Kurse werden geladen...
Prognose
Das durchschnittliche Kursziel der Analysten beträgt 43,30€(+4,16%). Der Median liegt bei 43,72€(+5,17%).
Kaufen | 35 |
Halten | 16 |
Verkaufen | 1 |
Scoring-Modelle
Dividenden-Strategie | 11 / 15 |
HGI-Strategie | 0 / 18 |
Levermann-Strategie | 2 / 13 |
News
Remplir sales surge: Orthocell CEO interview
Orthocell Ltd CEO and managing director Paul Anderson earlier this week spoke with Proactive after the company reported record revenue for the June 2025 quarter, citing strong uptake of its flagship Remplir nerve repair product. Highlights The company said quarterly revenue reached A$2.73 million, representing a 22.80 percent increase compared to the previous quarter. Orthocell highlighted that this growth reflected continued adoption across Australia, with more than 206 surgeons now using Remplir in over 166 hospitals. Anderson told investors that the commercial launch in Australia has been a “spectacular” success. The company noted that none of the reported revenue was generated in the United States, where it recently completed its first procedure. Orthocell said it has established a distribution network in the US, comprising 14 distributors and more than 100 representatives across 21 states. The company expects this infrastructure will drive further growth as the product is adopted by additional hospitals and surgeons. Anderson stated that preparations over the past two years have positioned the company to scale internationally. He said, “It leaves us in such a strong position,” adding that the lessons learned in Australia will inform the US commercial rollout. Potential catalysts for investors include increased US revenue contributions, further hospital engagements, and broader clinical use of Remplir. Orthocell also expects rising adoption rates in Australia to continue contributing to revenue momentum over the coming financial year. Apple Inc (NASDAQ:AAPL, ETR:APC) continues to show strength in its Services business, with global App Store revenue estimated to have increased by 12% year-over-year in June, according to Bank of America analysts. The firm maintains its ‘Buy’ rating on Apple and $235 price target, pointing to strong capital returns, leadership in on-device AI, and ongoing revenue diversification within the App Store. Bank of America estimates App Store revenues reached $8.4 billion in fiscal Q3 2025, up 11.5% year-over-year, based on developer-level data from SensorTower. Downloads across iPhone and iPad rose 4.3% year-over-year to 8.6 billion in the quarter, with dollars per download increasing to $0.98, a 6.9% improvement. “For the month of June, App Store revenue increased 12% year-over-year globally, outpacing app store download growth of 3% year-over-year,” analysts noted. Despite regulatory scrutiny and the Epic Games ruling, Bank of America analysts say there's no evidence of a material impact to App Store monetization. “We do not observe any indication of adverse impact on app store revenue,” they wrote, even as trends toward off-app payments become more common. The bank believes investor concerns around the ruling’s severity “appear to be moot.” The report also highlights a notable shift in App Store revenue mix, with gaming losing ground to other categories. While games still generate the largest share of revenue, their portion has dropped from over 50% to 45% in fiscal Q3. “Games remain as the leader of the global app store revenue by category list, though their share has declined,” the analysts wrote. Categories such as Photo & Video, Lifestyle, Books, Education, and Utilities each gained 100 basis points year-over-year, while Productivity jumped 200 basis points, the largest gain of any group. “This mix shift, albeit not as meaningful currently, may signal legacy game developers to diversify into non-games or expand existing in-app purchasing options,” Bank of America wrote. “We believe either scenario in the ensuing years could be a long-term tailwind for Apple’s App Store revenue.” Additionally, the top 10 developers globally now account for nearly a quarter of Apple’s year-to-date App Store revenue, according to the firm’s analysis. This group includes both single-app players like ChatGPT, FUNFLY, and Tinder, as well as diversified developers like Tencent, Google, and TikTok, which maintain broad app portfolios spanning entertainment, utilities, and productivity. Impact of US-Vietnam trade deal Meanwhile, proposed tariffs on goods exported from Vietnam into the US will have a minimal impact on Apple, analysts at UBS believe. While Vietnam has become an increasingly important part of the tech giant’s supply chain diversification strategy, the analysts highlighted that the region still accounts for only a small fraction, roughly 5%, of Apple’s global supply chain footprint. “Given the relatively small physical footprint and focus on ancillary products, a 20% tariff on imports into the US will have a negligible impact on Apple margins in our view,” they wrote. They see the financial impact as a “gross margin rounding error.” UBS estimates that approximately 35 Apple suppliers operate around 38 discrete facilities in Vietnam, concentrated in areas like Bac Giang, Bac Ninh, Hai Phong, Phu Tho, and Vinh Phuc. In comparison, mainland China still dominates the supply chain, representing over 35% of Apple’s supplier locations globally. UBS has a ‘Neutral’ rating and $210 price target on Apple, based on about 28 times their calendar year 2026 earnings per share (EPS) estimate, reflecting a higher equity risk premium and interest rates. “We note our financial projections reflect the impact of the proposed tariffs in the June quarter but not beyond given the fluid nature of the discussions,” they wrote. Shares of Apple finished Thursday’s trading session at about $213.» Mehr auf proactiveinvestors.com
Bank Of America, Two Others In Buy Zones After New Highs
Bank of America stock has rallied for 11 out of the last 13 weeks. Nextracker stock has catapulted 81% so far this year.» Mehr auf investors.com
Prediction: 2 Stocks That'll Be Worth More Than Berkshire Hathaway 10 Years From Now
Berkshire Hathaway (BRK.A -1.91%) (BRK.B -1.96%) is the largest company in the stock market not in the technology sector. As of this writing, the conglomerate led by Warren Buffett had a market cap of about $1.05 trillion -- a tremendous accomplishment for a business built on value investing principles and long-term compounding.» Mehr auf fool.com
Historische Dividenden
Alle Dividenden KennzahlenUnternehmenszahlen
(EUR) | März 2025 | |
---|---|---|
Umsatz | 43,43 Mrd | 2,48% |
Bruttoeinkommen | 23,93 Mrd | 5,41% |
Nettoeinkommen | 6,84 Mrd | 10,55% |
EBITDA | 8,02 Mrd | 11,03% |
Fundamentaldaten
Metrik | Wert |
---|---|
Marktkapitalisierung | 312,87 Mrd€ |
Anzahl Aktien | 7,53 Mrd |
52 Wochen-Hoch/Tief | 41,86€ - 28,07€ |
Dividendenrendite | 2,28% |
Dividenden TTM | 0,94€ |
Beta | 1,31 |
KGV (PE Ratio) | 13,49 |
KGWV (PEG Ratio) | 3,13 |
KBV (PB Ratio) | 1,27 |
KUV (PS Ratio) | 1,93 |
Unternehmensprofil
Die Bank of America Corporation bietet über ihre Tochtergesellschaften Bank- und Finanzprodukte und -dienstleistungen für Privatkunden, kleine und mittelständische Unternehmen, institutionelle Anleger, Großunternehmen und Regierungen weltweit an. Das Segment Consumer Banking bietet traditionelle und Geldmarkt-Sparkonten, Einlagenzertifikate und IRAs, zinslose und zinstragende Girokonten sowie Anlagekonten und -produkte, Kredit- und Debitkarten, Wohnbauhypotheken und Eigenheimkredite sowie direkte und indirekte Kredite, wie z. B. Kredite für Autos, Freizeitfahrzeuge und Privatpersonen. Das Segment Global Wealth & Investment Management bietet Produkte und Dienstleistungen in den Bereichen Investment Management, Brokerage, Banking, Trust und Pensionierung sowie Wealth-Management-Lösungen und maßgeschneiderte Lösungen, einschließlich spezieller Vermögensverwaltungsdienste. Das Segment Global Banking bietet Kreditprodukte und -dienstleistungen an, darunter gewerbliche Kredite, Leasing, Zusagen, Handelsfinanzierungen sowie gewerbliche Immobilien- und Asset-Based-Lending; Treasury-Lösungen wie Treasury-Management, Devisenhandel, kurzfristige Anlageoptionen und Handelsdienstleistungen; Working-Capital-Management-Lösungen; sowie die Übernahme und den Vertrieb von Fremd- und Eigenkapital sowie fusionsbezogene und andere Beratungsdienstleistungen. Das Segment Global Markets des Unternehmens bietet Market-Making-, Finanzierungs-, Wertpapierclearing-, Abwicklungs- und Verwahrungsdienstleistungen sowie Risikomanagementprodukte unter Verwendung von Zins-, Aktien-, Kredit-, Währungs- und Rohstoffderivaten, Devisen, festverzinslichen und hypothekenbezogenen Produkten. Zum 31. Dezember 2021 betreute das Unternehmen rund 67 Millionen Privatkunden und kleine Unternehmen mit rund 4.200 Finanzzentren für Privatkunden, rund 16.000 Geldautomaten und digitalen Bankplattformen mit rund 41 Millionen aktiven Nutzern. Das Unternehmen wurde im Jahr 1784 gegründet und hat seinen Sitz in Charlotte, North Carolina.
Name | Bank of America |
CEO | Brian Thomas Moynihan |
Sitz | Charlotte, nc USA |
Website | |
Industrie | Banken |
Börsengang | |
Mitarbeiter | 213.000 |
Ticker Symbole
Börse | Symbol |
---|---|
NYSE | BAC |
XETRA | NCB.DE |
SIX | BAC.SW |
Frankfurt | NCB.F |
Düsseldorf | NCB.DU |
Hamburg | NCB.HM |
Milan | 1BAC.MI |
London | 0Q16.L |
München | NCB.MU |
Wien | BOAC.VI |
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