Morningstar® Stock Report™

Standard Chartered PLC STAN

Zeitraum
Zeige Berichtsdaten
Ansicht
Common size as percentageCommon size as fraction
Runden
TausendMilliarden
Cash Flow
20192020202120222023
Geschäftsjahresende31.12.201931.12.202031.12.202131.12.202231.12.2023
Operativer Cash-Flow495,0022.205,0013.379,0029.530,00-4.195,00
Besteuerung-1.421,00-971,00-1.161,00-821,00-1.367,00
Investitionstätigkeiten-17.822,00-4.478,00-8.995,00-22.576,0015.811,00
Netto Zu-/Abflüsse-18.748,0016.756,003.223,006.133,0010.249,00
Finanzierung-1.053,002.373,00265,00-772,00587,00
Veränderung Netto-Cash-19.801,0019.129,003.488,005.361,0010.836,00
Wechselkursanpassungen-245,001.291,00-1.757,00-2.713,00-796,00
Eröffnungsbilanz97.500,0077.454,0097.874,0094.947,0097.595,00
Schlussbilanz77.454,0097.874,0099.605,0097.595,00107.635,00
Investitionsquote
Cash Flow / Aktie-0,286,643,879,50-1,96
Investition/Aktie-0,16-0,40-0,43-0,64-0,45

USD in Millionen ausser bei Angaben je Aktie.