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CureVac NV

CVAC
4.300USD
-0.010-0.23%
Cierre 12/26, 16:00ETCotizaciones retrasadas 15 min
968.24MCap. mercado
8.85P/E TTM
Puede mirar aquí los balances anuales o trimestrales de CureVac NV para evaluar su salud financiera, analizar sus fundamentos y calcular sus ratios clave de liquidez, apalancamiento y rentabilidad sobre el patrimonio neto.
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-34.42%363.90M
64.07%338.39M
45.44%442.09M
--485.37M
18.67%554.92M
-62.04%206.25M
-51.02%303.95M
-13.96%467.60M
-5.87%543.28M
-6.38%620.59M
-38.70%500.28M
-49.15%543.46M
-57.43%577.17M
-55.72%662.87M
-38.42%816.11M
19.60%1.07B
--1.36B
3234.45%1.50B
--1.33B
--893.53M
--44.89M
Efectivo y equivalentes de efectivo
-34.43%361.19M
65.78%335.73M
46.04%438.33M
--481.75M
18.68%550.86M
-62.35%202.51M
-51.39%300.15M
-14.18%464.14M
-6.21%537.92M
-6.18%617.52M
-38.90%495.80M
-49.02%540.87M
-57.70%573.57M
-56.03%658.20M
-38.65%811.46M
18.89%1.06B
--1.36B
3343.21%1.50B
--1.32B
--892.40M
--43.47M
-Inversiones a corto plazo
-33.15%2.71M
-28.79%2.66M
-1.24%3.76M
--3.62M
17.37%4.05M
-30.24%3.73M
23.92%3.80M
32.94%3.46M
48.39%5.35M
-34.20%3.07M
-3.46%4.49M
-66.30%2.60M
--3.61M
--4.66M
77.47%4.65M
583.08%7.71M
----
----
--2.62M
--1.13M
--1.42M
Por cobrar
100.84%23.75M
-78.40%6.58M
-53.22%10.76M
--22.64M
11.62%11.82M
364.66%30.49M
293.77%23.01M
71.70%10.59M
-50.81%6.56M
-79.15%5.84M
-51.35%9.00M
-35.94%6.17M
--13.34M
--28.02M
915.59%18.50M
1700.37%9.63M
----
----
--1.82M
--535.00K
--4.83M
-Cuentas y pagarés por cobrar
195.16%17.01M
-98.14%349.66K
-87.23%1.87M
--14.08M
-44.97%5.76M
191.31%18.77M
333.38%14.64M
69.77%10.47M
-51.71%6.44M
-87.94%3.38M
-65.98%6.29M
151.63%6.17M
--13.34M
--28.02M
1724.85%18.50M
--2.45M
----
----
--1.01M
--0.00
--2.41M
-Otros por cobrar
--0.00
-100.00%0.00
-17.57%2.09M
--2.76M
-100.00%0.00
4353.78%5.30M
3.00%2.54M
--119.00K
--119.00K
--2.46M
--2.71M
----
----
----
-100.00%0.00
1242.06%7.18M
----
----
--808.00K
--535.00K
--2.42M
Inventario
-0.08%469.62K
1.21%462.51K
-97.94%541.00K
--541.00K
-97.98%470.00K
-97.94%457.00K
6.20%26.21M
196.14%23.30M
67.62%22.19M
-5.51%24.68M
-57.28%23.99M
-94.42%7.87M
--13.24M
--26.12M
286.48%56.16M
9779.38%140.88M
----
----
--14.53M
--1.43M
--5.42M
Gastos prepago
2223.49%368.51M
-3.16%12.16M
-37.87%14.18M
--16.27M
-37.69%15.86M
-40.84%12.55M
-10.85%22.82M
-58.24%25.45M
-70.10%21.22M
-64.59%25.60M
603.83%40.29M
-49.59%60.95M
--70.97M
--72.28M
-88.15%5.72M
504.27%120.92M
----
----
--48.29M
--20.01M
--4.33M
Otros activos corrientes
13.19%-868.06
----
----
----
0.00%-1.00K
----
---1.00K
---1.00K
----
----
----
----
----
----
--43.52M
--113.98M
----
----
----
----
--626.00K
Total de activos corrientes
29.62%757.91M
42.65%358.88M
24.14%469.10M
--526.41M
8.92%584.72M
-58.29%251.57M
-44.99%377.88M
-13.73%536.83M
-10.71%603.21M
-12.97%686.92M
-37.87%584.03M
-57.20%622.28M
--675.59M
--789.29M
-32.37%940.02M
58.83%1.45B
----
----
--1.39B
--915.50M
--60.11M
Activos no corrientes
Activos fijos netos
-15.30%204.52M
-26.22%203.82M
-13.63%240.99M
--244.65M
-11.30%241.45M
5.61%276.25M
10.22%279.02M
8.25%272.22M
11.30%261.57M
14.39%253.16M
20.61%241.70M
30.46%251.46M
--235.01M
--221.31M
99.22%200.39M
104.92%192.74M
----
----
--100.59M
--94.06M
--87.23M
Fondo de comercio y otros activos intangibles
-18.35%21.42M
-20.12%21.43M
-21.05%24.73M
--25.16M
-13.88%26.24M
-15.36%26.83M
2.37%31.32M
-9.79%30.47M
158.12%31.70M
142.17%30.60M
140.05%31.78M
148.86%33.77M
--12.28M
--12.64M
-6.42%13.24M
33.87%13.57M
----
----
--14.15M
--10.14M
--6.12M
Otros activos no actuales
154.38%4.54M
120.70%4.80M
238.88%7.45M
--6.61M
-41.48%1.78M
-27.43%2.18M
-26.53%2.20M
1.77%3.05M
2.08%3.00M
-12.41%2.99M
-35.47%2.96M
10.15%2.99M
--2.94M
--3.42M
-32.14%4.59M
22.88%2.72M
----
----
--6.77M
--2.21M
--2.20M
Total de activos no actuales
-14.47%230.48M
-24.63%230.06M
-12.60%273.17M
--276.41M
-11.86%269.47M
3.03%305.26M
8.99%312.55M
6.07%305.73M
18.40%296.27M
20.81%286.76M
26.68%276.44M
37.89%288.23M
--250.23M
--237.36M
79.60%218.22M
96.45%209.03M
----
----
--121.50M
--106.41M
--95.55M
Total de activos
15.71%988.38M
5.76%588.94M
7.51%742.27M
--802.83M
1.38%854.19M
-38.09%556.84M
-29.09%690.43M
-7.46%842.57M
-2.85%899.48M
-5.16%973.67M
-25.71%860.47M
-45.25%910.51M
--925.82M
--1.03B
-23.36%1.16B
62.75%1.66B
----
----
--1.51B
--1.02B
--155.66M
Pasivos
Pasivos corrientes
-Otros por pagar
330.29%155.59M
-0.01%31.04M
-38.07%26.39M
--29.55M
16.38%36.16M
-12.60%31.04M
12.99%42.62M
-60.66%31.07M
-61.71%35.51M
-66.58%37.72M
-76.19%40.49M
-23.99%78.97M
--92.76M
--112.86M
164.39%170.07M
284.04%103.89M
----
----
--64.33M
--27.05M
--19.45M
Provisiones corrientes
-93.45%868.06K
-95.01%854.92K
-96.59%1.86M
--1.96M
-78.39%13.25M
-72.21%17.12M
3982.61%54.46M
--61.32M
--61.61M
--1.33M
--1.92M
----
----
----
----
----
----
----
----
----
----
Deuda a corto plazo y pasivos por arrendamiento
-20.93%4.14M
-17.64%4.18M
2.16%5.20M
--5.32M
-5.48%5.23M
-2.57%5.07M
0.59%5.09M
18.96%5.53M
21.67%5.21M
23.10%5.06M
43.56%4.98M
40.54%4.65M
--4.28M
--4.11M
7.27%3.47M
13.32%3.31M
----
----
--3.23M
--2.92M
--3.09M
-Pasivos por arrendamiento a corto plazo
-20.93%4.14M
-17.64%4.18M
2.16%5.20M
--5.32M
-5.48%5.23M
-2.57%5.07M
0.59%5.09M
18.96%5.53M
21.67%5.21M
23.10%5.06M
43.56%4.98M
40.54%4.65M
--4.28M
--4.11M
7.27%3.47M
13.32%3.31M
----
----
--3.23M
--2.92M
--3.09M
Pasivos diferidos
-86.81%314.24K
----
----
--0.00
-93.97%2.38M
21.50%48.48M
52.85%46.79M
11.29%39.55M
-19.37%39.90M
-46.02%30.61M
-37.65%34.76M
-94.50%35.54M
--49.49M
--56.71M
-64.71%55.75M
2040.16%646.26M
----
----
--157.99M
--30.20M
--7.65M
Otros pasivos corrientes
202.67%156.77M
-67.00%31.89M
-80.36%28.25M
--31.50M
-60.74%51.80M
-29.47%96.64M
106.53%143.87M
15.22%131.94M
-3.67%137.02M
-58.92%69.66M
-65.83%77.17M
-84.74%114.50M
--142.25M
--169.57M
1.58%225.82M
1210.34%750.15M
----
----
--222.31M
--57.25M
--27.10M
Total pasivos corrientes
117.28%205.01M
-47.14%58.15M
-63.50%61.29M
--72.35M
-37.38%94.35M
-29.61%110.00M
85.98%167.93M
-12.57%150.68M
-20.12%156.28M
-62.03%90.30M
-56.33%156.22M
-78.83%172.35M
--195.63M
--237.84M
44.47%357.73M
636.54%814.06M
----
----
--247.62M
--110.53M
--36.49M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
--0.00
--0.00
-100.00%0.00
--27.54M
--0.00
-100.00%0.00
--25.19M
--0.00
--67.08M
-Deuda a largo plazo
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
--27.54M
----
----
--25.19M
--0.00
--67.08M
Pasivos diferidos
111.83%514.76K
-99.59%148.76K
----
--0.00
-99.54%243.00K
-38.27%36.34M
-44.82%40.03M
-30.49%53.02M
-16.85%58.86M
-5.96%72.55M
-15.98%72.55M
-23.94%76.28M
--70.79M
--77.15M
-82.73%86.34M
-17.65%100.28M
----
----
--500.06M
--121.78M
--64.00M
Otros pasivos no corrientes
146.54%601.56K
-92.66%2.67M
-95.31%1.88M
--227.00K
-99.54%244.00K
-38.29%36.34M
-70.10%40.03M
-30.72%53.04M
-17.13%58.88M
72.96%133.89M
54.59%133.89M
-23.87%76.56M
--71.05M
--77.41M
-82.69%86.61M
-17.78%100.57M
----
----
--500.35M
--122.31M
--64.79M
Total pasivos no corrientes
-22.88%27.10M
-58.05%29.49M
-54.64%34.29M
--33.87M
-60.79%35.14M
-25.34%70.30M
-55.53%75.59M
-20.81%89.62M
-11.99%94.16M
49.15%169.97M
52.63%170.99M
-26.41%113.17M
--106.98M
--113.96M
-79.72%112.03M
2.50%153.78M
----
----
--552.39M
--150.03M
--162.82M
Total pasivos
79.24%232.11M
-51.39%87.64M
-60.75%95.58M
--106.22M
-46.11%129.49M
-28.00%180.30M
-6.44%243.52M
-15.84%240.30M
-17.24%250.43M
-26.02%260.27M
-30.34%327.22M
-70.50%285.52M
--302.62M
--351.80M
-41.28%469.77M
271.45%967.83M
----
----
--800.01M
--260.56M
--199.31M
Capital de los accionistas
Capital ordinario
-12.87%23.46M
-14.18%23.10M
0.38%27.02M
--26.92M
0.19%26.92M
0.19%26.92M
0.20%26.92M
17.68%26.87M
19.43%26.87M
19.63%26.86M
4.21%23.40M
1.73%22.83M
--22.50M
--22.45M
3.69%22.45M
4.11%22.45M
----
----
--21.66M
--21.56M
--743.00K
Ganancias retenidas
5.06%733.09M
36.79%478.46M
47.52%619.74M
--669.65M
21.24%697.80M
-43.80%349.76M
-38.85%420.12M
-4.76%575.55M
3.26%622.30M
4.79%687.00M
-23.87%511.47M
-10.22%604.29M
--602.69M
--655.59M
-2.58%671.87M
-9.03%673.06M
----
----
--689.63M
--739.84M
---44.47M
Menos: Acciones en tesorería
----
----
----
--0.00
----
----
----
-100.00%0.00
-100.00%0.00
-88.89%344.00K
-74.54%1.48M
721.80%1.73M
--1.73M
--3.10M
--5.82M
--211.00K
----
----
----
----
----
Pérdidas de ganancias que no afectan a las ganancias retenidas
-1119.22%-268.23K
-78.60%-260.75K
39.84%-74.00K
--39.00K
85.62%-22.00K
-18.70%-146.00K
-2.50%-123.00K
61.56%-153.00K
50.00%-123.00K
-34.83%-120.00K
-308.82%-139.00K
-7860.00%-398.00K
---246.00K
---89.00K
-159.65%-34.00K
99.07%-5.00K
----
----
--57.00K
---540.00K
--70.00K
Capital total
4.36%756.28M
33.13%501.30M
44.70%646.69M
--696.61M
20.33%724.70M
-41.99%376.53M
-37.35%446.91M
-3.64%602.26M
4.15%649.05M
5.71%713.40M
-22.55%533.25M
-10.11%624.99M
--623.20M
--674.86M
-3.22%688.48M
-8.68%695.29M
----
----
--711.35M
--761.35M
---43.66M
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
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Preguntas frecuentes

¿Qué es el balance general?

Es un informe financiero que resume los activos, las responsabilidades y el patrimonio neto de una empresa en un momento determinado.
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