HAL Trust
OTC:HALFF
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|
H
|
HAL Trust
OTC:HALFF
|
MC |
|
Japan Post Bank Co Ltd
F:5JP0
|
JP |
|
UBS Group AG
LSE:0R3T
|
CH |
Bilanz
Bilanzaufschlüsselung
HAL Trust
HAL Trust nicht verfügbar
Bilanz
HAL Trust
| Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Vermögenswerte | |||||||||||||||||||||||||
| Zahlungsmittel und Zahlungsmitteläquivalente |
31
|
39
|
116
|
130
|
133
|
184
|
160
|
140
|
145
|
645
|
311
|
736
|
1.147
|
2.226
|
3.144
|
2.205
|
2.277
|
1.559
|
1.427
|
2.256
|
2.044
|
2.588
|
2.578
|
4.346
|
|
| Zahlungsmittel |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1.457
|
896
|
843
|
1.496
|
1.707
|
1.300
|
1.508
|
2.032
|
|
| Zahlungsmitteläquivalente |
31
|
39
|
116
|
130
|
133
|
184
|
160
|
140
|
145
|
645
|
311
|
736
|
1.147
|
2.226
|
3.144
|
2.205
|
819
|
662
|
584
|
760
|
337
|
1.289
|
1.070
|
2.313
|
|
| Kurzfristige Anlagen |
816
|
644
|
577
|
346
|
422
|
698
|
570
|
326
|
213
|
97
|
159
|
95
|
152
|
270
|
234
|
625
|
275
|
223
|
196
|
4.437
|
3.646
|
2.179
|
1.742
|
696
|
|
| Forderungen gesamt |
176
|
201
|
338
|
300
|
333
|
420
|
459
|
387
|
309
|
399
|
559
|
996
|
1.009
|
1.020
|
1.123
|
812
|
1.346
|
1.171
|
1.262
|
1.382
|
2.277
|
2.204
|
2.152
|
2.177
|
|
| Forderungen aus Lieferungen und Leistungen |
176
|
201
|
248
|
207
|
241
|
305
|
313
|
266
|
309
|
399
|
375
|
657
|
751
|
778
|
846
|
812
|
896
|
858
|
916
|
1.049
|
1.796
|
1.756
|
1.720
|
1.781
|
|
| Sonstige Forderungen |
0
|
0
|
90
|
93
|
91
|
115
|
146
|
121
|
0
|
0
|
184
|
339
|
257
|
242
|
277
|
0
|
450
|
313
|
346
|
334
|
480
|
448
|
432
|
396
|
|
| Vorräte |
177
|
198
|
265
|
260
|
285
|
322
|
380
|
344
|
372
|
355
|
354
|
560
|
636
|
732
|
768
|
843
|
831
|
664
|
717
|
967
|
1.134
|
1.093
|
1.022
|
1.009
|
|
| Sonstiges Umlaufvermögen |
71
|
95
|
14
|
8
|
43
|
17
|
39
|
67
|
219
|
209
|
55
|
171
|
179
|
413
|
220
|
503
|
180
|
5.220
|
5.355
|
318
|
797
|
1.019
|
440
|
407
|
|
| Umlaufvermögen gesamt |
1.272
|
1.177
|
1.311
|
1.044
|
1.217
|
1.640
|
1.607
|
1.263
|
1.257
|
1.706
|
1.437
|
2.558
|
3.124
|
4.661
|
5.488
|
4.988
|
4.908
|
8.837
|
8.957
|
9.361
|
9.898
|
9.084
|
7.934
|
8.634
|
|
| Sachanlagen netto |
356
|
338
|
459
|
451
|
456
|
567
|
742
|
678
|
748
|
829
|
908
|
4.523
|
4.943
|
4.955
|
5.082
|
5.031
|
5.456
|
5.901
|
6.108
|
6.219
|
9.209
|
8.917
|
10.321
|
10.170
|
|
| Sachanlagen brutto |
356
|
338
|
459
|
451
|
456
|
567
|
742
|
678
|
748
|
829
|
908
|
4.523
|
4.943
|
4.955
|
5.082
|
0
|
5.456
|
5.901
|
6.108
|
6.219
|
9.209
|
8.917
|
10.321
|
10.170
|
|
| Kumulierte Abschreibungen |
440
|
489
|
771
|
771
|
857
|
875
|
1.005
|
1.080
|
1.224
|
1.310
|
1.439
|
3.910
|
4.443
|
4.607
|
4.785
|
0
|
5.528
|
4.817
|
5.058
|
5.636
|
6.709
|
6.480
|
7.592
|
7.913
|
|
| Immaterielle Vermögenswerte |
0
|
0
|
337
|
336
|
344
|
354
|
418
|
420
|
541
|
558
|
566
|
805
|
840
|
858
|
910
|
2.569
|
1.054
|
685
|
749
|
1.180
|
1.530
|
1.407
|
1.234
|
1.092
|
|
| Geschäfts- oder Firmenwert |
386
|
420
|
484
|
743
|
848
|
990
|
1.076
|
1.101
|
1.285
|
1.305
|
1.374
|
1.451
|
1.608
|
1.744
|
1.511
|
0
|
1.589
|
495
|
532
|
1.134
|
2.117
|
1.931
|
2.331
|
2.078
|
|
| Langfristige Anlagen |
1.058
|
1.165
|
978
|
1.079
|
884
|
820
|
902
|
1.444
|
1.902
|
2.031
|
2.257
|
2.478
|
2.758
|
3.131
|
3.301
|
3.281
|
2.633
|
2.924
|
3.745
|
4.506
|
3.795
|
4.768
|
5.275
|
5.922
|
|
| Sonstige langfristige Vermögenswerte |
4
|
26
|
30
|
21
|
46
|
32
|
49
|
50
|
46
|
103
|
353
|
289
|
401
|
369
|
325
|
219
|
836
|
917
|
146
|
223
|
166
|
236
|
248
|
246
|
|
| Sonstige Vermögenswerte |
386
|
420
|
484
|
743
|
848
|
990
|
1.076
|
1.101
|
1.285
|
1.305
|
1.374
|
1.451
|
1.608
|
1.744
|
1.511
|
0
|
1.589
|
495
|
532
|
1.134
|
2.117
|
1.931
|
2.331
|
2.078
|
|
| Gesamtvermögen |
3.075
N/A
|
3.126
+2%
|
3.598
+15%
|
3.675
+2%
|
3.795
+3%
|
4.403
+16%
|
4.794
+9%
|
4.957
+3%
|
5.778
+17%
|
6.531
+13%
|
6.894
+6%
|
12.104
+76%
|
13.674
+13%
|
15.718
+15%
|
16.618
+6%
|
16.087
-3%
|
16.476
+2%
|
19.757
+20%
|
20.237
+2%
|
22.622
+12%
|
26.715
+18%
|
26.343
-1%
|
27.343
+4%
|
28.142
+3%
|
|
| Verbindlichkeiten | |||||||||||||||||||||||||
| Lieferantenverbindlichkeiten |
162
|
155
|
231
|
254
|
236
|
265
|
272
|
229
|
265
|
291
|
261
|
644
|
676
|
664
|
832
|
800
|
861
|
772
|
894
|
1.041
|
1.317
|
1.246
|
1.052
|
988
|
|
| Abgegrenzte Verbindlichkeiten |
155
|
182
|
245
|
269
|
288
|
358
|
413
|
395
|
456
|
491
|
389
|
528
|
627
|
682
|
670
|
707
|
746
|
493
|
572
|
619
|
1.597
|
1.603
|
1.789
|
1.768
|
|
| Kurzfristige Schulden |
139
|
186
|
128
|
229
|
330
|
323
|
374
|
303
|
430
|
0
|
0
|
266
|
538
|
589
|
817
|
0
|
661
|
496
|
478
|
710
|
1.193
|
472
|
577
|
566
|
|
| Kurzfristiger Anteil langfristiger Schulden |
49
|
102
|
112
|
98
|
55
|
36
|
46
|
190
|
103
|
350
|
386
|
207
|
62
|
125
|
105
|
965
|
395
|
315
|
389
|
228
|
1.026
|
1.189
|
655
|
500
|
|
| Sonstige kurzfristige Verbindlichkeiten |
105
|
43
|
30
|
44
|
36
|
23
|
14
|
119
|
94
|
63
|
261
|
385
|
438
|
523
|
434
|
407
|
451
|
3.518
|
3.329
|
507
|
1.205
|
1.669
|
1.737
|
1.907
|
|
| Kurzfristige Verbindlichkeiten gesamt |
609
|
668
|
746
|
895
|
946
|
1.005
|
1.119
|
1.235
|
1.349
|
1.194
|
1.298
|
2.031
|
2.342
|
2.582
|
2.857
|
2.879
|
3.114
|
5.594
|
5.663
|
3.104
|
6.339
|
6.179
|
5.810
|
5.729
|
|
| Langfristige Schulden |
765
|
662
|
953
|
751
|
425
|
453
|
591
|
388
|
657
|
1.151
|
982
|
3.002
|
3.717
|
3.668
|
2.970
|
2.602
|
2.594
|
2.909
|
3.251
|
3.866
|
4.001
|
3.178
|
3.598
|
3.735
|
|
| Latente Steuern |
30
|
29
|
88
|
89
|
99
|
79
|
117
|
115
|
132
|
140
|
151
|
425
|
431
|
457
|
451
|
425
|
439
|
387
|
361
|
531
|
694
|
646
|
619
|
552
|
|
| Minderheitsanteile |
1
|
9
|
75
|
10
|
52
|
86
|
94
|
72
|
30
|
52
|
53
|
1.406
|
1.440
|
1.838
|
2.134
|
2.151
|
2.398
|
2.536
|
2.586
|
2.372
|
2.228
|
2.196
|
2.132
|
2.108
|
|
| Sonstige Verbindlichkeiten |
37
|
43
|
42
|
49
|
73
|
64
|
66
|
14
|
15
|
82
|
257
|
572
|
681
|
448
|
581
|
430
|
419
|
320
|
384
|
315
|
443
|
468
|
408
|
390
|
|
| Gesamtverbindlichkeiten |
1.440
N/A
|
1.393
-3%
|
1.903
+37%
|
1.773
-7%
|
1.594
-10%
|
1.687
+6%
|
1.986
+18%
|
1.825
-8%
|
2.183
+20%
|
2.618
+20%
|
2.741
+5%
|
7.437
+171%
|
8.611
+16%
|
8.993
+4%
|
8.994
+0%
|
8.487
-6%
|
8.964
+6%
|
11.745
+31%
|
12.244
+4%
|
10.188
-17%
|
13.704
+35%
|
12.667
-8%
|
12.566
-1%
|
12.513
0%
|
|
| Eigenkapital | |||||||||||||||||||||||||
| Stammaktien |
0
|
0
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
12.200
|
12.200
|
|
| Einbehaltene Gewinne |
0
|
0
|
1.694
|
1.900
|
2.200
|
2.715
|
2.806
|
3.131
|
3.594
|
3.820
|
4.086
|
4.574
|
5.003
|
6.556
|
7.301
|
7.598
|
7.470
|
7.837
|
8.264
|
12.339
|
12.675
|
13.445
|
2.144
|
3.467
|
|
| Unrealisierter Gewinn/Verlust aus Wertpapieren |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
22
|
59
|
157
|
35
|
37
|
181
|
0
|
88
|
219
|
21
|
38
|
24
|
29
|
7
|
6
|
|
| Sonstiges Eigenkapital |
1.635
|
1.733
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
69
|
7
|
65
|
23
|
131
|
141
|
0
|
47
|
45
|
294
|
56
|
310
|
200
|
425
|
44
|
|
| Eigenkapital gesamt |
1.635
N/A
|
1.733
+6%
|
1.695
-2%
|
1.902
+12%
|
2.202
+16%
|
2.716
+23%
|
2.808
+3%
|
3.132
+12%
|
3.595
+15%
|
3.913
+9%
|
4.153
+6%
|
4.667
+12%
|
5.063
+8%
|
6.725
+33%
|
7.625
+13%
|
7.600
0%
|
7.512
-1%
|
8.012
+7%
|
7.993
0%
|
12.435
+56%
|
13.010
+5%
|
13.676
+5%
|
14.776
+8%
|
15.629
+6%
|
|
| Verbindlichkeiten & Eigenkapital gesamt |
3.075
N/A
|
3.126
+2%
|
3.598
+15%
|
3.675
+2%
|
3.795
+3%
|
4.403
+16%
|
4.794
+9%
|
4.957
+3%
|
5.778
+17%
|
6.531
+13%
|
6.894
+6%
|
12.104
+76%
|
13.674
+13%
|
15.718
+15%
|
16.618
+6%
|
16.087
-3%
|
16.476
+2%
|
19.757
+20%
|
20.237
+2%
|
22.622
+12%
|
26.715
+18%
|
26.343
-1%
|
27.343
+4%
|
28.142
+3%
|
|
| Ausstehende Aktien | |||||||||||||||||||||||||
| Ausstehende Stammaktien |
66
|
66
|
66
|
68
|
68
|
68
|
68
|
68
|
70
|
74
|
77
|
79
|
82
|
84
|
87
|
83
|
89
|
89
|
90
|
92
|
90
|
90
|
90
|
90
|
|