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Alight Inc

ALIT

5.115USD

+0.015+0.29%
Horarios del mercado ETCotizaciones retrasadas 15 min
2.72BCap. mercado
PérdidaP/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-12.89%223.00M
-4.19%343.00M
8.70%300.00M
-32.47%183.00M
7.11%256.00M
43.20%358.00M
-9.21%276.00M
-0.37%271.00M
-26.69%239.00M
-32.80%250.00M
-60.47%304.00M
-40.87%272.00M
--326.00M
--372.00M
--769.00M
--460.00M
Efectivo y equivalentes de efectivo
-12.89%223.00M
-4.19%343.00M
8.70%300.00M
-32.47%183.00M
7.11%256.00M
43.20%358.00M
-9.21%276.00M
-0.37%271.00M
-26.69%239.00M
-32.80%250.00M
-60.47%304.00M
-40.87%272.00M
--326.00M
--372.00M
--769.00M
--460.00M
Por cobrar
7.84%495.00M
-30.43%560.00M
-31.70%487.00M
-40.17%423.00M
-37.80%459.00M
-2.66%805.00M
12.82%713.00M
12.94%707.00M
15.13%738.00M
24.74%827.00M
17.04%632.00M
20.85%626.00M
--641.00M
--663.00M
--540.00M
--518.00M
-Cuentas y pagarés por cobrar
7.84%495.00M
-30.43%560.00M
-31.70%487.00M
-40.17%423.00M
-37.80%459.00M
-2.66%805.00M
12.82%713.00M
12.94%707.00M
15.13%738.00M
24.74%827.00M
17.04%632.00M
20.85%626.00M
--641.00M
--663.00M
--540.00M
--518.00M
Gastos prepago
6.98%46.00M
-11.11%56.00M
-12.99%67.00M
-20.37%43.00M
-30.65%43.00M
-7.35%63.00M
20.31%77.00M
12.50%54.00M
3.33%62.00M
3.03%68.00M
-1.54%64.00M
-12.73%48.00M
--60.00M
--66.00M
--65.00M
--55.00M
Otros activos corrientes
-16.76%298.00M
-80.13%308.00M
-76.60%347.00M
-77.13%333.00M
-76.71%358.00M
-7.24%1.55B
-1.53%1.48B
-2.35%1.46B
-9.91%1.54B
22.15%1.67B
-2.21%1.51B
36.41%1.49B
--1.71B
--1.37B
--1.54B
--1.09B
Total de activos corrientes
-70.64%1.06B
-54.36%1.27B
-52.88%1.20B
38.38%3.44B
40.41%3.62B
-1.42%2.78B
1.72%2.55B
2.09%2.49B
-5.74%2.58B
14.05%2.82B
-14.00%2.51B
14.63%2.44B
--2.73B
--2.47B
--2.91B
--2.13B
Activos no corrientes
Activos fijos netos
-0.90%439.00M
-0.23%438.00M
3.00%446.00M
2.06%446.00M
4.73%443.00M
8.13%439.00M
12.76%433.00M
14.70%437.00M
16.53%423.00M
14.04%406.00M
5.79%384.00M
-18.42%381.00M
--363.00M
--356.00M
--363.00M
--467.00M
-Activos fijos
----
13.23%736.00M
----
----
----
--650.00M
----
----
----
----
----
----
----
--387.00M
--377.00M
--727.00M
-Depreciación acumulada
----
41.23%298.00M
----
----
----
--211.00M
----
----
----
----
----
----
----
--31.00M
--14.00M
--260.00M
Fondo de comercio y otros activos intangibles
-4.49%6.00B
-14.51%6.07B
-16.09%6.14B
-16.05%6.21B
-15.99%6.28B
-6.01%7.10B
-3.13%7.31B
-3.11%7.39B
-3.16%7.47B
-3.29%7.55B
2.58%7.55B
96.47%7.63B
--7.72B
--7.81B
--7.36B
--3.88B
Otros activos no actuales
12.92%402.00M
-9.38%406.00M
9.56%470.00M
-16.36%358.00M
-15.04%356.00M
3.23%448.00M
-1.61%429.00M
6.20%428.00M
10.26%419.00M
35.20%434.00M
51.92%436.00M
37.54%403.00M
--380.00M
--321.00M
--287.00M
--293.00M
Total de activos no actuales
-3.47%6.85B
-13.49%6.93B
-13.78%7.07B
-15.14%7.03B
-14.91%7.10B
-4.91%8.01B
-2.35%8.20B
-1.86%8.28B
-1.73%8.34B
-1.17%8.42B
4.40%8.40B
80.67%8.44B
--8.49B
--8.52B
--8.04B
--4.67B
Total de activos
-26.14%7.91B
-24.01%8.19B
-23.05%8.27B
-2.78%10.47B
-1.86%10.71B
-4.03%10.78B
-1.41%10.75B
-0.97%10.77B
-2.71%10.92B
2.25%11.23B
-0.49%10.90B
60.02%10.88B
--11.22B
--10.99B
--10.96B
--6.80B
Pasivos
Pasivos corrientes
-Otros por pagar
15.44%456.00M
-74.74%385.00M
-68.38%456.00M
-75.09%351.00M
-74.06%395.00M
-5.28%1.52B
1.62%1.44B
-2.22%1.41B
-14.25%1.52B
10.05%1.61B
-8.63%1.42B
28.89%1.44B
--1.78B
--1.46B
--1.55B
--1.12B
Deuda a corto plazo y pasivos por arrendamiento
-12.77%41.00M
22.22%44.00M
10.26%43.00M
627.08%349.00M
-6.00%47.00M
-35.71%36.00M
-31.58%39.00M
-17.24%48.00M
-24.24%50.00M
-13.85%56.00M
-19.72%57.00M
-10.77%58.00M
--66.00M
--65.00M
--71.00M
--65.00M
-Pasivos por arrendamiento a corto plazo
-4.55%21.00M
72.73%19.00M
28.57%18.00M
-13.04%20.00M
-12.00%22.00M
-56.00%11.00M
-46.15%14.00M
-14.81%23.00M
-3.85%25.00M
-7.41%25.00M
-7.14%26.00M
-3.57%27.00M
--26.00M
--27.00M
--28.00M
--28.00M
Pasivos diferidos
4.60%91.00M
-38.51%91.00M
-46.72%73.00M
-41.96%83.00M
-37.86%87.00M
4.96%148.00M
7.87%137.00M
23.28%143.00M
-9.09%140.00M
-4.73%141.00M
3.25%127.00M
-2.52%116.00M
--154.00M
--148.00M
--123.00M
--119.00M
Otros pasivos corrientes
13.49%547.00M
-71.53%476.00M
-66.50%529.00M
-72.04%434.00M
-71.02%482.00M
-4.46%1.67B
2.13%1.58B
-0.32%1.55B
-13.83%1.66B
8.70%1.75B
-7.76%1.55B
25.87%1.56B
--1.93B
--1.61B
--1.68B
--1.24B
Total pasivos corrientes
-61.00%901.00M
-59.21%892.00M
-55.57%926.00M
24.30%2.52B
7.99%2.31B
-6.86%2.19B
1.86%2.08B
1.00%2.02B
-9.36%2.14B
10.49%2.35B
-4.75%2.05B
18.50%2.00B
--2.36B
--2.13B
--2.15B
--1.69B
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-27.34%2.05B
-27.61%2.06B
-27.67%2.06B
-12.45%2.51B
-2.15%2.82B
-1.90%2.84B
-1.72%2.85B
-1.78%2.87B
-1.54%2.89B
-2.49%2.90B
-2.22%2.90B
-30.06%2.92B
--2.93B
--2.97B
--2.97B
--4.17B
-Deuda a largo plazo
-27.62%2.00B
-27.77%2.00B
-27.74%2.01B
-11.96%2.45B
-1.04%2.76B
-0.82%2.77B
-0.89%2.78B
-0.89%2.78B
-0.96%2.79B
-1.34%2.79B
-1.34%2.80B
-30.38%2.81B
--2.82B
--2.83B
--2.84B
--4.04B
-Pasivos por arrendamiento a largo plazo
-14.52%53.00M
-21.13%56.00M
-25.32%59.00M
-28.57%60.00M
-34.74%62.00M
-31.07%71.00M
-24.04%79.00M
-24.32%84.00M
-15.93%95.00M
-25.90%103.00M
-21.21%104.00M
-20.71%111.00M
--113.00M
--139.00M
--132.00M
--140.00M
Pasivos diferidos
-13.33%39.00M
-51.22%40.00M
-51.76%41.00M
-51.14%43.00M
-53.13%45.00M
-11.83%82.00M
-7.61%85.00M
-10.20%88.00M
77.78%96.00M
69.09%93.00M
70.37%92.00M
71.93%98.00M
--54.00M
--55.00M
--54.00M
--57.00M
Otros pasivos no corrientes
-32.04%666.00M
-10.57%871.00M
4.71%890.00M
2.99%897.00M
12.00%980.00M
18.06%974.00M
11.55%850.00M
8.74%871.00M
1.16%875.00M
-7.92%825.00M
-31.78%762.00M
308.67%801.00M
--865.00M
--896.00M
--1.12B
--196.00M
Total pasivos no corrientes
-28.30%2.78B
-22.45%2.99B
-19.98%3.02B
-8.28%3.48B
1.71%3.88B
1.45%3.85B
1.07%3.77B
0.40%3.79B
-1.70%3.81B
-3.48%3.80B
-9.63%3.73B
-14.43%3.78B
--3.88B
--3.94B
--4.13B
--4.42B
Total pasivos
-40.51%3.68B
-35.76%3.88B
-32.64%3.94B
3.06%6.00B
3.97%6.19B
-1.72%6.04B
1.35%5.86B
0.61%5.82B
-4.60%5.95B
1.42%6.15B
-7.96%5.78B
-5.31%5.78B
--6.24B
--6.06B
--6.28B
--6.11B
Capital de los accionistas
Capital ordinario
0.02%5.11B
3.94%5.14B
6.76%5.15B
8.44%5.13B
9.02%5.11B
9.57%4.95B
10.47%4.82B
9.82%4.73B
9.91%4.69B
6.76%4.51B
8.50%4.37B
--4.31B
--4.27B
--4.23B
--4.02B
----
Ganancias retenidas
-11.02%-685.00M
-31.21%-660.00M
-95.89%-668.00M
-102.73%-594.00M
-173.01%-617.00M
-218.35%-503.00M
-266.67%-341.00M
-423.21%-293.00M
-111.21%-226.00M
-64.58%-158.00M
44.64%-93.00M
63.16%-56.00M
---107.00M
---96.00M
---168.00M
---152.00M
Reservas de capital
0.02%5.11B
3.94%5.14B
6.76%5.15B
8.45%5.13B
9.02%5.11B
9.57%4.95B
10.47%4.82B
9.81%4.73B
9.91%4.69B
6.76%4.51B
8.50%4.37B
--4.31B
--4.27B
--4.23B
--4.02B
----
Menos: Acciones en tesorería
359.62%239.00M
321.15%219.00M
298.08%207.00M
407.69%132.00M
136.36%52.00M
333.33%52.00M
333.33%52.00M
--26.00M
--22.00M
--12.00M
--12.00M
----
----
----
----
----
Pérdidas de ganancias que no afectan a las ganancias retenidas
-48.00%39.00M
-33.80%47.00M
-50.00%48.00M
-35.00%65.00M
-7.41%75.00M
-25.26%71.00M
10.34%96.00M
63.93%100.00M
84.09%81.00M
1087.50%95.00M
3000.00%87.00M
654.55%61.00M
--44.00M
--8.00M
---3.00M
---11.00M
Intereses no controladores
-55.56%4.00M
-98.57%4.00M
-98.91%4.00M
-99.09%4.00M
-97.97%9.00M
-56.92%280.00M
-52.84%366.00M
-43.65%439.00M
-43.08%444.00M
-17.51%650.00M
-5.94%776.00M
--779.00M
--780.00M
--788.00M
--825.00M
----
Capital total
-6.52%4.23B
-9.05%4.31B
-11.57%4.33B
-9.63%4.48B
-8.84%4.53B
-6.82%4.74B
-4.53%4.89B
-2.77%4.95B
-0.34%4.97B
3.27%5.09B
9.53%5.12B
637.34%5.09B
--4.98B
--4.93B
--4.68B
--691.00M
Unidad monetaria
USD
USD
USD
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USD
USD
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Opiniones de evaluación
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