.12%2.80B
-459.56%-20.60B
-121.84%-709.00M
-134.47%-1.17B
-132.00%-770.00M
-7.67%5.73B
-49.63%3.25B
-14.93%3.39B
-49.70%2.41B
-26.20%6.21B
57.80%6.45B
22.12%3.99B
16.94%4.78B
315.46%8.41B
41.40%4.08B
94.17%3.26B
129.65%4.09B
-28.48%2.02B
-34.10%2.89B
-60.56%1.68B
-64.91%1.78B
-58.27%2.83B
-47.47%4.38B
-53.25%4.26B
-45.84%5.08B
-21.53%6.78B
3.43%8.35B
30.71%9.12B
-4.01%9.37B
-16.10%8.64B
-18.71%8.07B
-60.49%6.97B
-0.39%9.76B
--10.30B
--9.93B
--17.65B
--9.80B
Betriebsergebnisse und -verluste
18.50%5.70B
-14.92%6.58B
41.74%6.26B
36.42%5.79B
13.38%4.81B
52.84%7.74B
-21.75%4.42B
-4.70%4.24B
-52.22%4.24B
-10.55%5.06B
13.07%5.64B
-10.12%4.45B
77.52%8.88B
-81.31%5.66B
0.14%4.99B
0.73%4.95B
-14.01%5.00B
515.30%30.29B
2.26%4.98B
6.15%4.92B
27.30%5.82B
-2.09%4.92B
4.62%4.87B
0.92%4.63B
2.26%4.57B
-13.93%5.03B
-4.55%4.66B
-1.35%4.59B
-1.08%4.47B
-28.03%5.84B
5.97%4.88B
-3.51%4.65B
-5.16%4.52B
70.70%8.12B
1.39%4.61B
8.31%4.82B
10.81%4.76B
6.66%4.75B
4.13%4.54B
3.87%4.45B
2.58%4.30B
1.78%4.46B
1.75%4.36B
-2.72%4.29B
2.00%4.19B
6.57%4.38B
6.19%4.29B
12.98%4.41B
6.98%4.11B
--4.11B
--4.04B
--3.90B
--3.84B
Andere nicht monetäre Posten
113.30%96.00M
2551.24%3.21B
-98.43%6.00M
-131.87%-182.00M
-229.86%-722.00M
140.60%121.00M
112.36%381.00M
281.27%571.00M
159.72%556.00M
-124.39%-298.00M
-516.40%-3.08B
-206.06%-315.00M
-90.39%-931.00M
-61.03%1.22B
21.01%-500.00M
236.24%297.00M
-526.92%-489.00M
-18.74%3.14B
-7.11%-633.00M
73.80%-218.00M
91.29%-78.00M
168.17%3.86B
37.99%-591.00M
-254.65%-832.00M
17.42%-896.00M
-5.14%1.44B
14.22%-953.00M
934.62%538.00M
11.72%-1.08B
-53.41%1.52B
24.83%-1.11B
107.91%52.00M
7.94%-1.23B
201.59%3.26B
-495.97%-1.48B
-159.56%-657.00M
-53.80%-1.33B
16.21%-3.21B
-264.24%-248.00M
246.87%1.10B
4.72%-868.00M
-6076.56%-3.83B
-83.97%151.00M
-147.35%-751.00M
64.96%-911.00M
-97.57%64.00M
167.61%942.00M
-26.47%1.59B
-1680.82%-2.60B
--2.63B
--352.00M
--2.16B
---146.00M
Veränderung des Umlaufvermögens
-143.73%-878.00M
-96.07%-4.30B
28.17%2.33B
-28.83%-4.62B
764.90%2.01B
-995.50%-2.19B
9.24%1.82B
-30.43%-3.58B
-127.81%-302.00M
-117.21%-200.00M
152.96%1.67B
-622.89%-2.75B
-44.39%1.09B
113.18%1.16B
-11.90%659.00M
89.23%-380.00M
49.88%1.95B
-8.08%-8.82B
-51.74%748.00M
-183.91%-3.53B
-42.27%1.30B
-100.69%-8.16B
61.96%1.55B
6.75%-1.24B
543.02%2.26B
51.35%-4.07B
400.00%957.00M
-30.56%-1.33B
-55.74%351.00M
---8.36B
51.74%-319.00M
23.00%-1.02B
298.75%793.00M
----
-233.27%-661.00M
-29.49%-1.33B
21.61%-399.00M
----
207.13%496.00M
58.19%-1.02B
-120.76%-509.00M
----
-261.89%-463.00M
53.64%-2.45B
5.64%2.45B
37.32%-1.56B
198.96%286.00M
-121.60%-5.28B
-59.93%2.32B
---2.49B
---289.00M
---2.38B
--5.79B
-Änderung des Inventars
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-100.00%0.00
---376.00M
---115.00M
---2.07B
--2.25B
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Bargeld aus einmaligen Investitionstätigkeiten
Cashflow aus operativer Tätigkeit
-11.67%12.95B
-10.62%12.23B
10.06%17.57B
12.54%10.56B
-10.26%14.66B
-22.35%13.68B
-34.64%15.96B
-53.00%9.38B
10.50%16.34B
2.90%17.62B
102.01%24.43B
106.87%19.96B
59.63%14.79B
327.57%17.12B
175.48%12.09B
--9.65B
47.66%9.26B
-36.95%4.00B
-51.66%4.39B
-100.00%0.00
-24.75%6.27B
-26.20%6.35B
-18.27%9.08B
-23.56%5.95B
-2.12%8.34B
16.14%8.61B
47.42%11.11B
11.99%7.78B
4.23%8.52B
0.20%7.41B
40.71%7.54B
53.73%6.95B
69.85%8.17B
68.86%7.40B
-41.63%5.36B
-48.60%4.52B
-39.83%4.81B
-40.93%4.38B
-25.99%9.17B
-13.82%8.79B
-47.04%8.00B
-27.36%7.42B
-7.71%12.40B
32.79%10.20B
11.12%15.10B
-22.81%10.21B
-0.08%13.43B
-24.80%7.68B
-29.53%13.59B
--13.22B
--13.44B
--10.22B
--19.29B
Investieren von Cashflow
Cashflow aus fortlaufenden Investitionstätigkeiten
16.24%5.90B
9.78%6.84B
25.20%6.16B
16.35%6.24B
-6.25%5.07B
7.69%6.23B
0.90%4.92B
39.67%5.36B
38.38%5.41B
41.43%5.78B
71.69%4.88B
39.68%3.84B
62.96%3.91B
12.68%4.09B
-13.70%2.84B
-37.81%2.75B
-59.63%2.40B
-45.87%3.63B
-47.64%3.29B
-28.45%4.42B
14.35%5.95B
10.01%6.70B
20.77%6.29B
25.29%6.17B
55.24%5.20B
35.39%6.09B
5.92%5.20B
59.04%4.93B
15.88%3.35B
15.80%4.50B
44.33%4.91B
-27.46%3.10B
-37.19%2.89B
-36.65%3.89B
-46.82%3.40B
-39.92%4.27B
-32.77%4.60B
-30.93%6.14B
-21.92%6.40B
-16.78%7.11B
-6.60%6.84B
5.44%8.88B
-9.89%8.20B
-1.26%8.54B
-2.22%7.33B
-16.22%8.43B
13.36%9.10B
3.67%8.65B
-4.45%7.49B
--10.06B
--8.03B
--8.35B
--7.84B
Investitionsausgaben
16.24%5.90B
9.78%6.84B
25.20%6.16B
16.35%6.24B
-6.25%5.07B
7.69%6.23B
0.90%4.92B
39.67%5.36B
38.38%5.41B
41.43%5.78B
71.69%4.88B
39.68%3.84B
62.96%3.91B
12.68%4.09B
-13.70%2.84B
-37.81%2.75B
-59.63%2.40B
-45.87%3.63B
-47.64%3.29B
-28.45%4.42B
14.35%5.95B
10.01%6.70B
20.77%6.29B
25.29%6.17B
55.24%5.20B
35.39%6.09B
5.92%5.20B
59.04%4.93B
15.88%3.35B
15.80%4.50B
44.33%4.91B
-27.46%3.10B
-37.19%2.89B
-36.65%3.89B
-46.82%3.40B
-39.92%4.27B
-32.77%4.60B
-30.93%6.14B
-21.92%6.40B
-16.78%7.11B
-6.60%6.84B
5.44%8.88B
-9.89%8.20B
-1.26%8.54B
-2.22%7.33B
-16.22%8.43B
13.36%9.10B
3.67%8.65B
-4.45%7.49B
--10.06B
--8.03B
--8.35B
--7.84B
Netto-Cashflow aus der Veräußerung von Anlagevermögen
16.24%5.90B
9.78%6.84B
25.20%6.16B
16.35%6.24B
-6.25%5.07B
7.69%6.23B
0.90%4.92B
39.67%5.36B
38.38%5.41B
41.43%5.78B
71.69%4.88B
39.68%3.84B
62.96%3.91B
12.68%4.09B
-13.70%2.84B
-37.81%2.75B
-59.63%2.40B
-45.87%3.63B
-47.64%3.29B
-28.45%4.42B
14.35%5.95B
10.01%6.70B
20.77%6.29B
25.29%6.17B
55.24%5.20B
35.39%6.09B
5.92%5.20B
59.04%4.93B
15.88%3.35B
15.80%4.50B
44.33%4.91B
-27.46%3.10B
-37.19%2.89B
-36.65%3.89B
-46.82%3.40B
-39.92%4.27B
-32.77%4.60B
-30.93%6.14B
-21.92%6.40B
-16.78%7.11B
-6.60%6.84B
5.44%8.88B
-9.89%8.20B
-1.26%8.54B
-2.22%7.33B
-16.22%8.43B
13.36%9.10B
3.67%8.65B
-4.45%7.49B
--10.06B
--8.03B
--8.35B
--7.84B
Netto-Cashflow aus Geschäftstransaktionen
159.32%1.82B
216.76%3.23B
-86.15%127.00M
30.54%1.68B
-17.68%703.00M
-23.48%1.02B
-65.81%917.00M
37.06%1.29B
191.47%854.00M
-48.75%1.33B
14800.00%2.68B
275.60%939.00M
-4.56%293.00M
237.79%2.60B
-82.00%18.00M
481.40%250.00M
256.98%307.00M
-75.10%770.00M
-78.26%100.00M
30.30%43.00M
-19.63%86.00M
249.77%3.09B
-69.15%460.00M
-89.25%33.00M
-92.57%107.00M
-37.22%884.00M
74.59%1.49B
99.35%307.00M
109.75%1.44B
-32.73%1.41B
-12.50%854.00M
-85.03%154.00M
288.14%687.00M
166.62%2.09B
98.78%976.00M
63.59%1.03B
-63.43%177.00M
225.73%785.00M
286.61%491.00M
-75.39%629.00M
-56.44%484.00M
-86.87%241.00M
-38.35%127.00M
738.03%2.56B
208.61%1.11B
128.07%1.84B
-66.06%206.00M
-91.82%305.00M
-85.67%360.00M
--805.00M
--607.00M
--3.73B
--2.51B
Netto-Cashflow aus Anlageprodukten
63.66%-153.00M
-21.95%-2.26B
4.23%-294.00M
16.97%-323.00M
5.39%-421.00M
14.76%-1.85B
-12.87%-307.00M
-72.12%-389.00M
-6.71%-445.00M
-23.44%-2.17B
38.46%-272.00M
14.39%-226.00M
-19.48%-417.00M
-24.61%-1.76B
76.97%-442.00M
66.83%-264.00M
52.06%-349.00M
-2.99%-1.41B
-139.28%-1.92B
2.93%-796.00M
20.00%-728.00M
-58.18%-1.37B
-96.09%-802.00M
-44.88%-820.00M
-559.42%-910.00M
75.60%-868.00M
-160.51%-409.00M
-929.09%-566.00M
92.06%-138.00M
-18621.05%-3.56B
85.56%-157.00M
28.57%-55.00M
-642.74%-1.74B
90.26%-19.00M
-2118.37%-1.09B
4.94%-77.00M
17.02%-234.00M
46.13%-195.00M
91.71%-49.00M
63.35%-81.00M
38.29%-282.00M
54.24%-362.00M
-228.33%-591.00M
48.84%-221.00M
84.93%-457.00M
-287.75%-791.00M
-1400.00%-180.00M
-8.82%-432.00M
-2631.53%-3.03B
---204.00M
---12.00M
---397.00M
---111.00M
Netto-Cashflow aus anderen Investitionstätigkeiten
-56.74%93.00M
19.81%1.61B
180.65%87.00M
-91.43%9.00M
175.64%215.00M
6.14%1.35B
-64.77%31.00M
75.00%105.00M
-13.33%78.00M
11.40%1.27B
-58.10%88.00M
33.33%60.00M
3.45%90.00M
17.40%1.14B
-85.01%210.00M
-49.44%45.00M
-60.45%87.00M
34.67%971.00M
193.71%1.40B
7.23%89.00M
5.26%220.00M
45.95%721.00M
121.86%477.00M
-7.78%83.00M
11.76%209.00M
333.33%494.00M
-87.06%215.00M
-25.62%90.00M
3.89%187.00M
-19.15%114.00M
493.21%1.66B
-29.65%121.00M
-41.75%180.00M
-36.49%141.00M
-7.28%280.00M
145.71%172.00M
6.55%309.00M
40.51%222.00M
-70.30%302.00M
-96.55%70.00M
-21.20%290.00M
-76.38%158.00M
682.31%1.02B
612.28%2.03B
228.57%368.00M
47.36%669.00M
313.11%130.00M
-77.31%285.00M
24.44%112.00M
--454.00M
---61.00M
--1.26B
--90.00M
Cashflow aus nicht kurzfristigen Investitionstätigkeiten
Investitionscashflow
9.66%-4.13B
25.59%-4.25B
-45.83%-6.24B
-11.78%-4.87B
7.07%-4.58B
-6.70%-5.71B
-79.94%-4.28B
-42.17%-4.36B
-24.84%-4.92B
-153.79%-5.36B
22.13%-2.38B
-12.81%-3.06B
-67.52%-3.94B
36.10%-2.11B
17.66%-3.05B
46.55%-2.72B
63.01%-2.35B
22.56%-3.30B
39.69%-3.71B
26.12%-5.08B
-9.91%-6.37B
23.64%-4.26B
-57.41%-6.15B
-34.95%-6.88B
-211.62%-5.79B
14.57%-5.58B
-52.92%-3.91B
-77.07%-5.10B
50.57%-1.86B
-290.91%-6.54B
21.02%-2.56B
8.55%-2.88B
13.52%-3.76B
68.60%-1.67B
42.81%-3.23B
51.52%-3.15B
31.53%-4.35B
39.82%-5.32B
26.00%-5.66B
-55.40%-6.49B
-0.73%-6.35B
-31.81%-8.85B
14.50%-7.64B
50.82%-4.18B
37.28%-6.31B
25.44%-6.71B
-19.35%-8.94B
-126.12%-8.49B
-87.89%-10.05B
---9.00B
---7.49B
---3.76B
---5.35B
Finanzierungs-Cashflow
Cashflow aus kontinuierlichen Finanzierungsaktivitäten
-70.12%-13.58B
-16.62%-11.14B
-37.81%-11.11B
-53.60%-12.56B
6.17%-7.98B
31.44%-9.55B
17.71%-8.06B
5.71%-8.18B
-26.72%-8.51B
-7.55%-13.94B
-27.90%-9.79B
-23.48%-8.67B
13.77%-6.71B
-145.30%-12.96B
-70.38%-7.66B
-211.87%-7.02B
-188.62%-7.79B
-18.56%-5.28B
-169.75%-4.49B
1045.44%6.28B
941.48%8.79B
19.00%-4.46B
66.40%-1.67B
116.89%548.00M
81.82%-1.04B
-199.46%-5.50B
0.58%-4.96B
35.88%-3.24B
-76.89%-5.74B
72.77%-1.84B
-284.88%-4.99B
-185.01%-5.06B
-719.47%-3.25B
-1733.41%-6.75B
61.90%-1.30B
44.43%-1.77B
161.36%524.00M
-65.50%413.00M
40.03%-3.40B
42.92%-3.19B
89.07%-854.00M
128.65%1.20B
-45.87%-5.67B
-682.66%-5.60B
-16.76%-7.82B
45.92%-4.18B
64.19%-3.89B
90.00%-715.00M
17.66%-6.69B
---7.72B
---10.86B
---7.15B
---8.13B
Netto-Cashflow aus Schuldenemission/Rückzahlung
-329.61%-4.31B
13.64%-456.00M
-269.78%-854.00M
-3313.10%-2.70B
-236.58%-1.00B
89.48%-528.00M
143.03%503.00M
127.91%84.00M
59.29%-298.00M
43.13%-5.02B
69.33%-1.17B
89.81%-301.00M
81.99%-732.00M
-477.11%-8.82B
-310.78%-3.81B
-130.02%-2.95B
-131.86%-4.07B
-131.67%-1.53B
-147.40%-928.00M
125.38%9.84B
325.48%12.76B
70.95%-660.00M
22.15%1.96B
668.49%4.37B
256.04%3.00B
-227.00%-2.27B
200.88%1.60B
133.79%568.00M
-543.88%-1.92B
153.84%1.79B
-184.75%-1.59B
-220.07%-1.68B
-90.03%433.00M
-249.28%-3.32B
846.97%1.88B
51.68%1.40B
11.97%4.34B
-20.24%2.23B
-36.54%198.00M
110.25%923.00M
431.93%3.88B
45.74%2.79B
-83.76%312.00M
-92.89%439.00M
-173.37%-1.17B
11868.75%1.92B
162.21%1.92B
989.24%6.18B
495.04%1.59B
--16.00M
---3.09B
--567.00M
---403.00M
Netto-Cashflow aus Ausgabe/Rückerwerb von Stammaktien
-59.55%-4.80B
-24.14%-5.78B
-24.93%-5.51B
-22.72%-5.33B
30.62%-3.01B
0.41%-4.66B
1.82%-4.41B
-10.74%-4.34B
-109.97%-4.34B
-2935.71%-4.67B
---4.49B
---3.92B
-206600.00%-2.07B
-54.00%-154.00M
--0.00
--0.00
99.67%-1.00M
42.20%-100.00M
--0.00
--0.00
27.55%-305.00M
11.73%-173.00M
100.00%0.00
100.00%0.00
1.41%-421.00M
15.52%-196.00M
0.00%-1.00M
84.62%-2.00M
14.77%-427.00M
7.20%-232.00M
---1.00M
-1400.00%-13.00M
30.51%-501.00M
66.84%-250.00M
100.00%0.00
100.10%1.00M
59.52%-721.00M
77.14%-754.00M
83.31%-501.00M
66.52%-1.00B
53.84%-1.78B
0.00%-3.30B
0.20%-3.00B
25.55%-3.00B
31.34%-3.86B
37.12%-3.30B
39.86%-3.01B
19.65%-4.02B
0.05%-5.62B
---5.25B
---5.00B
---5.01B
---5.62B
Barausschüttungen
13.84%4.33B
13.86%4.37B
15.75%4.24B
15.78%4.29B
1.87%3.81B
1.91%3.84B
-0.60%3.66B
-0.70%3.70B
-0.59%3.74B
0.11%3.77B
-0.94%3.69B
0.16%3.73B
1.08%3.76B
1.29%3.76B
0.11%3.72B
0.16%3.72B
0.03%3.72B
-0.03%3.71B
0.00%3.72B
0.00%3.71B
6.11%3.72B
6.11%3.72B
6.08%3.72B
6.08%3.71B
6.50%3.50B
6.48%3.50B
6.51%3.50B
6.48%3.50B
5.01%3.29B
4.98%3.29B
4.98%3.29B
4.98%3.29B
2.62%3.13B
2.59%3.13B
2.39%3.13B
2.19%3.13B
4.95%3.05B
4.45%3.05B
3.87%3.06B
3.37%3.07B
6.52%2.91B
6.33%2.92B
6.35%2.95B
6.16%2.97B
6.68%2.73B
6.10%2.75B
5.64%2.77B
5.16%2.79B
15.31%2.56B
--2.59B
--2.62B
--2.66B
--2.22B
Netto-Cashflow aus anderen Finanzierungsaktivitäten
15.06%-141.00M
-290.00%-78.00M
16.06%-183.00M
-4.88%-258.00M
-44.35%-166.00M
73.68%-20.00M
-220.59%-218.00M
-103.31%-246.00M
-91.67%-115.00M
-26.67%-76.00M
-25.93%-68.00M
-37.50%-121.00M
-15.38%-60.00M
-17.65%-60.00M
-22.73%-54.00M
-27.54%-88.00M
-15.56%-52.00M
-45.71%-51.00M
22.81%-44.00M
-21.05%-69.00M
-4.65%-45.00M
31.37%-35.00M
98.07%-57.00M
38.04%-57.00M
0.00%-43.00M
-13.33%-51.00M
-6064.58%-2.96B
-95.74%-92.00M
2.27%-43.00M
-12.50%-45.00M
-26.32%-48.00M
-9.30%-47.00M
-4.76%-44.00M
-102.01%-40.00M
2.56%-38.00M
10.42%-43.00M
-5.00%-42.00M
-56.89%2.00B
-2.63%-39.00M
34.25%-48.00M
31.03%-40.00M
10384.44%4.63B
-15.15%-38.00M
0.00%-73.00M
44.76%-58.00M
-150.00%-45.00M
78.00%-33.00M
-78.05%-73.00M
-9.38%-105.00M
--90.00M
---150.00M
---41.00M
---96.00M
Netto-Cash aus nicht wiederkehrenden Finanzierungsaktivitäten
Nettozahlungen aus Finanzierungsaktivitäten
-70.12%-13.58B
-16.62%-11.14B
-37.81%-11.11B
-53.60%-12.56B
6.17%-7.98B
31.44%-9.55B
17.71%-8.06B
5.71%-8.18B
-26.72%-8.51B
-7.55%-13.94B
-27.90%-9.79B
-23.48%-8.67B
13.77%-6.71B
-145.30%-12.96B
-70.38%-7.66B
-211.87%-7.02B
-188.62%-7.79B
-18.56%-5.28B
-169.75%-4.49B
1045.44%6.28B
941.48%8.79B
19.00%-4.46B
66.40%-1.67B
116.89%548.00M
81.82%-1.04B
-199.46%-5.50B
0.58%-4.96B
35.88%-3.24B
-76.89%-5.74B
72.77%-1.84B
-284.88%-4.99B
-185.01%-5.06B
-719.47%-3.25B
-1733.41%-6.75B
61.90%-1.30B
44.43%-1.77B
161.36%524.00M
-65.50%413.00M
40.03%-3.40B
42.92%-3.19B
89.07%-854.00M
128.65%1.20B
-45.87%-5.67B
-682.66%-5.60B
-16.76%-7.82B
45.92%-4.18B
64.19%-3.89B
90.00%-715.00M
17.66%-6.69B
---7.72B
---10.86B
---7.15B
---8.13B
Netto-Cashflow
Anfangsbestand an Zahlungsmitteln
-26.55%23.19B
-18.20%26.97B
-10.38%26.49B
2.06%33.35B
6.41%31.57B
8.24%32.97B
56.71%29.56B
195.07%32.68B
336.12%29.66B
538.93%30.46B
444.33%18.86B
215.05%11.07B
55.87%6.80B
-46.01%4.77B
-72.45%3.46B
-69.20%3.52B
41.28%4.36B
65.05%8.83B
198.50%12.58B
148.84%11.41B
1.55%3.09B
-5.61%5.35B
22.83%4.21B
11.18%4.59B
-4.25%3.04B
32.89%5.67B
-15.14%3.43B
-15.76%4.13B
-13.13%3.18B
-16.24%4.27B
-7.25%4.04B
1.05%4.90B
-1.30%3.66B
18.55%5.09B
0.35%4.36B
-6.52%4.85B
-19.74%3.71B
-13.42%4.30B
-28.60%4.34B
-7.45%5.18B
-0.60%4.62B
-6.55%4.96B
31.98%6.08B
-9.86%5.60B
-51.53%4.64B
-59.33%5.31B
-74.11%4.61B
-66.72%6.21B
-24.34%9.58B
--13.05B
--17.80B
--18.67B
--12.66B
Änderungen des Cashflows im aktuellen Zeitraum
-362.49%-4.67B
-169.40%-3.79B
-85.83%484.00M
-119.97%-6.86B
-40.85%1.78B
-75.84%-1.41B
-70.56%3.42B
-140.05%-3.12B
-29.52%3.01B
-139.28%-799.00M
790.48%11.60B
15674.00%7.79B
603.18%4.27B
145.52%2.03B
134.80%1.30B
-104.30%-50.00M
-110.20%-849.00M
-97.52%-4.47B
-429.00%-3.74B
412.06%1.16B
439.05%8.32B
13.89%-2.26B
-49.17%1.14B
46.33%-373.00M
62.87%1.54B
-141.23%-2.63B
899.55%2.24B
18.71%-695.00M
-23.55%948.00M
24.16%-1.09B
-69.52%224.00M
-75.20%-855.00M
8.68%1.24B
-142.98%-1.44B
1663.83%735.00M
41.97%-488.00M
100.88%1.14B
-70.81%-591.00M
95.81%-47.00M
-274.48%-841.00M
-40.65%568.00M
48.05%-346.00M
-259.91%-1.12B
130.03%482.00M
128.41%957.00M
80.82%-666.00M
114.77%701.00M
-84.91%-1.60B
-156.08%-3.37B
---3.47B
---4.75B
---868.00M
--6.01B
Auswirkungen von Wechselkursänderungen
126.54%86.00M
-440.11%-619.00M
224.88%261.00M
-80.00%6.00M
-417.65%-324.00M
-79.13%182.00M
67.90%-209.00M
106.80%30.00M
-28.17%102.00M
4252.38%872.00M
-745.45%-651.00M
-1260.53%-441.00M
425.93%142.00M
-118.75%-21.00M
-210.00%-77.00M
218.75%38.00M
107.32%27.00M
5.66%112.00M
156.00%70.00M
-455.56%-32.00M
-958.14%-369.00M
171.14%106.00M
-4066.67%-125.00M
106.67%9.00M
43.33%43.00M
-17.32%-149.00M
-101.29%-3.00M
-200.00%-135.00M
-59.46%30.00M
69.32%-127.00M
360.67%232.00M
258.82%135.00M
-51.95%74.00M
-590.00%-414.00M
45.06%-89.00M
-263.46%-85.00M
168.75%154.00M
45.95%-60.00M
18.59%-162.00M
-1.89%52.00M
-833.33%-224.00M
-793.75%-111.00M
-297.03%-199.00M
166.25%53.00M
88.68%-24.00M
-46.67%16.00M
-38.04%101.00M
54.55%-80.00M
-206.00%-212.00M
--30.00M
--163.00M
---176.00M
--200.00M
Endbestand an Zahlungsmitteln
-44.49%18.51B
-26.55%23.19B
-18.20%26.97B
-10.38%26.49B
2.06%33.35B
6.41%31.57B
8.24%32.97B
56.71%29.56B
195.07%32.68B
336.12%29.66B
538.93%30.46B
444.33%18.86B
215.05%11.07B
55.87%6.80B
-46.01%4.77B
-72.45%3.46B
-69.20%3.52B
41.28%4.36B
65.05%8.83B
198.50%12.58B
148.84%11.41B
1.55%3.09B
-5.61%5.35B
22.83%4.21B
11.18%4.59B
-4.25%3.04B
32.89%5.67B
-15.14%3.43B
-15.76%4.13B
-13.13%3.18B
-16.24%4.27B
-7.25%4.04B
1.05%4.90B
-1.30%3.66B
18.55%5.09B
0.35%4.36B
-6.52%4.85B
-19.74%3.71B
-13.42%4.30B
-28.60%4.34B
-7.45%5.18B
-0.60%4.62B
-6.55%4.96B
31.98%6.08B
-9.86%5.60B
-51.53%4.64B
-59.33%5.31B
-74.11%4.61B
-66.72%6.21B
--9.58B
--13.05B
--17.80B
--18.67B
Freier Cashflow
-26.43%7.05B
-27.66%5.39B
3.31%11.41B
7.48%4.33B
-12.25%9.59B
-37.03%7.45B
-43.51%11.04B
-75.05%4.02B
0.48%10.93B
-9.18%11.84B
111.32%19.55B
133.61%16.13B
58.46%10.88B
3366.76%13.04B
742.53%9.25B
256.28%6.90B
1986.32%6.86B
206.82%376.00M
-60.70%1.10B
-1854.42%-4.42B
-89.52%329.00M
-114.01%-352.00M
-52.68%2.79B
-107.92%-226.00M
-39.28%3.14B
-13.64%2.51B
125.17%5.90B
-25.88%2.85B
-2.14%5.17B
-17.07%2.91B
34.39%2.62B
1452.02%3.85B
2403.79%5.28B
299.83%3.51B
-29.64%1.95B
-85.26%248.00M
-81.72%211.00M
-19.54%-1.76B
-33.94%2.77B
1.39%1.68B
-85.16%1.15B
-182.44%-1.47B
-3.12%4.20B
271.49%1.66B
27.50%7.78B
-43.73%1.78B
-20.00%4.33B
-151.71%-968.00M
-46.71%6.10B
--3.17B
--5.42B
--1.87B
--11.44B
Währungseinheit
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