2024-05-17  7:39:35 PM Chg. +0.05 Volume Bid7:39:39 PM Ask7:39:39 PM Market Capitalization Dividend Y. P/E Ratio
104.20USD +0.05% 919,683
Turnover: 62.48 mill.
104.18Bid Size: 100 104.22Ask Size: 200 92.48 bill.USD 0.63% 24.58

Assets

2021
US GAAP
in mill. USD
2022
US GAAP
in mill. USD
2023
US GAAP
in mill. USD
Property and Equipment
  -   -   -
Intangible Assets
  -   -   -
Long-Term Investments
  -   -   -
Fixed Assets
  -   -   -
Inventories
  -   -   -
Accounts Receivable
  -   -   -
Cash and Cash Equivalents
  10,091.6020   12,823.5560   20,348.5670
Current Assets
  -   -   -
Total Assets
  264,285.4400   275,346.6360   317,294.1940

 

Liabilities

2021
US GAAP
in mill. USD
2022
US GAAP
in mill. USD
2023
US GAAP
in mill. USD
Accounts Payable
  -   -   -
Long-term debt
  -   -   -
Liabilities to Banks
  -   -   -
Provisions
  -   -   -
Liabilities
  206,228.7110   221,839.8160   259,530.7090
Share Capital
  5.9570   8.6110   8.8500
Total Equity
  58,056.7290   53,506.8200   57,763.4850
Minority Interests
  40,557.0560   36,562.9230   34,904.7910
Total liabilities equity
  264,285.4400   275,346.6360   317,294.1940

 

Income Statement

2021
US GAAP
in mill. USD
2022
US GAAP
in mill. USD
2023
US GAAP
in mill. USD
Revenues
  16,226.0400   5,704.1800   14,499.3120
Depreciation (total)
  386.8670   364.1620   68.3020
Operating Result
  -   -   -
Interest Income
  415.1020   344.5050   597.3590
Income Before Taxes
  13,846.5990   -292.2210   6,554.6090
Income Taxes
  1,353.2700   -35.6720   1,197.5230
Minority Interests Profit
  7,719.3110   104.0500   1,624.8250
Net Income
  4,626.7590   -590.6640   3,680.5140

 

Per Share

2021
US GAAP
in USD
2022
US GAAP
in USD
2023
US GAAP
in USD
Earnings per Share
  7.9500   -0.7900   4.2400
Dividend per Share
  0.5800   0.6200   0.6600

 

Cash Flow

2021
US GAAP
in mill. USD
2022
US GAAP
in mill. USD
2023
US GAAP
in mill. USD
Cash Flow from Operating Activities
  -7,176.7080   -5,279.2590   -1,493.8120
Cash Flow from Investing Activities
  -9,605.5480   -13,647.2720   -3,882.9360
Cash Flow from Financing
  20,363.9940   22,055.3660   12,774.0880
Decrease / Increase in Cash
  3,532.8470   2,859.0660   7,422.7500
Employees
  -   -   -