2024-04-29  3:58:06 PM Chg. -0.7600 Volume Bid5:45:05 PM Ask5:45:26 PM Market Capitalization Dividend Y. P/E Ratio
122.1800EUR -0.62% 0
Turnover: 0.0000
123.6800Bid Size: 400 124.7800Ask Size: 400 48.58 bill.EUR - -

Assets

2019
US GAAP
in mill. USD
2020
US GAAP
in mill. USD
2021
US GAAP
in mill. USD
2022
US GAAP
in mill. USD
Property and Equipment
  101   210   402   637
Intangible Assets
  103   74   61   765
Long-Term Investments
  30   -   650   397
Fixed Assets
  -   836   2,244   5,069
Inventories
  -   -   -   -
Accounts Receivable
  58   291   349   400
Cash and Cash Equivalents
  257   4,345   2,504   1,977
Current Assets
  998   5,517   4,565   4,720
Total Assets
  1,732   6,353   6,809   9,789

 

Liabilities

2019
US GAAP
in mill. USD
2020
US GAAP
in mill. USD
2021
US GAAP
in mill. USD
2022
US GAAP
in mill. USD
Accounts Payable
  20   80   161   157
Long-term debt
  -   -   -   -
Liabilities to Banks
  0.0000   364   0.0000   -
Provisions
  -   -   -   -
Liabilities
  550   1,653   2,142   3,035
Share Capital
  -   -   -   -
Total Equity
  -1,082   4,700   4,667   6,754
Minority Interests
  -   -   -   14
Total liabilities equity
  1,732   6,353   6,809   9,789

 

Income Statement

2019
US GAAP
in mill. USD
2020
US GAAP
in mill. USD
2021
US GAAP
in mill. USD
2022
US GAAP
in mill. USD
Revenues
  885   2,886   4,888   6,583
Depreciation (total)
  32   120   156   369
Operating Result
  -616   -436   -452   -1,124
Interest Income
  18   -25   -11   30
Income Before Taxes
  -666   -458   -463   -1,399
Income Taxes
  1   3   5   -31
Minority Interests Profit
  -   -   -   -3
Net Income
  -667   -461   -468   -1,365

 

Per Share

2019
US GAAP
in USD
2020
US GAAP
in USD
2021
US GAAP
in USD
2022
US GAAP
in USD
Earnings per Share
  -15.4400   -7.3900   -1.3900   -3.6800
Dividend per Share
  -   -   -   -

 

Cash Flow

2019
US GAAP
in mill. USD
2020
US GAAP
in mill. USD
2021
US GAAP
in mill. USD
2022
US GAAP
in mill. USD
Cash Flow from Operating Activities
  -467   252   692   367
Cash Flow from Investing Activities
  -570   -192   -2,047   -300
Cash Flow from Financing
  1,109   3,996   -483   -375
Decrease / Increase in Cash
  72   4,058   -1,839   -318
Employees
  -   3,886   8,600   -