Rok finansowy |
2014 |
2015 |
2015 |
2015 |
2015 |
2016 |
2016 |
2016 |
2016 |
2017 |
2017 |
2017 |
2017 |
2018 |
2018 |
2018 |
2018 |
2019 |
2019 |
2019 |
2019 |
2020 |
2020 |
2020 |
2020 |
2021 |
2021 |
2021 |
2021 |
2022 |
2022 |
2022 |
2022 |
2023 |
2023 |
2023 |
2023 |
2024 |
2024 |
2024 |
2024 |
2025 |
Kwartał |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Q2 |
Q3 |
Q4 |
Q1 |
Aktywa |
15 526.0 |
15 053.0 |
15 346.0 |
14 928.0 |
14 842.0 |
14 820.0 |
14 770.0 |
14 899.0 |
14 602.0 |
14 758.0 |
15 070.0 |
15 049.0 |
15 151.0 |
15 303.0 |
14 564.0 |
14 583.0 |
14 518.0 |
15 204.0 |
15 347.0 |
15 033.0 |
15 283.0 |
15 677.0 |
16 173.0 |
16 531.0 |
17 523.0 |
17 226.0 |
17 827.0 |
17 775.0 |
17 837.0 |
18 672.0 |
18 114.0 |
17 836.0 |
17 970.0 |
18 177.0 |
17 383.0 |
17 153.0 |
17 344.0 |
17 092.0 |
17 280.0 |
17 165.0 |
16 546.0 |
16 305.0 |
Aktywa trwałe |
9 967.0 |
9 670.0 |
9 828.0 |
9 486.0 |
9 416.0 |
9 669.0 |
9 656.0 |
9 639.0 |
9 487.0 |
9 646.0 |
9 680.0 |
9 823.0 |
9 940.0 |
9 931.0 |
9 536.0 |
9 475.0 |
9 477.0 |
9 949.0 |
10 026.0 |
9 969.0 |
10 226.0 |
10 031.0 |
10 269.0 |
10 456.0 |
12 349.0 |
12 083.0 |
12 255.0 |
12 149.0 |
12 272.0 |
12 769.0 |
12 452.0 |
12 211.0 |
12 241.0 |
12 326.0 |
11 639.0 |
11 426.0 |
11 641.0 |
11 492.0 |
11 331.0 |
11 318.0 |
10 966.0 |
11 024.0 |
Rzeczowe aktywa trwałe netto |
7 359.0 |
7 160.0 |
7 251.0 |
7 066.0 |
7 104.0 |
7 188.0 |
7 188.0 |
7 198.0 |
7 169.0 |
7 251.0 |
7 246.0 |
7 317.0 |
7 436.0 |
7 328.0 |
7 046.0 |
7 030.0 |
7 159.0 |
7 139.0 |
7 207.0 |
7 158.0 |
7 450.0 |
7 226.0 |
7 366.0 |
7 497.0 |
8 042.0 |
7 887.0 |
8 018.0 |
7 964.0 |
8 097.0 |
8 114.0 |
7 931.0 |
7 737.0 |
7 885.0 |
7 866.0 |
7 815.0 |
7 700.0 |
7 913.0 |
7 772.0 |
7 620.0 |
7 703.0 |
7 513.0 |
7 507.0 |
Wartość firmy |
1 628.0 |
1 538.0 |
1 553.0 |
1 435.0 |
1 446.0 |
1 498.0 |
1 507.0 |
1 518.0 |
1 480.0 |
1 528.0 |
1 527.0 |
1 581.0 |
1 576.0 |
1 576.0 |
1 504.0 |
1 480.0 |
1 474.0 |
1 476.0 |
1 478.0 |
1 438.0 |
1 467.0 |
1 361.0 |
1 401.0 |
1 418.0 |
1 895.0 |
1 820.0 |
1 834.0 |
1 796.0 |
1 840.0 |
2 177.0 |
2 102.0 |
2 043.0 |
2 074.0 |
2 090.0 |
2 086.0 |
2 045.0 |
2 085.0 |
2 043.0 |
2 019.0 |
2 058.0 |
1 964.0 |
1 971.0 |
Wartości niematerialne i prawne |
109.0 |
0.0 |
0.0 |
0.0 |
94.0 |
0.0 |
0.0 |
0.0 |
83.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
29.0 |
0.0 |
0.0 |
0.0 |
832.0 |
805.0 |
803.0 |
810.0 |
810.0 |
926.0 |
893.0 |
866.0 |
851.0 |
868.0 |
208.0 |
197.0 |
197.0 |
190.0 |
183.0 |
97.0 |
87.0 |
85.0 |
Wartość firmy i wartości niematerialne i prawne |
1 737.0 |
1 538.0 |
1 553.0 |
1 435.0 |
1 446.0 |
1 498.0 |
1 507.0 |
1 518.0 |
1 480.0 |
1 528.0 |
1 527.0 |
1 581.0 |
1 576.0 |
1 576.0 |
1 504.0 |
1 480.0 |
1 474.0 |
1 476.0 |
1 478.0 |
1 438.0 |
1 467.0 |
1 361.0 |
1 401.0 |
1 418.0 |
2 727.0 |
2 625.0 |
2 637.0 |
2 606.0 |
2 650.0 |
3 103.0 |
2 995.0 |
2 909.0 |
2 925.0 |
2 958.0 |
2 294.0 |
2 242.0 |
2 282.0 |
2 233.0 |
2 202.0 |
2 155.0 |
2 051.0 |
2 056.0 |
Należności netto |
2 223.0 |
2 244.0 |
2 286.0 |
2 284.0 |
2 281.0 |
2 255.0 |
2 249.0 |
2 222.0 |
2 176.0 |
2 224.0 |
2 221.0 |
2 360.0 |
2 315.0 |
2 470.0 |
2 286.0 |
2 308.0 |
2 164.0 |
2 377.0 |
2 397.0 |
2 306.0 |
2 263.0 |
2 519.0 |
2 024.0 |
2 125.0 |
2 235.0 |
2 199.0 |
2 340.0 |
2 399.0 |
2 207.0 |
2 516.0 |
2 469.0 |
2 333.0 |
2 280.0 |
2 430.0 |
2 359.0 |
2 298.0 |
2 135.0 |
2 383.0 |
2 306.0 |
2 229.0 |
2 009.0 |
2 176.0 |
Inwestycje długoterminowe |
257.0 |
290.0 |
286.0 |
279.0 |
247.0 |
284.0 |
287.0 |
289.0 |
257.0 |
284.0 |
283.0 |
272.0 |
233.0 |
260.0 |
257.0 |
251.0 |
224.0 |
246.0 |
249.0 |
294.0 |
268.0 |
314.0 |
319.0 |
333.0 |
300.0 |
349.0 |
350.0 |
340.0 |
290.0 |
266.0 |
270.0 |
266.0 |
238.0 |
281.0 |
299.0 |
320.0 |
306.0 |
364.0 |
381.0 |
362.0 |
314.0 |
354.0 |
Aktywa obrotowe |
5 559.0 |
5 383.0 |
5 518.0 |
5 442.0 |
5 426.0 |
5 151.0 |
5 114.0 |
5 260.0 |
5 115.0 |
5 112.0 |
5 390.0 |
5 226.0 |
5 211.0 |
5 372.0 |
5 028.0 |
5 108.0 |
5 041.0 |
5 255.0 |
5 321.0 |
5 064.0 |
5 057.0 |
5 646.0 |
5 904.0 |
6 075.0 |
5 174.0 |
5 143.0 |
5 572.0 |
5 626.0 |
5 565.0 |
5 903.0 |
5 662.0 |
5 625.0 |
5 729.0 |
5 851.0 |
5 744.0 |
5 727.0 |
5 703.0 |
5 600.0 |
5 949.0 |
5 847.0 |
5 580.0 |
5 281.0 |
Środki pieniężne i Inwestycje |
789.0 |
587.0 |
603.0 |
643.0 |
619.0 |
635.0 |
656.0 |
884.0 |
923.0 |
835.0 |
1 051.0 |
655.0 |
616.0 |
626.0 |
484.0 |
494.0 |
539.0 |
491.0 |
534.0 |
416.0 |
442.0 |
979.0 |
1 448.0 |
1 518.0 |
303.0 |
320.0 |
306.0 |
286.0 |
270.0 |
493.0 |
311.0 |
362.0 |
427.0 |
524.0 |
580.0 |
814.0 |
1 093.0 |
853.0 |
1 163.0 |
1 111.0 |
1 021.0 |
563.0 |
Zapasy |
1 892.0 |
1 893.0 |
1 948.0 |
1 883.0 |
1 909.0 |
1 902.0 |
1 807.0 |
1 736.0 |
1 679.0 |
1 728.0 |
1 738.0 |
1 748.0 |
1 790.0 |
1 778.0 |
1 750.0 |
1 770.0 |
1 813.0 |
1 857.0 |
1 856.0 |
1 779.0 |
1 790.0 |
1 539.0 |
1 825.0 |
1 787.0 |
1 903.0 |
1 956.0 |
2 110.0 |
2 098.0 |
2 239.0 |
2 265.0 |
2 278.0 |
2 281.0 |
2 269.0 |
2 224.0 |
2 128.0 |
2 021.0 |
1 955.0 |
1 877.0 |
1 915.0 |
1 937.0 |
1 822.0 |
1 909.0 |
Inwestycje krótkoterminowe |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
Środki pieniężne i inne aktywa pieniężne |
789.0 |
587.0 |
603.0 |
643.0 |
619.0 |
635.0 |
656.0 |
884.0 |
923.0 |
835.0 |
1 051.0 |
655.0 |
616.0 |
626.0 |
484.0 |
494.0 |
539.0 |
491.0 |
534.0 |
416.0 |
442.0 |
979.0 |
1 448.0 |
1 518.0 |
303.0 |
320.0 |
306.0 |
286.0 |
270.0 |
493.0 |
311.0 |
362.0 |
427.0 |
524.0 |
580.0 |
814.0 |
1 093.0 |
853.0 |
1 163.0 |
1 111.0 |
1 021.0 |
563.0 |
Należności krótkoterminowe |
2 616.0 |
2 502.0 |
2 599.0 |
2 518.0 |
2 612.0 |
2 442.0 |
2 448.0 |
2 454.0 |
2 609.0 |
2 571.0 |
2 629.0 |
2 729.0 |
2 834.0 |
2 826.0 |
2 802.0 |
2 937.0 |
3 190.0 |
3 027.0 |
2 993.0 |
2 942.0 |
3 055.0 |
2 876.0 |
3 032.0 |
2 995.0 |
3 336.0 |
3 152.0 |
3 337.0 |
3 519.0 |
3 840.0 |
3 846.0 |
3 701.0 |
3 660.0 |
3 813.0 |
3 788.0 |
3 713.0 |
3 490.0 |
3 653.0 |
3 531.0 |
3 613.0 |
3 643.0 |
3 715.0 |
3 601.0 |
Dług krótkoterminowy |
1 326.0 |
1 612.0 |
2 055.0 |
1 460.0 |
1 669.0 |
999.0 |
772.0 |
1 205.0 |
1 133.0 |
1 328.0 |
1 246.0 |
589.0 |
953.0 |
1 599.0 |
1 741.0 |
1 786.0 |
1 208.0 |
1 900.0 |
1 291.0 |
1 555.0 |
1 664.0 |
1 238.0 |
850.0 |
517.0 |
619.0 |
1 274.0 |
1 493.0 |
1 387.0 |
563.0 |
969.0 |
1 031.0 |
959.0 |
971.0 |
536.0 |
188.0 |
687.0 |
697.0 |
809.0 |
806.0 |
569.0 |
699.0 |
766.0 |
Zobowiązania krótkoterminowe |
6 226.0 |
6 186.0 |
6 765.0 |
6 201.0 |
6 349.0 |
5 391.0 |
5 228.0 |
5 720.0 |
5 846.0 |
5 864.0 |
5 889.0 |
5 412.0 |
5 858.0 |
6 674.0 |
6 655.0 |
6 805.0 |
6 536.0 |
7 197.0 |
6 585.0 |
6 782.0 |
6 919.0 |
6 483.0 |
6 494.0 |
6 102.0 |
6 443.0 |
6 694.0 |
7 244.0 |
7 258.0 |
6 749.0 |
7 257.0 |
7 209.0 |
7 197.0 |
7 334.0 |
7 094.0 |
6 598.0 |
6 831.0 |
6 930.0 |
6 878.0 |
7 011.0 |
7 066.0 |
7 004.0 |
6 921.0 |
Rozliczenia międzyokresowe |
2 171.0 |
0.0 |
0.0 |
0.0 |
2 032.0 |
0.0 |
0.0 |
0.0 |
2 060.0 |
0.0 |
0.0 |
0.0 |
2 026.0 |
0.0 |
0.0 |
0.0 |
2 124.0 |
0.0 |
0.0 |
0.0 |
361.0 |
0.0 |
0.0 |
0.0 |
465.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
2 086.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
Zobowiązania długoterminowe |
8 301.0 |
8 455.0 |
7 837.0 |
8 451.0 |
8 453.0 |
9 100.0 |
9 118.0 |
8 628.0 |
8 639.0 |
8 532.0 |
8 850.0 |
9 139.0 |
8 411.0 |
8 074.0 |
7 731.0 |
7 666.0 |
8 028.0 |
8 089.0 |
8 712.0 |
8 163.0 |
8 170.0 |
9 148.0 |
9 184.0 |
9 852.0 |
10 211.0 |
9 786.0 |
9 825.0 |
9 810.0 |
10 351.0 |
10 561.0 |
10 163.0 |
10 056.0 |
9 936.0 |
10 222.0 |
10 134.0 |
9 482.0 |
9 346.0 |
9 030.0 |
8 988.0 |
8 655.0 |
8 567.0 |
8 160.0 |
Rezerwy z tytułu odroczonego podatku |
587.0 |
663.0 |
698.0 |
626.0 |
766.0 |
594.0 |
626.0 |
594.0 |
532.0 |
457.0 |
441.0 |
434.0 |
395.0 |
421.0 |
467.0 |
504.0 |
458.0 |
496.0 |
513.0 |
506.0 |
511.0 |
512.0 |
527.0 |
500.0 |
723.0 |
698.0 |
665.0 |
701.0 |
694.0 |
687.0 |
703.0 |
636.0 |
647.0 |
612.0 |
490.0 |
404.0 |
374.0 |
395.0 |
380.0 |
355.0 |
326.0 |
319.0 |
Zobowiązania długoterminowe |
8 301.0 |
8 455.0 |
7 837.0 |
8 451.0 |
8 453.0 |
9 100.0 |
9 118.0 |
8 628.0 |
8 639.0 |
8 532.0 |
8 850.0 |
9 139.0 |
8 411.0 |
8 074.0 |
7 731.0 |
7 666.0 |
8 028.0 |
8 089.0 |
8 712.0 |
8 163.0 |
8 170.0 |
9 148.0 |
9 184.0 |
9 852.0 |
10 211.0 |
9 786.0 |
9 825.0 |
9 810.0 |
10 351.0 |
10 561.0 |
10 163.0 |
10 056.0 |
9 936.0 |
10 222.0 |
10 134.0 |
9 482.0 |
9 346.0 |
9 030.0 |
8 988.0 |
8 655.0 |
8 567.0 |
8 160.0 |
Zobowiązania z tytułu leasingu |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
130.0 |
0.0 |
0.0 |
0.0 |
133.0 |
0.0 |
0.0 |
0.0 |
130.0 |
0.0 |
0.0 |
0.0 |
127.0 |
0.0 |
0.0 |
0.0 |
130.0 |
0.0 |
0.0 |
0.0 |
131.0 |
0.0 |
Zobowiązania ogółem |
14 527.0 |
14 641.0 |
14 602.0 |
14 652.0 |
14 802.0 |
14 491.0 |
14 346.0 |
14 348.0 |
14 485.0 |
14 396.0 |
14 739.0 |
14 551.0 |
14 269.0 |
14 748.0 |
14 386.0 |
14 471.0 |
14 564.0 |
15 286.0 |
15 297.0 |
14 945.0 |
15 089.0 |
15 631.0 |
15 678.0 |
15 954.0 |
16 654.0 |
16 480.0 |
17 069.0 |
17 068.0 |
17 100.0 |
17 818.0 |
17 372.0 |
17 253.0 |
17 270.0 |
17 316.0 |
16 732.0 |
16 313.0 |
16 276.0 |
15 908.0 |
15 999.0 |
15 721.0 |
15 571.0 |
15 081.0 |
Kapitał (fundusz) podstawowy |
536.0 |
3 954.0 |
3 294.0 |
3 380.0 |
473.0 |
3 211.0 |
3 342.0 |
3 399.0 |
473.0 |
3 380.0 |
3 308.0 |
3 354.0 |
473.0 |
3 121.0 |
3 165.0 |
3 142.0 |
473.0 |
2 984.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
473.0 |
Zyski zatrzymane |
8 470.0 |
0.0 |
0.0 |
0.0 |
4 994.0 |
0.0 |
0.0 |
0.0 |
5 831.0 |
0.0 |
0.0 |
0.0 |
6 730.0 |
0.0 |
0.0 |
0.0 |
5 947.0 |
0.0 |
6 170.0 |
6 485.0 |
6 686.0 |
6 978.0 |
7 299.0 |
7 395.0 |
7 567.0 |
7 764.0 |
7 798.0 |
7 883.0 |
7 858.0 |
7 988.0 |
8 022.0 |
8 086.0 |
8 201.0 |
8 365.0 |
8 040.0 |
8 217.0 |
8 368.0 |
8 601.0 |
8 734.0 |
9 279.0 |
9 257.0 |
9 406.0 |
Kapitał własny |
999.0 |
412.0 |
744.0 |
276.0 |
40.0 |
329.0 |
424.0 |
551.0 |
117.0 |
362.0 |
331.0 |
498.0 |
882.0 |
555.0 |
178.0 |
112.0 |
(46.0) |
(82.0) |
50.0 |
88.0 |
194.0 |
46.0 |
495.0 |
577.0 |
869.0 |
746.0 |
758.0 |
707.0 |
737.0 |
854.0 |
742.0 |
583.0 |
700.0 |
861.0 |
651.0 |
840.0 |
1 068.0 |
1 184.0 |
1 281.0 |
1 444.0 |
975.0 |
1 224.0 |
Udziały mniejszościowe |
270.0 |
219.0 |
228.0 |
222.0 |
214.0 |
220.0 |
228.0 |
252.0 |
219.0 |
226.0 |
229.0 |
239.0 |
253.0 |
238.0 |
235.0 |
245.0 |
241.0 |
223.0 |
228.0 |
229.0 |
227.0 |
213.0 |
227.0 |
242.0 |
243.0 |
228.0 |
234.0 |
233.0 |
223.0 |
149.0 |
149.0 |
146.0 |
153.0 |
142.0 |
151.0 |
160.0 |
153.0 |
140.0 |
145.0 |
159.0 |
135.0 |
123.0 |
Pasywa |
15 526.0 |
15 053.0 |
15 346.0 |
14 928.0 |
14 842.0 |
14 820.0 |
14 770.0 |
14 899.0 |
14 602.0 |
14 758.0 |
15 070.0 |
15 049.0 |
15 151.0 |
15 303.0 |
14 564.0 |
14 583.0 |
14 518.0 |
15 204.0 |
15 347.0 |
15 033.0 |
15 283.0 |
15 677.0 |
16 173.0 |
16 531.0 |
17 523.0 |
17 226.0 |
17 827.0 |
17 775.0 |
17 837.0 |
18 672.0 |
18 114.0 |
17 836.0 |
17 970.0 |
18 177.0 |
17 383.0 |
17 153.0 |
17 344.0 |
17 092.0 |
17 280.0 |
17 165.0 |
16 546.0 |
16 305.0 |
Inwestycje |
257.0 |
290.0 |
286.0 |
279.0 |
247.0 |
284.0 |
287.0 |
289.0 |
257.0 |
284.0 |
283.0 |
272.0 |
233.0 |
260.0 |
257.0 |
251.0 |
224.0 |
246.0 |
249.0 |
294.0 |
268.0 |
314.0 |
319.0 |
333.0 |
300.0 |
349.0 |
350.0 |
340.0 |
290.0 |
266.0 |
270.0 |
266.0 |
238.0 |
281.0 |
299.0 |
320.0 |
306.0 |
364.0 |
381.0 |
362.0 |
314.0 |
354.0 |
Dług |
6 956.0 |
7 731.0 |
7 599.0 |
7 585.0 |
7 775.0 |
7 903.0 |
7 677.0 |
7 648.0 |
7 572.0 |
7 753.0 |
8 023.0 |
7 646.0 |
7 425.0 |
7 680.0 |
7 487.0 |
7 525.0 |
7 455.0 |
7 890.0 |
7 992.0 |
7 753.0 |
7 747.0 |
8 448.0 |
8 073.0 |
8 368.0 |
8 364.0 |
8 822.0 |
9 084.0 |
8 942.0 |
8 574.0 |
9 070.0 |
8 729.0 |
8 587.0 |
8 422.0 |
8 481.0 |
8 135.0 |
8 090.0 |
8 114.0 |
7 970.0 |
7 964.0 |
7 451.0 |
7 574.0 |
7 247.0 |
Środki pieniężne i inne aktywa pieniężne |
789.0 |
587.0 |
603.0 |
643.0 |
619.0 |
635.0 |
656.0 |
884.0 |
923.0 |
835.0 |
1 051.0 |
655.0 |
616.0 |
626.0 |
484.0 |
494.0 |
539.0 |
491.0 |
534.0 |
416.0 |
442.0 |
979.0 |
1 448.0 |
1 518.0 |
303.0 |
320.0 |
306.0 |
286.0 |
270.0 |
493.0 |
311.0 |
362.0 |
427.0 |
524.0 |
580.0 |
814.0 |
1 093.0 |
853.0 |
1 163.0 |
1 111.0 |
1 021.0 |
563.0 |
Dług netto |
6 167.0 |
7 144.0 |
6 996.0 |
6 942.0 |
7 156.0 |
7 268.0 |
7 021.0 |
6 764.0 |
6 649.0 |
6 918.0 |
6 972.0 |
6 991.0 |
6 809.0 |
7 054.0 |
7 003.0 |
7 031.0 |
6 916.0 |
7 399.0 |
7 458.0 |
7 337.0 |
7 305.0 |
7 469.0 |
6 625.0 |
6 850.0 |
8 061.0 |
8 502.0 |
8 778.0 |
8 656.0 |
8 304.0 |
8 577.0 |
8 418.0 |
8 225.0 |
7 995.0 |
7 957.0 |
7 555.0 |
7 276.0 |
7 021.0 |
7 117.0 |
6 801.0 |
6 340.0 |
6 553.0 |
6 684.0 |
Ticker |
KMY.DE |
KMY.DE |
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Waluta |
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