|
Cours en clôture
Ho Chi Minh S.E.
26/06/2026
|
Varia. 5j.
|
Varia. 1 janv.
|
|
32 100,00 VND
|
-3,02%
|
|
-8,55%
|
+22,52%
|
b7d0ae48bd6303d65b3a.Uyi9V6PIGgbp3LZmLd9o_-n9YS8QhQAIh6-a2GmpML8.BxvFY8iJVEm7lNtWb-4OoLiuD3c98Gk4ys3P9RCRA_lrSuot1Pp_NZDu0Q| Période Fiscale: Décembre |
2015
|
2016
|
2020
|
2021
|
2022
|
2023
|
2024
|
2025
|
|---|
| | | |
26 190 Md
|
25 426 Md
|
22 138 Md
|
26 242 Md
|
29 078 Md
| | | | |
26 190 Md
|
25 426 Md
|
22 138 Md
|
26 242 Md
|
29 078 Md
| | | | |
18 614 Md
|
19 084 Md
|
17 176 Md
|
19 277 Md
|
20 425 Md
| | | | |
7 575 Md
|
6 342 Md
|
4 963 Md
|
6 965 Md
|
8 653 Md
| | | | |
2 189 Md
|
2 354 Md
|
2 456 Md
|
2 879 Md
|
3 687 Md
| | | | |
2 189 Md
|
2 354 Md
|
2 456 Md
|
2 879 Md
|
3 687 Md
| | | | |
5 386 Md
|
3 988 Md
|
2 507 Md
|
4 086 Md
|
4 966 Md
| | | | |
-608 Md
|
-491 Md
|
-478 Md
|
-353 Md
|
-241 Md
| | | | |
707 Md
|
672 Md
|
949 Md
|
791 Md
|
954 Md
| | | | |
99,44 Md
|
182 Md
|
472 Md
|
438 Md
|
713 Md
| | | | |
285 Md
|
204 Md
|
-208 Md
|
162 Md
|
304 Md
| | | | |
-18,01 Md
|
35,22 Md
|
34,88 Md
|
53,07 Md
|
71,47 Md
| | | | |
444 Md
|
1 238 Md
|
602 Md
|
91,15 Md
|
-24,38 Md
| | | | |
6 197 Md
|
5 646 Md
|
3 408 Md
|
4 830 Md
|
6 030 Md
| | | | |
8,4 Md
|
-16,6 Md
|
-25,82 Md
|
5,4 Md
|
3,26 Md
| | | | |
6,96 Md
|
71,88 Md
|
732 Md
|
771 Md
|
1 075 Md
| | | | |
6 213 Md
|
5 702 Md
|
4 114 Md
|
5 606 Md
|
7 108 Md
| | | | |
873 Md
|
948 Md
|
741 Md
|
780 Md
|
1 109 Md
| | | | |
5 340 Md
|
4 753 Md
|
3 373 Md
|
4 827 Md
|
5 999 Md
| | | | |
5 340 Md
|
4 753 Md
|
3 373 Md
|
4 827 Md
|
5 999 Md
| | | | |
-1 182 Md
|
-914 Md
|
-750 Md
|
-838 Md
|
-680 Md
| | | | |
4 158 Md
|
3 839 Md
|
2 623 Md
|
3 989 Md
|
5 319 Md
| | | | |
-
|
610 Md
|
682 Md
|
584 Md
|
318 Md
| | | | |
4 158 Md
|
3 229 Md
|
1 941 Md
|
3 404 Md
|
5 001 Md
| | | | |
4 158 Md
|
3 229 Md
|
1 941 Md
|
3 404 Md
|
5 001 Md
|
Éléments par action
| | | | | | | | |
|---|
| | | |
1,04 k
|
807,27
|
485,2
|
851,12
|
1,25 k
| | | | |
1,04 k
|
807,27
|
485,2
|
851,12
|
1,25 k
| | | | |
4 Md
|
4 Md
|
4 Md
|
4 Md
|
4 Md
| | | | |
1,04 k
|
807,27
|
485,2
|
851,12
|
1,25 k
| | | | |
1,04 k
|
807,27
|
485,2
|
851,12
|
1,25 k
| | | | |
4 Md
|
4 Md
|
4 Md
|
4 Md
|
4 Md
| | | | |
673,18
|
653,63
|
345,08
|
545,2
|
772,12
| | | | |
673,18
|
653,63
|
345,08
|
545,2
|
772,12
| | | | |
-
|
350
|
300
|
400
|
-
| | | | |
2,64
|
3,1
|
3,35
|
2,2
|
38,87
|
Éléments supplémentaires
| | | | | | | | |
|---|
| | | |
7 687 Md
|
6 444 Md
|
4 994 Md
|
6 788 Md
|
8 066 Md
| | | | |
5 390 Md
|
3 993 Md
|
2 512 Md
|
4 090 Md
|
4 969 Md
| | | | |
5 386 Md
|
3 988 Md
|
2 507 Md
|
4 086 Md
|
4 966 Md
| | | | |
7 689 Md
|
6 446 Md
|
4 996 Md
|
6 790 Md
|
8 068 Md
| | | | |
26 190 Md
|
25 426 Md
|
22 138 Md
|
26 242 Md
|
29 078 Md
| | | | |
14,05
|
16,63
|
18,01
|
13,91
|
15,6
| | | | |
993 Md
|
921 Md
|
688 Md
|
943 Md
|
1 052 Md
| | | | |
-120 Md
|
27,13 Md
|
52,96 Md
|
-163 Md
|
56,98 Md
| | | | |
2 692 Md
|
2 615 Md
|
1 380 Md
|
2 181 Md
|
3 088 Md
|
Éléments de dépenses opérationnelles supplémentaires
| | | | | | | | |
|---|
| | | |
507 Md
|
591 Md
|
591 Md
|
554 Md
|
477 Md
| | | | |
1 682 Md
|
1 763 Md
|
1 864 Md
|
2 325 Md
|
3 209 Md
| | | | |
1,95 Md
|
1,84 Md
|
1,83 Md
|
1,82 Md
|
1,31 Md
| | | | |
899 M
|
880 M
|
997 M
|
756 M
|
503 M
| | | | |
1,05 Md
|
960 M
|
829 M
|
1,07 Md
|
805 M
|
| Période Fiscale: Décembre |
2015
|
2016
|
2020
|
2021
|
2022
|
2023
|
2024
|
2025
|
|---|
Actifs
| | | | | | | | |
|---|
| | | |
5 304 Md
|
4 370 Md
|
5 564 Md
|
5 779 Md
|
8 237 Md
| | | | |
10 278 Md
|
11 211 Md
|
11 354 Md
|
13 951 Md
|
14 207 Md
| | | | |
1,1 Md
|
1,1 Md
|
1,1 Md
|
1,1 Md
|
1,1 Md
| | | | |
15 583 Md
|
15 582 Md
|
16 919 Md
|
19 731 Md
|
22 446 Md
| | | | |
1 110 Md
|
1 214 Md
|
1 119 Md
|
1 193 Md
|
1 152 Md
| | | | |
1 335 Md
|
1 277 Md
|
1 191 Md
|
1 180 Md
|
1 459 Md
| | | | |
10,52 Md
|
10,55 Md
|
8,05 Md
|
8,05 Md
|
7,75 Md
| | | | |
2 456 Md
|
2 501 Md
|
2 318 Md
|
2 381 Md
|
2 619 Md
| | | | |
3 591 Md
|
4 171 Md
|
3 475 Md
|
4 430 Md
|
6 745 Md
| | | | |
70,6 Md
|
63,79 Md
|
69,18 Md
|
77,3 Md
|
58,66 Md
| | | | |
1 070 Md
|
1 077 Md
|
1 061 Md
|
1 051 Md
|
1 036 Md
| | | | |
22 769 Md
|
23 396 Md
|
23 842 Md
|
27 670 Md
|
32 905 Md
| | | | |
63 722 Md
|
64 365 Md
|
65 672 Md
|
67 390 Md
|
68 237 Md
| | | | |
-16 554 Md
|
-18 444 Md
|
-20 571 Md
|
-23 105 Md
|
-25 650 Md
| | | | |
47 168 Md
|
45 921 Md
|
45 101 Md
|
44 285 Md
|
42 587 Md
| | | | |
2 760 Md
|
2 823 Md
|
2 957 Md
|
2 688 Md
|
2 643 Md
| | | | |
1,68 Md
|
36,91 Md
|
191 Md
|
168 Md
|
-
| | | | |
121 Md
|
118 Md
|
112 Md
|
119 Md
|
114 Md
| | | | |
-
|
-
|
-
|
-
|
-
| | | | |
373 Md
|
393 Md
|
798 Md
|
788 Md
|
764 Md
| | | | |
285 Md
|
168 Md
|
115 Md
|
246 Md
|
300 Md
| | | | |
5 537 Md
|
5 521 Md
|
4 947 Md
|
7 420 Md
|
6 969 Md
| | | | |
79 014 Md
|
78 377 Md
|
78 062 Md
|
83 384 Md
|
86 282 Md
|
Passifs
| | | | | | | | |
|---|
| | | |
853 Md
|
917 Md
|
931 Md
|
990 Md
|
978 Md
| | | | |
4 040 Md
|
3 595 Md
|
3 565 Md
|
3 708 Md
|
4 535 Md
| | | | |
1 145 Md
|
1 013 Md
|
1 503 Md
|
2 819 Md
|
1 136 Md
| | | | |
1 517 Md
|
1 804 Md
|
1 499 Md
|
1 256 Md
|
311 Md
| | | | |
-
|
-
|
-
|
-
|
355 M
| | | | |
516 Md
|
617 Md
|
289 Md
|
743 Md
|
404 Md
| | | | |
302 Md
|
324 Md
|
342 Md
|
929 Md
|
607 Md
| | | | |
2 495 Md
|
2 098 Md
|
1 524 Md
|
1 148 Md
|
2 970 Md
| | | | |
10 867 Md
|
10 368 Md
|
9 653 Md
|
11 594 Md
|
10 941 Md
| | | | |
6 344 Md
|
4 596 Md
|
3 577 Md
|
2 964 Md
|
1 525 Md
| | | | |
-
|
-
|
-
|
-
|
709 M
| | | | |
8 987 Md
|
9 093 Md
|
8 947 Md
|
9 095 Md
|
9 775 Md
| | | | |
-
|
4,29 Md
|
4,29 Md
|
4,29 Md
|
4,29 Md
| | | | |
877 Md
|
849 Md
|
903 Md
|
1 329 Md
|
1 835 Md
| | | | |
27 074 Md
|
24 911 Md
|
23 085 Md
|
24 987 Md
|
24 081 Md
| | | | |
40 000 Md
|
40 000 Md
|
40 000 Md
|
40 000 Md
|
40 000 Md
| | | | |
153 Md
|
199 Md
|
326 Md
|
326 Md
|
13,71 Md
| | | | |
8 765 Md
|
10 071 Md
|
10 596 Md
|
12 818 Md
|
15 736 Md
| | | | |
-960 M
|
-960 M
|
-960 M
|
-960 M
|
-
| | | | |
-1 028 Md
|
-1 235 Md
|
-1 062 Md
|
-161 Md
|
607 Md
| | | | |
47 889 Md
|
49 033 Md
|
49 859 Md
|
52 982 Md
|
56 357 Md
| | | | |
4 051 Md
|
4 433 Md
|
5 118 Md
|
5 415 Md
|
5 845 Md
| | | | |
51 940 Md
|
53 466 Md
|
54 977 Md
|
58 397 Md
|
62 202 Md
| | | | |
79 014 Md
|
78 377 Md
|
78 062 Md
|
83 384 Md
|
86 282 Md
|
Éléments supplémentaires
| | | | | | | | |
|---|
| | | |
4 Md
|
4 Md
|
4 Md
|
4 Md
|
4 Md
| | | | |
4 Md
|
4 Md
|
4 Md
|
4 Md
|
4 Md
| | | | |
11,96 k
|
12,26 k
|
12,46 k
|
13,25 k
|
14,09 k
| | | | |
47 767 Md
|
48 879 Md
|
49 557 Md
|
52 694 Md
|
56 243 Md
| | | | |
11,93 k
|
12,22 k
|
12,39 k
|
13,17 k
|
14,06 k
| | | | |
9 005 Md
|
7 413 Md
|
6 580 Md
|
7 039 Md
|
2 973 Md
| | | | |
-6 577 Md
|
-8 169 Md
|
-10 340 Md
|
-12 692 Md
|
-19 473 Md
| | | | |
15,6 Md
|
14,72 Md
|
14,61 Md
|
14,59 Md
|
10,47 Md
| | | | |
4 051 Md
|
4 433 Md
|
5 118 Md
|
5 415 Md
|
5 845 Md
| | | | |
2 330 Md
|
2 431 Md
|
2 184 Md
|
2 258 Md
|
1 958 Md
| | | | |
6
|
6
|
6
|
6
|
6
| | | | |
340 Md
|
223 Md
|
452 Md
|
300 Md
|
539 Md
| | | | |
811 Md
|
768 Md
|
715 Md
|
890 Md
|
951 Md
| | | | |
2 133 Md
|
2 985 Md
|
2 009 Md
|
2 958 Md
|
4 978 Md
| | | | |
249 Md
|
240 Md
|
212 Md
|
226 Md
|
229 Md
| | | | |
11 879 Md
|
12 350 Md
|
12 805 Md
|
13 296 Md
|
13 499 Md
| | | | |
37 006 Md
|
39 819 Md
|
41 996 Md
|
44 927 Md
|
47 188 Md
| | | | |
85 k
|
- |
- |
- |
75,9 k
| | | | |
1,25 Md
|
1,87 Md
|
1,87 Md
|
3,1 Md
|
3,1 Md
| | | | |
-339 M
|
-703 M
|
-1,17 Md
|
-2,13 Md
|
-2,28 Md
| | | | |
196 Md
|
236 Md
|
313 Md
|
356 Md
|
394 Md
|
| Période Fiscale: Décembre |
2015
|
2016
|
2020
|
2021
|
2022
|
2023
|
2024
|
2025
|
|---|
| | | |
4 158 Md
|
3 839 Md
|
2 623 Md
|
3 989 Md
|
5 319 Md
| | | | |
2 297 Md
|
2 451 Md
|
2 482 Md
|
2 697 Md
|
3 097 Md
| | | | |
3,87 Md
|
4,63 Md
|
4,93 Md
|
4,75 Md
|
3,42 Md
| | | | |
2 301 Md
|
2 456 Md
|
2 487 Md
|
2 702 Md
|
3 100 Md
| | | | |
3,02 Md
|
2,87 Md
|
1,71 Md
|
1,69 Md
|
2,02 Md
| | | | |
-1 114 Md
|
-1 258 Md
|
-2 944 Md
|
-1 559 Md
|
-2 322 Md
| | | | |
-1 260 Md
|
-2 470 Md
|
700 Md
|
-2 338 Md
|
680 Md
| | | | |
-
|
-
|
-
|
-
|
-
| | | | |
175 Md
|
153 Md
|
200 Md
|
-16,16 Md
|
-735 Md
| | | | |
-1 439 Md
|
-683 Md
|
843 Md
|
-986 Md
|
-2 331 Md
| | | | |
974 Md
|
-666 Md
|
-694 Md
|
1 215 Md
|
3 277 Md
| | | | |
123 Md
|
-30,03 Md
|
32,22 Md
|
-2 575 Md
|
-36,02 Md
| | | | |
3 921 Md
|
1 343 Md
|
3 249 Md
|
434 Md
|
6 954 Md
| | | | |
-865 Md
|
-802 Md
|
-965 Md
|
-596 Md
|
-1 158 Md
| | | | |
246 Md
|
673 Md
|
611 Md
|
352 Md
|
1 489 Md
| | | | |
-437 M
|
-14,4 Md
|
-11,08 Md
|
-10,89 Md
|
3,14 Md
| | | | |
-923 Md
|
-864 Md
|
-1 100 Md
|
-721 Md
|
-505 Md
| | | | |
612 Md
|
469 Md
|
378 Md
|
359 Md
|
1 580 Md
| | | | |
-931 Md
|
-539 Md
|
-1 087 Md
|
-617 Md
|
1 409 Md
| | | | |
3 382 Md
|
4 671 Md
|
4 572 Md
|
6 578 Md
|
3 946 Md
| | | | |
3 382 Md
|
4 671 Md
|
4 572 Md
|
6 578 Md
|
3 946 Md
| | | | |
-6 484 Md
|
-6 264 Md
|
-5 405 Md
|
-6 119 Md
|
-8 025 Md
| | | | |
-6 484 Md
|
-6 264 Md
|
-5 405 Md
|
-6 119 Md
|
-8 025 Md
| | | | |
-
|
-
|
-
|
-
|
62,34 Md
| | | | |
-110 Md
|
-119 Md
|
-87,89 Md
|
-87,9 Md
|
-2 067 Md
| | | | |
-110 Md
|
-119 Md
|
-87,89 Md
|
-87,9 Md
|
-2 067 Md
| | | | |
-3 212 Md
|
-1 712 Md
|
-921 Md
|
371 Md
|
-6 084 Md
| | | | |
-2,38 Md
|
-25,74 Md
|
-46,96 Md
|
27,1 Md
|
180 Md
| | | | |
-225 Md
|
-933 Md
|
1 194 Md
|
215 Md
|
2 459 Md
|
Éléments supplémentaires
| | | | | | | | |
|---|
| | | |
240 Md
|
444 Md
|
458 Md
|
343 Md
|
275 Md
| | | | |
1 180 Md
|
767 Md
|
622 Md
|
796 Md
|
1 231 Md
| | | | |
4 074 Md
|
2 561 Md
|
2 813 Md
|
4 293 Md
|
4 352 Md
| | | | |
4 454 Md
|
2 868 Md
|
3 112 Md
|
4 514 Md
|
4 503 Md
| | | | |
350 Md
|
1 281 Md
|
-21,61 Md
|
147 Md
|
545 Md
| | | | |
-3 102 Md
|
-1 593 Md
|
-833 Md
|
459 Md
|
-4 079 Md
|
| Période Fiscale: Décembre |
2015
|
2016
|
2020
|
2021
|
2022
|
2023
|
2024
|
2025
|
|---|
Rentabilité
| | | | | | | | |
|---|
| | | |
4,23
|
3,17
|
2
|
3,16
|
3,66
| | | | |
5,41
|
4,09
|
2,56
|
4,02
|
4,75
| | | | |
10,33
|
9,02
|
6,22
|
8,51
|
9,95
| | | | |
8,71
|
6,66
|
3,92
|
6,62
|
9,15
|
Analyse des marges
| | | | | | | | |
|---|
| | | |
28,92
|
24,94
|
22,42
|
26,54
|
29,76
| | | | |
8,36
|
9,26
|
11,09
|
10,97
|
12,68
| | | | |
29,35
|
25,34
|
22,56
|
25,87
|
27,74
| | | | |
20,58
|
15,7
|
11,35
|
15,59
|
17,09
| | | | |
20,57
|
15,68
|
11,32
|
15,57
|
17,08
| | | | |
20,39
|
18,69
|
15,24
|
18,39
|
20,63
| | | | |
15,88
|
15,1
|
11,85
|
15,2
|
18,29
| | | | |
15,88
|
12,7
|
8,77
|
12,97
|
17,2
| | | | |
10,28
|
10,28
|
6,23
|
8,31
|
10,62
| | | | |
15,56
|
10,07
|
12,71
|
16,36
|
14,97
| | | | |
17,01
|
11,28
|
14,06
|
17,2
|
15,49
|
Rotation des actifs
| | | | | | | | |
|---|
| | | |
0,33
|
0,32
|
0,28
|
0,33
|
0,34
| | | | |
0,55
|
0,55
|
0,49
|
0,59
|
0,67
| | | | |
24,27
|
21,89
|
18,99
|
22,7
|
24,8
| | | | |
6,38
|
4,92
|
4,48
|
4,88
|
3,66
|
Liquidité à court terme
| | | | | | | | |
|---|
| | | |
2,1
|
2,26
|
2,47
|
2,39
|
3,01
| | | | |
1,66
|
1,74
|
1,99
|
1,91
|
2,29
| | | | |
0,36
|
0,13
|
0,34
|
0,04
|
0,64
| | | | |
15,04
|
16,68
|
19,22
|
16,12
|
14,72
| | | | |
57,18
|
74,23
|
81,41
|
75,04
|
99,85
| | | | |
15,6
|
16,42
|
20,48
|
17,38
|
15,79
| | | | |
56,62
|
74,49
|
80,16
|
73,79
|
98,78
|
Solvabilité à long terme
| | | | | | | | |
|---|
| | | |
17,34
|
13,86
|
11,97
|
12,05
|
4,78
| | | | |
14,78
|
12,18
|
10,69
|
10,76
|
4,56
| | | | |
12,21
|
8,6
|
6,51
|
5,08
|
2,45
| | | | |
10,41
|
7,55
|
5,81
|
4,53
|
2,34
| | | | |
34,26
|
31,78
|
29,57
|
29,97
|
27,91
| | | | |
8,86
|
8,12
|
5,25
|
11,58
|
20,63
| | | | |
12,64
|
13,13
|
10,46
|
19,23
|
33,51
| | | | |
11,22
|
11,49
|
8,44
|
17,54
|
28,7
| | | | |
1,17
|
1,15
|
1,32
|
1,04
|
0,37
| | | | |
-0,86
|
-1,27
|
-2,07
|
-1,87
|
-2,41
| | | | |
1,32
|
1,31
|
1,63
|
1,14
|
0,43
| | | | |
-0,96
|
-1,45
|
-2,57
|
-2,05
|
-2,82
|
Croissance par rapport à l'année précédente
| | | | | | | | |
|---|
| | | |
24,03
|
-2,92
|
-12,91
|
18,54
|
10,81
| | | | |
64,71
|
-16,28
|
-22,33
|
40,34
|
24,23
| | | | |
72,79
|
-16,2
|
-23,17
|
35,88
|
18,81
| | | | |
126,26
|
-25,87
|
-37,84
|
63,16
|
21,63
| | | | |
126,1
|
-25,96
|
-37,96
|
62,97
|
21,54
| | | | |
5,19
|
-10,99
|
-29,79
|
43,1
|
24,28
| | | | |
10,28
|
-7,68
|
-32,43
|
52,06
|
33,34
| | | | |
139,68
|
-2,86
|
-42,03
|
57,28
|
41,62
| | | | |
10,29
|
2,25
|
-39,88
|
74,79
|
39,75
| | | | |
5,79
|
9,37
|
-7,74
|
6,62
|
-3,43
| | | | |
60,16
|
16,18
|
-17,01
|
27,48
|
52,26
| | | | |
-2,65
|
-2,64
|
-1,88
|
-1,81
|
-3,83
| | | | |
-1,57
|
-0,81
|
-0,49
|
6,82
|
3,48
| | | | |
0,63
|
2,33
|
1,31
|
6,33
|
6,73
| | | | |
0,63
|
2,39
|
1,61
|
6,26
|
6,37
| | | | |
-560,16
|
-65,76
|
141,94
|
-86,64
|
1,5 k
| | | | |
0,72
|
-7,3
|
20,28
|
-38,2
|
94,19
| | | | |
- |
-37,14
|
9,81
|
52,6
|
1,38
| | | | |
- |
-35,62
|
8,47
|
45,05
|
-0,24
| | | | |
- |
- |
-14,29
|
33,33
|
- |
Taux de croissance annuel composé sur deux ans
| | | | | | | | |
|---|
| | | |
- |
9,73
|
-8,06
|
1,6
|
14,61
| | | | |
- |
17,43
|
-19,06
|
4,4
|
32,04
| | | | |
- |
20,35
|
-19,41
|
2,19
|
27,07
| | | | |
- |
29,46
|
-31,71
|
0,61
|
40,79
| | | | |
- |
29,39
|
-31,78
|
0,55
|
40,74
| | | | |
- |
-3,23
|
-20,53
|
0,23
|
33,36
| | | | |
- |
0,9
|
-20,57
|
1,37
|
42,39
| | | | |
- |
52,59
|
-28,39
|
-4,3
|
49,25
| | | | |
- |
-7,48
|
-21,61
|
2,7
|
60,23
| | | | |
- |
7,56
|
0,42
|
-0,82
|
1,47
| | | | |
- |
36,41
|
-1,62
|
2,86
|
39,32
| | | | |
- |
-2,65
|
-2,22
|
-1,85
|
-2,83
| | | | |
- |
-1,19
|
-0,6
|
3,1
|
5,13
| | | | |
- |
1,48
|
1,86
|
3,79
|
6,53
| | | | |
- |
1,51
|
2,04
|
3,91
|
6,32
| | | | |
- |
25,53
|
-8,98
|
-43,15
|
46,31
| | | | |
- |
-3,37
|
5,59
|
-13,79
|
9,55
| | | | |
- |
- |
-16,9
|
29,45
|
24,38
| | | | |
- |
- |
-16,41
|
25,43
|
20,29
| | | | |
- |
- |
- |
6,9
|
- |
Taux de croissance annuel composé sur trois ans
| | | | | | | | |
|---|
| | | |
- |
- |
1,59
|
0,07
|
4,58
| | | | |
- |
- |
2,57
|
-2,76
|
10,63
| | | | |
- |
- |
3,93
|
-4,07
|
7,46
| | | | |
- |
- |
1,78
|
-8,76
|
7,14
| | | | |
- |
- |
1,72
|
-8,8
|
7,11
| | | | |
- |
- |
-12,74
|
-3,31
|
7,68
| | | | |
- |
- |
-11,39
|
-1,38
|
11,07
| | | | |
- |
- |
7,12
|
-6,77
|
9,05
| | | | |
- |
- |
-19,87
|
2,53
|
15,71
| | | | |
- |
- |
2,18
|
2,44
|
-1,7
| | | | |
- |
- |
15,73
|
7,25
|
17,23
| | | | |
- |
- |
-2,36
|
-2,08
|
-2,51
| | | | |
- |
- |
-0,93
|
1,81
|
3,22
| | | | |
- |
- |
1,45
|
3,33
|
4,76
| | | | |
- |
- |
1,57
|
3,43
|
4,72
| | | | |
- |
- |
56,22
|
-51,99
|
73,02
| | | | |
- |
- |
3,94
|
-11,68
|
13,01
| | | | |
- |
- |
- |
1,76
|
19,32
| | | | |
- |
- |
- |
0,45
|
16,21
|
Taux de croissance annuel composé sur cinq ans
| | | | | | | | |
|---|
| | | |
11
|
- |
- |
- |
6,61
| | | | |
17,57
|
- |
- |
- |
13,47
| | | | |
20,21
|
- |
- |
- |
12,64
| | | | |
24,06
|
- |
- |
- |
15,84
| | | | |
24,22
|
- |
- |
- |
15,83
| | | | |
13,81
|
- |
- |
- |
3,39
| | | | |
10,81
|
- |
- |
- |
7,12
| | | | |
9,26
|
- |
- |
- |
22,43
| | | | |
0,09
|
- |
- |
- |
5,8
| | | | |
15,35
|
- |
- |
- |
1,89
| | | | |
6,66
|
- |
- |
- |
24,65
| | | | |
-0,31
|
- |
- |
- |
-2,55
| | | | |
2,51
|
- |
- |
- |
1,45
| | | | |
3,15
|
- |
- |
- |
3,45
| | | | |
3,11
|
- |
- |
- |
3,44
| | | | |
-0,09
|
- |
- |
- |
52,18
| | | | |
-24,85
|
- |
- |
- |
6,15
| | | | |
25,09
|
- |
- |
- |
- | | | | |
33,78
|
- |
- |
- |
- |
Sélectionnez votre édition Toutes les informations financières adaptées au niveau national |