MXL MaxLinear, Inc - Common Stock

NASDAQ · Semiconductors · Auf SEC EDGAR ansehen ↗
$62,04
Kurs · Aug 24, 2026
Fundamentaldaten per Jul 23, 2026

Über MaxLinear, Inc - Common Stock Unternehmensübersicht von Wikipedia

MaxLinear, Inc. is an American electronic hardware company. Founded in 2003, it provides highly integrated radio-frequency (RF) analog and mixed-signal semiconductor products for broadband communications applications. It is a New York Stock Exchange-traded company.

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MaxLinear, Inc. is an American electronic hardware company. Founded in 2003, it provides highly integrated radio-frequency (RF) analog and mixed-signal semiconductor products for broadband communications applications. It is a New York Stock Exchange-traded company.

History

Founding and growth

MaxLinear was founded in 2003 in Carlsbad, California by "eight semiconductor industry veterans." Kishore Seendripu was co-founder, and would become chairman, president, and chief executive. Among other companies, in the past Seendripu had worked on the technical staff at Broadcom. Prior to 2009, the majority of the company's revenue was from the sale of its "mobile handset digital television receivers" which contained MaxLinear's digital television RF receiver chips, in Japan. The biggest customers for the product were Panasonic, Murata, and MTC Co. However, in 2009, the company sold more chips for use in digital set top boxes in Europe, automotive navigation displays, and digital TVs. In 2009, the company shipped 75 million chips to companies such as Panasonic and Sony, with 99 percent of its sales in Asia.

In November 2009, MaxLinear announced it intended to go public. At the time of the IPO, MaxLinear’s venture investors included Mission Ventures in San Diego, U.S. Venture Partners, Battery Ventures and UMC Capital. MaxLinear raised around $35 million in venture capital prior to the IPO, spending around half of it. By the end of 2009, the company had $17.9 million in cash. That year, MaxLinear had $51.4 million in revenue and $4.3 million in profit.

IPO

The company held an initial public offering on March 24, 2010 on the New York Stock Exchange (NYSE) under the ticker symbol MXL. Initially the company expected to raise around $43 million with the IPO, with that projection later raised to $90 million after a last-minute increase in share price by the company. According to the San Diego Union-Tribune, "shares soared 34 percent on their debut. MaxLinear collected about $92 million from the offering, with its shares opening at $14 and peaking at $18.70 on the first day of trading." After the debut, MaxLinear said it planned to use the proceeds for "general corporate purposes," and perhaps for acquiring competitor businesses or products.

Post-IPO

By May 2010, the company employed 135 people. In May 2015, MaxLinear acquired Entropic Communications. In April 2016, MaxLinear bought Microsemi's wireless backhaul business, adding about 30 workers to its workforce. In May 2016, MaxLinear announced it would buy Broadcom's "wireless backhaul infrastructure for $80 million in cash." In the Broadcom deal, MaxLinear took on about 120 additional employees. On February 8, 2017, MaxLinear announced the acquisition of Marvell Technology Group's G.hn business, for $21.0 million in cash. On March 29, 2017, MaxLinear Inc. announced it would buy Exar Corporation for about $661.6 million cash. The acquisition of Exar Corp for $687 million was completed in May 2017.

It acquired Intel’s Home Gateway Platform Division (formerly Lantiq) in 2020.

In 2020 the company acquired NanoSemi for its machine learning techniques to improve signal integrity and power efficiency in communication and artificial intelligence systems.

As of 2022, MaxLinear is on the Multimedia over Coax Alliance board of directors as well as Arris, Broadcom, Comcast, Cox Communications, DirecTV, Echostar, Intel, and Verizon.

In May 2022, MaxLinear agreed to buy Silicon Motion, an American-Taiwanese company that develops NAND flash controllers, for $3.8 billion in a cash-and-stock deal. In July 2023, it scrapped the acquisition citing that Silicon Motion had failed to complete some of the acquisition closing conditions and suffered a "material adverse effect".

Locations

MaxLinear is based in Carlsbad, California, and operates in the United States, Austria, China, Israel, India, Japan, Korea, and Spain. A "fabless" company, it uses outside chipmaking facilities, known as foundries or fabs, to manufacture its chips. By 2010, it used "third-party contractors in Asia for manufacturing and assembly," with all its chips made by United Microelectronics Corporation (UMC) at foundries in Taiwan and Singapore.

Products

MaxLinear sells its products to original equipment manufacturers (OEMs), module makers and original design manufacturers (ODMs). The San Diego Union-Tribune writes that "MaxLinear’s product is very small radio-frequency TV tuner chips — half the size of an individual dial button on the keypad of a cell phone." According to Xconomy, "MaxLinear focuses on designing semiconductor chips that enable people to watch TV on devices with a wireless broadband connection." The "tiny chips" are further described as "high-performance radio frequency (RF) systems-on-a-chip for receiving and processing digital TV broadcasts, digital videos, and broadband data downloads," in order to "enable people to watch TV on a handheld wireless device."

San Diego Union-Tribune writes that the company aims to "take over from bulky 'can' tuners in TVs and other electronics. It plans to get its chips into computers, set-top boxes, mobile phones and in-vehicle video systems." Most of its customers were in Europe and Japan as of 2010, where the chips are used in "analog-to-digital set-top boxes." They are also used in televisions, mobile phones, computers, terrestrial digital and cable set-top boxes, car video systems, DOCSIS 3.0 voice and data cable modems, digital televisions, and netbooks. The company designs its analog and mixed-signal circuits in standard CMOS process technology for low-cost manufacturing.

Collaborations

In April 2013, SES S.A. announced the development by Inverto, Abilis and MaxLinear Inc of a prototype Sat-IP LNB (IP-LNB), which was demonstrated at a conference held at SES' headquarters in Luxembourg. The IP-LNB incorporates eight-channel satellite-to-IP bridging technology to deliver eight concurrent channels via IP unicast or multicast to fixed and portable client devices. As of July 2012, the prototype IP-LNB was being developed into a commercial product.

Quelle: Wikipedia (Englisch), CC BY-SA 4.0 · Auf Wikipedia ansehen ↗

Wikidata ↗

MXL Aktien-Snapshot Kurs, Marktkapitalisierung, P/E, EPS, ROE, Schulden/Eigenkapital, 52-Wochen-Spanne

Kurs
$62.03
Marktkapitalisierung
$5.55B
P/E (TTM)
-40.7
EPS (TTM)
$-1.58
Umsatz (TTM)
$468M
Dividendenrendite
ROE
-29.1%
Verschuldungsgrad
0.3
52W-Spanne
$13 – $128

MXL Aktienkurs-Chart Täglich OHLCV mit technischen Indikatoren — Schwenken, Zoom und Ansicht anpassen

10-Jahres-Performance Umsatz-, Nettoergebnis-, Margen- und EPS-Trends

Umsatz & Nettoergebnis $468M
10-point trend, +20.6%
2016-12-31 2025-12-31
EPS $-1.58
10-point trend, -273.6%
2016-12-31 2025-12-31
Freier Cashflow $7M
10-point trend, -93.5%
2016-12-31 2025-12-31
Margen -29.2%
10-point trend, -4.1%
2016-12-31 2025-12-31

Bewertung P/E-, P/S-, P/B-, EV/EBITDA-Verhältnisse — ist die Aktie teuer oder günstig?

Kennzahl
5-Jahres-Trend
MXL
Peer-Median
P/E (TTM)
5-point trend, -107.8%
-40.7
40.3
P/S (TTM) (K/V (TTM))
5-point trend, -50.3%
11.9
9.3
P/B (K/B)
5-point trend, -71.8%
12.3
4.3
EV / EBITDA
5-point trend, -149.5%
-67.6
Price / FCF (Kurs / FCF)
5-point trend, +378.5%
791.0

Rentabilität Brutto-, Betriebs- und Nettomargen; ROE, ROA, ROIC

Kennzahl
5-Jahres-Trend
MXL
Peer-Median
Gross Margin (Bruttogewinnmarge)
5-point trend, +2.3%
56.8%
52.7%
Operating Margin (Betriebsgewinnmarge)
5-point trend, -471.1%
-27.1%
Net Profit Margin (Nettogewinnmarge)
5-point trend, -721.9%
-29.2%
-5.6%
ROA
5-point trend, -506.4%
-16.5%
-3.6%
ROE
5-point trend, -427.7%
-29.1%
-4.5%
ROIC
5-point trend, -397.5%
-21.4%

Finanzielle Gesundheit Verschuldung, Liquidität, Solvenz — Bilanzstärke

Kennzahl
5-Jahres-Trend
MXL
Peer-Median
Debt / Equity (Fremdkapital / Eigenkapital)
5-point trend, -56.3%
0.3
30.5
Current Ratio (Liquiditätsgrad)
5-point trend, -31.3%
1.3
3.9
Quick Ratio
5-point trend, -47.0%
0.6

Wachstum Umsatz-, EPS- und Nettoergebniswachstum: YoY, 3-Jahres-CAGR, 5-Jahres-CAGR

Kennzahl
5-Jahres-Trend
MXL
Peer-Median
Revenue YoY (Umsatz YoY)
5-point trend, -47.6%
29.7%
Revenue CAGR 3Y (Umsatz CAGR 3J)
5-point trend, -47.6%
-25.3%
Revenue CAGR 5Y (Umsatz CAGR 5J)
5-point trend, -47.6%
-0.46%

Kennzahlen pro Aktie EPS, Buchwert pro Aktie, Cashflow pro Aktie, Dividende pro Aktie

Kennzahl
5-Jahres-Trend
MXL
Peer-Median
EPS (Diluted) (EPS (Verwässert))
5-point trend, -398.1%
$-1.58

Kapitaleffizienz Umsatz pro Vermögenswert, Lagerumschlag, Forderungsumschlag

Kennzahl
5-Jahres-Trend
MXL
Peer-Median

MXL Analysten-Konsens Bullische und bärische Analystenmeinungen, 12-Monats-Kursziel, Aufwärtspotenzial

KAUF 14 Analysten
  • Starker Kauf 2 14,3%
  • Kauf 8 57,1%
  • Halten 4 28,6%
  • Verkauf 0 0,0%
  • Starker Verkauf 0 0,0%

12-Monats-Kursziel

11 Analysten · 2026-08-24
Median-Ziel $100.00 +61,2%
Mittelwert-Ziel $94.55 +52,4%

Ergebnisverlauf EPS Ist vs. Schätzung, Überraschung %, Beat-Rate, nächstes Ergebnisdatum

Durchschn. Überraschung
0.01%
Zeitraum EPS Actual EPS est. Überraschung
30. Juni 2026 $0.35 $0.33 0.02%
31. März 2026 $0.22 $0.18 0.04%
31. Dezember 2025 $0.19 $0.18 0.01%
30. September 2025 $0.14 $0.12 0.02%
30. Juni 2025 $0.02 $0.02 0.00%
31. März 2025 $-0.05 $-0.05 -0.00%

Peer-Vergleich (GICS-Subbranche) Wichtige Kennzahlen im Vergleich zu Branchenkollegen

Ticker Marktkapitalisierung P/E Umsatz Vj. Nettomarge ROE Bruttogewinnmarge
MXL $1.51B -11.0 29.7% -29.2% -29.1% 56.8%
SWKS 25.0 -2.2%
RMBS $9.90B 43.5 27.1% 32.6% 17.8% 79.6%
QRVO $6.79B 21.4 -1.1% 9.2% 9.9% 45.9%
SLAB $4.35B -66.6 34.3% -8.3% -6.0% 58.2%
ALGM $5.58B -376.5 22.8% -1.7% -1.6% 46.3%
CRUS $7.25B 18.3 5.3% 20.8% 19.9% 52.8%
RGTI
PI $5.26B -470.3 -1.4% -3.0% -5.5% 52.5%
DIOD $2.26B 34.5 13.0% 4.5% 3.6% 31.2%
OLED $5.52B 23.0 0.45% 37.2% 13.9% 76.3%

Vollständige Fundamentaldaten Alle Kennzahlen nach Jahr — Gewinn- und Verlustrechnung, Bilanz, Cashflow

Gewinn- und Verlustrechnung 17
Jährliche Gewinn- und Verlustrechnung-Daten für MXL
Kennzahl Trend 202520242023202220212020201920182017201620152014
Revenue 12-point trend, +251.3% $468M $361M $693M $1.12B $892M $479M $317M $385M $420M $388M $300M $133M
Cost of Revenue 12-point trend, +294.5% $202M $166M $308M $470M $397M $266M $149M $176M $212M $158M $145M $51M
Gross Profit 12-point trend, +224.3% $266M $195M $386M $650M $496M $213M $168M $209M $208M $230M $155M $82M
SG&A Expense 12-point trend, +366.7% $160M $138M $132M $168M $150M $130M $89M $102M $106M $64M $78M $34M
Operating Expenses 12-point trend, +332.4% $393M $418M $424M $470M $431M $314M $190M $228M $230M $167M $199M $91M
Operating Income 12-point trend, -1332.5% $-127M $-223M $-38M $180M $65M $-101M $-22M $-19M $-22M $63M $-44M $-9M
Interest Expense 10-point trend, +71246.7% · · $11M $10M $13M $13M $11M $14M $10M $104.0K $100.0K $15.0K
Interest Income 12-point trend, +1334.3% $3M $6M $6M $245.0K $78.0K $409.0K $775.0K $78.0K $274.0K $572.0K $275.0K $236.0K
Other Non-op 12-point trend, -5861.8% $-7M $-11M $-21M $3M $764.0K $-1M $-69.0K $422.0K $-2M $163.0K $568.0K $-123.0K
Pretax Income 12-point trend, -1511.1% $-141M $-239M $-64M $174M $48M $-115M $-32M $-33M $-34M $64M $-43M $-9M
Income Tax 12-point trend, -147.2% $-4M $6M $9M $49M $6M $-16M $-13M $-7M $-25M $2M $-575.0K $-2M
Net Income 12-point trend, -1841.2% $-137M $-245M $-73M $125M $42M $-99M $-20M $-26M $-9M $61M $-42M $-7M
EPS (Basic) 12-point trend, -731.6% $-1.58 $-2.93 $-0.91 $1.60 $0.55 $-1.35 $-0.28 $-0.38 $-0.14 $0.96 $-0.79 $-0.19
EPS (Diluted) 12-point trend, -731.6% $-1.58 $-2.93 $-0.91 $1.55 $0.53 $-1.35 $-0.28 $-0.38 $-0.14 $0.91 $-0.79 $-0.19
Shares (Basic) 12-point trend, +137.4% 86,588,000 83,600,000 80,719,000 78,039,000 76,037,000 73,133,000 71,005,000 68,490,000 66,252,000 63,781,000 53,378,000 36,472,000
Shares (Diluted) 12-point trend, +137.4% 86,588,000 83,600,000 80,719,000 80,852,000 79,679,000 73,133,000 71,005,000 68,490,000 66,252,000 67,653,000 53,378,000 36,472,000
EBITDA 10-point trend, -192.4% $-83M $-169M $33M $261M $157M $-25M $44M $60M $45M $90M · ·
Bilanz 28
Jährliche Bilanz-Daten für MXL
Kennzahl Trend 202520242023202220212020201920182017201620152014
Cash & Equivalents 12-point trend, +251.8% $73M $119M $187M $187M $131M $149M $93M $73M $72M $81M $68M $21M
Short-term Investments 7-point trend, -100.0% · · $0 $19M $0 · · · $0 $48M $43M $48M
Receivables 12-point trend, +149.0% $46M $85M $171M $171M $120M $67M $50M $59M $66M $50M $42M $19M
Inventory 12-point trend, +619.3% $78M $90M $100M $161M $132M $98M $32M $42M $53M $27M $32M $11M
Prepaid Expense 12-point trend, +1966.9% $50M $28M $29M $25M $22M $47M $7M $10M $8M $6M $4M $2M
Other Current Assets 3-point trend, +186.2% · · · · $10M $7M $3M · · · · ·
Current Assets 12-point trend, +146.6% $249M $323M $488M $563M $404M $362M $182M $185M $201M $213M $190M $101M
PP&E (Net) 12-point trend, +292.8% $49M $59M $66M $79M $61M $39M $17M $18M $23M $21M $22M $12M
PP&E (Gross) 12-point trend, +645.4% $207M $196M $183M $181M $145M $109M $76M $72M $67M $53M $47M $28M
Accum. Depreciation 12-point trend, +932.3% $158M $136M $116M $102M $84M $70M $59M $54M $44M $33M $25M $15M
Goodwill 12-point trend, +26426.9% $319M $319M $319M $307M $307M $303M $238M $238M $238M $76M $50M $1M
Intangibles 12-point trend, +370.7% $49M $55M $74M $109M $153M $207M $188M $245M $315M $104M $51M $10M
Other Non-current Assets 12-point trend, +2091.2% $11M $21M $33M $27M $9M $2M $3M $5M $7M $2M $2M $513.0K
Total Assets 12-point trend, +486.8% $796M $865M $1.08B $1.18B $1.05B $1.02B $706M $744M $825M $423M $335M $136M
Accounts Payable 12-point trend, +404.9% $38M $31M $22M $69M $53M $33M $13M $16M $17M $7M $6M $8M
Accrued Liabilities 12-point trend, +1204.8% $72M $87M $98M $100M $57M $106M $31M $28M $20M $16M $15M $6M
Current Liabilities 12-point trend, +459.5% $186M $182M $222M $341M $207M $234M $67M $75M $76M $55M $56M $33M
Capital Leases 8-point trend, +200.5% $12M $17M $26M $23M $25M $21M $9M $4M · · · ·
Other Non-current Liabilities 12-point trend, +1801.3% $23M $26M $23M $17M $23M $13M $8M $8M $9M $6M $4M $1M
Total Liabilities 11-point trend, +381.3% $345M $348M $394M $504M $561M $631M $291M $344M $437M $70M $72M ·
Long-term Debt 3-point trend, -40.3% $124M · · · · $370M $207M · · · · ·
Total Debt 9-point trend, -64.4% $124M $123M $122M $122M $306M $364M $207M $256M $348M · · ·
Common Stock 12-point trend, +9000.00 $9.0K $8.0K $8.0K $8.0K $8.0K $7.0K $7.0K $7.0K $7.0K $0 $0 $0
Retained Earnings 12-point trend, -535.1% $-500M $-364M $-119M $-45M $-170M $-212M $-114M $-94M $-69M $-60M $-121M $-79M
AOCI 12-point trend, +4220.0% $1M $-7M $-4M $-1M $2M $1M $-887.0K $272.0K $1M $-2M $-822.0K $-25.0K
Stockholders' Equity 12-point trend, +356.0% $452M $516M $686M $676M $489M $391M $415M $400M $387M $352M $263M $99M
Liabilities + Equity 12-point trend, +486.8% $796M $865M $1.08B $1.18B $1.05B $1.02B $706M $744M $825M $423M $335M $136M
Shares Outstanding 12-point trend, +86451000.00 86,451,000 84,613,000 81,818,000 78,745,000 76,778,000 74,536,000 71,931,000 69,551,000 67,400,000 0 0 0
Cashflow 17
Jährliche Cashflow-Daten für MXL
Kennzahl Trend 202520242023202220212020201920182017201620152014
D&A 12-point trend, +761.4% $44M $54M $72M $81M $92M $77M $66M $79M $67M $27M $41M $5M
Stock-based Comp 12-point trend, +413.9% $77M $66M $55M $82M $59M $48M $32M $32M $33M $22M $19M $15M
Deferred Tax 12-point trend, -276.9% $-9M $833.0K $-4M $23M $-2M $-19M $-16M $-12M $-32M $101.0K $-2M $-2M
Amort. of Intangibles 12-point trend, +3228.2% $13M $23M $39M $52M $67M $61M $57M $68M $55M $16M $30M $400.0K
Restructuring 12-point trend, +24525000.00 $25M $53M $20M $2M $2M $4M $3M $4M $10M $3M $14M $0
Other Non-cash 10-point trend, +487.2% $44M $79M $-6M $78M $-23M $67M $15M $30M $17M $7M · ·
Operating Cash Flow 12-point trend, +60.4% $20M $-45M $43M $389M $168M $74M $78M $103M $75M $117M $55M $12M
CapEx 12-point trend, +43.2% $13M $18M $13M $41M $39M $12M $7M $8M $7M $9M $3M $9M
Investing Cash Flow 12-point trend, -13.3% $-20M $-23M $-16M $-92M $-92M $-175M $-7M $-8M $-432M $-101M $-11M $-17M
Stock Issued 12-point trend, +7.7% $4M $4M $5M $5M $9M $8M $9M $7M $12M $7M $10M $3M
Stock Repurchased 12-point trend, +20000000.00 $20M $0 $0 $32M $24M $0 $0 $0 $334.0K $3.0K $101.0K $0
Net Stock Activity 10-point trend, -347.4% $-16M $4M $5M $-27M $-15M $5M $9M $7M $12M $7M · ·
Financing Cash Flow 12-point trend, -3587.5% $-19M $1M $-26M $-240M $-92M $160M $-53M $-94M $347M $-670.0K $4M $-506.0K
Net Change in Cash 12-point trend, -216.1% $-18M $-69M $-1.0K $57M $-18M $57M $19M $-221.0K $-8M $15M $47M $-6M
Taxes Paid $6M · · · · · · · · · · ·
Free Cash Flow 10-point trend, -93.5% $7M $-63M $30M $347M $129M $61M $71M $95M $68M $109M · ·
Levered FCF 7-point trend, -72.8% · · $18M $340M $118M $50M $65M $83M $65M · · ·
Rentabilität 8
Jährliche Rentabilität-Daten für MXL
Kennzahl Trend 202520242023202220212020201920182017201620152014
Gross Margin 10-point trend, -4.1% 56.8% 54.0% 55.6% 58.0% 55.6% 44.5% 52.9% 54.2% 49.5% 59.3% · ·
Operating Margin 10-point trend, -266.9% -27.1% -62.0% -5.5% 16.1% 7.3% -21.1% -7.0% -5.0% -5.2% 16.3% · ·
Net Margin 10-point trend, -285.0% -29.2% -68.0% -10.5% 11.2% 4.7% -20.6% -6.3% -6.8% -2.2% 15.8% · ·
Pretax Margin 10-point trend, -283.5% -30.1% -66.2% -9.2% 15.6% 5.4% -24.0% -10.2% -8.5% -8.1% 16.4% · ·
EBITDA Margin 10-point trend, -176.6% -17.7% -46.9% 4.8% 23.3% 17.6% -5.1% 14.0% 15.6% 10.7% 23.1% · ·
ROA 10-point trend, -201.7% -16.5% -25.2% -6.5% 11.2% 4.0% -11.4% -2.8% -3.4% -1.5% 16.2% · ·
ROE 10-point trend, -245.9% -29.1% -45.7% -10.5% 19.4% 8.9% -25.0% -4.8% -6.6% -2.5% 19.9% · ·
ROIC 10-point trend, -224.2% -21.4% -35.9% -5.4% 16.2% 7.2% -11.5% -2.2% -2.3% -0.80% 17.2% · ·
Liquidität & Solvenz 5
Jährliche Liquidität & Solvenz-Daten für MXL
Kennzahl Trend 202520242023202220212020201920182017201620152014
Current Ratio 10-point trend, -65.9% 1.3 1.8 2.2 1.7 1.9 1.5 2.7 2.6 2.6 3.9 · ·
Quick Ratio 10-point trend, -80.8% 0.6 1.1 1.6 1.1 1.2 0.9 2.2 1.9 1.8 3.3 · ·
Debt / Equity 9-point trend, -69.5% 0.3 0.2 0.2 0.2 0.6 0.9 0.5 0.6 0.9 · · ·
LT Debt / Equity 9-point trend, -69.5% 0.3 0.2 0.2 0.2 0.6 0.9 0.5 0.6 0.9 · · ·
Interest Coverage 7-point trend, -71.0% · · -3.6 18.5 5.0 -7.8 -2.0 -1.3 -2.1 · · ·
Effizienz 3
Jährliche Effizienz-Daten für MXL
Kennzahl Trend 202520242023202220212020201920182017201620152014
Asset Turnover 10-point trend, -45.0% 0.6 0.4 0.6 1.0 0.9 0.6 0.4 0.5 0.7 1.0 · ·
Inventory Turnover 10-point trend, -55.2% 2.4 1.7 2.4 3.2 3.5 4.1 4.1 3.7 5.3 5.3 · ·
Receivables Turnover 10-point trend, -14.9% 7.1 2.8 4.1 7.7 9.5 8.1 5.8 6.1 7.2 8.4 · ·
Pro Aktie 5
Jährliche Pro Aktie-Daten für MXL
Kennzahl Trend 202520242023202220212020201920182017201620152014
Book Value / Share 9-point trend, -9.1% $5.23 $6.10 $8.39 $8.59 $6.37 $5.25 $5.77 $5.75 $5.75 · · ·
Revenue / Share 10-point trend, -5.8% $5.40 $4.31 $8.59 $13.86 $11.20 $6.54 $4.47 $5.62 $6.34 $5.73 · ·
Cash Flow / Share 10-point trend, -86.9% $0.23 $-0.54 $0.54 $4.81 $2.11 $1.01 $1.10 $1.50 $1.13 $1.73 · ·
Cash / Share 9-point trend, -21.0% $0.84 $1.40 $2.29 $2.38 $1.70 $2.00 $1.29 $1.05 $1.07 · · ·
EPS (TTM) 12-point trend, -731.6% $-1.58 $-2.93 $-0.91 $1.55 $0.53 $-1.35 $-0.28 $-0.38 $-0.14 $0.91 $-0.79 $-0.19
Wachstumsraten 5
Jährliche Wachstumsraten-Daten für MXL
Kennzahl Trend 202520242023202220212020201920182017201620152014
Revenue YoY 5-point trend, -65.6% 29.7% -48.0% -38.1% 25.5% 86.5% · · · · · · ·
Revenue CAGR 3Y 3-point trend, -292.1% -25.3% -26.1% 13.2% · · · · · · · · ·
Revenue CAGR 5Y -0.46% · · · · · · · · · · ·
EPS YoY · · · 192.5% · · · · · · · ·
Net Income YoY · · · 197.9% · · · · · · · ·
Bewertung (TTM) 14
Jährliche Bewertung (TTM)-Daten für MXL
Kennzahl Trend 202520242023202220212020201920182017201620152014
Revenue TTM 12-point trend, +251.3% $468M $361M $693M $1.12B $892M $479M $317M $385M $420M $388M $300M $133M
Net Income TTM 12-point trend, -1841.2% $-137M $-245M $-73M $125M $42M $-99M $-20M $-26M $-9M $61M $-42M $-7M
Market Cap 10-point trend, +1506840930.00 $1.51B $1.67B $1.94B $2.67B $5.79B $2.85B $1.53B $1.22B $1.78B $0 · ·
Enterprise Value 9-point trend, -24.3% $1.56B $1.68B $1.88B $2.59B $5.96B $3.06B $1.64B $1.41B $2.06B · · ·
P/E 12-point trend, +71.7% -11.0 -6.8 -26.1 21.9 142.2 -28.3 -75.8 -46.3 -188.7 24.0 -18.6 -39.0
P/S 10-point trend, +3.22 3.2 4.6 2.8 2.4 6.5 5.9 4.8 3.2 4.2 0.0 · ·
P/B 9-point trend, -27.5% 3.3 3.2 2.8 4.0 11.8 7.3 3.7 3.1 4.6 · · ·
P / Tangible Book 5-point trend, -90.8% 17.9 11.7 6.6 10.3 193.0 · · · · · · ·
P / Cash Flow 10-point trend, +76.81 76.8 -36.9 44.8 6.9 34.4 38.7 19.5 11.9 23.7 0.0 · ·
P / FCF 10-point trend, +214.62 214.6 -26.6 65.0 7.7 44.9 46.6 21.4 12.9 26.3 0.0 · ·
EV / EBITDA 9-point trend, -141.2% -18.8 -9.9 56.5 9.9 38.0 -124.3 37.0 23.5 45.6 · · ·
EV / FCF 9-point trend, +629.2% 221.9 -26.6 62.8 7.5 46.2 50.1 23.0 14.8 30.4 · · ·
EV / Revenue 9-point trend, -31.9% 3.3 4.7 2.7 2.3 6.7 6.4 5.2 3.7 4.9 · · ·
Earnings Yield 12-point trend, -253.9% -9.1% -14.8% -3.8% 4.6% 0.70% -3.5% -1.3% -2.2% -0.53% 4.2% -5.4% -2.6%

Finanzberichte Gewinn- und Verlustrechnung, Bilanz, Cashflow — jährlich, letzte 5 Jahre

Gewinn- und Verlustrechnung
2025-12-312024-12-312023-12-312022-12-312021-12-31
Umsatz $468M$361M$693M$1.12B$892M
Bruttogewinnmarge % 56.8%54.0%55.6%58.0%55.6%
Betriebsgewinnmarge % -27.1%-62.0%-5.5%16.1%7.3%
Nettoergebnis $-137M$-245M$-73M$125M$42M
Verwässerte EPS $-1.58$-2.93$-0.91$1.55$0.53
Bilanz
2025-12-312024-12-312023-12-312022-12-312021-12-31
Fremdkapital / Eigenkapital 0.30.20.20.20.6
Liquiditätsgrad 1.31.82.21.71.9
Quick Ratio 0.61.11.61.11.2
Cashflow
2025-12-312024-12-312023-12-312022-12-312021-12-31
Freier Cashflow $7M$-63M$30M$347M$129M

Neueste Nachrichten Aktuelle Schlagzeilen über dieses Unternehmen

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Institutionelle Eigentümer (13F) 468 Einreicher · $6.1B gesamt · Stand 30. Juni 2026

Institutionen, die diese Aktie in ihrer vierteljährlichen SEC-Formular 13F melden. Nur Long-Positionen; ein einzelner Einreicher kann für separate Optionsscheine zweimal erscheinen. Große gegenläufige Put/Call-Positionen spiegeln typischerweise Market-Making oder abgesicherte Bestände wider, nicht die gerichtete Überzeugung.

Institutionelle Aktivität — Q2 2026 vs. Vorquartal
Neue Positionen Geschlossene Positionen Erhöht Abgenommen Nettoveränderung der Aktien
242 (+204 vs. Vorquartal) 29 (-1 vs. Vorquartal) 85 (+7 vs. Vorquartal) 103 (+22 vs. Vorquartal) +1.6M

Verglichen mit Q1 2026. SEC-Formular 13F-Einreichungen sind innerhalb von 45 Tagen nach Quartalsende fällig, zuzüglich einer kurzen Pufferzeit für verspätete Einreicher — Quartale, die noch in diesem Fenster liegen, werden zugunsten des letzten vollständig berichteten Paares übersprungen.

Institution Wert Aktien % der verfolgten 13F Typ
VANGUARD PORTFOLIO MANAGEMENT LLC $886.406.487 6.923.428 14,62% Aktien
STATE STREET CORP $553.790.052 4.325.471 9,14% Aktien
VANGUARD CAPITAL MANAGEMENT LLC $489.446.143 3.822.902 8,07% Aktien
GEODE CAPITAL MANAGEMENT, LLC $244.721.383 1.911.047 4,04% Aktien
D. E. Shaw & Co., Inc. $238.308.769 1.861.351 3,93% Aktien
FMR LLC $207.292.861 1.619.096 3,42% Aktien
MANUFACTURERS LIFE INSURANCE COMPANY, THE $165.221.353 1.290.485 2,73% Aktien
FULLER & THALER ASSET MANAGEMENT, INC. $164.202.712 1.282.533 2,71% Aktien
JANE STREET GROUP, LLC $139.219.182 1.087.395 2,30% Aktien
CHARLES SCHWAB INVESTMENT MANAGEMENT INC $136.761.262 1.068.197 2,26% Aktien
SUSQUEHANNA INTERNATIONAL GROUP, LLP $130.193.707 1.016.900 2,15% Kaufoption
Capital Research Global Investors $106.277.191 830.096 1,75% Aktien
JANE STREET GROUP, LLC $82.694.577 645.900 1,36% Kaufoption
VANGUARD FIDUCIARY TRUST CO $77.544.954 605.678 1,28% Aktien
SUSQUEHANNA INTERNATIONAL GROUP, LLP $77.202.090 603.000 1,27% Verkaufsoption
HighTower Advisors, LLC $73.414.963 573.420 1,21% Aktien
MILLENNIUM MANAGEMENT LLC $73.360.038 572.991 1,21% Aktien
Connor, Clark & Lunn Investment Management Ltd. $72.009.833 562.445 1,19% Aktien
Point72 Asset Management, L.P. $67.058.657 523.773 1,11% Aktien
DIMENSIONAL FUND ADVISORS LP $66.718.738 521.118 1,10% Aktien
PANAGORA ASSET MANAGEMENT INC $63.134.794 493.125 1,04% Aktien
FIRST TRUST ADVISORS LP $60.706.064 474.155 1,00% Aktien
TWO SIGMA INVESTMENTS, LP $60.235.298 470.478 0,99% Aktien
JANE STREET GROUP, LLC $59.482.738 464.600 0,98% Verkaufsoption
Defiance ETFs, LLC $57.434.774 511.031 0,95% Aktien
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP $56.079.701 438.020 0,93% Aktien
RENAISSANCE TECHNOLOGIES LLC $55.886.759 436.513 0,92% Aktien
TUDOR INVESTMENT CORP ET AL $43.756.045 341.764 0,72% Aktien
CITADEL ADVISORS LLC $42.403.536 331.200 0,70% Kaufoption
Allianz Asset Management GmbH $41.958.248 327.722 0,69% Aktien
OBERWEIS ASSET MANAGEMENT INC/ $40.905.585 319.500 0,67% Aktien
SORA INVESTORS LLC $40.869.353 319.217 0,67% Aktien
Public Sector Pension Investment Board $39.828.597 311.088 0,66% Aktien
CITADEL ADVISORS LLC $39.458.846 308.200 0,65% Verkaufsoption
GOLDMAN SACHS GROUP INC $38.442.416 300.261 0,63% Aktien
EMERALD ADVISERS, LLC $35.893.211 280.350 0,59% Aktien
Walleye Trading LLC $34.376.055 268.500 0,57% Kaufoption
Bank of New York Mellon Corp $34.280.417 267.753 0,57% Aktien
MORGAN STANLEY $29.416.904 229.765 0,49% Aktien
RHUMBLINE ADVISERS $28.330.710 221.282 0,47% Aktien
Assenagon Asset Management S.A. $28.328.686 221.266 0,47% Aktien
AIGH Capital Management LLC $25.705.607 200.778 0,42% Aktien
ALGERT GLOBAL LLC $25.564.262 199.674 0,42% Aktien
Clearbridge Investments, LLC $25.359.133 198.072 0,42% Aktien
Nuveen, LLC $25.330.992 197.852 0,42% Aktien
PRUDENTIAL FINANCIAL INC $24.369.614 190.343 0,40% Aktien
NEUBERGER BERMAN GROUP LLC $23.559.184 184.013 0,39% Aktien
EMERALD MUTUAL FUND ADVISERS TRUST $23.390.441 182.695 0,39% Aktien
Swiss National Bank $21.851.264 170.673 0,36% Aktien
PRIMECAP MANAGEMENT CO/CA/ $21.045.571 164.380 0,35% Aktien
BNP PARIBAS FINANCIAL MARKETS $20.766.978 162.204 0,34% Aktien
AMERIPRISE FINANCIAL INC $20.229.124 158.003 0,33% Aktien
PEAK6 LLC $19.050.864 148.800 0,31% Kaufoption
Artisan Partners Limited Partnership $18.364.751 143.441 0,30% Aktien
RAYMOND JAMES FINANCIAL INC $18.033.282 140.852 0,30% Aktien
1492 Capital Management LLC $17.434.357 136.174 0,29% Aktien
Hodges Capital Management Inc. $17.110.569 133.645 0,28% Aktien
Walleye Trading LLC $16.976.778 132.600 0,28% Verkaufsoption
Legal & General Group Plc $16.538.019 129.173 0,27% Aktien
VICTORY CAPITAL MANAGEMENT INC $15.566.527 121.585 0,26% Aktien
BlackRock, Inc. $15.534.776 121.337 0,26% Aktien
UNICOM Systems, Inc. $14.710.647 114.900 0,24% Aktien
SILVERCREST ASSET MANAGEMENT GROUP LLC $13.963.848 109.067 0,23% Aktien
Ratan Capital Management LP $13.773.595 107.581 0,23% Aktien
GROUP ONE TRADING LLC $13.362.363 104.369 0,22% Aktien
Hillsdale Investment Management Inc. $12.504.691 97.670 0,21% Aktien
NEW YORK STATE COMMON RETIREMENT FUND $12.093.586 94.459 0,20% Aktien
NEXT CENTURY GROWTH INVESTORS LLC $11.983.351 93.598 0,20% Aktien
BANK OF AMERICA CORP /DE/ $10.466.068 81.747 0,17% Aktien
Life Cycle Investment Partners Ltd $10.446.096 81.591 0,17% Aktien
Point72 Asset Management, L.P. $10.332.021 80.700 0,17% Kaufoption
VANGUARD ASSET MANAGEMENT, Ltd $10.265.829 80.183 0,17% Aktien
CASTLEARK MANAGEMENT LLC $10.214.233 79.780 0,17% Aktien
O'Neil Global Advisors, Inc. $10.207.704 79.729 0,17% Aktien
Cubist Systematic Strategies, LLC $9.499.614 590.772 0,16% Aktien
BERKSHIRE CAPITAL HOLDINGS INC $9.406.364 73.470 0,16% Aktien
SIH Partners, LLLP $9.357.969 73.092 0,15% Aktien
VOYA INVESTMENT MANAGEMENT LLC $9.194.218 71.813 0,15% Aktien
Steward Partners Investment Advisory, LLC $8.521.438 66.558 0,14% Aktien
WCM INVESTMENT MANAGEMENT, LLC $8.464.023 78.031 0,14% Aktien
Balyasny Asset Management L.P. $8.437.817 65.905 0,14% Aktien
INTECH INVESTMENT MANAGEMENT LLC $8.200.706 64.053 0,14% Aktien
Quadrature Capital Ltd $7.919.680 61.858 0,13% Aktien
OSAIC HOLDINGS, INC. $7.232.497 56.492 0,12% Aktien
Nicholas Investment Partners, LP $7.164.687 55.961 0,12% Aktien
Illinois Municipal Retirement Fund $7.101.952 55.471 0,12% Aktien
TWO SIGMA ADVISERS, LP $6.995.513 401.349 0,12% Aktien
DEUTSCHE BANK AG\ $6.771.507 52.890 0,11% Aktien
Robeco Institutional Asset Management B.V. $6.615.311 51.670 0,11% Aktien
CITIGROUP INC $6.590.600 51.477 0,11% Aktien
MetLife Investment Management, LLC $6.452.072 50.395 0,11% Aktien
LPL Financial LLC $6.157.731 48.096 0,10% Aktien
ZACKS INVESTMENT MANAGEMENT $5.852.843 45.714 0,10% Aktien
Moody Aldrich Partners LLC $5.845.978 45.661 0,10% Aktien
FIFTH THIRD BANCORP $5.586.244 43.633 0,09% Aktien
Russell Investments Group, Ltd. $5.410.931 42.263 0,09% Aktien
SYSTEMATIC FINANCIAL MANAGEMENT LP $5.353.062 41.811 0,09% Aktien
Quantinno Capital Management LP $5.303.899 41.427 0,09% Aktien
IMC-Chicago, LLC $5.146.294 40.196 0,08% Aktien
Emerald Investment Advisers, LLC $5.126.321 40.040 0,08% Aktien

Unternehmensinsider 36 Insider · 10 Führungskräfte · 8 Direktoren

Insider Rolle Letzte Aktivität Gehaltene Aktien Käufe 12m Verkäufe 12m Netto 12m
Kishore Seendripu Chairman, President and CEO 17. August 2026 S 0 0 16 $-50.436.839
Adam C. Spice VP, Chief Financial Officer 21. Mai 2018 M 354.638 0 0 $0
Dana Mccarty Vice President, Global Sales 22. Mai 2017 M 17.882 0 0 $0
Justin Scarpulla VP, Corporate Controller 20. November 2014 M 19.725 0 0 $0
Brian Sprague VP & GM, Broadband & Consumer 20. November 2014 M 109.588 0 0 $0
Michael Kastner Vice President, Sales 21. Mai 2012 M 2.547 0 0 $0
Kimihiko Imura VP, Semiconductor Tech & Ops 6. Mai 2011 A 0 0 0 $0
Patrick E Mccready CAO and Controller 6. Mai 2011 A 0 0 $0
John Malcolm Graham Vice President, Marketing 10. Januar 2011 C 0 0 0 $0
Joe D. Campa VP, Finance and Treasurer 29. März 2010 J 0 0 0 $0
Kris Sennesael Direktor 20. Mai 2026 A 2.052 0 0 $0
Daniel A Artusi Direktor 20. Mai 2026 A 17.382 0 3 $-1.288.719
MOYER ALBERT J Direktor 20. Mai 2026 M 113.129 0 1 $-1.227.798
Steven Craddock Direktor 25. Mai 2018 A 53.752 0 0 $0
Hk Desai Direktor 20. Mai 2014 A 49.122 0 0 $0
Kenneth P Lawler Direktor 3. März 2011 G 2.496 0 0 $0
Edward E Alexander Direktor 24. März 2010 P 10.538 0 0 $0
Robert F Kibble 10%-Eigentümer 24. März 2010 P 53.570 0 0 $0
Thomas E Pardun 26. Mai 2026 S 55.252 0 1 $-1.155.000
Ted L Tewksbury III 20. Mai 2026 A 80.076 0 3 $-838.701
Carolyn Beaver 20. Mai 2026 A 33.316 0 1 $-461.760
Greg Dougherty 20. Mai 2026 A 33.358 0 0 $0
Steven G Litchfield 6. März 2026 S 343.435 0 5 $-2.511.780
Connie H. Kwong 1. September 2025 M 58.152 0 0 $0
Tsu-Jae King Liu 1. Mai 2025 M 30.044 0 0 $0
William Torgerson 8. November 2024 S 179.262 0 0 $0
Michelle Marie Sayer 27. Mai 2024 M 16.443 0 0 $0
William Kelly Jones 20. Februar 2023 M 26.941 0 0 $0
Michael Bollesen 20. Februar 2023 M 114.299 0 0 $0
James Lougheed 20. Februar 2023 M 61.086 0 0 $0
Madhukar Reddy 20. Februar 2023 M 485.352 0 0 $0
Brendan Walsh 20. Februar 2023 M 189.011 0 0 $0
Curtis Ling 20. Februar 2023 M 992.796 0 0 $0
Donald E Schrock 5. August 2021 S 10.982 0 0 $0
Michael J. Lachance 20. August 2020 M 46.500 0 0 $0
David E Liddle 6. Mai 2011 A 0 0 $0

Insider aus SEC-Einreichungen Form 3/4/5; Netto = nur P/S aus offenen Märkten

Aktivisten & 5%+-Eigentümer 2 Beteiligungen

Investoren mit SEC Schedule 13D — wirtschaftliches Eigentum über 5% mit der Absicht, Einfluss auf den Emittenten zu nehmen (aktivistische Beteiligungen, Board-Kampagnen, M&A). Jede Zeile zeigt den zuletzt bekannten Stand der Position dieses Melders.

Anmelder Eingereicht Beteiligung Status Zweck Einreichung
MaxLinear, Inc., Eagle Acquisition Corporation 4. April 2017 Erste Einreichung SEC
Entropic Communications, Inc. 12. Februar 2015 Erste Einreichung M&A / Verkauf SEC

Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.

ETF-Besitz Gehalten von 75 ETFs

Gewichtung spiegelt nur direkte Aktienbestände (N-PORT) wider; gehebelte oder derivatbasierte Fonds können zusätzliche Swap-Exposure halten, die hier nicht angezeigt wird.

Fonds Gewicht Anteile Stand Quelle
PSCT · Invesco Exchange-Traded Fund Trust … 2,48% 184.062 SH 21. August 2026 Täglich
CARZ · First Trust Exchange-Traded Fund II 2,38% 9.902 NS 30. Juni 2026 N-PORT
PSI · Invesco Exchange-Traded Fund Trust 2,16% 823.982 SH 21. August 2026 Täglich
FYC · First Trust Exchange-Traded AlphaDE… 1,81% 268.176 NS 30. April 2026 N-PORT
FYX · First Trust Exchange-Traded AlphaDE… 0,70% 119.765 NS 30. April 2026 N-PORT
VIOV · VANGUARD ADMIRAL FUNDS 0,66% 101.808 SH 19. August 2026 Täglich
VTWG · VANGUARD SCOTTSDALE FUNDS 0,65% 92.770 SH 19. August 2026 Täglich
SMIZ · Zacks Trust 0,59% 16.329 NS 31. Mai 2026 N-PORT
VIOO · VANGUARD ADMIRAL FUNDS 0,58% 294.266 SH 19. August 2026 Täglich
FSCC · Federated Hermes ETF Trust 0,55% 16.481 NS 31. Mai 2026 N-PORT
VIOG · VANGUARD ADMIRAL FUNDS 0,51% 43.083 SH 19. August 2026 Täglich
QVMS · Invesco Exchange-Traded Fund Trust … 0,44% 16.785 SH 21. August 2026 Täglich
FAD · First Trust Exchange-Traded AlphaDE… 0,37% 25.022 NS 30. April 2026 N-PORT
IWO · iShares Trust 0,35% 805.169 SH 21. August 2026 Täglich
QQQS · Invesco Exchange-Traded Fund Trust … 0,35% 1.205 SH 21. August 2026 Täglich
VTWO · VANGUARD SCOTTSDALE FUNDS 0,34% 498.636 SH 19. August 2026 Täglich
SAA · ProShares Trust 0,33% 972 NS 31. Mai 2026 N-PORT
PRFZ · Invesco Exchange-Traded Fund Trust 0,33% 143.229 SH 21. August 2026 Täglich
BBSC · J.P. Morgan Exchange-Traded Fund Tr… 0,30% 31.209 NS 30. April 2026 N-PORT
VBK · VANGUARD INDEX FUNDS 0,30% 1.126.815 SH 19. August 2026 Täglich
FNDA · SCHWAB STRATEGIC TRUST 0,28% 270.860 NS 31. Mai 2026 N-PORT
SYZ · Lazard Active ETF Trust 0,25% 1.313 NS 30. Juni 2026 N-PORT
VFMO · VANGUARD WELLINGTON FUND 0,21% 32.584 SH 19. August 2026 Täglich
AFSM · First Trust Exchange-Traded Fund VI… 0,21% 2.202 NS 31. Mai 2026 N-PORT
RB · ProShares Trust 0,20% 25 NS 31. Mai 2026 N-PORT
ITWO · ProShares Trust 0,19% 3.845 NS 31. Mai 2026 N-PORT
IWM · iShares Trust 0,18% 2.212.547 SH 21. August 2026 Täglich
RSSL · Global X Funds 0,18% 35.405 NS 30. April 2026 N-PORT
ISCG · iShares Trust 0,17% 25.402 SH 21. August 2026 Täglich
SCHA · SCHWAB STRATEGIC TRUST 0,16% 391.021 NS 31. Mai 2026 N-PORT
DFAS · Dimensional ETF Trust 0,14% 274.107 NS 30. April 2026 N-PORT
JSTC · Tidal Trust I 0,13% 4.738 NS 31. Mai 2026 N-PORT
VB · VANGUARD INDEX FUNDS 0,13% 1.951.082 SH 19. August 2026 Täglich
VXF · VANGUARD INDEX FUNDS 0,12% 965.870 SH 19. August 2026 Täglich
GSSC · Goldman Sachs ETF Trust 0,11% 12.085 NS 31. Mai 2026 N-PORT
AFMC · First Trust Exchange-Traded Fund VI… 0,11% 1.966 NS 31. Mai 2026 N-PORT
UWM · ProShares Trust 0,11% 3.007 NS 31. Mai 2026 N-PORT
GINN · Goldman Sachs ETF Trust 0,10% 2.381 NS 31. Mai 2026 N-PORT
FTEC · FIDELITY COVINGTON TRUST 0,10% 253.966 NS 30. April 2026 N-PORT
VGT · VANGUARD WORLD FUND 0,10% 1.372.755 SH 19. August 2026 Täglich
OMFS · Invesco Exchange-Traded Self-Indexe… 0,09% 3.709 SH 21. August 2026 Täglich
FTQI · First Trust Exchange-Traded Fund VI 0,08% 6.026 NS 30. Juni 2026 N-PORT
ISCB · iShares Trust 0,08% 3.624 SH 21. August 2026 Täglich
IETC · iShares U.S. ETF Trust 0,08% 8.661 SH 21. August 2026 Täglich
URTY · ProShares Trust 0,08% 3.043 NS 31. Mai 2026 N-PORT
ESML · iShares Trust 0,08% 34.411 SH 21. August 2026 Täglich
IGPT · Invesco Exchange-Traded Fund Trust 0,07% 12.539 SH 21. August 2026 Täglich
WSML · iShares Trust 0,05% 5.426 SH 21. August 2026 Täglich
MSSM · MORGAN STANLEY PATHWAY FUNDS 0,04% 3.486 NS 31. Mai 2026 N-PORT
DCOR · Dimensional ETF Trust 0,03% 13.737 NS 30. April 2026 N-PORT