Wskaźniki zadłużenia ZAL (ZALANDO)
116.05+3.05(+2.70%)ZALANDO SE
TENDENCJE POZYTYWNE
Zadłużenie długoterminowe: spadek o 29.88% r/r |
Zadłużenie środków trwałych: wzrost o 43.46% r/r |
Zadłużenie netto / EBITDA: spadek o 34.65% r/r |
Zadłużenie finansowe netto / EBITDA: spadek o 936.23% r/r |
TENDENCJE NEGATYWNE
Pokrycie aktywów trwałych kapitałami stałymi: spadek o 10.74% r/r |
Trwałość struktury finansowania: spadek o 12.50% r/r |
2012/Q4 (gru 12) | 2013/Q4 (gru 13) | 2014/Q4 (gru 14) | 2015/Q1 (mar 15) | 2015/Q2 (cze 15) | 2015/Q3 (wrz 15) | 2015/Q4 (gru 15) | 2016/Q1 (mar 16) | 2016/Q2 (cze 16) | 2016/Q3 (wrz 16) | 2016/Q4 (gru 16) | 2017/Q1 (mar 17) | 2017/Q2 (cze 17) | 2017/Q3 (wrz 17) | 2017/Q4 (gru 17) | 2018/Q1 (mar 18) | 2018/Q2 (cze 18) | 2018/Q3 (wrz 18) | 2018/Q4 (gru 18) | 2019/Q1 (mar 19) | 2019/Q2 (cze 19) | 2019/Q3 (wrz 19) | 2019/Q4 (gru 19) | 2020/Q1 (mar 20) | 2020/Q2 (cze 20) | 2020/Q3 (wrz 20) | 2020/Q4 (gru 20) | 2021/Q1 (mar 21) | 2021/Q2 (cze 21) | 2021/Q3 (wrz 21) | 2021/Q4 (gru 21) | 2022/Q1 (mar 22) | 2022/Q2 (cze 22) | 2022/Q3 (wrz 22) | 2022/Q4 (gru 22) | 2023/Q1 (mar 23) | 2023/Q2 (cze 23) | 2023/Q3 (wrz 23) | 2023/Q4 (gru 23) | 2024/Q1 (mar 24) | 2024/Q2 (cze 24) | 2024/Q3 (wrz 24) | ||
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Zadłużenie ogólne | 0.44 | 0.49 r/r +10.18% | 0.37 r/r -24.71% | 0.41 k/k +10.46% | 0.39 k/k -3.93% | 0.45 k/k +14.56% | 0.40 r/r +8.21% k/k -10.99% | 0.42 r/r +2.55% k/k +4.68% | 0.39 r/r +0.84% k/k -5.53% | 0.46 r/r +2.10% k/k +15.98% | 0.45 r/r +11.57% k/k -2.73% | 0.47 r/r +13.25% k/k +6.26% | 0.46 r/r +15.55% k/k -3.61% | 0.51 r/r +11.11% k/k +11.53% | 0.48 r/r +8.55% k/k -4.97% | 0.50 r/r +6.51% k/k +4.26% | 0.49 r/r +7.23% k/k -2.96% | 0.53 r/r +4.38% k/k +8.56% | 0.52 r/r +7.73% k/k -1.92% | 0.60 r/r +18.74% k/k +14.91% | 0.59 r/r +19.64% k/k -2.22% | 0.62 r/r +17.30% k/k +6.44% | 0.61 r/r +17.35% k/k -1.88% | 0.64 r/r +7.48% k/k +5.25% | 0.62 r/r +6.03% k/k -3.54% | 0.69 r/r +10.85% k/k +11.28% | 0.67 r/r +9.39% k/k -3.17% | 0.66 r/r +2.46% k/k -1.42% | 0.67 r/r +7.27% k/k +0.99% | 0.68 r/r -1.81% k/k +1.86% | 0.68 r/r +1.42% k/k +0.01% | 0.70 r/r +6.39% k/k +3.41% | 0.69 r/r +4.30% k/k -1.00% | 0.72 r/r +5.54% k/k +3.08% | 0.71 r/r +4.91% k/k -0.59% | 0.70 r/r -0.26% k/k -1.69% | 0.69 r/r -0.30% k/k -1.04% | 0.69 r/r -3.62% k/k -0.35% | 0.70 r/r -2.28% k/k +0.80% | 0.69 r/r -1.93% k/k -1.34% | 0.69 r/r -0.49% k/k +0.41% | 0.69 r/r -0.20% k/k -0.06% | |
Zadłużenie kapitału własnego | 0.80 | 0.96 r/r +19.93% | 0.58 r/r -39.15% | 0.69 k/k +17.63% | 0.64 k/k -6.44% | 0.81 k/k +26.41% | 0.66 r/r +13.68% k/k -18.29% | 0.72 r/r +4.40% k/k +8.03% | 0.65 r/r +1.38% k/k -9.15% | 0.85 r/r +3.88% k/k +29.53% | 0.80 r/r +20.83% k/k -4.96% | 0.90 r/r +25.16% k/k +11.90% | 0.84 r/r +28.69% k/k -6.59% | 1.04 r/r +22.63% k/k +23.44% | 0.94 r/r +16.59% k/k -9.64% | 1.02 r/r +13.10% k/k +8.55% | 0.96 r/r +14.10% k/k -5.76% | 1.13 r/r +9.33% k/k +18.28% | 1.09 r/r +16.10% k/k -4.04% | 1.49 r/r +46.71% k/k +37.17% | 1.41 r/r +47.32% k/k -5.37% | 1.65 r/r +45.86% k/k +17.10% | 1.57 r/r +44.68% k/k -4.82% | 1.80 r/r +21.00% k/k +14.72% | 1.64 r/r +15.93% k/k -9.34% | 2.23 r/r +35.08% k/k +36.44% | 2.02 r/r +28.34% k/k -9.57% | 1.94 r/r +7.21% k/k -4.16% | 1.99 r/r +21.72% k/k +2.94% | 2.11 r/r -5.61% k/k +5.80% | 2.11 r/r +4.41% k/k +0.03% | 2.35 r/r +21.38% k/k +11.41% | 2.27 r/r +14.06% k/k -3.27% | 2.52 r/r +19.53% k/k +10.87% | 2.47 r/r +17.05% k/k -2.04% | 2.33 r/r -0.84% k/k -5.62% | 2.25 r/r -0.99% k/k -3.41% | 2.22 r/r -11.70% k/k -1.12% | 2.28 r/r -7.50% k/k +2.62% | 2.19 r/r -6.15% k/k -4.24% | 2.21 r/r -1.54% k/k +1.34% | 2.21 r/r -0.65% k/k -0.23% | |
Zadłużenie długoterminowe | 0.04 | 0.05 r/r +42.78% | 0.03 r/r -48.69% | 0.03 k/k +7.66% | 0.03 k/k -5.42% | 0.03 k/k +3.58% | 0.02 r/r -10.22% k/k -14.88% | 0.02 r/r -21.36% k/k -5.69% | 0.02 r/r -21.86% k/k -6.03% | 0.02 r/r -21.45% k/k +4.13% | 0.02 r/r -6.10% k/k +1.76% | 0.02 r/r -10.34% k/k -9.96% | 0.04 r/r +73.85% k/k +82.21% | 0.04 r/r +79.30% k/k +7.39% | 0.05 r/r +102.16% k/k +14.74% | 0.04 r/r +106.25% k/k -8.14% | 0.05 r/r +22.43% k/k +8.16% | 0.04 r/r +8.11% k/k -5.17% | 0.05 r/r -1.93% k/k +4.09% | 0.33 r/r +679.72% k/k +630.35% | 0.32 r/r +584.27% k/k -5.08% | 0.34 r/r +673.18% k/k +7.15% | 0.32 r/r +603.49% k/k -5.29% | 0.56 r/r +67.74% k/k +74.15% | 0.52 r/r +63.31% k/k -7.59% | 0.91 r/r +166.81% k/k +75.06% | 0.65 r/r +102.58% k/k -28.09% | 0.71 r/r +26.45% k/k +8.70% | 0.69 r/r +33.04% k/k -2.78% | 0.72 r/r -21.10% k/k +3.83% | 0.71 r/r +9.13% k/k -0.54% | 0.84 r/r +18.45% k/k +17.98% | 0.84 r/r +21.28% k/k -0.45% | 0.84 r/r +17.22% k/k +0.35% | 0.80 r/r +12.35% k/k -4.67% | 0.79 r/r -6.06% k/k -1.35% | 0.78 r/r -7.09% k/k -1.55% | 0.76 r/r -9.52% k/k -2.28% | 0.80 r/r -0.46% k/k +4.87% | 0.79 r/r +0.22% k/k -0.68% | 0.73 r/r -5.45% k/k -7.12% | 0.53 r/r -29.88% k/k -27.53% | |
Zadłużenie środków trwałych | 2.53 | 3.62 r/r +43.51% | 3.59 r/r -0.87% | 3.21 k/k -10.66% | 3.34 k/k +3.96% | 3.55 k/k +6.55% | 4.10 r/r +14.02% k/k +15.22% | 4.61 r/r +43.79% k/k +12.67% | 5.84 r/r +75.08% k/k +26.58% | 6.66 r/r +87.23% k/k +13.94% | 7.48 r/r +82.55% k/k +12.34% | 10.18 r/r +120.58% k/k +36.15% | 5.95 r/r +1.79% k/k -41.59% | 5.87 r/r -11.80% k/k -1.28% | 4.87 r/r -34.80% k/k -16.95% | 5.86 r/r -42.40% k/k +20.27% | 6.18 r/r +3.92% k/k +5.39% | 7.08 r/r +20.58% k/k +14.55% | 7.71 r/r +58.09% k/k +8.88% | 1.11 r/r -81.00% k/k -85.55% | 1.20 r/r -80.55% k/k +7.92% | 2.14 r/r -69.71% k/k +78.36% | 2.27 r/r -70.49% k/k +6.08% | 1.33 r/r +19.49% k/k -41.48% | 1.33 r/r +10.54% k/k -0.17% | 0.69 r/r -67.76% k/k -47.99% | 0.92 r/r -59.61% k/k +32.92% | 0.92 r/r -30.78% k/k +0.28% | 0.90 r/r -32.48% k/k -2.61% | 0.90 r/r +30.76% k/k +0.72% | 0.98 r/r +6.30% k/k +8.06% | 1.01 r/r +9.44% k/k +3.25% | 1.00 r/r +10.97% k/k -1.25% | 0.99 r/r +9.35% k/k -0.74% | 1.04 r/r +6.18% k/k +4.92% | 1.03 r/r +2.22% k/k -0.60% | 1.05 r/r +5.16% k/k +1.59% | 1.03 r/r +4.55% k/k -1.32% | 1.08 r/r +4.06% k/k +4.42% | 1.07 r/r +3.66% k/k -0.98% | 1.12 r/r +7.12% k/k +4.98% | 1.48 r/r +43.46% k/k +32.16% | |
Pokrycie aktywów trwałych kapitałami stałymi | 5.60 | 3.27 r/r -41.62% | 5.97 r/r +82.49% | 6.60 k/k +10.60% | 6.92 k/k +4.84% | 6.21 k/k -10.20% | 5.15 r/r -13.74% k/k -17.16% | 4.94 r/r -25.16% k/k -4.04% | 4.21 r/r -39.15% k/k -14.76% | 3.77 r/r -39.39% k/k -10.55% | 3.67 r/r -28.74% k/k -2.60% | 3.16 r/r -35.95% k/k -13.74% | 2.90 r/r -31.17% k/k -8.41% | 2.70 r/r -28.18% k/k -6.66% | 2.83 r/r -22.90% k/k +4.57% | 2.66 r/r -16.06% k/k -6.10% | 2.43 r/r -16.11% k/k -8.47% | 2.28 r/r -15.55% k/k -6.04% | 2.13 r/r -24.65% k/k -6.69% | 1.59 r/r -40.16% k/k -25.44% | 1.60 r/r -33.99% k/k +0.98% | 1.54 r/r -32.36% k/k -3.71% | 1.53 r/r -28.20% k/k -0.95% | 1.70 r/r +7.27% k/k +11.39% | 1.86 r/r +15.80% k/k +9.01% | 2.56 r/r +65.73% k/k +37.80% | 2.28 r/r +48.95% k/k -10.98% | 2.19 r/r +28.20% k/k -4.12% | 2.14 r/r +15.12% k/k -2.12% | 2.09 r/r -18.47% k/k -2.41% | 2.00 r/r -12.32% k/k -4.26% | 1.77 r/r -18.80% k/k -11.21% | 1.81 r/r -15.52% k/k +1.83% | 1.69 r/r -18.92% k/k -6.34% | 1.69 r/r -15.42% k/k -0.12% | 1.70 r/r -3.99% k/k +0.79% | 1.71 r/r -5.46% k/k +0.28% | 1.74 r/r +3.04% k/k +2.08% | 1.68 r/r -0.72% k/k -3.76% | 1.70 r/r -0.21% k/k +1.30% | 1.69 r/r -1.21% k/k -0.73% | 1.56 r/r -10.74% k/k -7.77% | |
Trwałość struktury finansowania | 0.58 | 0.54 r/r -6.72% | 0.65 r/r +20.68% | 0.61 k/k -5.92% | 0.63 k/k +2.54% | 0.57 k/k -9.29% | 0.62 r/r -5.06% k/k +8.50% | 0.60 r/r -2.36% k/k -3.25% | 0.62 r/r -1.14% k/k +3.83% | 0.55 r/r -2.29% k/k -10.35% | 0.57 r/r -7.83% k/k +2.35% | 0.54 r/r -9.72% k/k -5.24% | 0.56 r/r -8.78% k/k +4.91% | 0.51 r/r -7.81% k/k -9.40% | 0.54 r/r -4.72% k/k +5.77% | 0.52 r/r -3.81% k/k -4.33% | 0.53 r/r -5.25% k/k +3.35% | 0.49 r/r -4.23% k/k -8.42% | 0.50 r/r -7.31% k/k +2.37% | 0.54 r/r +3.58% k/k +6.91% | 0.55 r/r +2.25% k/k +2.02% | 0.51 r/r +3.23% k/k -7.54% | 0.51 r/r +2.55% k/k +1.70% | 0.56 r/r +3.92% k/k +8.33% | 0.58 r/r +5.42% k/k +3.49% | 0.59 r/r +16.81% k/k +2.45% | 0.55 r/r +6.54% k/k -7.24% | 0.58 r/r +4.64% k/k +6.39% | 0.56 r/r -1.94% k/k -3.02% | 0.55 r/r -6.41% k/k -2.21% | 0.55 r/r +0.64% k/k -0.25% | 0.55 r/r -5.63% k/k -0.24% | 0.56 r/r -0.62% k/k +2.13% | 0.52 r/r -5.36% k/k -6.88% | 0.52 r/r -5.75% k/k -0.67% | 0.54 r/r -2.18% k/k +3.54% | 0.55 r/r -2.57% k/k +1.73% | 0.55 r/r +4.40% k/k -0.22% | 0.55 r/r +5.41% k/k +0.29% | 0.56 r/r +4.58% k/k +2.72% | 0.54 r/r -1.32% k/k -4.00% | 0.48 r/r -12.50% k/k -11.52% | |
Zastosowanie kapitału obcego | 0.50 | 0.59 r/r +18.27% | 0.41 r/r -29.40% | 0.45 k/k +8.48% | 0.43 k/k -4.14% | 0.49 k/k +14.68% | 0.45 r/r +9.57% k/k -8.12% | 0.48 r/r +5.83% k/k +4.78% | 0.46 r/r +7.50% k/k -2.63% | 0.54 r/r +8.79% k/k +16.05% | 0.53 r/r +16.18% k/k -1.88% | 0.57 r/r +19.99% k/k +8.22% | 0.57 r/r +22.43% k/k -0.65% | 0.63 r/r +16.81% k/k +10.73% | 0.60 r/r +13.45% k/k -4.70% | 0.63 r/r +9.78% k/k +4.72% | 0.63 r/r +10.71% k/k +0.19% | 0.68 r/r +7.76% k/k +7.78% | 0.68 r/r +13.92% k/k +0.74% | 0.90 r/r +44.24% k/k +32.59% | 0.89 r/r +41.50% k/k -1.72% | 0.93 r/r +36.93% k/k +4.30% | 0.92 r/r +35.15% k/k -0.57% | 0.96 r/r +5.80% k/k +3.80% | 0.90 r/r +1.35% k/k -5.85% | 0.90 r/r -3.05% k/k -0.22% | 0.88 r/r -4.38% k/k -1.94% | 0.90 r/r -5.92% k/k +2.12% | 0.90 r/r +0.57% k/k +0.65% | 0.92 r/r +2.74% k/k +1.93% | 0.94 r/r +6.40% k/k +1.55% | 1.02 r/r +13.04% k/k +8.50% | 1.01 r/r +11.34% k/k -0.87% | 1.04 r/r +12.32% k/k +2.83% | 1.03 r/r +9.67% k/k -0.84% | 1.02 r/r +0.59% k/k -0.49% | 1.02 r/r +1.09% k/k -0.37% | 1.00 r/r -3.06% k/k -1.39% | 1.03 r/r +0.47% k/k +2.77% | 1.03 r/r +0.29% k/k -0.66% | 1.01 r/r -0.54% k/k -1.20% | 0.99 r/r -1.10% k/k -1.95% | |
Wskaźnik ogólnej sytuacji finansowej | 2.68 | 1.82 r/r -32.00% | 2.40 r/r +32.09% | 2.88 k/k +19.73% | 2.90 k/k +0.66% | 2.98 k/k +2.88% | 2.28 r/r -5.24% k/k -23.58% | 2.29 r/r -20.29% k/k +0.71% | 1.91 r/r -34.18% k/k -16.88% | 1.98 r/r -33.66% k/k +3.70% | 1.89 r/r -17.07% k/k -4.47% | 1.77 r/r -22.97% k/k -6.45% | 1.58 r/r -17.05% k/k -10.49% | 1.63 r/r -17.55% k/k +3.08% | 1.62 r/r -14.49% k/k -0.93% | 1.59 r/r -9.79% k/k -1.31% | 1.46 r/r -7.90% k/k -8.61% | 1.48 r/r -9.29% k/k +1.52% | 1.39 r/r -14.09% k/k -6.17% | 1.08 r/r -32.55% k/k -22.52% | 1.08 r/r -25.81% k/k +0.52% | 1.07 r/r -27.85% k/k -1.26% | 1.07 r/r -23.24% k/k -0.19% | 1.04 r/r -2.98% k/k -2.07% | 1.10 r/r +1.83% k/k +5.50% | 1.20 r/r +12.86% k/k +9.44% | 1.21 r/r +13.95% k/k +0.77% | 1.15 r/r +10.14% k/k -5.34% | 1.15 r/r +4.03% k/k -0.35% | 1.12 r/r -6.89% k/k -2.05% | 1.09 r/r -9.97% k/k -2.56% | 0.98 r/r -14.74% k/k -10.36% | 0.99 r/r -13.46% k/k +1.15% | 0.95 r/r -15.04% k/k -3.84% | 0.96 r/r -11.77% k/k +1.20% | 0.97 r/r -0.67% k/k +0.91% | 0.98 r/r -1.23% k/k +0.59% | 1.00 r/r +4.43% k/k +1.67% | 0.96 r/r -0.04% k/k -3.14% | 0.97 r/r -0.01% k/k +0.94% | 0.99 r/r +0.65% k/k +1.25% | 1.01 r/r +1.36% k/k +2.38% | |
Zadłużenie netto | -120 843 104 | 392 333 414 | -1 729 215 110 | -1 137 150 900 | -1 437 840 320 | -686 653 200 | -1 307 854 350 | -840 447 960 | -1 436 074 750 | -362 208 000 | -387 984 800 | 613 136 940 | 442 514 550 | 1 493 103 150 | 1 231 249 680 | 2 182 528 100 | 2 355 700 160 | 3 173 223 060 | 2 710 290 000 | 5 734 493 160 | 5 190 416 400 | 7 376 076 400 | 6 941 780 850 | 8 332 985 150 | 6 443 991 400 | 7 916 920 520 | 7 696 101 960 | 9 957 663 010 | 9 751 817 680 | 12 077 970 300 | 10 764 895 700 | 14 500 912 000 | 13 811 982 540 | 17 391 029 760 | 15 586 882 650 | 15 041 551 050 | 13 353 125 150 | 14 442 211 800 | 12 056 569 200 | 12 048 971 350 | 11 757 238 000 | 13 072 222 590 | |
Zadłużenie netto / EBITDA | 0.38 | -0.95 r/r -349.76% | -4.62 r/r -383.50% | -1.90 k/k +58.94% | -2.47 k/k -30.54% | -1.43 k/k +42.35% | -2.48 r/r +46.25% k/k -73.93% | -1.70 r/r +10.38% k/k +31.54% | -1.94 r/r +21.68% k/k -14.08% | -0.39 r/r +72.54% k/k +79.79% | -0.34 r/r +86.15% k/k +12.25% | 0.54 r/r +131.94% k/k +257.84% | 0.39 r/r +120.35% k/k -27.30% | 1.41 r/r +459.64% k/k +257.18% | 1.20 r/r +448.71% k/k -14.92% | 2.35 r/r +332.66% k/k +95.84% | 2.32 r/r +487.32% k/k -1.31% | 3.81 r/r +170.44% k/k +64.47% | 3.06 r/r +155.67% k/k -19.57% | 5.82 r/r +147.93% k/k +89.92% | 4.60 r/r +98.64% k/k -20.93% | 5.10 r/r +33.97% k/k +10.92% | 4.52 r/r +47.57% k/k -11.41% | 7.24 r/r +24.47% k/k +60.19% | 3.88 r/r -15.69% k/k -46.44% | 3.60 r/r -29.42% k/k -7.14% | 2.87 r/r -36.58% k/k -20.39% | 2.82 r/r -61.12% k/k -1.79% | 2.77 r/r -28.52% k/k -1.54% | 2.01 r/r -44.24% k/k -27.57% | 3.55 r/r +23.61% k/k +76.50% | 6.03 r/r +114.16% k/k +70.14% | 7.27 r/r +162.07% k/k +20.49% | -19.32 r/r -1061.88% k/k -365.84% | 8.45 r/r +138.30% k/k +143.73% | 7.07 r/r +17.23% k/k -16.30% | 5.92 r/r -18.50% k/k -16.24% | 6.57 r/r +134.01% k/k +10.94% | 5.28 r/r -37.47% k/k -19.60% | 4.90 r/r -30.66% k/k -7.19% | 4.30 r/r -27.44% k/k -12.35% | 4.29 r/r -34.65% k/k -0.09% | |
Zadłużenie finansowe netto | -1 366 243 734 | -1 489 056 307 | -4 124 627 710 | -3 580 737 300 | -3 730 079 920 | -3 546 860 480 | -3 770 149 050 | -3 649 055 160 | -4 231 220 550 | -3 870 882 400 | -3 923 645 600 | -3 630 715 920 | -3 656 767 800 | -4 195 770 670 | -4 028 255 220 | -3 447 603 200 | -3 305 220 480 | -3 339 807 660 | -3 773 250 000 | -1 515 347 990 | -1 893 415 600 | -1 358 440 160 | -1 795 383 600 | -475 260 120 | -2 093 660 800 | -3 708 354 560 | -4 042 103 320 | -2 289 139 360 | -2 979 207 200 | -1 082 245 440 | -2 290 501 200 | 1 582 780 500 | 1 597 020 720 | 2 177 774 560 | -257 944 500 | 477 836 100 | -674 220 450 | -149 266 320 | -1 947 469 200 | -1 100 170 220 | -2 742 205 400 | -2 142 117 460 | |
Zadłużenie finansowe netto / EBITDA | 4.32 | 3.62 r/r -16.16% | -11.01 r/r -403.86% | -5.97 k/k +45.79% | -6.42 k/k -7.55% | -7.37 k/k -14.79% | -7.15 r/r +35.04% k/k +2.93% | -7.37 r/r -23.57% k/k -3.11% | -5.71 r/r +11.05% k/k +22.58% | -4.19 r/r +43.19% k/k +26.68% | -3.48 r/r +51.41% k/k +16.98% | -3.21 r/r +56.44% k/k +7.56% | -3.26 r/r +42.91% k/k -1.44% | -3.96 r/r +5.43% k/k -21.47% | -3.92 r/r -12.83% k/k +0.95% | -3.71 r/r -15.41% k/k +5.44% | -3.25 r/r +0.28% k/k +12.34% | -4.01 r/r -1.29% k/k -23.37% | -4.27 r/r -8.79% k/k -6.39% | -1.54 r/r +58.53% k/k +63.95% | -1.68 r/r +48.36% k/k -9.15% | -0.94 r/r +76.56% k/k +44.00% | -1.17 r/r +72.58% k/k -24.41% | -0.41 r/r +73.14% k/k +64.68% | -1.26 r/r +24.91% k/k -205.11% | -1.69 r/r -79.50% k/k -33.87% | -1.51 r/r -28.80% k/k +10.73% | -0.65 r/r -56.74% k/k +57.01% | -0.85 r/r +32.78% k/k -30.84% | -0.18 r/r +89.33% k/k +78.75% | -0.75 r/r +49.92% k/k -319.06% | 0.66 r/r +201.68% k/k +187.29% | 0.84 r/r +199.19% k/k +27.63% | -2.42 r/r -1244.06% k/k -387.91% | -0.14 r/r +81.47% k/k +94.22% | 0.22 r/r -65.89% k/k +260.66% | -0.30 r/r -135.58% k/k -233.13% | -0.07 r/r +97.19% k/k +77.29% | -0.85 r/r -510.37% k/k -1156.70% | -0.45 r/r -299.33% k/k +47.53% | -1.00 r/r -235.22% k/k -123.88% | -0.70 r/r -936.23% k/k +29.80% |
Wartości dla sektora obliczane są w oparciu o medianę.
Informacje
ISIN: | DE000ZAL1111 |
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Liczba akcji: | 263 889 073 |
Kapitalizacja: | 30 624 326 922 |
Enterprise Value: | 28 482 209 462 |
Branża: | Odzież i kosmetyki |
Zalando SE to niemiecki sklep z butami i modą. Firma oferuje portfel odzieży damskiej, męskiej i dziecięcej. W asortymencie znajduje się szereg butów,... Zalando SE to niemiecki sklep z butami i modą. Firma oferuje portfel odzieży damskiej, męskiej i dziecięcej. W asortymencie znajduje się szereg butów, ubrań, akcesoriów, produktów upiększających i artykułów sportowych z ponad 1500 marek, w tym firm modowych, projektantów i produktów zLabels, prywatnego oddziału firmy. Zalando SE oferuje również bezpłatną wysyłkę i 100-dniową darmową polisę zwrotu. Jego ofertę można nabyć za pośrednictwem komputerów stacjonarnych, tabletów i smartfonów w około 15 krajach europejskich. Spółka działa w dwóch segmentach geograficznych: DACH, obejmująca sprzedaż w Niemczech, Austrii i Szwajcarii; i reszta Europy.
Nazwa: | ZALANDO SE |
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Adres: | Tamara-Danz-Straße 1, 10-243, Berlin, Deutschland |
CEO: | Robert Gentz |
Telefon: | +49 (0)30 2000 88 400 |
WWW: | https://corporate.zalando.com/ |