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Yeti Holdings Inc

YETI

35.135USD

+0.035+0.10%
Trading geöffnet ETKurse um 15 Minuten verzögert
2.91BMarktkapitalisierung
16.49KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2025Q1
FY2024Q4
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FY2024Q1
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FY2023Q2
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FY2022Q3
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FY2022Q1
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FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
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FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2016Q4
FY2016Q1
FY2015Q4
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
48.95%259.04M
-18.26%358.80M
-0.32%280.46M
-4.57%212.94M
3.62%173.91M
87.00%438.96M
261.82%281.36M
142.55%223.14M
67.29%167.84M
-24.81%234.74M
-70.01%77.76M
-60.65%91.99M
-47.28%100.33M
23.26%312.19M
10.44%259.32M
83.40%233.77M
60.97%190.29M
249.28%253.28M
579.49%234.81M
235.24%127.47M
521.94%118.22M
-9.41%72.52M
-33.67%34.56M
-46.70%38.02M
-68.53%19.01M
49.21%80.05M
49.99%52.10M
--71.34M
--60.40M
151.98%53.65M
--34.74M
-47.11%21.29M
--20.03M
--40.25M
- Barmittel und Barmitteläquivalente
48.95%259.04M
-18.26%358.80M
-0.32%280.46M
-4.57%212.94M
3.62%173.91M
87.00%438.96M
261.82%281.36M
142.55%223.14M
67.29%167.84M
-24.81%234.74M
-70.01%77.76M
-60.65%91.99M
-47.28%100.33M
23.26%312.19M
10.44%259.32M
83.40%233.77M
60.97%190.29M
249.28%253.28M
579.49%234.81M
235.24%127.47M
521.94%118.22M
-9.41%72.52M
-33.67%34.56M
-46.70%38.02M
-68.53%19.01M
49.21%80.05M
49.99%52.10M
--71.34M
--60.40M
151.98%53.65M
--34.74M
-47.11%21.29M
--20.03M
--40.25M
Forderungen
11.25%120.54M
25.49%120.19M
12.34%143.67M
20.86%159.05M
13.36%108.35M
20.55%95.77M
36.21%127.90M
39.63%131.60M
15.17%95.58M
-27.47%79.45M
12.77%93.90M
15.09%94.25M
23.77%82.99M
67.43%109.53M
16.97%83.27M
-4.65%81.89M
11.35%67.05M
-20.89%65.42M
-4.77%71.19M
13.22%85.89M
-4.41%60.22M
39.37%82.69M
20.74%74.76M
15.94%75.86M
4.28%63.00M
-11.65%59.33M
-4.54%61.91M
--65.43M
--60.41M
80.50%67.15M
--64.86M
-41.86%37.20M
--133.33M
--63.98M
-Forderungen aus Lieferungen und Leistungen
11.25%120.54M
25.49%120.19M
12.34%143.67M
20.86%159.05M
13.36%108.35M
20.55%95.77M
36.21%127.90M
39.63%131.60M
15.17%95.58M
-27.47%79.45M
12.77%93.90M
15.09%94.25M
23.77%82.99M
67.43%109.53M
16.97%83.27M
-4.65%81.89M
11.35%67.05M
-20.89%65.42M
-4.77%71.19M
13.22%85.89M
-4.41%60.22M
39.37%82.69M
20.74%74.76M
15.94%75.86M
4.28%63.00M
-11.65%59.33M
-4.54%61.91M
--65.43M
--60.41M
80.50%67.15M
--64.86M
-41.86%37.20M
--92.18M
--63.98M
-Sonstige Forderungen
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--25.86M
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Inventar
-9.18%330.51M
-8.05%310.06M
8.46%370.23M
17.50%378.30M
4.88%363.92M
-9.21%337.21M
-22.32%341.35M
-34.30%321.95M
-15.99%347.00M
16.48%371.41M
65.22%439.44M
121.06%490.01M
124.57%413.04M
127.58%318.86M
97.56%265.97M
59.72%221.66M
-9.11%183.92M
-24.55%140.11M
-35.63%134.63M
-23.47%138.78M
23.16%202.35M
27.70%185.70M
32.65%209.15M
21.41%181.35M
3.63%164.30M
-16.95%145.42M
-30.59%157.67M
--149.37M
--158.54M
-28.86%175.10M
--227.15M
178.70%246.12M
--90.33M
--88.31M
Aktive Rechnungsabgrenzungsposten
0.19%57.12M
-11.16%37.72M
27.55%51.95M
25.94%56.97M
28.21%57.01M
27.44%42.46M
21.34%40.73M
10.96%45.23M
12.32%44.46M
12.63%33.32M
41.98%33.56M
71.06%40.77M
61.75%39.58M
67.27%29.58M
68.03%23.64M
55.98%23.83M
23.25%24.47M
-9.97%17.69M
5.76%14.07M
-13.98%15.28M
-1.07%19.86M
60.87%19.64M
2.67%13.30M
59.74%17.76M
90.88%20.07M
75.34%12.21M
10.86%12.96M
--11.12M
--10.51M
-31.47%6.96M
--11.69M
20.99%10.16M
--13.37M
--8.40M
Sonstige kurzfristige Vermögenswerte
--0.00
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-98.95%170.00K
----
7.53%16.23M
--28.30M
--15.10M
Summe der kurzfristigen Vermögenswerte
9.11%767.22M
-9.58%826.77M
6.95%846.32M
11.82%807.25M
7.38%703.18M
27.19%914.40M
22.75%791.33M
0.68%721.92M
2.98%654.89M
-6.65%718.92M
1.97%644.67M
27.78%717.02M
36.55%635.94M
61.63%770.17M
39.04%632.20M
52.73%561.16M
16.25%465.74M
32.16%476.50M
37.05%454.70M
17.39%367.41M
50.41%400.64M
21.39%360.55M
16.56%331.77M
5.29%313.00M
-8.10%266.37M
-1.99%297.01M
-15.90%284.64M
--297.26M
--289.87M
-8.45%303.03M
--338.44M
53.21%331.01M
--285.35M
--216.04M
Langfristige Vermögenswerte
Nettoanlagevermögen
6.04%219.62M
-1.79%204.55M
10.60%213.01M
12.04%212.28M
15.53%207.11M
15.71%208.27M
4.83%192.59M
3.10%189.47M
-0.22%179.26M
3.44%179.99M
12.70%183.71M
19.58%183.77M
50.87%179.66M
55.14%174.01M
48.18%163.01M
36.79%153.68M
2.38%119.08M
-6.82%112.17M
35.41%110.01M
40.45%112.34M
48.69%116.31M
62.46%120.38M
12.20%81.24M
12.50%79.99M
9.42%78.22M
0.43%74.10M
-6.65%72.41M
--71.10M
--71.49M
56.69%73.78M
--77.57M
217.45%47.09M
--18.34M
--14.83M
-Anlagevermögen
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57.35%191.42M
----
----
----
19.61%121.65M
--113.65M
--107.37M
--103.79M
68.02%101.71M
----
174.26%60.53M
--26.61M
--22.07M
-Abgegrenzte Abschreibungen
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49.38%71.04M
----
----
----
70.31%47.56M
--41.25M
--36.27M
--32.30M
107.71%27.92M
----
85.75%13.44M
--8.28M
--7.24M
Goodwill und andere immaterielle Vermögenswerte
19.17%246.46M
42.26%244.58M
25.18%210.84M
26.97%209.78M
33.34%206.82M
11.84%171.92M
10.49%168.43M
8.66%165.22M
2.46%155.11M
2.75%153.72M
2.74%152.44M
3.33%152.05M
3.31%151.38M
2.21%149.61M
1.72%148.37M
0.95%147.15M
0.59%146.54M
0.85%146.37M
0.61%145.87M
0.75%145.76M
0.93%145.68M
8.06%145.14M
7.07%144.99M
8.18%144.67M
10.81%144.33M
4.45%134.31M
6.12%135.41M
--133.73M
--130.25M
-7.13%128.59M
--127.60M
21.70%138.46M
--115.02M
--113.78M
Sonstige langfristige Vermögenswerte
69.99%4.57M
294.03%10.22M
-14.55%3.01M
-66.08%2.99M
-84.44%2.69M
-89.25%2.59M
46.06%3.53M
251.03%8.82M
577.62%17.26M
837.09%24.13M
24.82%2.41M
26.52%2.51M
34.26%2.55M
26.60%2.58M
-3.15%1.93M
2.63%1.99M
-54.18%1.90M
-41.40%2.03M
17.75%2.00M
-30.46%1.94M
-39.67%4.14M
-60.52%3.47M
-83.27%1.70M
-66.47%2.78M
-35.20%6.86M
-20.19%8.79M
56.92%10.14M
--8.30M
--10.59M
-43.64%11.02M
--6.46M
1315.13%19.54M
--4.33M
--1.38M
Summe der langfristigen Vermögenswerte
12.97%470.65M
20.00%459.35M
17.09%426.87M
16.93%425.06M
18.48%416.62M
6.97%382.79M
7.68%364.55M
7.44%363.51M
5.41%351.63M
9.70%357.85M
8.06%338.56M
11.73%338.33M
24.70%333.59M
25.19%326.20M
21.50%313.31M
16.45%302.81M
0.52%267.52M
-3.13%260.57M
13.14%257.87M
14.33%260.04M
16.00%266.12M
23.85%268.99M
4.58%227.92M
6.71%227.44M
8.05%229.41M
1.78%217.20M
2.99%217.95M
--213.14M
--212.33M
4.04%213.39M
--211.63M
57.77%205.10M
--137.69M
--129.99M
Summe der Vermögenswerte
10.54%1.24B
-0.85%1.29B
10.15%1.27B
13.53%1.23B
11.26%1.12B
20.47%1.30B
17.56%1.16B
2.85%1.09B
3.81%1.01B
-1.79%1.08B
3.99%983.23M
22.15%1.06B
32.22%969.53M
48.75%1.10B
32.69%945.51M
37.70%863.98M
9.97%733.25M
17.08%737.07M
27.31%712.57M
16.10%627.45M
34.49%666.77M
22.43%629.54M
11.36%559.70M
5.89%540.44M
-1.28%495.79M
-0.43%514.21M
-8.63%502.59M
--510.40M
--502.19M
-3.67%516.43M
--550.07M
54.93%536.11M
--423.04M
--346.04M
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
75.80%276.00K
-10.69%142.00K
101.83%331.00K
-10.92%155.00K
--157.00K
--159.00K
--164.00K
--174.00K
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----
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-1.12%88.00K
----
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----
--89.00K
--176.00K
----
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-30.43%160.00K
----
-97.70%230.00K
--10.00M
--10.00M
Rückstellungen
3.24%111.77M
11.98%146.22M
5.18%139.61M
-18.28%129.84M
-41.67%108.26M
-39.62%130.57M
20.40%132.74M
18.40%158.89M
43.60%185.59M
51.96%216.25M
-9.17%110.24M
25.68%134.20M
56.30%129.24M
37.21%142.30M
82.44%121.37M
113.53%106.77M
65.49%82.69M
72.26%103.72M
31.52%66.53M
-5.16%50.01M
-0.78%49.97M
-12.20%60.21M
-9.47%50.58M
8.14%52.72M
16.30%50.36M
31.70%68.57M
22.02%55.88M
--48.76M
--43.30M
9.33%52.07M
--45.79M
57.03%47.62M
--61.58M
--30.33M
Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
1.87%6.49M
-1.58%6.47M
-3.46%6.29M
5.09%6.48M
-73.94%6.37M
-73.27%6.58M
-73.32%6.51M
-74.92%6.17M
-0.56%24.44M
0.21%24.61M
-0.56%24.41M
0.45%24.59M
8.26%24.57M
8.21%24.56M
17.91%24.55M
29.23%24.48M
33.04%22.70M
49.47%22.70M
-50.59%20.82M
-55.05%18.94M
-60.90%17.06M
-65.20%15.19M
-10.44%42.14M
-10.44%42.14M
-7.25%43.64M
-7.25%43.64M
1.07%47.05M
--47.05M
--47.05M
3.29%47.05M
--46.55M
2227.54%45.55M
--1.96M
--1.96M
-Kurzfristige Leasingverpflichtungen
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--2.36M
--2.29M
--1.95M
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945.69%2.06M
955.67%2.05M
--1.98M
----
6.49%197.00K
--194.00K
----
--188.00K
--185.00K
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Aufgeschobene Verbindlichkeiten
--9.77M
-53.37%10.46M
----
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--22.44M
--17.00M
--18.27M
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87.48%20.76M
----
----
----
--11.07M
--7.42M
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Andere kurzfristige Verbindlichkeiten
6300.64%10.05M
-53.07%10.60M
-98.07%331.00K
-99.16%155.00K
--157.00K
--22.60M
--17.17M
--18.45M
----
----
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----
86.77%20.85M
----
----
----
--11.16M
--7.60M
----
----
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----
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-30.43%160.00K
----
-97.70%230.00K
--10.00M
--10.00M
Summe der kurzfristigen Verbindlichkeiten
-0.51%297.25M
-4.73%379.50M
-9.06%328.13M
2.01%351.86M
-9.41%298.77M
-2.61%398.35M
30.91%360.83M
-11.88%344.92M
-5.79%329.80M
1.32%409.04M
-16.44%275.63M
28.75%391.41M
38.36%350.07M
40.30%403.71M
50.25%329.88M
131.77%304.00M
68.03%253.01M
68.96%287.76M
9.18%219.55M
-33.81%131.17M
-12.71%150.58M
-9.09%170.31M
8.14%201.10M
14.79%198.17M
14.54%172.50M
23.33%187.34M
31.04%185.96M
--172.63M
--150.61M
10.18%151.90M
--141.91M
70.00%137.87M
--98.42M
--81.10M
Langfristige Verbindlichkeiten
Langfristige Schulden und Leasingverbindlichkeiten
1.91%155.69M
-3.27%146.41M
13.24%154.35M
14.74%154.05M
27.38%152.78M
18.82%151.36M
2.08%136.30M
-4.00%134.25M
-17.18%119.94M
-11.77%127.39M
-9.75%133.52M
-6.92%139.84M
3.06%144.82M
-1.65%144.38M
-41.45%147.95M
-51.45%150.25M
-61.58%140.52M
-54.54%146.81M
0.00%252.70M
17.54%309.44M
33.57%365.75M
13.57%322.96M
-25.84%252.69M
-30.87%263.26M
-34.49%273.82M
-33.65%284.38M
-29.05%340.74M
--380.81M
--417.98M
-12.82%428.63M
--480.23M
723.34%491.69M
--65.42M
--59.72M
-Langfristige Verbindlichkeiten
-7.73%71.40M
-3.16%72.82M
-2.20%74.42M
-1.50%75.83M
17.74%77.38M
4.82%75.20M
-2.14%76.09M
-7.89%76.98M
-26.63%65.72M
-18.88%71.74M
-17.20%77.76M
-15.89%83.58M
-15.11%89.57M
-19.79%88.44M
-56.33%93.91M
-63.31%99.36M
-67.57%105.52M
-60.73%110.26M
-14.91%215.02M
2.88%270.85M
18.83%325.38M
-1.27%280.76M
-25.84%252.69M
-30.87%263.26M
-34.49%273.82M
-33.65%284.38M
-29.05%340.74M
--380.81M
--417.98M
-12.82%428.63M
--480.23M
723.34%491.69M
--65.42M
--59.72M
-Langfristige Leasingverbindlichkeiten
11.79%84.29M
-3.38%73.59M
32.75%79.93M
36.58%78.22M
39.06%75.40M
36.86%76.16M
7.98%60.21M
1.78%57.27M
-1.86%54.22M
-0.52%55.65M
3.18%55.76M
10.59%56.27M
57.85%55.24M
53.07%55.94M
43.43%54.04M
31.85%50.88M
-13.31%35.00M
-13.40%36.55M
--37.68M
--38.59M
--40.37M
--42.20M
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Andere langfristige Verbindlichkeiten
-3.24%20.67M
-1.56%20.10M
25.45%20.73M
37.46%20.54M
50.23%21.36M
47.36%20.42M
-29.41%16.53M
-38.37%14.94M
-49.72%14.22M
-40.13%13.86M
15.76%23.41M
40.64%24.25M
53.26%28.28M
73.69%23.15M
19.79%20.23M
-3.27%17.24M
3.12%18.45M
0.15%13.33M
-6.42%16.89M
18.34%17.82M
27.90%17.89M
-1.63%13.31M
38.30%18.04M
9.50%15.06M
11.25%13.99M
11.54%13.53M
11.64%13.05M
--13.75M
--12.57M
632.81%12.13M
--11.69M
684.36%1.66M
--177.00K
--211.00K
Gesamt langfristige Verbindlichkeiten
1.28%176.36M
-4.98%166.51M
12.04%175.08M
13.87%174.59M
29.80%174.13M
24.06%175.23M
-0.42%156.27M
-6.56%153.32M
-22.50%134.16M
-19.21%141.25M
-10.83%156.93M
-6.70%164.09M
8.89%173.09M
8.66%174.83M
-34.91%175.99M
-46.26%175.88M
-58.66%158.97M
-52.29%160.89M
-0.13%270.39M
17.58%327.26M
33.61%384.55M
13.20%337.22M
-23.47%270.74M
-29.46%278.32M
-33.15%287.81M
-32.41%297.90M
-28.08%353.79M
--394.57M
--430.55M
-10.66%440.76M
--491.92M
670.60%493.34M
--65.59M
--64.02M
Gesamtverbindlichkeiten
0.15%473.60M
-4.81%546.01M
-2.69%503.21M
5.66%526.45M
1.93%472.90M
4.23%573.58M
19.54%517.10M
-10.31%498.23M
-11.32%463.95M
-4.88%550.29M
-14.49%432.56M
15.76%555.50M
26.99%523.16M
28.95%578.54M
3.25%505.87M
4.68%479.88M
-23.01%411.98M
-11.60%448.65M
3.84%489.94M
-3.79%458.42M
16.25%535.12M
4.59%507.53M
-12.58%471.83M
-15.99%476.48M
-20.79%460.31M
-18.12%485.24M
-14.84%539.75M
--567.20M
--581.16M
-6.11%592.66M
--633.83M
334.96%631.21M
--164.01M
--145.12M
Eigenkapital der Aktionäre
Stammkapital
16.24%435.42M
5.05%406.81M
8.62%412.14M
8.37%403.38M
2.88%374.59M
8.06%387.26M
7.82%379.44M
7.10%372.23M
6.43%364.09M
5.84%358.37M
5.62%351.91M
5.16%347.55M
5.40%342.09M
4.98%338.61M
4.49%333.18M
4.50%330.51M
3.74%324.55M
3.53%322.55M
12.96%318.87M
13.15%316.27M
14.53%312.86M
15.74%311.55M
23.82%282.28M
24.20%279.52M
23.63%273.17M
22.40%269.17M
5.69%227.97M
--225.05M
--220.96M
3.59%219.91M
--215.70M
106.38%212.29M
--199.17M
--102.86M
Gewinnrücklagen
38.84%630.73M
40.07%614.13M
55.89%560.97M
59.11%504.69M
62.76%454.29M
63.26%438.44M
21.45%359.84M
26.49%317.19M
36.48%279.12M
50.15%268.55M
179.58%296.29M
373.06%250.77M
6449.49%204.52M
630.04%178.86M
210.23%105.98M
135.92%53.01M
98.22%-3.22M
82.20%-33.74M
50.52%-96.14M
31.53%-147.58M
23.79%-181.06M
21.06%-189.54M
26.72%-194.29M
23.52%-215.53M
20.79%-237.60M
18.93%-240.10M
11.49%-265.11M
---281.83M
---299.96M
4.33%-296.18M
---299.51M
-415.72%-309.57M
--59.87M
--98.05M
Kapitalrücklagen
16.28%434.52M
5.06%405.92M
8.64%411.25M
8.39%402.50M
2.89%373.70M
8.08%386.38M
7.84%378.56M
7.12%371.35M
6.45%363.20M
5.85%357.49M
5.64%351.03M
5.17%346.68M
5.41%341.21M
4.99%337.74M
4.50%332.30M
4.51%329.64M
3.75%323.68M
3.54%321.68M
13.00%318.00M
13.18%315.40M
14.56%311.99M
15.78%310.68M
23.89%281.42M
24.28%278.67M
24.41%272.33M
22.47%268.33M
5.71%227.16M
--224.24M
--218.91M
3.60%219.09M
--214.89M
109.69%211.47M
--197.12M
--100.85M
Abzüglich: Eigene Aktien
66.92%301.63M
181.52%281.59M
100.76%200.81M
100.83%200.88M
80.66%180.70M
0.00%100.03M
0.00%100.03M
0.00%100.03M
0.00%100.03M
--100.03M
--100.03M
--100.03M
--100.03M
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--10.00K
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Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
80.17%-253.00K
136.63%756.00K
-388.61%-2.32M
39.00%-1.33M
-106.81%-1.28M
-391.43%-2.06M
-119.07%-474.00K
-239.83%-2.19M
-192.42%-617.00K
-218.98%-420.00K
409.22%2.48M
173.43%1.56M
-263.79%-211.00K
191.21%353.00K
608.33%488.00K
69.73%572.00K
61.33%-58.00K
-9775.00%-387.00K
25.58%-96.00K
1091.18%337.00K
-40.19%-150.00K
104.26%4.00K
-706.25%-129.00K
-142.86%-34.00K
-381.58%-107.00K
-318.60%-94.00K
-131.37%-16.00K
---14.00K
--38.00K
--43.00K
--51.00K
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Nicht beherrschende Anteile
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-100.00%0.00
----
--2.19M
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Gesamtes Eigenkapital
18.14%764.26M
2.28%740.11M
20.54%769.98M
20.21%705.86M
19.23%646.90M
37.44%723.61M
16.00%638.78M
17.47%587.21M
21.55%542.56M
1.67%526.48M
25.25%550.66M
30.14%499.86M
38.94%446.37M
79.54%517.82M
97.47%439.64M
127.24%384.09M
144.04%321.27M
136.40%288.42M
153.40%222.63M
164.31%169.03M
271.14%131.65M
321.13%122.00M
336.44%87.86M
212.59%63.95M
144.92%35.47M
138.00%28.97M
55.64%-37.16M
---56.80M
---78.97M
19.84%-76.23M
---83.76M
-147.33%-95.10M
--259.03M
--200.92M
Währungseinheit
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