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Cashflow-Rechnung

Cashflow-Rechnung
Gap Inc

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Cashflow-Rechnung
Währung: USD
May-2014 Aug-2014 Nov-2014 Jan-2015 May-2015 Aug-2015 Oct-2015 Jan-2016 Apr-2016 Jul-2016 Oct-2016 Jan-2017 Apr-2017 Jul-2017 Oct-2017 Feb-2018 May-2018 Aug-2018 Nov-2018 Feb-2019 May-2019 Aug-2019 Nov-2019 Feb-2020 May-2020 Aug-2020 Oct-2020 Jan-2021 May-2021 Jul-2021 Oct-2021 Jan-2022 Apr-2022 Jul-2022 Oct-2022 Jan-2023 Apr-2023 Jul-2023 Oct-2023 Feb-2024 May-2024
Operativer Cashflow
Nettogewinn
1.207
1.236
1.250
1.262
1.241
1.128
1.025
920
808
714
670
676
692
838
863
848
869
895
932
1.003
1.066
937
811
351
(808)
(1.038)
(1.083)
(665)
433
753
506
256
(72)
(379)
55
(202)
(58)
108
44
502
678
Abschreibungen
535
540
550
564
579
587
590
592
592
601
603
593
583
569
562
559
561
560
566
578
576
575
570
557
549
536
521
507
497
495
498
504
514
522
534
540
547
545
532
522
509
Veränderung latenter Steuern
48
25
13
75
70
93
98
101
90
85
97
(54)
(55)
(67)
(94)
61
77
112
144
65
82
87
74
(81)
(145)
(252)
(197)
(137)
(78)
16
(91)
(61)
(80)
(100)
(1)
42
48
58
(17)
(64)
(68)
Aktienbasierte Vergütung
110
109
106
100
97
90
82
76
69
69
73
76
81
82
81
87
88
93
99
91
94
90
83
68
62
56
59
77
95
114
119
139
104
73
70
37
59
75
73
80
84
Sonstige nicht zahlungswirksame Posten
(16)
(41)
(39)
(21)
(47)
(2)
(34)
(63)
(59)
1
78
183
200
145
119
74
82
80
71
38
(136)
(127)
(119)
274
939
993
1.003
704
313
279
615
577
466
462
60
30
31
14
85
72
93
Gezahlte Steuern
740
800
788
714
723
595
482
452
432
329
432
488
480
475
430
570
554
501
383
143
142
172
187
176
195
139
67
20
3
114
193
215
(225)
(340)
(373)
(388)
78
0
20
49
42
Gezahlte Zinsen
77
77
78
77
77
77
76
78
79
80
82
82
81
79
78
76
76
76
77
76
76
76
74
76
76
77
42
145
109
208
282
180
210
116
72
76
79
78
78
74
70
Veränderung des Working Capital
88
84
92
249
(16)
(31)
70
44
120
285
212
321
222
(14)
69
(162)
(366)
(207)
(366)
(303)
(112)
(54)
6
310
(93)
502
1.038
(172)
352
(427)
(1.008)
(467)
(721)
(695)
(633)
197
416
617
907
500
335
Cashflow aus operativer Tätigkeit
1.862
N/A
1.844
-1%
1.866
+1%
2.129
+14%
1.827
-14%
1.775
-3%
1.749
-1%
1.594
-9%
1.551
-3%
1.686
+9%
1.660
-2%
1.719
+4%
1.642
-4%
1.471
-10%
1.519
+3%
1.380
-9%
1.223
-11%
1.440
+18%
1.347
-6%
1.381
+3%
1.476
+7%
1.418
-4%
1.342
-5%
1.411
+5%
442
-69%
741
+68%
1.282
+73%
237
-82%
1.517
+540%
1.116
-26%
520
-53%
809
+56%
107
-87%
(190)
N/A
15
N/A
607
+3.947%
984
+62%
1.342
+36%
1.551
+16%
1.532
-1%
1.547
+1%
Investitions-Cashflow
Investitionsausgaben
(681)
(683)
(691)
(714)
(702)
(687)
(711)
(726)
(715)
(695)
(604)
(524)
(495)
(529)
(604)
(731)
(759)
(782)
(778)
(705)
(1.075)
(1.046)
(1.061)
(1.045)
(659)
(586)
(467)
(392)
(394)
(453)
(590)
(694)
(798)
(831)
(785)
(685)
(574)
(478)
(396)
(420)
(396)
Sonstige Posten
(2)
120
118
118
119
(3)
(6)
(4)
(5)
(4)
(1)
(5)
7
52
53
63
(119)
(285)
(297)
(296)
43
143
154
151
221
272
117
(118)
(393)
(334)
(253)
248
618
529
728
458
212
212
85
86
(199)
Cashflow aus Investitionstätigkeit
(683)
N/A
(563)
+18%
(573)
-2%
(596)
-4%
(583)
+2%
(690)
-18%
(717)
-4%
(730)
-2%
(720)
+1%
(699)
+3%
(605)
+13%
(529)
+13%
(488)
+8%
(477)
+2%
(551)
-16%
(668)
-21%
(878)
-31%
(1.067)
-22%
(1.075)
-1%
(1.001)
+7%
(1.032)
-3%
(903)
+13%
(907)
0%
(894)
+1%
(438)
+51%
(314)
+28%
(350)
-11%
(510)
-46%
(787)
-54%
(787)
N/A
(843)
-7%
(446)
+47%
(180)
+60%
(302)
-68%
(57)
+81%
(227)
-298%
(362)
-59%
(266)
+27%
(311)
-17%
(334)
-7%
(595)
-78%
Finanzierungs-Cashflow
Nettoausgabe von Stammaktien
(1.031)
(1.449)
(1.082)
(1.103)
(1.063)
(1.061)
(855)
(922)
(731)
(360)
(158)
30
(69)
(173)
(273)
(285)
(277)
(266)
(268)
(352)
(312)
(268)
(220)
(175)
(129)
(80)
(31)
22
41
(4)
(74)
(147)
(219)
(229)
(168)
(96)
(42)
13
23
27
30
Nettoaufnahme von Schulden
0
0
0
(21)
0
0
379
379
0
0
0
(421)
0
(488)
(488)
(67)
0
0
0
0
0
0
0
0
500
943
943
943
443
0
(1.046)
(1.046)
(696)
(696)
350
350
0
(200)
(350)
(350)
0
Gezahlte Dividenden
(349)
(375)
(379)
(383)
(382)
(381)
(378)
(377)
(371)
(368)
(367)
(367)
(368)
(366)
(364)
(361)
(363)
(367)
(370)
(373)
(371)
(368)
(366)
(364)
(272)
(181)
(90)
0
(91)
(137)
(182)
(226)
(191)
(200)
(210)
(220)
(219)
(220)
(220)
(222)
(223)
Sonstiges
0
0
0
0
(66)
(69)
(69)
(70)
(21)
5
(19)
(19)
(15)
(39)
(16)
(18)
(24)
(25)
(26)
(24)
(24)
(23)
(22)
(21)
(9)
(70)
(69)
(70)
(95)
(33)
(51)
(52)
(34)
(41)
(25)
(28)
(24)
(18)
(23)
(22)
(43)
Cashflow aus Finanzierungstätigkeit
(1.236)
N/A
(1.680)
-36%
(1.317)
+22%
(1.507)
-14%
(1.532)
-2%
(1.532)
N/A
(923)
+40%
(990)
-7%
(744)
+25%
(344)
+54%
(565)
-64%
(777)
-38%
(873)
-12%
(1.066)
-22%
(1.141)
-7%
(731)
+36%
(731)
N/A
(658)
+10%
(664)
-1%
(749)
-13%
(707)
+6%
(659)
+7%
(608)
+8%
(560)
+8%
90
N/A
612
+580%
753
+23%
895
+19%
298
-67%
(174)
N/A
(1.353)
-678%
(1.471)
-9%
(1.140)
+23%
(1.166)
-2%
(53)
+95%
6
N/A
(285)
N/A
(425)
-49%
(570)
-34%
(567)
+1%
(586)
-3%
Veränderung der Zahlungsmittel
Effekt von Wechselkursänderungen
(9)
(8)
(18)
(21)
(22)
(28)
(21)
(19)
(8)
(5)
(10)
0
(11)
0
4
19
16
0
(1)
(10)
(8)
(1)
3
4
(4)
7
8
13
20
11
6
(6)
(12)
(14)
(28)
(15)
(10)
(8)
3
(3)
(3)
Nettoveränderung der Zahlungsmittel
(66)
N/A
(407)
-517%
(42)
+90%
5
N/A
(310)
N/A
(475)
-53%
88
N/A
(145)
N/A
79
N/A
638
+708%
480
-25%
413
-14%
270
-35%
(72)
N/A
(169)
-135%
0
N/A
(370)
N/A
(285)
+23%
(393)
-38%
(379)
+4%
(271)
+28%
(145)
+46%
(170)
-17%
(39)
+77%
90
N/A
1.046
+1.062%
1.693
+62%
635
-62%
1.048
+65%
166
-84%
(1.670)
N/A
(1.114)
+33%
(1.225)
-10%
(1.672)
-36%
(123)
+93%
371
N/A
327
-12%
643
+97%
673
+5%
628
-7%
363
-42%
Free Cashflow
Free Cashflow
1.181
N/A
1.161
-2%
1.175
+1%
1.415
+20%
1.125
-20%
1.088
-3%
1.038
-5%
868
-16%
836
-4%
991
+19%
1.056
+7%
1.195
+13%
1.147
-4%
942
-18%
915
-3%
649
-29%
464
-29%
658
+42%
569
-14%
676
+19%
401
-41%
372
-7%
281
-24%
366
+30%
(217)
N/A
155
N/A
815
+426%
(155)
N/A
1.123
N/A
663
-41%
(70)
N/A
115
N/A
(691)
N/A
(1.021)
-48%
(770)
+25%
(78)
+90%
410
N/A
864
+111%
1.155
+34%
1.112
-4%
1.151
+4%
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