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Gates Industrial Corporation PLC

GTES
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27.895USD
+2.115+8.20%
Horarios del mercado ETCotizaciones retrasadas 15 min
7.08BCap. mercado
28.69P/E TTM

GTES Balance Sheet

Puede mirar aquí los balances anuales o trimestrales de Gates Industrial Corporation PLC para evaluar su salud financiera, analizar sus fundamentos y calcular sus ratios clave de liquidez, apalancamiento y rentabilidad sobre el patrimonio neto.
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
14.42%823.50M
22.66%785.30M
19.08%812.10M
20.02%689.40M
24.15%719.70M
22.60%640.20M
-5.36%682.00M
3.16%574.40M
2.60%579.70M
-12.22%522.20M
24.59%720.60M
40.86%556.80M
43.69%565.00M
46.24%594.90M
-12.12%578.40M
-26.88%395.30M
-16.92%393.20M
-9.07%406.80M
26.24%658.20M
-19.59%540.60M
-26.01%473.30M
-28.56%447.40M
-17.93%521.40M
47.40%672.30M
55.64%639.70M
87.74%626.30M
50.05%635.30M
53.93%456.10M
34.67%411.00M
1.55%333.60M
-24.98%423.40M
-43.93%296.30M
-40.10%305.20M
--328.50M
--564.40M
--528.40M
--509.50M
Efectivo y equivalentes de efectivo
14.42%823.50M
22.66%785.30M
19.08%812.10M
20.02%689.40M
24.15%719.70M
22.60%640.20M
-5.36%682.00M
3.16%574.40M
2.60%579.70M
-12.22%522.20M
24.59%720.60M
40.86%556.80M
43.69%565.00M
46.24%594.90M
-12.12%578.40M
-26.88%395.30M
-16.92%393.20M
-9.07%406.80M
26.24%658.20M
-19.59%540.60M
-26.01%473.30M
-28.56%447.40M
-17.93%521.40M
47.40%672.30M
55.64%639.70M
87.74%626.30M
50.05%635.30M
53.93%456.10M
34.67%411.00M
1.55%333.60M
-24.98%423.40M
-43.93%296.30M
-40.10%305.20M
--328.50M
--564.40M
--528.40M
--509.50M
Por cobrar
8.66%940.80M
1.97%837.50M
4.83%787.60M
0.54%879.70M
0.39%865.80M
-2.45%821.30M
-5.92%751.30M
0.36%875.00M
-5.71%862.40M
-2.83%841.90M
-2.80%798.60M
0.43%871.90M
3.71%914.60M
5.21%866.40M
12.98%821.60M
2.30%868.20M
0.26%881.90M
-2.89%823.50M
0.50%727.20M
14.12%848.70M
28.30%879.60M
13.11%848.00M
0.95%723.60M
-1.89%743.70M
-13.59%685.60M
-8.27%749.70M
-4.36%716.80M
-3.50%758.00M
-2.86%793.40M
1.33%817.30M
2.97%749.50M
5.37%785.50M
8.21%816.80M
--806.60M
--727.90M
--745.50M
--754.80M
-Cuentas y pagarés por cobrar
8.96%900.30M
1.70%799.60M
2.97%744.20M
2.65%833.30M
2.33%826.30M
-1.44%786.20M
-5.92%722.70M
-1.23%811.80M
-7.69%807.50M
-5.06%797.70M
-5.00%768.20M
2.05%821.90M
5.18%874.80M
6.26%840.20M
14.19%808.60M
-0.48%805.40M
-2.43%831.70M
-3.51%790.70M
1.88%708.10M
13.95%809.30M
30.08%852.40M
14.26%819.50M
0.04%695.00M
-3.14%710.20M
-15.68%655.30M
-9.27%717.20M
-6.41%694.70M
-5.78%733.20M
-3.80%777.20M
-1.14%790.50M
3.99%742.30M
4.39%778.20M
7.03%807.90M
--799.60M
--713.80M
--745.50M
--754.80M
Inventario
1.59%740.60M
-2.14%685.70M
3.55%700.00M
-0.90%718.10M
4.67%729.00M
3.47%700.70M
4.45%676.00M
12.15%724.60M
8.09%696.50M
2.75%677.20M
-1.37%647.20M
-5.90%646.10M
-7.35%644.40M
-8.24%659.10M
-3.87%656.20M
5.55%686.60M
18.18%695.50M
34.01%718.30M
34.32%682.60M
33.74%650.50M
17.98%588.50M
10.65%536.00M
6.97%508.20M
-4.21%486.40M
-8.39%498.80M
-13.45%484.40M
-11.63%475.10M
-3.61%507.80M
8.44%544.50M
13.76%559.70M
17.61%537.60M
17.51%526.80M
18.92%502.10M
--492.00M
--457.10M
--448.30M
--422.20M
Gastos prepago
-1.26%204.40M
-12.10%180.90M
-7.57%181.80M
-12.67%197.80M
-12.99%207.00M
-16.27%205.80M
-16.26%196.70M
-6.83%226.50M
-4.99%237.90M
3.98%245.80M
6.19%234.90M
-8.88%243.10M
-9.41%250.40M
-8.37%236.40M
4.98%221.20M
45.63%266.80M
52.62%276.40M
53.94%258.00M
37.35%210.70M
27.49%183.20M
33.85%181.10M
24.52%167.60M
21.75%153.40M
5.66%143.70M
16.64%135.30M
15.74%134.60M
34.19%126.00M
37.37%136.00M
30.93%116.00M
39.78%116.30M
28.45%93.90M
15.65%99.00M
3.87%88.60M
--83.20M
--73.10M
--85.60M
--85.30M
Otros activos corrientes
--0.00
--0.00
--0.00
--0.00
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--1.60M
--1.60M
Total de activos corrientes
7.45%2.71B
5.13%2.49B
7.61%2.48B
3.52%2.48B
6.10%2.52B
3.54%2.37B
-3.97%2.31B
3.56%2.40B
0.09%2.38B
-2.96%2.29B
5.44%2.40B
4.56%2.32B
5.67%2.37B
6.81%2.36B
-0.06%2.28B
-0.27%2.22B
5.87%2.25B
10.39%2.21B
19.52%2.28B
8.65%2.22B
8.32%2.12B
0.06%2.00B
-2.65%1.91B
9.78%2.05B
5.01%1.96B
8.82%2.00B
7.94%1.96B
8.54%1.86B
8.26%1.87B
6.83%1.84B
-0.64%1.81B
-5.31%1.72B
-3.03%1.72B
--1.72B
--1.83B
--1.81B
--1.78B
Activos no corrientes
Activos fijos netos
-0.80%745.60M
3.81%751.50M
3.78%746.10M
1.32%751.30M
3.34%751.60M
-2.19%723.90M
-4.16%718.90M
0.61%741.50M
-4.30%727.30M
-3.53%740.10M
-2.55%750.10M
-1.52%737.00M
1.67%760.00M
-2.61%767.20M
-3.12%769.70M
-7.05%748.40M
-8.50%747.50M
-2.50%787.80M
-3.80%794.50M
0.65%805.20M
3.48%816.90M
0.84%808.00M
-2.94%825.90M
-4.58%800.00M
-9.29%789.40M
-8.75%801.30M
12.51%850.90M
10.07%838.40M
16.51%870.20M
18.84%878.10M
10.22%756.30M
19.50%761.70M
19.26%746.90M
--738.90M
--686.20M
--637.40M
--626.30M
-Activos fijos
----
----
----
----
----
----
----
----
----
----
4.72%1.51B
----
----
----
2.23%1.44B
----
----
----
--1.41B
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-Depreciación acumulada
----
----
----
----
----
----
----
----
----
----
13.07%756.90M
----
----
----
9.17%669.40M
----
----
----
--613.20M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Fondo de comercio y otros activos intangibles
-3.37%3.15B
0.40%3.18B
2.22%3.23B
-1.97%3.23B
-0.64%3.25B
-5.74%3.17B
-7.80%3.16B
-2.72%3.29B
-5.22%3.28B
-3.62%3.36B
-1.35%3.42B
-0.38%3.38B
-1.76%3.46B
-4.59%3.49B
-6.31%3.47B
-9.41%3.40B
-7.87%3.52B
-4.59%3.65B
-5.21%3.71B
-1.34%3.75B
1.20%3.82B
1.64%3.83B
-0.70%3.91B
-2.85%3.80B
-5.80%3.77B
-6.23%3.77B
-2.48%3.94B
-4.94%3.91B
-3.21%4.01B
-5.56%4.02B
-4.17%4.04B
-2.12%4.12B
-1.23%4.14B
--4.25B
--4.21B
--4.20B
--4.19B
Otros activos no actuales
18.00%790.00M
14.23%693.70M
18.45%690.80M
0.10%670.10M
5.14%669.50M
-5.24%607.30M
-11.61%583.20M
2.14%669.40M
-5.08%636.80M
-2.54%640.90M
0.29%659.80M
-0.97%655.40M
0.10%670.90M
-10.72%657.60M
-10.96%657.90M
-7.19%661.80M
-7.65%670.20M
2.33%736.60M
-2.58%738.90M
6.70%713.10M
15.26%725.70M
21.20%719.80M
18.09%758.50M
4.90%668.30M
-4.49%629.60M
-12.37%593.90M
649.47%642.30M
601.65%637.10M
664.73%659.20M
648.01%677.70M
-10.45%85.70M
-5.71%90.80M
-20.26%86.20M
--90.60M
--95.70M
--96.30M
--108.10M
Total de activos no actuales
----
2.39%4.63B
4.23%4.67B
-1.19%4.66B
0.82%4.70B
-5.06%4.52B
-7.68%4.48B
-1.47%4.72B
-4.98%4.66B
-3.39%4.76B
-1.24%4.85B
-0.63%4.79B
-0.98%4.90B
-5.14%4.93B
-6.47%4.91B
-8.73%4.82B
-7.91%4.95B
-3.44%5.19B
-4.81%5.25B
-0.12%5.28B
3.06%5.38B
3.67%5.38B
1.23%5.52B
-2.44%5.29B
-6.24%5.22B
-7.41%5.19B
11.10%5.45B
8.41%5.42B
11.02%5.56B
9.38%5.60B
-2.38%4.91B
1.19%5.00B
1.78%5.01B
--5.12B
--5.03B
--4.94B
--4.92B
Total de activos
2.42%7.39B
3.33%7.12B
5.38%7.15B
0.40%7.15B
2.60%7.22B
-2.27%6.89B
-6.45%6.79B
0.17%7.12B
-3.33%7.03B
-3.25%7.05B
0.87%7.25B
1.00%7.11B
1.10%7.28B
-1.58%7.28B
-4.53%7.19B
-6.23%7.04B
-4.01%7.20B
0.31%7.40B
1.44%7.53B
2.32%7.51B
4.50%7.50B
2.67%7.38B
0.20%7.43B
0.68%7.34B
-3.42%7.18B
-3.40%7.18B
10.24%7.41B
8.44%7.29B
10.31%7.43B
8.74%7.44B
-1.91%6.72B
-0.55%6.72B
0.50%6.74B
--6.84B
--6.85B
--6.76B
--6.70B
Pasivos
Pasivos corrientes
-Otros por pagar
--0.00
--0.00
----
--0.00
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
900.00%1.00M
-57.14%300.00K
66.67%500.00K
-40.00%300.00K
-90.00%100.00K
-87.04%700.00K
-86.96%300.00K
-73.68%500.00K
--1.00M
--5.40M
--2.30M
--1.90M
Gastos acumulados
12.51%282.30M
3.99%232.10M
-5.09%238.50M
-0.83%263.10M
5.02%250.90M
-0.22%223.20M
113.69%251.30M
9.04%265.30M
0.25%238.90M
-2.40%223.70M
6.81%117.60M
11.91%243.30M
8.42%238.30M
-3.49%229.20M
-39.51%110.10M
-27.94%217.40M
-22.88%219.80M
-11.87%237.50M
-20.73%182.00M
23.55%301.70M
28.09%285.00M
43.35%269.50M
44.04%229.60M
46.75%244.20M
37.35%222.50M
12.91%188.00M
-13.13%159.40M
-12.37%166.40M
-15.89%162.00M
-11.67%166.50M
-8.80%183.50M
-16.89%189.90M
-9.92%192.60M
--188.50M
--201.20M
--228.50M
--213.80M
Provisiones corrientes
----
----
----
----
----
----
----
----
----
----
-84.59%5.10M
----
----
----
0.00%33.10M
----
----
----
--33.10M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Deuda a corto plazo y pasivos por arrendamiento
-1.51%39.20M
-2.22%30.90M
-7.42%36.20M
-15.75%30.50M
82.57%39.80M
13.26%31.60M
5.39%39.10M
30.69%36.20M
-40.60%21.80M
0.72%27.90M
1.37%37.10M
-1.77%27.70M
-2.91%36.70M
-5.78%27.70M
-3.94%36.60M
-5.37%28.20M
-3.32%37.80M
-2.97%29.40M
-12.41%38.10M
-40.76%29.80M
-38.43%39.10M
-44.81%30.30M
-6.25%43.50M
13.29%50.30M
54.13%63.50M
60.06%54.90M
-10.08%46.40M
35.37%44.40M
-1.90%41.20M
1.78%34.30M
-22.29%51.60M
-1.50%32.80M
-23.91%42.00M
--33.70M
--66.40M
--33.30M
--55.20M
-Deuda a corto plazo
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--600.00K
--700.00K
-Pasivos por arrendamiento a corto plazo
----
----
----
----
----
----
----
----
----
----
--600.00K
----
----
----
----
----
----
----
----
----
----
----
166.67%800.00K
----
----
----
--300.00K
--900.00K
--100.00K
--100.00K
----
----
----
----
----
----
----
Otros pasivos corrientes
--0.00
--0.00
----
--0.00
--0.00
----
----
----
----
----
-84.59%5.10M
----
----
----
0.00%33.10M
----
----
----
--33.10M
----
----
----
----
----
----
900.00%1.00M
-57.14%300.00K
66.67%500.00K
-40.00%300.00K
-90.00%100.00K
-87.04%700.00K
-86.96%300.00K
-73.68%500.00K
--1.00M
--5.40M
--2.30M
--1.90M
Total pasivos corrientes
14.51%835.10M
-4.49%678.50M
1.93%735.40M
-11.34%705.40M
-4.47%729.30M
-5.01%710.40M
-7.42%721.50M
1.95%795.60M
-4.36%763.40M
1.31%747.90M
3.59%779.30M
4.51%780.40M
3.46%798.20M
-6.38%738.20M
-12.10%752.30M
-11.36%746.70M
-8.24%771.50M
4.22%788.50M
17.84%855.90M
28.83%842.40M
33.61%840.80M
13.31%756.60M
10.36%726.30M
12.12%653.90M
-1.87%629.30M
4.05%667.70M
-3.08%658.10M
-10.88%583.20M
-8.14%641.30M
-5.84%641.70M
-2.69%679.00M
3.07%654.40M
8.62%698.10M
--681.50M
--697.80M
--634.90M
--642.70M
Pasivos no corrientes
Provisiones a largo plazo
-20.60%60.90M
-16.75%63.10M
-11.79%68.80M
-12.37%68.00M
-3.03%76.70M
-7.11%75.80M
-6.92%78.00M
7.33%77.60M
6.60%79.10M
9.24%81.60M
9.97%83.80M
-20.81%72.30M
-23.82%74.20M
-27.12%74.70M
-28.25%76.20M
-30.41%91.30M
-28.54%97.40M
-25.89%102.50M
-25.47%106.20M
-4.79%131.20M
-6.90%136.30M
-5.79%138.30M
-5.75%142.50M
-8.74%137.80M
-4.56%146.40M
-4.92%146.80M
-3.01%151.20M
-2.71%151.00M
-1.10%153.40M
-2.03%154.40M
-0.76%155.90M
-8.38%155.20M
-11.07%155.10M
--157.60M
--157.10M
--169.40M
--174.40M
Deuda a largo plazo y pasivos por arrendamiento
-4.51%2.32B
-4.20%2.33B
-4.84%2.32B
-5.54%2.33B
0.22%2.43B
0.42%2.44B
-3.39%2.44B
-2.46%2.47B
-7.95%2.43B
-4.55%2.43B
-0.93%2.52B
-2.32%2.53B
-0.05%2.64B
-5.38%2.54B
-3.58%2.55B
-2.65%2.59B
-1.40%2.64B
-2.08%2.69B
-4.84%2.64B
-12.60%2.66B
-11.31%2.68B
-9.01%2.74B
-8.25%2.78B
0.84%3.04B
-0.93%3.02B
-0.78%3.01B
2.50%3.03B
1.88%3.02B
2.56%3.05B
0.79%3.04B
-24.06%2.95B
-23.70%2.96B
-22.94%2.97B
--3.01B
--3.89B
--3.88B
--3.85B
-Deuda a largo plazo
-4.80%2.19B
-4.79%2.20B
-4.98%2.20B
-5.86%2.20B
-0.23%2.30B
-0.22%2.31B
-4.29%2.31B
-3.15%2.34B
-8.34%2.31B
-4.55%2.31B
-0.47%2.42B
-2.00%2.42B
-0.52%2.52B
-5.83%2.42B
-3.96%2.43B
-2.95%2.47B
-1.00%2.53B
-2.15%2.57B
-5.23%2.53B
-13.18%2.54B
-11.95%2.56B
-9.38%2.63B
-8.46%2.67B
0.62%2.93B
-0.96%2.91B
-0.92%2.90B
-1.39%2.91B
-1.79%2.91B
-1.19%2.94B
-2.81%2.93B
-24.06%2.95B
-23.70%2.96B
-22.94%2.97B
--3.01B
--3.89B
--3.88B
--3.85B
-Pasivos por arrendamiento a largo plazo
0.62%129.30M
6.44%135.50M
-2.20%124.50M
0.40%126.30M
9.08%128.50M
13.66%127.30M
16.26%127.30M
12.42%125.80M
0.43%117.80M
-4.60%112.00M
-10.17%109.50M
-8.73%111.90M
11.40%117.30M
4.92%117.40M
4.73%121.90M
3.72%122.60M
-10.15%105.30M
-0.36%111.90M
4.49%116.40M
2.07%118.20M
5.40%117.20M
0.45%112.30M
-2.96%111.40M
6.73%115.80M
-0.27%111.20M
3.04%111.80M
--114.80M
--108.50M
--111.50M
--108.50M
----
----
----
----
----
----
----
Gastos acumulados a largo plazo
-33.53%56.30M
-23.95%63.20M
-24.45%62.10M
-22.48%60.00M
12.04%84.70M
-0.24%83.10M
3.53%82.20M
19.08%77.40M
-2.20%75.60M
5.98%83.30M
-0.13%79.40M
-38.62%65.00M
-26.24%77.30M
-23.98%78.60M
-23.34%79.50M
0.76%105.90M
1.26%104.80M
-5.40%103.40M
-7.00%103.70M
2.54%105.10M
-2.54%103.50M
4.29%109.30M
2.48%111.50M
-34.00%102.50M
-28.63%106.20M
-31.37%104.80M
32.84%108.80M
96.58%155.30M
39.85%148.80M
74.12%152.70M
-18.59%81.90M
-5.73%79.00M
14.78%106.40M
--87.70M
--100.60M
--83.80M
--92.70M
Beneficios de empleado
-20.60%60.90M
-16.75%63.10M
-11.79%68.80M
-12.37%68.00M
-3.03%76.70M
-7.11%75.80M
-6.92%78.00M
7.33%77.60M
6.60%79.10M
9.24%81.60M
9.97%83.80M
-20.81%72.30M
-23.82%74.20M
-27.12%74.70M
-28.25%76.20M
-30.41%91.30M
-28.54%97.40M
-25.89%102.50M
-25.47%106.20M
-4.79%131.20M
-6.90%136.30M
-5.79%138.30M
-5.75%142.50M
-8.74%137.80M
-4.56%146.40M
-4.92%146.80M
-3.01%151.20M
-2.71%151.00M
-1.10%153.40M
-2.03%154.40M
-0.76%155.90M
-8.38%155.20M
-11.07%155.10M
--157.60M
--157.10M
--169.40M
--174.40M
Pasivos derivados
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
--2.60M
--1.60M
--1.40M
--0.00
--0.00
--0.00
--0.00
Otros pasivos no corrientes
-20.71%243.10M
50.06%268.60M
100.82%294.60M
26.64%280.50M
83.59%306.60M
-0.50%179.00M
-29.10%146.70M
41.53%221.50M
-14.80%167.00M
-4.10%179.90M
17.62%206.90M
9.90%156.50M
26.78%196.00M
5.27%187.60M
6.35%175.90M
-26.60%142.40M
-23.62%154.60M
-14.33%178.20M
-37.23%165.40M
-21.90%194.00M
-18.09%202.40M
-11.30%208.00M
11.70%263.50M
4.59%248.40M
10.31%247.10M
0.43%234.50M
1.46%235.90M
5.27%237.50M
-1.58%224.00M
0.34%233.50M
5.44%232.50M
-1.14%225.60M
0.80%227.60M
--232.70M
--220.50M
--228.20M
--225.80M
Total pasivos no corrientes
----
-1.41%2.71B
0.08%2.73B
-4.84%2.73B
3.59%2.88B
-1.97%2.75B
-7.05%2.72B
-1.67%2.87B
-10.06%2.78B
-6.29%2.80B
-2.15%2.93B
-4.33%2.92B
-1.14%3.09B
-7.54%2.99B
-6.26%3.00B
-6.55%3.05B
-5.19%3.12B
-4.58%3.23B
-9.08%3.20B
-12.46%3.26B
-11.10%3.29B
-7.78%3.39B
-6.08%3.52B
-1.22%3.73B
-2.65%3.71B
-4.13%3.68B
0.88%3.74B
0.95%3.77B
0.66%3.81B
-0.25%3.83B
-21.53%3.71B
-22.53%3.74B
-21.38%3.78B
--3.84B
--4.73B
--4.82B
--4.81B
Total pasivos
-2.98%3.50B
-2.04%3.39B
0.47%3.46B
-6.25%3.43B
1.85%3.61B
-2.61%3.46B
-7.13%3.45B
-0.90%3.66B
-8.89%3.54B
-4.78%3.55B
-1.00%3.71B
-2.59%3.70B
-0.23%3.89B
-7.31%3.73B
-7.49%3.75B
-7.54%3.80B
-5.81%3.89B
-2.98%4.02B
-4.47%4.05B
-6.30%4.10B
-4.61%4.13B
-4.54%4.15B
-3.62%4.24B
0.56%4.38B
-2.54%4.33B
-2.96%4.34B
0.27%4.40B
-0.81%4.36B
-0.71%4.45B
-1.09%4.48B
-19.10%4.39B
-19.55%4.39B
-17.84%4.48B
--4.53B
--5.43B
--5.46B
--5.45B
Capital de los accionistas
Capital ordinario
0.77%2.64B
0.57%2.63B
0.56%2.64B
0.84%2.63B
0.77%2.62B
1.02%2.62B
1.35%2.62B
1.20%2.61B
1.08%2.60B
1.17%2.59B
1.63%2.59B
1.68%2.58B
1.93%2.58B
2.20%2.56B
2.33%2.54B
2.23%2.54B
2.13%2.53B
1.69%2.51B
1.11%2.49B
1.10%2.48B
1.05%2.47B
0.94%2.47B
0.91%2.46B
0.83%2.45B
0.78%2.45B
0.80%2.44B
0.73%2.44B
0.62%2.43B
0.54%2.43B
0.35%2.42B
48.90%2.42B
48.50%2.42B
48.49%2.42B
--2.42B
--1.63B
--1.63B
--1.63B
Ganancias retenidas
14.00%1.81B
8.65%1.67B
11.70%1.65B
6.17%1.67B
4.13%1.59B
6.19%1.54B
1.18%1.48B
12.21%1.57B
15.29%1.52B
-3.81%1.45B
-1.39%1.46B
0.09%1.40B
-1.89%1.32B
6.68%1.51B
3.13%1.48B
0.88%1.40B
2.32%1.35B
16.09%1.41B
24.88%1.44B
22.95%1.39B
21.23%1.32B
10.03%1.22B
7.41%1.15B
7.08%1.13B
6.70%1.09B
11.25%1.11B
180.70%1.07B
243.31%1.05B
312.28%1.02B
518.00%995.60M
178.96%381.90M
1584.62%306.60M
4834.00%246.70M
--161.10M
--136.90M
--18.20M
--5.00M
Reservas de capital
0.77%2.64B
0.57%2.63B
0.56%2.63B
0.84%2.63B
0.77%2.62B
1.02%2.62B
1.35%2.62B
1.21%2.61B
1.08%2.60B
1.18%2.59B
1.64%2.58B
1.69%2.58B
1.94%2.57B
2.20%2.56B
2.33%2.54B
2.23%2.53B
2.14%2.52B
1.69%2.50B
1.11%2.48B
1.10%2.48B
1.06%2.47B
0.94%2.46B
0.92%2.46B
0.84%2.45B
0.78%2.45B
0.81%2.44B
0.73%2.43B
0.62%2.43B
0.54%2.43B
0.35%2.42B
48.95%2.42B
48.33%2.42B
48.31%2.41B
--2.41B
--1.62B
--1.63B
--1.63B
Menos: Acciones en tesorería
----
29.92%16.50M
--37.50M
----
----
--12.70M
----
--127.10M
----
----
----
----
----
----
----
----
----
--121.90M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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--5.10M
--4.90M
Pérdidas de ganancias que no afectan a las ganancias retenidas
1.15%-929.20M
11.50%-925.40M
14.86%-917.10M
1.45%-928.30M
0.95%-940.00M
-20.76%-1.05B
-30.02%-1.08B
-6.27%-942.00M
-14.90%-949.00M
-1.04%-865.90M
9.73%-828.50M
11.16%-886.40M
9.72%-825.90M
-6.41%-857.00M
-11.22%-917.80M
-17.47%-997.80M
-13.51%-914.80M
3.32%-805.40M
-2.46%-825.20M
13.53%-849.40M
22.23%-805.90M
21.83%-833.10M
6.17%-805.40M
-8.11%-982.30M
-24.01%-1.04B
-26.88%-1.07B
-0.48%-858.40M
-15.42%-908.60M
-3.26%-835.60M
-20.59%-840.00M
-14.30%-854.30M
-5.99%-787.20M
-4.29%-809.20M
---696.60M
---747.40M
---742.70M
---775.90M
Intereses no controladores
8.64%372.30M
10.84%360.90M
12.16%355.20M
-0.72%345.10M
8.01%342.70M
2.78%325.60M
-2.16%316.70M
8.25%347.60M
-1.03%317.30M
-6.44%316.80M
-2.97%323.70M
4.42%321.10M
-7.10%320.60M
-11.15%338.60M
-12.60%333.60M
-20.03%307.50M
-9.23%345.10M
0.71%381.10M
0.63%381.70M
7.79%384.50M
10.39%380.20M
6.11%378.40M
5.45%379.30M
1.16%356.70M
-7.37%344.40M
-6.89%356.60M
-6.89%359.70M
-9.43%352.60M
-7.67%371.80M
-12.08%383.00M
-6.65%386.30M
-2.26%389.30M
1.05%402.70M
--435.60M
--413.80M
--398.30M
--398.50M
Capital total
7.82%3.89B
8.75%3.73B
10.45%3.69B
7.44%3.72B
3.36%3.61B
-1.93%3.43B
-5.75%3.34B
1.34%3.46B
3.05%3.49B
-1.64%3.50B
2.91%3.54B
5.20%3.41B
2.65%3.39B
5.25%3.55B
-1.09%3.44B
-4.65%3.24B
-1.80%3.30B
4.53%3.38B
9.31%3.48B
15.10%3.40B
18.38%3.36B
13.68%3.23B
5.79%3.19B
0.86%2.96B
-4.72%2.84B
-4.07%2.84B
29.01%3.01B
25.91%2.93B
32.18%2.98B
27.95%2.96B
63.38%2.33B
79.39%2.33B
80.52%2.26B
--2.32B
--1.43B
--1.30B
--1.25B
Unidad monetaria
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
Opiniones de evaluación
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Preguntas frecuentes

¿Qué métricas del balance general importan más al analizar las acciones de GTES?

Las métricas importantes incluyen efectivo e inversiones a corto plazo, activos totales, activos corrientes, pasivos totales, pasivos corrientes, deuda a largo plazo, patrimonio de los accionistas, ganancias retenidas, inventario, cuentas por cobrar, capital de trabajo, ratio de liquidez corriente, ratio de prueba ácida, relación deuda-patrimonio y rentabilidad sobre el capital. Los inversores suelen revisar todo esto en conjunto, en vez de guiarse por un solo número.

¿Cuál es la diferencia entre activos, pasivos y patrimonio de los accionistas?

Los activos son recursos que la empresa posee o controla, como efectivo, cuentas por cobrar, inventario, inversiones y propiedades. Los pasivos son obligaciones que la empresa debe, como cuentas por pagar, deuda, arrendamientos e impuestos. El patrimonio de los accionistas es el valor residual después de restar los pasivos de los activos.

¿Cuál es la diferencia entre elementos corrientes y no corrientes?

Se espera generalmente que los activos corrientes y los pasivos corrientes se conviertan, usen, paguen o liquiden dentro de un año o de un ciclo operativo. Los activos no corrientes y los pasivos no corrientes son elementos a más largo plazo, como propiedades, inversiones a largo plazo, activos por impuestos diferidos, deuda a largo plazo y obligaciones de arrendamiento.

¿Cuánto efectivo tiene Gates Industrial Corporation PLC?

En su informe trimestral más reciente, Gates Industrial Corporation PLC tenía 785.30M en efectivo y equivalentes de efectivo.

¿A cuánto ascienden los pasivos totales de Gates Industrial Corporation PLC?

Gates Industrial Corporation PLC reportó unos pasivos totales de 3.46B en el último trimestre reportado, incluyendo 735.40M en pasivos corrientes y 2.73B en pasivos no corrientes.

¿Cuáles son los activos totales de Gates Industrial Corporation PLC?

En el último trimestre reportado, los activos totales de Gates Industrial Corporation PLC fueron de 7.15B: se dividen en 2.48B en activos corrientes y 4.67B en activos no corrientes.

¿Cuánto patrimonio neto de los accionistas tiene Gates Industrial Corporation PLC?

Gates Industrial Corporation PLC reportó un patrimonio neto total de los accionistas de 3.69B en el último trimestre reportado.
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