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Mercado
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nasdaq-cpng
/
Coupang Inc
CPNG
28.740
USD
-0.690
-2.34%
Cierre 08/01, 16:00(ET)
Cotizaciones retrasadas 15 min
USD
0.000
Fuera de horario (ET)
51.93B
Cap. mercado
202.86
P/E TTM
Coupang Inc
28.740
-0.690
-2.34%
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
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
FY2021Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
16.97%
6.11B
12.13%
5.88B
19.85%
5.82B
23.76%
5.54B
37.81%
5.23B
49.40%
5.24B
67.34%
4.86B
43.95%
4.47B
12.55%
3.79B
0.62%
3.51B
-26.10%
2.90B
-27.48%
3.11B
-22.24%
3.37B
--
3.49B
--
3.93B
--
4.28B
--
4.33B
Efectivo y equivalentes de efectivo
16.97%
6.11B
12.13%
5.88B
19.85%
5.82B
23.76%
5.54B
37.81%
5.23B
49.40%
5.24B
67.34%
4.86B
43.95%
4.47B
12.55%
3.79B
0.62%
3.51B
-26.10%
2.90B
-27.48%
3.11B
-22.24%
3.37B
--
3.49B
--
3.93B
--
4.28B
--
4.33B
Por cobrar
-19.47%
484.00M
29.62%
407.00M
81.35%
517.00M
293.94%
547.00M
373.63%
601.00M
70.22%
314.00M
68.26%
285.08M
-26.00%
138.85M
-25.62%
126.89M
5.20%
184.46M
26.14%
169.42M
45.41%
187.64M
109.53%
170.60M
--
175.35M
--
134.32M
--
129.04M
--
81.42M
-Cuentas y pagarés por cobrar
-19.47%
484.00M
29.62%
407.00M
81.35%
517.00M
293.94%
547.00M
373.63%
601.00M
70.22%
314.00M
68.26%
285.08M
-26.00%
138.85M
-25.62%
126.89M
5.20%
184.46M
26.14%
169.42M
45.41%
187.64M
109.53%
170.60M
--
175.35M
--
134.32M
--
129.04M
--
81.42M
Inventario
5.73%
2.05B
25.99%
2.10B
32.94%
2.18B
27.25%
1.99B
16.25%
1.94B
0.55%
1.67B
16.65%
1.64B
7.85%
1.57B
20.95%
1.67B
16.56%
1.66B
16.02%
1.41B
17.96%
1.45B
5.47%
1.38B
--
1.42B
--
1.21B
--
1.23B
--
1.31B
Otros activos corrientes
-30.35%
560.00M
-8.97%
609.00M
7.10%
692.00M
36.09%
734.00M
52.15%
804.00M
39.53%
669.00M
43.84%
646.12M
30.03%
539.36M
-6.32%
528.42M
-13.18%
479.48M
-29.40%
449.19M
8.08%
414.79M
29.60%
564.04M
--
552.25M
--
636.25M
--
383.78M
--
435.23M
Total de activos corrientes
7.43%
9.21B
13.96%
8.99B
23.99%
9.21B
31.15%
8.81B
40.14%
8.57B
35.37%
7.89B
50.76%
7.43B
30.13%
6.72B
11.53%
6.11B
3.43%
5.83B
-16.63%
4.93B
-14.38%
5.16B
-10.95%
5.48B
--
5.64B
--
5.91B
--
6.03B
--
6.16B
Activos no corrientes
Activos fijos netos
19.20%
5.27B
18.77%
4.83B
42.12%
5.24B
28.46%
4.56B
40.25%
4.42B
26.07%
4.07B
30.09%
3.68B
21.99%
3.55B
9.01%
3.15B
18.48%
3.23B
16.69%
2.83B
26.71%
2.91B
31.44%
2.89B
--
2.72B
--
2.43B
--
2.29B
--
2.20B
-Activos fijos
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
20.22%
3.76B
16.72%
3.27B
27.49%
3.35B
31.27%
3.34B
--
3.13B
--
2.80B
--
2.63B
--
2.54B
-Depreciación acumulada
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
31.77%
538.94M
16.92%
440.15M
32.77%
446.79M
30.22%
446.32M
--
408.99M
--
376.45M
--
336.51M
--
342.75M
Fondo de comercio y otros activos intangibles
-38.40%
215.00M
--
271.00M
--
306.00M
--
319.00M
--
349.00M
--
--
--
--
--
--
--
--
--
--
159.51%
10.12M
137.33%
9.71M
133.90%
9.54M
--
9.74M
--
3.90M
--
4.09M
--
4.08M
Otros activos no actuales
-19.57%
1.29B
-9.94%
1.25B
254.11%
1.59B
256.80%
1.51B
263.14%
1.61B
203.33%
1.39B
25.92%
448.17M
22.14%
423.49M
43.22%
443.36M
67.53%
457.58M
45.51%
355.93M
39.91%
346.72M
31.17%
309.57M
--
273.13M
--
244.61M
--
247.82M
--
236.01M
Total de activos no actuales
6.27%
6.78B
16.43%
6.35B
72.51%
7.13B
60.85%
6.39B
77.44%
6.38B
48.09%
5.45B
29.21%
4.13B
21.64%
3.97B
11.98%
3.60B
22.55%
3.68B
19.53%
3.20B
28.18%
3.26B
31.58%
3.21B
--
3.01B
--
2.68B
--
2.55B
--
2.44B
Total de activos
6.94%
15.99B
14.97%
15.34B
41.33%
16.34B
42.18%
15.20B
53.95%
14.95B
40.29%
13.35B
42.28%
11.56B
26.85%
10.69B
11.70%
9.71B
10.08%
9.51B
-5.36%
8.13B
-1.74%
8.43B
1.12%
8.69B
--
8.64B
--
8.59B
--
8.57B
--
8.60B
Pasivos
Pasivos corrientes
-Otros por pagar
-1.37%
646.00M
12.74%
593.00M
45.23%
765.00M
44.82%
654.00M
43.36%
655.00M
25.63%
526.00M
94.89%
526.76M
69.58%
451.59M
45.55%
456.91M
56.98%
418.68M
-10.06%
270.30M
8.48%
266.30M
48.75%
313.91M
--
266.71M
--
300.52M
--
245.47M
--
211.03M
Gastos acumulados
0.77%
391.00M
30.97%
461.00M
51.66%
473.00M
89.74%
516.00M
57.02%
388.00M
17.78%
352.00M
25.36%
311.89M
12.69%
271.95M
-1.01%
247.10M
-1.78%
298.87M
51.08%
248.79M
85.70%
241.32M
85.10%
249.62M
--
304.29M
--
164.68M
--
129.95M
--
134.86M
Deuda a corto plazo y pasivos por arrendamiento
18.80%
556.00M
12.37%
545.00M
-34.75%
401.00M
19.86%
501.00M
25.64%
468.00M
59.36%
485.00M
278.50%
614.52M
679.00%
418.00M
85.35%
372.48M
-12.93%
304.34M
-70.69%
162.36M
-91.65%
53.66M
-38.26%
200.96M
--
349.53M
--
553.94M
--
642.77M
--
325.48M
-Deuda a corto plazo
104.41%
556.00M
69.86%
479.00M
63.30%
379.00M
44.67%
336.00M
21.73%
272.00M
60.77%
282.00M
45.39%
232.09M
388.42%
232.25M
2807.18%
223.45M
2145.59%
175.40M
-5.01%
159.64M
-72.41%
47.55M
-95.02%
7.69M
--
7.81M
--
168.05M
--
172.37M
--
154.22M
Pasivos diferidos
27.41%
172.00M
45.36%
141.00M
123.32%
191.00M
49.05%
139.00M
44.75%
135.00M
5.02%
97.00M
-33.82%
85.53M
-11.55%
93.25M
-7.25%
93.26M
-1.71%
92.36M
60.64%
129.24M
46.51%
105.43M
56.46%
100.55M
--
93.97M
--
80.45M
--
71.96M
--
64.27M
Otros pasivos corrientes
3.54%
818.00M
17.82%
734.00M
56.13%
956.00M
45.55%
793.00M
43.59%
790.00M
21.91%
623.00M
53.25%
612.29M
46.57%
544.84M
32.74%
550.17M
41.69%
511.04M
4.87%
399.53M
17.10%
371.72M
50.55%
414.46M
--
360.68M
--
380.98M
--
317.43M
--
275.30M
Total pasivos corrientes
6.40%
7.91B
11.10%
7.72B
25.81%
8.19B
39.24%
7.86B
43.70%
7.43B
37.19%
6.95B
61.46%
6.51B
32.37%
5.64B
15.12%
5.17B
6.71%
5.06B
-11.96%
4.03B
-6.01%
4.26B
14.74%
4.49B
--
4.74B
--
4.58B
--
4.54B
--
3.92B
Pasivos no corrientes
Provisiones a largo plazo
2.05%
597.00M
81.89%
693.00M
134.15%
716.00M
104.97%
603.00M
112.57%
585.00M
43.81%
381.00M
37.62%
305.79M
28.20%
294.19M
8.60%
275.20M
11.72%
264.92M
31.10%
222.19M
43.71%
229.48M
69.61%
253.41M
--
237.12M
--
169.49M
--
159.68M
--
149.40M
Deuda a largo plazo y pasivos por arrendamiento
12.82%
3.08B
43.95%
2.76B
73.58%
3.16B
41.18%
2.79B
60.50%
2.73B
8.15%
1.92B
7.02%
1.82B
5.89%
1.97B
-10.84%
1.70B
19.34%
1.77B
33.82%
1.70B
73.20%
1.86B
52.04%
1.91B
--
1.48B
--
1.27B
--
1.08B
--
1.25B
-Deuda a largo plazo
-5.65%
1.00B
86.77%
988.00M
126.26%
1.19B
45.68%
1.05B
103.13%
1.06B
-1.65%
529.00M
-5.95%
527.71M
20.67%
718.68M
-14.44%
522.82M
89.94%
537.88M
231.34%
561.07M
14313.29%
595.56M
123.17%
611.05M
--
283.19M
--
169.33M
--
4.13M
--
273.80M
-Pasivos por arrendamiento a largo plazo
24.58%
2.08B
27.61%
1.77B
52.11%
1.97B
38.61%
1.74B
41.58%
1.67B
12.43%
1.39B
13.39%
1.30B
-1.06%
1.26B
-9.15%
1.18B
2.70%
1.23B
3.51%
1.14B
18.33%
1.27B
32.18%
1.30B
--
1.20B
--
1.10B
--
1.07B
--
981.06M
Beneficios de empleado
2.05%
597.00M
81.89%
693.00M
134.15%
716.00M
104.97%
603.00M
112.57%
585.00M
43.81%
381.00M
37.62%
305.79M
28.20%
294.19M
8.60%
275.20M
11.72%
264.92M
31.10%
222.19M
43.71%
229.48M
69.61%
253.41M
--
237.12M
--
169.49M
--
159.68M
--
149.40M
Pasivos derivados
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
Otros pasivos no corrientes
2.08%
597.00M
81.98%
693.00M
134.15%
716.00M
104.97%
603.00M
112.50%
584.82M
43.75%
380.82M
37.62%
305.79M
28.20%
294.19M
8.60%
275.20M
11.72%
264.92M
31.10%
222.19M
43.71%
229.48M
69.61%
253.41M
--
237.12M
--
169.49M
--
159.68M
--
149.40M
Total pasivos no corrientes
7.94%
3.70B
52.52%
3.53B
86.22%
3.96B
53.51%
3.48B
73.51%
3.43B
13.52%
2.31B
10.55%
2.13B
8.33%
2.27B
-8.56%
1.98B
18.29%
2.04B
33.50%
1.93B
69.39%
2.09B
53.91%
2.16B
--
1.72B
--
1.44B
--
1.24B
--
1.40B
Total pasivos
6.89%
11.61B
21.45%
11.24B
40.70%
12.15B
43.33%
11.34B
51.94%
10.86B
30.40%
9.26B
45.00%
8.63B
24.45%
7.91B
7.43%
7.15B
9.79%
7.10B
-1.07%
5.95B
10.14%
6.36B
25.08%
6.66B
--
6.47B
--
6.02B
--
5.77B
--
5.32B
Capital de los accionistas
Capital ordinario
3.73%
8.90B
2.91%
8.74B
2.65%
8.63B
2.32%
8.51B
4.26%
8.58B
4.11%
8.49B
3.98%
8.40B
3.76%
8.32B
3.65%
8.23B
3.56%
8.15B
3.42%
8.08B
3.43%
8.02B
3.18%
7.94B
--
7.87B
--
7.81B
--
7.75B
--
7.69B
Ganancias retenidas
5.85%
-4.12B
3.51%
-4.23B
19.02%
-4.38B
19.10%
-4.46B
22.54%
-4.38B
23.68%
-4.38B
7.35%
-5.42B
7.22%
-5.51B
3.55%
-5.65B
-1.63%
-5.74B
-11.42%
-5.84B
-20.60%
-5.94B
-33.09%
-5.86B
--
-5.65B
--
-5.25B
--
-4.92B
--
-4.40B
Reservas de capital
3.73%
8.90B
2.91%
8.74B
2.65%
8.63B
2.32%
8.51B
4.26%
8.58B
4.11%
8.49B
3.98%
8.40B
3.76%
8.32B
3.65%
8.23B
3.56%
8.15B
3.42%
8.08B
3.43%
8.01B
3.18%
7.94B
--
7.87B
--
7.81B
--
7.75B
--
7.69B
Pérdidas de ganancias que no afectan a las ganancias retenidas
-233.88%
-404.00M
-2276.47%
-404.00M
12.95%
-51.00M
-477.44%
-198.00M
-660.38%
-121.00M
-866.11%
-17.00M
8.75%
-58.59M
-193.29%
-34.29M
61.11%
-15.91M
104.65%
2.22M
-74758.14%
-64.21M
54.06%
-11.69M
-169.14%
-40.92M
--
-47.74M
--
86.00K
--
-25.45M
--
-15.20M
Intereses no controladores
-66.67%
2.00M
--
-1.00M
--
4.00M
--
-1.00M
--
6.00M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Capital total
7.07%
4.37B
0.31%
4.10B
43.19%
4.19B
38.90%
3.85B
59.58%
4.09B
69.40%
4.09B
34.83%
2.93B
34.20%
2.78B
25.66%
2.56B
10.94%
2.41B
-15.43%
2.17B
-26.21%
2.07B
-37.80%
2.04B
--
2.18B
--
2.57B
--
2.80B
--
3.28B
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
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