Das Jahresergebnis des weltgrössten Schokoladenproduzenten für 2024/25 sorgt vor allem beim freien Cashflow für Erleichterung. Der langfristige Investment Case bleibt intakt – doch die Risiken sind nicht verschwunden.
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Als angemeldeter User erhalten Sie nun alle Marktdaten der Schweizer Börse SIX in Realtime. Übrige Marktdaten sind mind. 15 Minuten verzögert.| NAME | WÄHRUNG | BÖRSE | VALOR | KURS | |
|---|---|---|---|---|---|
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GS&P Fonds FCP - Dividende Spezial 15:45:06 / 12.11.25 |
EUR | Consolidated Fund Values Global | 146466284 | 991.56 | |
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GS&P Fonds FCP - Dividende Spezial 15:45:06 / 12.11.25 |
EUR | EuroPerformance EUR | 146466284 | 991.56 | |
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GS&P Fonds FCP - Dividende Spezial 16:02:26 / 12.11.25 |
EUR | Combined Fund Manager/Administrator - EUR | 146466284 | 991.56 | |
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Allianz Global Investors Fund SICAV - Allianz Europe Equity Growth 08:28:34 / 31.12.24 |
CHF | Eidg. Steuerverwaltung | 2873810 | 1'385.25 | |
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Allianz Global Investors Fund SICAV - Allianz Europe Equity Growth 17:09:34 / 12.11.25 |
USD | Kneip Communication SA, Several Currencies | 2873810 | 1'624.37 | |
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Allianz Global Investors Fund SICAV - Allianz Europe Equity Growth 17:05:59 / 12.11.25 |
USD | Consolidated Fund Values Global | 2873810 | 1'624.37 | |
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Barclays Portfolios SICAV - Barclays MultiManager Portfolio 3 13:18:19 / 10.11.25 |
GBP | Consolidated Fund Values Global | 3440282 | 16.389 | |
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Barclays Portfolios SICAV - Barclays MultiManager Portfolio 3 15:46:10 / 10.11.25 |
GBP | EuroPerformance GBP | 3440282 | 16.389 | |
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Amundi S.F. FCP - EUR Commodities 01:15:11 / 11.11.25 |
EUR | Consolidated Fund Values EEA | 40199202 | 546.09 | |
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JPMorgan Liquidity Funds SICAV - SGD Liquidity LVNAV Fund 08:28:35 / 31.12.24 |
CHF | Eidg. Steuerverwaltung | 10365366 | 0.6643 | |
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JPMorgan Liquidity Funds SICAV - SGD Liquidity LVNAV Fund 00:00:01 / 15.08.25 |
SGD | Fundsquare S.A., Diverse Currencies | 10365366 | 1.000 | |
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BlueBay Funds SICAV - BlueBay Investment Grade Euro Aggregate Bond Fund 12:17:00 / 11.11.25 |
EUR | Consolidated Fund Values EEA | 18102976 | 103.86 | |
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BlueBay Funds SICAV - BlueBay Investment Grade Euro Aggregate Bond Fund 12:27:57 / 11.11.25 |
EUR | FE Fundinfo Mandated | 18102976 | 103.86 | |
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BlueBay Funds SICAV - BlueBay Investment Grade Euro Aggregate Bond Fund 12:17:00 / 11.11.25 |
EUR | Consolidated Fund Values EEA | 40738473 | 94.28 | |
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BlueBay Funds SICAV - BlueBay Investment Grade Euro Aggregate Bond Fund 12:27:57 / 11.11.25 |
EUR | FE Fundinfo Mandated | 40738473 | 94.28 | |
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Epsilon Imprese Difesa 100 ESG - Edizione 3 20:30:13 / 11.11.25 |
EUR | ADB Torino, Fondi di Investimenti | 122256372 | 5.824 | |
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Epsilon Imprese Difesa 100 ESG - Edizione 3 20:30:13 / 11.11.25 |
EUR | Consolidated Fund Values Global | 122256372 | 5.824 | |
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Epsilon Imprese Difesa 100 ESG - Edizione 3 20:30:13 / 11.11.25 |
EUR | Consolidated Fund Values EEA | 122256372 | 5.824 | |
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Epsilon Imprese Difesa 100 ESG - Edizione 3 20:30:13 / 11.11.25 |
EUR | ADB Torino, Fondi di Investimenti | 122256377 | 5.824 | |
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Epsilon Imprese Difesa 100 ESG - Edizione 3 20:30:13 / 11.11.25 |
EUR | Consolidated Fund Values Global | 122256377 | 5.824 | |
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Epsilon Imprese Difesa 100 ESG - Edizione 3 20:30:13 / 11.11.25 |
EUR | Consolidated Fund Values EEA | 122256377 | 5.824 | |
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Oaktree (Lux.) Funds SICAV - Oaktree North American High Yield Bond Fund 08:28:37 / 31.12.24 |
CHF | Eidg. Steuerverwaltung | 21365237 | 77.91 | |
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Oaktree (Lux.) Funds SICAV - Oaktree North American High Yield Bond Fund 22:29:27 / 11.11.25 |
USD | Consolidated Fund Values Global | 21365237 | 86.34 | |
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Oaktree (Lux.) Funds SICAV - Oaktree North American High Yield Bond Fund 01:15:11 / 11.11.25 |
USD | EuroPerformance USD | 21365237 | 86.34 | |
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Goldman Sachs Funds SICAV - Goldman Sachs Emerging Markets Equity ESG Portfolio 08:28:41 / 31.12.24 |
CHF | Eidg. Steuerverwaltung | 43513098 | 10.775 |