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Blacksky Technology Inc

BKSY

20.585USD

+1.725+9.15%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
645.46MCap. 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
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
114.23%75.82M
-0.10%52.46M
27.31%63.25M
-28.51%41.23M
-48.52%35.39M
-27.23%52.51M
-43.48%49.68M
-46.92%57.68M
-49.40%68.76M
-56.42%72.16M
-54.91%87.90M
--108.66M
--135.89M
--165.59M
--194.94M
Efectivo y equivalentes de efectivo
38.64%20.75M
-60.21%13.06M
74.74%56.16M
-37.83%25.55M
-73.73%14.96M
-4.00%32.81M
-13.61%32.14M
-36.60%41.10M
-58.08%56.96M
-79.36%34.18M
-80.92%37.20M
--64.83M
--135.89M
--165.59M
--194.94M
-Inversiones a corto plazo
169.61%55.08M
100.06%39.41M
-59.59%7.09M
-5.42%15.68M
73.24%20.43M
-48.14%19.70M
-65.40%17.54M
-62.18%16.58M
--11.79M
--37.98M
--50.70M
--43.83M
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Por cobrar
35.81%40.36M
90.96%42.55M
168.18%37.02M
127.14%36.38M
91.70%29.72M
152.71%22.28M
25.31%13.80M
79.59%16.02M
85.51%15.50M
104.74%8.82M
52.53%11.02M
--8.92M
--8.36M
--4.31M
--7.22M
-Cuentas y pagarés por cobrar
41.99%7.93M
107.91%14.70M
278.92%10.28M
11.43%8.22M
-38.38%5.58M
127.22%7.07M
-46.79%2.71M
115.83%7.38M
64.98%9.06M
18.37%3.11M
3.91%5.10M
--3.42M
--5.49M
--2.63M
--4.91M
-Otros por cobrar
34.38%32.43M
83.08%27.85M
141.08%26.74M
225.88%28.17M
274.64%24.13M
166.61%15.21M
87.49%11.09M
57.09%8.64M
124.85%6.44M
240.05%5.71M
155.73%5.92M
--5.50M
--2.87M
--1.68M
--2.31M
Inventario
--0.00
--6.04M
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Gastos prepago
4.41%4.00M
11.24%4.36M
-5.38%5.09M
3.26%3.74M
-10.69%3.84M
-16.91%3.92M
-2.04%5.38M
-15.37%3.62M
-14.85%4.29M
-24.76%4.71M
0.11%5.49M
--4.28M
--5.04M
--6.26M
--5.48M
Otros activos corrientes
179.18%1.15M
113.57%1.32M
-37.49%1.15M
-40.22%1.10M
-85.43%413.00K
-78.17%619.00K
-35.27%1.83M
-27.12%1.83M
12.59%2.83M
12.59%2.83M
3.85%2.83M
--2.52M
--2.52M
--2.52M
--2.73M
Total de activos corrientes
74.95%121.34M
34.55%106.74M
50.65%106.50M
4.17%82.45M
-24.11%69.36M
-10.39%79.33M
-34.08%70.69M
-36.36%79.15M
-39.80%91.39M
-50.45%88.53M
-49.03%107.24M
--124.37M
--151.80M
--178.68M
--210.38M
Activos no corrientes
Activos fijos netos
0.14%64.49M
-27.79%49.64M
-35.13%49.50M
-32.64%56.70M
-29.01%64.40M
-8.55%68.75M
-2.36%76.31M
0.33%84.18M
35.20%90.72M
6.55%75.17M
260.12%78.16M
--83.90M
--67.10M
--70.55M
--21.70M
-Activos fijos
11.43%174.55M
3.44%164.32M
-1.03%154.63M
-4.04%160.08M
-3.14%156.65M
15.86%158.86M
18.97%156.24M
30.72%166.81M
58.90%161.72M
39.89%137.11M
178.76%131.33M
--127.61M
--101.78M
--98.01M
--47.11M
-Depreciación acumulada
19.30%110.06M
27.26%114.68M
31.53%105.12M
25.11%103.39M
29.93%92.25M
45.49%90.11M
50.32%79.93M
89.06%82.64M
104.78%71.00M
125.56%61.94M
109.26%53.17M
--43.71M
--34.67M
--27.46M
--25.41M
Fondo de comercio y otros activos intangibles
46.49%15.54M
46.10%15.71M
-5.15%10.33M
-5.09%10.47M
-5.03%10.61M
-4.96%10.75M
-4.90%10.89M
-4.85%11.03M
-4.78%11.17M
-4.73%11.31M
-6.22%11.45M
--11.59M
--11.73M
--11.87M
--12.21M
Otros activos no actuales
21.31%75.92M
24.09%80.95M
67.96%76.75M
61.38%72.18M
48.44%62.58M
21.27%65.24M
5.44%45.70M
23.87%44.73M
-19.56%42.16M
32.30%53.80M
-42.46%43.34M
--36.11M
--52.41M
--40.66M
--75.31M
Total de activos no actuales
16.18%163.53M
1.85%147.41M
-2.21%138.95M
-4.76%141.85M
-6.08%140.75M
-0.57%144.74M
3.65%142.10M
8.91%148.94M
10.60%149.86M
14.54%145.56M
21.01%137.10M
--136.76M
--135.50M
--127.09M
--113.30M
Total de activos
35.58%284.87M
13.42%254.15M
15.35%245.46M
-1.66%224.30M
-12.91%210.11M
-4.28%224.07M
-12.91%212.79M
-12.65%228.09M
-16.03%241.25M
-23.44%234.09M
-24.51%244.34M
--261.13M
--287.31M
--305.76M
--323.67M
Pasivos
Pasivos corrientes
-Otros por pagar
53.07%2.64M
-93.82%718.00K
-0.26%1.52M
-2.87%3.31M
-73.10%1.72M
101.30%11.63M
-52.25%1.53M
-22.03%3.41M
-2.44%6.41M
-31.10%5.78M
20.59%3.20M
--4.37M
--6.57M
--8.38M
--2.65M
Gastos acumulados
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-22.53%9.26M
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31.08%11.95M
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--9.11M
--8.19M
Deuda a corto plazo y pasivos por arrendamiento
1133.55%3.75M
--1.93M
--324.00K
--309.00K
--304.00K
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-100.00%0.00
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--49.00K
--49.00K
-Pasivos por arrendamiento a corto plazo
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-100.00%0.00
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--49.00K
--49.00K
Pasivos diferidos
482.89%12.57M
-40.52%2.18M
-36.20%4.22M
45.21%4.58M
-44.31%2.16M
-45.89%3.67M
-26.58%6.62M
-36.04%3.15M
-59.35%3.87M
-39.79%6.78M
-37.60%9.02M
--4.93M
--9.53M
--11.27M
--14.45M
Otros pasivos corrientes
291.96%15.21M
-81.04%2.90M
-29.47%5.75M
20.23%7.89M
-62.26%3.88M
21.80%15.30M
-33.30%8.15M
-29.45%6.56M
-36.12%10.28M
-36.08%12.56M
-28.58%12.22M
--9.30M
--16.10M
--19.65M
--17.11M
Total pasivos corrientes
85.39%32.00M
-5.34%26.02M
0.46%18.75M
13.41%19.68M
-17.22%17.26M
2.09%27.49M
-30.33%18.67M
-25.14%17.35M
-34.06%20.85M
-11.82%26.93M
-2.19%26.80M
--23.18M
--31.63M
--30.54M
--27.39M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
30.30%119.47M
31.48%113.78M
27.39%105.47M
39.53%115.14M
15.46%91.69M
9.06%86.54M
13.48%82.79M
13.94%82.52M
10.44%79.41M
11.12%79.35M
-6.49%72.96M
--72.42M
--71.91M
--71.41M
--78.02M
-Deuda a largo plazo
31.76%111.60M
26.63%105.74M
23.85%98.43M
36.34%108.27M
10.96%84.69M
9.56%83.50M
8.93%79.47M
9.65%79.41M
6.15%76.33M
6.74%76.22M
-6.49%72.96M
--72.42M
--71.91M
--71.41M
--78.02M
-Pasivos por arrendamiento a largo plazo
12.58%7.88M
164.65%8.05M
112.14%7.04M
120.98%6.87M
127.03%7.00M
-2.91%3.04M
--3.32M
--3.11M
--3.08M
--3.13M
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Pasivos diferidos
--24.00M
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128.57%96.00K
--247.00K
-97.73%68.00K
-80.81%109.00K
-93.85%42.00K
--0.00
--3.00M
--568.00K
--683.00K
Pasivos derivados
4.28%16.06M
18.58%17.96M
-57.38%6.56M
-68.73%10.13M
-27.67%15.40M
196.28%15.15M
144.33%15.38M
141.20%32.40M
142.41%21.30M
-69.79%5.11M
-87.89%6.30M
--13.43M
--8.79M
--16.93M
--51.97M
Otros pasivos no corrientes
604.63%28.47M
38.46%2.39M
15.57%4.41M
-61.29%2.81M
419.41%4.04M
108.97%1.72M
-21.76%3.81M
-14.94%7.27M
-90.38%778.00K
-88.66%825.00K
-63.85%4.88M
--8.55M
--8.09M
--7.28M
--13.49M
Total pasivos no corrientes
47.58%164.01M
29.70%134.13M
14.16%116.43M
4.83%128.09M
9.51%111.14M
21.25%103.42M
21.23%101.99M
29.43%122.19M
14.31%101.49M
-10.79%85.29M
-41.37%84.13M
--94.40M
--88.78M
--95.61M
--143.48M
Total pasivos
52.66%196.02M
22.34%160.16M
12.04%135.19M
5.89%147.76M
4.95%128.40M
16.66%130.91M
8.78%120.66M
18.67%139.54M
1.60%122.34M
-11.04%112.22M
-35.09%110.92M
--117.58M
--120.41M
--126.14M
--170.88M
Capital de los accionistas
Capital ordinario
8.81%757.85M
8.39%750.18M
8.69%747.03M
2.38%700.71M
2.23%696.49M
3.77%692.13M
3.56%687.32M
3.58%684.40M
3.58%681.33M
2.53%666.99M
5.49%663.67M
--660.72M
--657.79M
--650.53M
--629.10M
Ganancias retenidas
-8.82%-669.00M
-9.55%-656.19M
-6.99%-636.77M
-4.75%-624.18M
-9.31%-614.78M
-9.88%-598.97M
-12.24%-595.18M
-15.21%-595.86M
-14.57%-562.43M
-15.76%-545.11M
-11.33%-530.25M
---517.17M
---490.90M
---470.91M
---476.30M
Reservas de capital
8.81%757.85M
8.39%750.17M
8.69%747.03M
2.38%700.69M
2.23%696.48M
3.77%692.12M
3.56%687.30M
3.58%684.39M
3.58%681.32M
2.53%666.97M
5.49%663.65M
--660.71M
--657.78M
--650.52M
--629.09M
Capital total
8.73%88.85M
0.89%93.99M
19.68%110.27M
-13.57%76.53M
-31.28%81.71M
-23.56%93.16M
-30.94%92.14M
-38.32%88.55M
-28.76%118.91M
-32.15%121.87M
-12.69%133.41M
--143.55M
--166.90M
--179.62M
--152.80M
Unidad monetaria
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Opiniones de evaluación
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