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Burford Capital Ltd

BUR

12.640USD

+0.210+1.69%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
2.76BCap. mercado
13.31P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q3
FY2023Q2
FY2023Q1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Activos actuales
Efectivo y equivalentes de efectivo
0.82%486.64M
--469.93M
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631.39%482.67M
--255.57M
--365.34M
--65.99M
-40.27%107.66M
83.41%353.16M
-44.03%180.25M
-26.03%192.56M
72.59%322.08M
11.98%260.31M
-29.72%186.62M
-3.43%232.47M
96.10%265.55M
24.26%240.74M
-14.50%135.41M
243.67%193.74M
248.70%158.37M
178.66%56.37M
-51.50%45.42M
31.90%20.23M
62.38%93.64M
-43.74%15.34M
125.62%57.67M
101.81%27.26M
--25.56M
--13.51M
Total de activos corrientes
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33.03%482.10M
118.37%489.90M
55.89%362.41M
17.20%224.34M
-3.97%232.48M
-13.90%191.41M
-6.13%242.10M
7.24%222.32M
175.47%257.92M
90.53%207.32M
9.35%93.63M
3.61%108.81M
-19.21%85.62M
--105.02M
--105.98M
Activos no corrientes
Activos fijos netos
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7.35%14.03M
-27.77%9.75M
-14.16%13.07M
-24.51%13.50M
-24.57%15.22M
65.53%17.88M
981.67%20.18M
408.95%10.80M
-22.22%1.87M
-3.24%2.12M
11.27%2.40M
123.78%2.19M
282.95%2.16M
46.71%980.00K
45.85%563.00K
34.14%668.00K
-23.41%386.00K
7.56%498.00K
-10.80%504.00K
88.98%463.00K
--565.00K
--245.00K
-Activos fijos
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--23.67M
--13.03M
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-Depreciación acumulada
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--3.49M
--2.23M
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Fondo de comercio y otros activos intangibles
0.02%133.98M
--133.95M
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0.01%133.96M
--133.92M
--133.96M
--133.94M
-0.08%133.91M
-0.09%133.92M
-0.01%134.02M
-2.79%134.04M
-6.08%134.03M
-6.46%137.89M
-6.22%142.70M
-6.07%147.41M
-5.91%152.16M
-6.32%156.94M
-6.70%161.71M
16569.35%167.53M
15529.13%173.33M
-14.61%1.00M
--1.11M
-71.46%1.18M
-100.00%0.00
-70.45%4.12M
-53.90%9.77M
-46.16%13.96M
--21.20M
--25.92M
Total de activos
2.80%6.18B
--6.18B
13.55%6.27B
18.21%6.12B
28.43%6.01B
--5.53B
--5.18B
--4.68B
14.62%4.29B
18.34%3.85B
14.50%3.74B
22.80%3.25B
23.21%3.27B
5.01%2.65B
14.36%2.65B
39.92%2.52B
54.67%2.32B
50.53%1.80B
54.85%1.50B
58.10%1.20B
62.97%968.23M
40.00%756.78M
11.41%594.11M
49.60%540.55M
41.79%533.25M
8.29%361.34M
9.01%376.08M
1.47%333.68M
--345.01M
--328.83M
Pasivos
Pasivos corrientes
Deuda a corto plazo y pasivos por arrendamiento
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184.48%72.49M
211.30%112.82M
--25.48M
--36.24M
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-Deuda a corto plazo
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180.89%71.57M
211.30%112.82M
--25.48M
--36.24M
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-Pasivos por arrendamiento a corto plazo
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--916.00K
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Total pasivos corrientes
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82.97%100.73M
159.43%172.86M
213.12%55.05M
-29.85%66.63M
35.60%17.58M
242.91%94.99M
70.45%12.97M
119.09%27.70M
5.14%7.61M
-43.42%12.64M
-10.28%7.24M
185.91%22.34M
90.14%8.06M
--7.81M
--4.24M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-2.64%1.76B
--1.76B
-100.00%0.00
-100.00%0.00
43.62%1.81B
--1.52B
--1.66B
--1.26B
22.46%1.25B
21.19%1.25B
53.12%1.02B
65.31%1.03B
1.82%667.81M
-1.91%625.63M
2.70%655.88M
-2.44%637.79M
31.16%638.66M
39.68%653.76M
77.72%486.93M
86.28%468.04M
108.71%273.99M
80.36%251.26M
-4.92%131.28M
--139.31M
--138.07M
--0.00
--0.00
--0.00
--0.00
--0.00
-Deuda a largo plazo
-2.64%1.76B
--1.76B
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43.62%1.81B
--1.52B
--1.66B
--1.26B
22.46%1.25B
21.19%1.25B
53.12%1.02B
65.31%1.03B
1.82%667.81M
-1.91%625.63M
2.70%655.88M
-2.44%637.79M
31.16%638.66M
39.68%653.76M
77.72%486.93M
86.28%468.04M
108.71%273.99M
80.36%251.26M
-4.92%131.28M
--139.31M
--138.07M
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Total pasivos
4.65%3.02B
--2.92B
19.62%2.98B
18.30%2.89B
42.31%2.89B
--2.49B
--2.44B
--2.03B
16.39%1.90B
9.86%1.81B
31.26%1.63B
78.41%1.65B
11.21%1.24B
-2.90%925.30M
17.07%1.12B
12.46%952.90M
36.39%955.83M
72.43%847.31M
88.35%700.79M
85.83%491.39M
132.43%372.07M
79.98%264.42M
6.22%160.08M
1726.66%146.92M
513.36%150.71M
-29.30%8.04M
90.44%24.57M
-46.10%11.38M
--12.90M
--21.11M
Capital de los accionistas
Capital ordinario
2.05%655.80M
--652.45M
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2.52%642.65M
--633.33M
--630.02M
--626.85M
-0.01%625.12M
1.99%624.14M
0.62%625.18M
-0.02%611.94M
1.87%621.34M
2.61%612.04M
2.26%609.95M
69.81%596.45M
69.81%596.45M
0.00%351.25M
0.00%351.25M
6.84%351.25M
6.84%351.25M
0.00%328.75M
0.00%328.75M
0.00%328.75M
0.00%328.75M
0.00%328.75M
8.78%328.75M
13.21%328.75M
--302.21M
--290.38M
Ganancias retenidas
11.00%1.80B
--1.77B
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21.84%1.62B
--1.57B
--1.29B
--1.33B
0.60%1.07B
-9.75%890.57M
-6.03%1.07B
-11.00%986.77M
23.10%1.14B
20.99%1.11B
28.90%923.04M
61.53%916.41M
69.25%716.08M
81.16%567.35M
118.51%423.08M
118.98%313.17M
88.81%193.62M
116.83%143.02M
91.32%102.55M
182.37%65.96M
139.06%53.60M
614.86%23.36M
-24.69%22.42M
-126.30%-4.54M
--29.77M
--17.25M
Reservas de capital
13.25%45.76M
--42.41M
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44.13%40.41M
--34.51M
--31.21M
--28.04M
-0.23%26.30M
--25.33M
17.03%26.37M
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--22.53M
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Menos: Acciones en tesorería
180.90%24.88M
--9.57M
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1093.67%8.86M
--4.48M
--742.00K
--742.00K
--3.75M
--3.75M
--0.00
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Pérdidas de ganancias que no afectan a las ganancias retenidas
-29.95%6.09M
--10.12M
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-76.61%8.70M
--13.15M
--19.02M
--37.17M
1511.27%47.05M
--39.45M
-43.21%2.92M
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--5.14M
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80.61%36.08M
257.81%34.28M
-25.03%19.98M
-74.64%9.58M
29.41%26.64M
1218.46%37.79M
2304.39%20.59M
784.57%2.87M
-172.01%-934.00K
-4.42%324.00K
167.80%1.30M
166.93%339.00K
-4247.73%-1.91M
--127.00K
---44.00K
Intereses no controladores
-15.99%726.21M
--837.40M
4.39%865.24M
17.01%929.12M
30.76%864.47M
--828.88M
--794.04M
--661.08M
56.37%644.49M
--481.41M
58.30%412.14M
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--260.35M
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-100.00%0.00
--0.00
--137.00K
Capital total
1.10%3.16B
--3.26B
8.57%3.30B
18.14%3.23B
17.82%3.13B
--3.04B
--2.74B
--2.65B
13.24%2.39B
27.09%2.03B
4.20%2.11B
-7.09%1.60B
31.97%2.02B
9.81%1.72B
12.46%1.53B
64.31%1.57B
70.70%1.36B
35.26%953.73M
33.95%798.56M
43.21%705.09M
37.36%596.16M
25.08%492.36M
13.46%434.03M
11.42%393.64M
8.83%382.54M
9.62%353.30M
5.84%351.51M
4.74%322.30M
--332.11M
--307.72M
Unidad monetaria
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Opiniones de evaluación
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