tradingkey.logo

Mitsubishi UFJ Financial Group Inc

MUFG

13.920USD

+0.020+0.14%
Cierre 08/01, 16:00ETCotizaciones retrasadas 15 min
160.17BCap. mercado
13.08P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Activos actuales
Efectivo restringido
-13.89%7.23B
-16.19%7.65B
-14.66%7.78B
-21.48%7.80B
-13.34%8.40B
-14.17%9.12B
-2.63%9.12B
3.12%9.93B
-11.51%9.69B
-5.86%10.63B
-19.93%9.36B
-15.86%9.63B
-5.51%10.95B
-3.24%11.29B
13.25%11.69B
12.96%11.44B
19.13%11.59B
21.24%11.67B
20.22%10.33B
21.26%10.13B
18.14%9.73B
19.84%9.63B
3.38%8.59B
-4.99%8.35B
-7.20%8.24B
-12.10%8.03B
0.32%8.31B
14.09%8.79B
22.52%8.88B
32.45%9.14B
16.52%8.28B
11.32%7.70B
19.97%7.24B
14.57%6.90B
26.80%7.11B
10.04%6.92B
3.59%6.04B
-0.50%6.02B
-8.93%5.61B
0.29%6.29B
3.06%5.83B
-7.63%6.05B
-0.50%6.15B
10.33%6.27B
6.15%5.66B
34.00%6.55B
--6.19B
22.34%5.68B
11.59%5.33B
9.81%4.89B
5.21%4.65B
--4.78B
--4.45B
--4.59B
--4.42B
Activos no corrientes
Activos fijos netos
1.82%8.27B
-10.16%7.77B
4.81%8.56B
-7.21%7.78B
-11.60%8.12B
-10.59%8.65B
-6.84%8.16B
-8.43%8.38B
-9.56%9.19B
-11.55%9.68B
-23.26%8.76B
-20.95%9.16B
-13.25%10.16B
-12.56%10.94B
-8.01%11.42B
-4.80%11.58B
-4.58%11.71B
1.06%12.51B
0.26%12.41B
-4.07%12.17B
1.83%12.27B
-0.27%12.38B
2.81%12.38B
2.32%12.68B
-6.51%12.05B
1.44%12.41B
-1.57%12.04B
2.92%12.40B
5.67%12.89B
8.29%12.24B
-6.35%12.23B
-7.81%12.05B
0.83%12.20B
0.18%11.30B
14.65%13.06B
18.16%13.07B
7.45%12.10B
-15.27%11.28B
-19.55%11.39B
-29.20%11.06B
-24.54%11.26B
-7.41%13.31B
-4.08%14.16B
8.47%15.62B
0.07%14.92B
-8.12%14.38B
--14.76B
-15.62%14.40B
-8.13%14.91B
-9.09%15.65B
1.88%17.06B
--16.23B
--17.21B
--17.40B
--16.75B
-Activos fijos
-21.34%14.22B
----
5.44%16.38B
----
2.81%18.08B
----
-9.03%15.53B
----
-10.99%17.58B
----
-20.80%17.08B
----
-10.84%19.75B
----
-7.63%21.56B
----
-4.66%22.15B
----
-0.25%23.34B
----
1.58%23.24B
----
3.93%23.40B
----
-7.53%22.88B
----
-3.17%22.52B
----
6.74%24.74B
----
-5.96%23.25B
----
1.07%23.18B
----
14.27%24.73B
----
7.48%22.93B
----
--21.64B
----
-20.23%21.33B
----
----
----
1.92%26.75B
----
----
----
--26.24B
----
----
----
----
--32.07B
----
-Depreciación acumulada
-40.25%5.95B
----
6.14%7.82B
----
18.59%9.95B
----
-11.35%7.37B
----
-12.50%8.39B
----
-18.03%8.31B
----
-8.15%9.59B
----
-7.20%10.14B
----
-4.74%10.44B
----
-0.83%10.93B
----
1.29%10.96B
----
5.22%11.02B
----
-8.63%10.82B
----
-4.95%10.47B
----
7.93%11.85B
----
-5.52%11.02B
----
1.35%10.98B
----
13.84%11.66B
----
7.51%10.83B
----
--10.25B
----
-14.79%10.07B
----
----
----
4.36%11.82B
----
----
----
--11.33B
----
----
----
----
--14.66B
----
Fondo de comercio y otros activos intangibles
13.23%12.51B
13.46%12.10B
35.45%13.62B
21.00%11.95B
8.00%11.05B
-4.35%10.67B
-0.09%10.06B
-4.78%9.88B
-7.43%10.23B
-9.60%11.15B
-22.56%10.07B
-21.25%10.37B
-14.83%11.05B
-10.53%12.34B
-5.22%13.00B
1.37%13.17B
-6.90%12.97B
-6.00%13.79B
-16.27%13.72B
-7.95%13.00B
35.90%13.93B
28.10%14.67B
49.71%16.38B
27.46%14.12B
-12.60%10.25B
4.25%11.45B
-0.39%10.94B
0.48%11.08B
3.89%11.73B
7.40%10.98B
-4.89%10.98B
-6.13%11.02B
1.31%11.29B
-0.67%10.23B
7.61%11.55B
11.96%11.74B
3.22%11.15B
-1.23%10.30B
-2.29%10.73B
-11.82%10.49B
-24.87%10.80B
-25.34%10.42B
-7.48%10.98B
8.02%11.89B
24.06%14.37B
17.70%13.96B
--11.87B
-13.24%11.01B
-6.30%11.59B
-10.56%11.86B
-2.59%12.69B
--12.37B
--13.26B
--13.43B
--13.03B
Total de activos
3.26%2.76T
-6.61%2.63T
4.22%2.78T
-5.68%2.53T
-8.40%2.67T
-5.71%2.81T
-1.50%2.67T
-5.82%2.68T
-5.18%2.91T
-6.08%2.99T
-16.44%2.71T
-12.53%2.85T
-5.40%3.07T
-6.70%3.18T
-1.96%3.24T
2.86%3.26T
3.75%3.25T
17.69%3.41T
13.54%3.30T
9.28%3.17T
11.50%3.13T
3.24%2.89T
7.98%2.91T
7.26%2.90T
-2.82%2.81T
1.09%2.80T
-0.77%2.70T
-0.18%2.70T
6.08%2.89T
7.32%2.77T
-6.29%2.72T
-6.24%2.71T
2.75%2.72T
5.12%2.58T
20.11%2.90T
24.13%2.89T
11.25%2.65T
5.40%2.46T
0.04%2.41T
-9.14%2.33T
-4.77%2.38T
-4.96%2.33T
-2.20%2.41T
8.43%2.56T
0.48%2.50T
-5.16%2.45T
--2.47T
-15.24%2.36T
-5.82%2.49T
-5.58%2.59T
8.80%2.79T
--2.64T
--2.74T
--2.80T
--2.56T
Pasivos
Pasivos corrientes
Deuda a corto plazo y pasivos por arrendamiento
46.16%549.08B
-10.46%374.21B
5.75%395.74B
-13.22%319.67B
-19.73%375.68B
-3.27%417.92B
-1.19%374.20B
-5.87%368.38B
14.87%468.01B
1.54%432.07B
-4.19%378.70B
-2.35%391.35B
-21.04%407.42B
-6.44%425.50B
-7.76%395.26B
-6.85%400.78B
-23.66%515.96B
15.62%454.79B
1.55%428.53B
4.50%430.26B
52.94%675.87B
-6.53%393.36B
5.35%421.98B
10.40%411.71B
-3.49%441.91B
5.60%420.86B
8.65%400.56B
1.97%372.91B
26.96%457.87B
11.88%398.53B
-11.77%368.68B
-14.01%365.70B
-25.47%360.65B
-11.14%356.20B
12.90%417.85B
33.48%425.30B
20.02%483.93B
15.90%400.88B
12.79%370.11B
-8.69%318.62B
-5.08%403.22B
-6.11%345.90B
1.68%328.14B
21.89%348.93B
7.40%424.82B
13.82%368.39B
--322.71B
-15.48%286.26B
-3.45%395.54B
16.31%323.66B
31.23%338.70B
--409.68B
--278.27B
--318.05B
--258.09B
-Deuda a corto plazo
9.08%409.65B
-10.46%374.21B
5.75%395.74B
-13.22%319.67B
-19.73%375.56B
-3.27%417.92B
-1.19%374.20B
-5.87%368.38B
14.90%467.90B
1.54%432.07B
-4.19%378.70B
-2.35%391.35B
2.87%407.20B
-6.44%425.50B
-7.76%395.26B
-6.85%400.78B
-17.46%395.83B
15.62%454.79B
1.55%428.53B
4.50%430.26B
20.41%479.57B
-6.53%393.36B
5.35%421.98B
10.40%411.71B
-4.16%398.27B
5.60%420.86B
8.65%400.56B
1.97%372.91B
15.22%415.54B
11.88%398.53B
-11.77%368.68B
-14.01%365.70B
-15.39%360.65B
-11.14%356.20B
12.90%417.85B
33.48%425.30B
23.82%426.28B
15.90%400.88B
12.79%370.11B
-8.69%318.62B
-0.18%344.27B
-6.11%345.90B
1.68%328.14B
21.89%348.93B
16.99%344.90B
13.82%368.39B
--322.71B
-15.48%286.26B
-1.42%294.81B
16.31%323.66B
31.23%338.70B
--299.05B
--278.27B
--318.05B
--258.09B
-Pasivos por arrendamiento a corto plazo
-7.15%109.85M
----
----
----
5.68%118.31M
----
----
----
-47.75%111.95M
----
----
----
-13.30%214.24M
----
----
----
-9.17%247.11M
----
----
----
635.30%272.05M
----
----
----
26.17%37.00M
----
----
----
--29.32M
----
----
----
----
----
----
----
-6.69%27.15M
----
----
----
-30.69%29.10M
----
----
----
-14.17%41.98M
----
----
----
-6.57%48.91M
----
----
--52.35M
----
----
----
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-63.64%101.56B
-13.55%252.29B
-1.92%271.56B
-8.00%263.08B
-8.57%279.29B
-0.03%291.83B
3.18%276.89B
-10.92%285.97B
-17.45%305.48B
-25.06%291.93B
-30.63%268.35B
-18.51%321.03B
33.23%370.05B
-0.40%389.57B
-5.06%386.82B
11.98%393.97B
75.30%277.75B
46.02%391.14B
57.24%407.44B
37.74%351.83B
-25.63%158.44B
4.89%267.88B
4.92%259.12B
3.73%255.43B
0.13%213.06B
-2.98%255.39B
-2.16%246.96B
2.38%246.24B
-11.78%212.79B
20.08%263.24B
12.05%252.43B
18.59%240.52B
78.78%241.20B
14.35%219.23B
21.70%225.27B
13.31%202.83B
8.55%134.92B
9.27%191.71B
0.31%185.10B
-2.87%179.00B
31.52%124.29B
4.81%175.45B
9.01%184.53B
10.23%184.29B
20.45%94.51B
-1.47%167.39B
--169.28B
-14.29%167.18B
-16.69%78.46B
-17.55%169.90B
4.96%195.06B
--94.18B
--206.07B
--215.47B
--185.84B
-Deuda a largo plazo
-63.64%101.56B
-13.55%252.29B
-1.92%271.56B
-8.00%263.08B
-8.57%279.29B
-0.03%291.83B
3.18%276.89B
-10.92%285.97B
-17.45%305.48B
-25.06%291.93B
-30.63%268.35B
-18.51%321.03B
33.23%370.05B
-0.40%389.57B
-5.06%386.82B
11.98%393.97B
75.30%277.75B
46.02%391.14B
57.24%407.44B
37.74%351.83B
-25.63%158.44B
4.89%267.88B
4.92%259.12B
3.73%255.43B
0.13%213.06B
-2.98%255.39B
-2.16%246.96B
2.38%246.24B
-11.78%212.79B
20.08%263.24B
12.05%252.43B
18.59%240.52B
78.78%241.20B
14.35%219.23B
21.70%225.27B
13.31%202.83B
8.55%134.92B
9.27%191.71B
0.31%185.10B
-2.87%179.00B
31.52%124.29B
4.81%175.45B
9.01%184.53B
10.23%184.29B
20.45%94.51B
-1.47%167.39B
--169.28B
-14.29%167.18B
-16.69%78.46B
-17.55%169.90B
4.96%195.06B
--94.18B
--206.07B
--215.47B
--185.84B
Depósitos del cliente
3.13%1.64T
-5.81%1.56T
6.49%1.67T
-5.03%1.52T
-7.08%1.59T
-7.56%1.65T
-3.76%1.57T
-6.53%1.60T
-8.03%1.71T
-6.98%1.79T
-18.03%1.63T
-14.52%1.71T
-6.21%1.86T
-6.83%1.92T
-0.06%1.99T
4.83%2.01T
9.17%1.98T
16.25%2.06T
13.51%1.99T
8.80%1.91T
6.25%1.82T
5.27%1.77T
8.37%1.75T
5.78%1.76T
-2.89%1.71T
2.16%1.69T
-0.92%1.62T
2.07%1.66T
7.75%1.76T
8.90%1.65T
-2.99%1.63T
-2.10%1.63T
6.63%1.63T
6.45%1.52T
19.18%1.68T
19.42%1.66T
8.68%1.53T
2.92%1.42T
-3.94%1.41T
-11.61%1.39T
-9.21%1.41T
-8.03%1.38T
-4.37%1.47T
5.67%1.58T
-0.15%1.55T
-7.07%1.50T
--1.54T
-14.04%1.49T
-6.50%1.56T
-6.77%1.62T
5.18%1.73T
--1.66T
--1.74T
--1.71T
--1.65T
Total pasivos
3.13%2.61T
-6.80%2.49T
3.67%2.63T
-5.97%2.40T
-8.80%2.53T
-6.22%2.67T
-1.89%2.53T
-6.21%2.55T
-5.09%2.78T
-5.52%2.85T
-15.87%2.58T
-12.07%2.72T
-5.28%2.92T
-6.82%3.02T
-2.20%3.07T
2.74%3.09T
3.83%3.09T
18.53%3.24T
14.40%3.14T
10.10%3.01T
12.14%2.97T
3.15%2.73T
8.04%2.74T
7.32%2.74T
-2.73%2.65T
1.16%2.65T
-0.85%2.54T
-0.40%2.55T
5.92%2.73T
7.01%2.62T
-6.32%2.56T
-6.01%2.56T
3.12%2.57T
5.64%2.45T
20.50%2.74T
24.47%2.72T
11.50%2.50T
5.42%2.32T
-0.09%2.27T
-9.43%2.19T
-4.96%2.24T
-5.15%2.20T
-2.08%2.27T
8.60%2.41T
0.38%2.36T
-5.35%2.32T
--2.32T
-15.70%2.22T
-6.25%2.35T
-5.73%2.45T
9.00%2.64T
--2.50T
--2.60T
--2.66T
--2.42T
Capital de los accionistas
Capital ordinario
-2.88%14.28B
-13.62%13.62B
-7.35%15.45B
-19.86%13.83B
-21.61%14.71B
-21.79%15.77B
-17.13%16.67B
-19.55%17.26B
-21.62%18.76B
-20.30%20.17B
-28.16%20.12B
-23.57%21.46B
-15.05%23.93B
-16.24%25.30B
-5.31%28.01B
-2.86%28.07B
-2.95%28.17B
3.17%30.21B
0.66%29.58B
-1.72%28.90B
1.30%29.03B
-2.40%29.28B
1.62%29.38B
-2.53%29.41B
-8.79%28.66B
-1.45%30.00B
-5.88%28.91B
-4.63%30.17B
-1.53%31.42B
-0.25%30.44B
-12.87%30.72B
-8.63%31.63B
0.45%31.91B
2.66%30.52B
18.17%35.26B
18.56%34.62B
6.63%31.76B
-0.88%29.73B
-8.85%29.84B
-7.48%29.20B
-21.86%29.79B
-19.72%29.99B
-18.26%32.73B
-20.43%31.56B
-8.67%38.12B
-17.60%37.35B
--40.04B
-19.53%39.67B
-12.12%41.74B
-19.28%45.33B
-8.11%49.29B
--47.49B
--56.16B
--56.08B
--53.64B
Capital preferente
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-2.15%3.85B
-8.72%3.78B
-17.63%3.70B
--3.97B
-19.52%3.93B
-12.10%4.14B
--4.50B
--4.89B
--4.71B
----
----
----
Ganancias retenidas
8.62%99.00B
-2.32%94.17B
14.38%103.20B
-3.33%87.78B
-4.99%91.15B
5.65%96.40B
8.40%90.22B
3.31%90.81B
-2.72%95.94B
-12.04%91.24B
-21.66%83.23B
-14.48%87.90B
-2.53%98.62B
-2.88%103.73B
2.01%106.24B
3.07%102.78B
0.22%101.18B
6.17%106.81B
1.26%104.15B
-1.24%99.72B
5.16%100.96B
3.41%100.61B
10.49%102.85B
9.06%100.97B
1.35%96.00B
10.70%97.29B
6.99%93.09B
10.12%92.59B
13.70%94.72B
12.39%87.89B
-1.66%87.00B
0.19%84.08B
9.19%83.31B
10.86%78.20B
26.86%88.47B
27.92%83.92B
16.59%76.29B
8.89%70.53B
1.53%69.74B
-7.63%65.61B
-3.99%65.44B
-0.19%64.78B
0.86%68.69B
9.74%71.03B
2.42%68.16B
-5.35%64.90B
--68.10B
-9.28%64.72B
-1.66%66.55B
-2.90%68.57B
10.24%71.35B
--67.67B
--70.62B
--70.18B
--64.72B
Reservas de capital
-99.99%73.36K
-99.99%57.26K
-77.07%534.82M
-78.59%518.67M
-79.01%552.66M
-84.57%591.32M
-56.19%2.33B
-57.33%2.42B
-58.41%2.63B
-42.73%3.83B
-39.22%5.32B
-35.45%5.68B
-28.28%6.33B
-29.28%6.69B
-5.48%8.76B
-2.86%8.80B
-3.15%8.83B
-1.03%9.47B
-3.10%9.27B
-5.23%9.06B
-2.37%9.12B
-8.51%9.56B
-5.07%9.56B
-11.66%9.56B
-17.12%9.34B
-8.57%10.45B
-13.72%10.08B
-13.97%10.82B
-11.17%11.27B
-6.23%11.43B
-17.31%11.68B
-9.42%12.57B
-0.45%12.68B
2.26%12.19B
18.02%14.12B
18.45%13.88B
6.51%12.74B
-1.42%11.92B
-9.35%11.97B
-5.13%11.72B
-37.92%11.96B
-35.93%12.10B
-34.76%13.20B
-38.38%12.35B
-8.66%19.27B
-17.62%18.88B
--20.24B
-19.58%20.05B
-12.17%21.09B
-19.22%22.92B
-8.01%24.93B
--24.02B
--28.37B
--28.33B
--27.09B
Menos: Acciones en tesorería
19.45%4.85B
23.58%3.46B
56.80%5.03B
35.95%4.53B
11.97%4.06B
-30.61%2.80B
-32.47%3.21B
-14.52%3.33B
-2.33%3.62B
23.80%4.04B
4.58%4.75B
-15.07%3.90B
-18.33%3.71B
-33.08%3.26B
-4.70%4.55B
-2.01%4.59B
-3.39%4.54B
-6.21%4.87B
0.23%4.77B
-2.23%4.68B
0.86%4.70B
-9.35%5.19B
2.53%4.76B
-8.85%4.79B
-5.14%4.66B
5.27%5.73B
1.69%4.64B
-3.88%5.25B
6.64%4.91B
23.91%5.44B
14.04%4.56B
38.45%5.47B
73.52%4.61B
76.80%4.39B
141.13%4.00B
140.53%3.95B
213.79%2.66B
192.33%2.48B
10516.90%1.66B
9663.48%1.64B
5040.24%846.33M
5202.38%849.99M
-8.45%15.63M
0.02%16.81M
-19.61%16.46M
-78.81%16.03M
--17.08M
-79.51%16.81M
-74.09%20.48M
-10.92%75.66M
1.51%82.05M
--79.04M
--84.94M
--84.80M
--80.82M
Pérdidas de ganancias que no afectan a las ganancias retenidas
2.71%28.41B
3.33%25.34B
42.29%28.92B
38.39%28.37B
47.98%27.66B
24.68%24.53B
15.41%20.33B
19.72%20.50B
-11.35%18.69B
-29.53%19.67B
-41.82%17.61B
-43.04%17.12B
-21.85%21.08B
-2.12%27.91B
11.65%30.27B
20.40%30.06B
15.17%26.98B
-0.41%28.52B
-3.27%27.11B
-9.24%24.97B
-9.82%23.43B
26.90%28.64B
8.17%28.03B
9.67%27.51B
-12.20%25.98B
-26.87%22.56B
-7.29%25.91B
-4.19%25.08B
11.28%29.59B
45.86%30.86B
0.21%27.95B
-19.71%26.18B
-16.92%26.59B
-27.60%21.15B
-1.43%27.89B
7.56%32.61B
-3.64%32.00B
15.05%29.22B
38.29%28.29B
54.35%30.32B
100.44%33.21B
81.49%25.40B
37.27%20.46B
73.34%19.64B
34.74%16.57B
316.38%13.99B
--14.90B
679.37%11.33B
1119.92%12.30B
216.22%3.36B
545.39%1.45B
--1.01B
---2.89B
---1.17B
---326.45M
Intereses no controladores
5.15%8.05B
0.59%7.89B
14.80%8.42B
-2.99%7.42B
-2.34%7.66B
-0.73%7.85B
3.06%7.33B
4.32%7.65B
-1.06%7.84B
-2.89%7.90B
-16.57%7.11B
-12.89%7.33B
-3.95%7.93B
-4.13%8.14B
3.87%8.53B
9.74%8.42B
2.62%8.25B
-15.75%8.49B
-17.81%8.21B
-27.99%7.67B
-17.62%8.04B
-15.72%10.08B
-11.90%9.99B
-7.72%10.65B
-18.32%9.76B
-4.23%11.96B
-9.52%11.34B
-6.97%11.54B
-3.37%11.95B
-4.87%12.48B
-17.74%12.53B
-32.55%12.41B
-27.50%12.37B
-19.53%13.12B
-8.48%15.23B
15.31%18.39B
4.50%17.06B
-4.21%16.31B
-7.92%16.64B
-19.35%15.95B
-17.73%16.33B
-9.45%17.03B
-4.32%18.07B
7.52%19.78B
5.37%19.85B
-4.93%18.80B
--18.89B
-13.86%18.40B
-6.89%18.84B
-9.57%19.78B
-6.23%21.36B
--20.23B
--21.87B
--22.12B
--22.78B
Capital total
5.68%144.90B
-2.95%137.56B
14.92%150.94B
-0.01%132.88B
-0.36%137.12B
5.04%141.75B
6.50%131.34B
2.29%132.89B
-6.93%137.61B
-16.61%134.95B
-26.81%123.32B
-21.14%129.91B
-7.61%147.86B
-4.33%161.83B
2.57%168.50B
5.22%164.75B
2.10%160.04B
3.52%169.16B
-0.73%164.27B
-4.38%156.58B
0.65%156.75B
4.69%163.41B
7.04%165.49B
6.24%163.75B
-4.32%155.74B
-0.09%156.08B
0.63%154.60B
3.55%154.13B
8.82%162.76B
12.72%156.23B
-5.66%153.64B
-10.12%148.84B
-3.17%149.56B
-3.28%138.60B
14.00%162.85B
18.76%165.60B
7.33%154.47B
5.11%143.31B
2.08%142.86B
-4.39%139.44B
-1.73%143.92B
-1.73%136.34B
-4.08%139.94B
5.66%145.85B
2.04%146.46B
-1.92%138.74B
--145.90B
-6.90%138.04B
1.78%143.54B
-2.89%141.46B
5.35%148.26B
--141.03B
--145.67B
--147.13B
--140.73B
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
tradingkey.logo
tradingkey.logo
Datos intradía proporcionados por Refinitiv y sujetos a condiciones de uso. Datos históricos y actuales al final del día proporcionados por Refinitiv. Todas las cotizaciones son en hora local. Los datos de última venta en tiempo real para las cotizaciones de valores de EE.UU. reflejan las operaciones comunicadas a través del Nasdaq únicamente. Los datos intradía se retrasan al menos 15 minutos o según los requisitos de la bolsa.
* Las referencias, los análisis y las estrategias de trading son proporcionados por un proveedor externo, Trading Central, y el punto de vista se basa en la evaluación y el juicio independientes del analista, sin considerar los objetivos de inversión ni la situación financiera de los inversores.
Advertencia de Riesgo: Nuestro sitio web y aplicación móvil solo proporcionan información general sobre ciertos productos de inversión. Finsights no proporciona, y la provisión de dicha información no debe interpretarse como que Finsights proporciona, asesoramiento financiero o recomendación para cualquier producto de inversión.
Los productos de inversión están sujetos a riesgos de inversión significativos, incluida la posible pérdida del monto principal invertido y pueden no ser adecuados para todos. El rendimiento pasado de los productos de inversión no es indicativo de su rendimiento futuro.
Finsights puede permitir que anunciantes o afiliados de terceros coloquen o entreguen anuncios en nuestro sitio web o aplicación móvil o en cualquier parte de los mismos y puede ser compensado por ellos en función de su interacción con los anuncios.
© Derechos de autor: FINSIGHTS MEDIA PTE. LTD. Todos los derechos reservados.
KeyAI