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Claritev Corp

CTEV
42.670USD
+0.890+2.13%
Cierre 12/24, 13:00ETCotizaciones retrasadas 15 min
704.46MCap. mercado
PérdidaP/E TTM
Puede mirar aquí los balances anuales o trimestrales de Claritev Corp 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
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-54.79%39.15M
15.63%56.39M
-60.59%23.13M
-76.45%16.85M
-14.53%86.60M
-45.67%48.77M
-77.91%58.70M
-78.58%71.55M
-76.93%101.32M
-74.67%89.76M
-24.26%265.73M
80.25%334.05M
95.04%439.12M
139.45%354.31M
159.81%350.83M
46.21%185.33M
6958.89%225.14M
4906.86%147.97M
3980.04%135.03M
--126.75M
--3.19M
--2.96M
--3.31M
Efectivo y equivalentes de efectivo
-54.79%39.15M
15.63%56.39M
-60.59%23.13M
-76.45%16.85M
-14.53%86.60M
-45.67%48.77M
-77.91%58.70M
-78.58%71.55M
-76.93%101.32M
-74.67%89.76M
-24.26%265.73M
80.25%334.05M
95.04%439.12M
139.45%354.31M
159.81%350.83M
46.21%185.33M
6958.89%225.14M
4906.86%147.97M
3980.04%135.03M
--126.75M
--3.19M
--2.96M
--3.31M
Por cobrar
54.62%126.99M
51.78%123.58M
13.37%93.47M
17.24%89.76M
18.45%82.13M
16.47%81.42M
22.99%82.44M
-2.98%76.56M
-4.12%69.34M
-25.64%69.90M
-14.29%67.03M
-21.02%78.91M
8.65%72.32M
53.79%94.00M
44.51%78.21M
58.08%99.91M
--66.56M
--61.13M
--54.12M
--63.20M
----
----
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-Cuentas y pagarés por cobrar
54.62%126.99M
51.78%123.58M
13.37%93.47M
17.24%89.76M
18.45%82.13M
16.47%81.42M
22.99%82.44M
-2.98%76.56M
-4.12%69.34M
-25.64%69.90M
-14.29%67.03M
-21.02%78.91M
8.65%72.32M
53.79%94.00M
44.51%78.21M
58.08%99.91M
--66.56M
--61.13M
--54.12M
--63.20M
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Gastos prepago
231.32%54.79M
9.48%26.24M
11.45%27.17M
9.86%27.24M
-27.62%16.54M
-36.45%23.97M
-10.91%24.38M
5.09%24.80M
78.06%22.84M
120.86%37.72M
25.10%27.36M
-21.28%23.59M
-1.09%12.83M
-75.88%17.08M
7.94%21.87M
69.27%29.97M
4257.19%12.97M
17675.82%70.81M
4629.62%20.26M
--17.71M
--297.69K
--398.32K
--428.45K
Otros activos corrientes
39.08%36.53M
7.42%40.93M
71.16%41.07M
101.38%41.67M
44.62%26.26M
227.08%38.10M
111.76%24.00M
103.08%20.69M
296.01%18.16M
197.47%11.65M
193.02%11.33M
151.58%10.19M
203.31%4.59M
184.39%3.92M
68.28%3.87M
239.48%4.05M
--1.51M
--1.38M
--2.30M
--1.19M
----
----
----
Total de activos corrientes
21.71%257.46M
28.54%247.14M
-2.47%184.84M
-9.34%175.51M
-0.06%211.53M
-8.02%192.26M
-48.98%189.51M
-56.67%193.59M
-59.98%211.66M
-55.46%209.03M
-18.32%371.45M
39.93%446.74M
72.73%528.86M
66.85%469.31M
114.81%454.77M
52.86%319.26M
8680.30%306.18M
8287.18%281.28M
5563.76%211.71M
--208.85M
--3.49M
--3.35M
--3.74M
Activos no corrientes
Activos fijos netos
7.78%330.29M
6.34%323.41M
6.59%315.88M
7.54%308.75M
10.67%306.44M
12.08%304.13M
13.18%296.34M
11.68%287.11M
11.34%276.91M
10.25%271.35M
5.25%261.83M
5.64%257.07M
8.42%248.71M
7.74%246.13M
8.75%248.76M
11.13%243.34M
--229.39M
--228.46M
--228.75M
--218.97M
----
----
----
-Activos fijos
----
----
----
--729.17M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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-Depreciación acumulada
----
----
----
--420.43M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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Fondo de comercio y otros activos intangibles
-8.35%4.37B
-14.57%4.46B
-22.43%4.54B
-28.36%4.63B
-27.16%4.77B
-21.36%5.22B
-10.72%5.86B
-2.76%6.46B
-11.42%6.55B
-11.28%6.63B
-13.26%6.56B
-13.11%6.65B
-4.42%7.39B
-4.39%7.48B
-4.34%7.56B
-2.47%7.65B
--7.73B
--7.82B
--7.91B
--7.84B
----
----
----
Otros activos no actuales
-0.95%31.00M
54.72%43.91M
70.40%40.32M
70.38%37.10M
48.55%31.30M
31.94%28.38M
9.07%23.66M
-0.54%21.78M
-4.78%21.07M
-4.43%21.51M
135.09%21.69M
125.70%21.89M
166.27%22.13M
183.65%22.50M
11.53%9.23M
-31.83%9.70M
--8.31M
593318.10%7.93M
--8.27M
--14.23M
--0.00
--1.34K
--0.00
Total de activos no actuales
-7.34%4.73B
-13.07%4.82B
-20.68%4.90B
-26.52%4.98B
-25.39%5.11B
-19.88%5.55B
-9.74%6.18B
-2.21%6.77B
-10.67%6.85B
-10.57%6.93B
-12.49%6.84B
-12.36%6.92B
-3.88%7.66B
-3.86%7.75B
-3.96%7.82B
-2.15%7.90B
622.14%7.97B
629.71%8.06B
637.60%8.14B
--8.07B
--1.10B
--1.10B
--1.10B
Total de activos
-6.18%4.99B
-11.67%5.07B
-20.14%5.08B
-26.04%5.15B
-24.63%5.32B
-19.54%5.74B
-11.76%6.37B
-5.51%6.96B
-13.85%7.06B
-13.14%7.14B
-12.81%7.22B
-10.33%7.37B
-1.04%8.19B
-1.48%8.22B
-0.95%8.28B
-0.76%8.22B
647.51%8.28B
652.90%8.34B
654.23%8.36B
--8.28B
--1.11B
--1.11B
--1.11B
Pasivos
Pasivos corrientes
-Otros por pagar
-26.99%54.26M
79.42%100.25M
-29.13%53.41M
-2.28%55.53M
-2.84%74.31M
-1.74%55.88M
-1.98%75.36M
-1.99%56.83M
-5.13%76.49M
3.02%56.87M
-1.63%76.88M
4.12%57.98M
0.42%80.62M
86.51%55.20M
12.09%78.15M
76.62%55.69M
--80.28M
--29.60M
--69.72M
--31.53M
----
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Gastos acumulados
27.89%100.62M
10.55%79.39M
-6.36%47.87M
-24.88%54.30M
25.66%78.68M
27.16%71.81M
11.96%51.12M
-14.92%72.28M
-17.53%62.61M
-1.39%56.48M
-9.46%45.66M
60.03%84.95M
9.24%75.92M
-11.55%57.27M
-16.22%50.43M
8.13%53.09M
693.36%69.50M
4182.39%64.75M
120282.00%60.19M
--49.09M
--8.76M
--1.51M
--50.00K
Deuda a corto plazo y pasivos por arrendamiento
10.87%14.69M
10.87%14.69M
10.87%14.69M
0.00%13.25M
0.00%13.25M
0.00%13.25M
0.00%13.25M
0.00%13.25M
0.00%13.25M
0.00%13.25M
0.00%13.25M
0.00%13.25M
--13.25M
--13.25M
--13.25M
--13.25M
----
----
----
----
--0.00
--0.00
--0.00
-Deuda a corto plazo
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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--0.00
--0.00
--0.00
Otros pasivos corrientes
-26.99%54.26M
79.42%100.25M
-29.13%53.41M
-2.28%55.53M
-2.84%74.31M
-1.74%55.88M
-1.98%75.36M
-1.99%56.83M
-5.13%76.49M
3.02%56.87M
-1.63%76.88M
4.12%57.98M
0.42%80.62M
86.51%55.20M
12.09%78.15M
76.62%55.69M
--80.28M
--29.60M
--69.72M
--31.53M
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Total pasivos corrientes
5.87%213.32M
39.98%253.14M
-7.03%180.47M
28.22%213.79M
17.36%201.50M
22.68%180.84M
24.61%194.11M
-5.18%166.74M
-25.34%171.69M
-0.40%147.40M
-22.87%155.77M
23.91%175.84M
37.57%229.97M
32.42%148.00M
-6.54%201.97M
26.14%141.91M
1742.86%167.16M
5589.78%111.77M
55697.66%216.10M
--112.50M
--9.07M
--1.96M
--387.29K
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
2.50%4.63B
2.32%4.63B
1.88%4.61B
-0.58%4.52B
-1.24%4.52B
-2.12%4.53B
-2.10%4.53B
-4.47%4.55B
-6.55%4.58B
-5.61%4.62B
-5.68%4.62B
-2.92%4.76B
-0.38%4.90B
-0.18%4.90B
-0.07%4.90B
6.51%4.91B
327636.93%4.92B
--4.91B
--4.91B
--4.61B
--1.50M
--0.00
--0.00
-Deuda a largo plazo
2.36%4.62B
2.27%4.61B
1.96%4.60B
-0.51%4.51B
-1.05%4.51B
-2.02%4.51B
-2.02%4.51B
-4.41%4.53B
-6.54%4.56B
-5.62%4.60B
-5.62%4.60B
-2.81%4.74B
-0.33%4.88B
-0.09%4.88B
-0.02%4.88B
6.57%4.88B
326110.67%4.89B
--4.88B
--4.88B
--4.58B
--1.50M
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-Pasivos por arrendamiento a largo plazo
67.14%16.24M
17.39%17.21M
-19.17%12.85M
-19.56%13.78M
-47.60%9.72M
-25.65%14.66M
-19.64%15.90M
-18.04%17.12M
-9.00%18.54M
-3.42%19.72M
-17.67%19.79M
-21.82%20.89M
-11.01%20.37M
-17.41%20.41M
-10.08%24.04M
-2.81%26.73M
--22.89M
--24.72M
--26.73M
--27.50M
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Otros pasivos no corrientes
-100.00%0.00
-43.76%2.58M
-43.72%4.20M
-79.15%3.60M
49.60%11.68M
-4.98%4.59M
83.13%7.46M
598.79%17.26M
-40.44%7.80M
-92.73%4.84M
-93.36%4.07M
-96.67%2.47M
-81.63%13.10M
-55.06%66.49M
-8.06%61.37M
-30.45%74.14M
85.25%71.32M
284.33%147.97M
73.37%66.75M
--106.59M
--38.50M
--38.50M
--38.50M
Total pasivos no corrientes
-0.64%4.88B
-2.00%4.86B
-2.26%4.89B
-4.63%4.85B
-4.41%4.91B
-5.03%4.96B
-5.10%5.00B
-5.84%5.09B
-7.04%5.14B
-7.75%5.22B
-7.24%5.27B
-5.74%5.40B
-4.01%5.53B
-3.95%5.66B
-1.39%5.68B
2.15%5.73B
14290.74%5.76B
15203.89%5.89B
14687.68%5.76B
--5.61B
--40.00M
--38.50M
--38.97M
Total pasivos
-0.38%5.09B
-0.53%5.11B
-2.44%5.07B
-3.59%5.07B
-3.70%5.11B
-4.27%5.14B
-4.25%5.20B
-5.82%5.26B
-7.77%5.31B
-7.56%5.37B
-7.77%5.43B
-5.02%5.58B
-2.84%5.76B
-3.28%5.81B
-1.58%5.88B
2.62%5.88B
11971.25%5.92B
14737.18%6.00B
15091.25%5.98B
--5.73B
--49.07M
--40.46M
--39.36M
Capital de los accionistas
Capital ordinario
1.05%2.39B
1.06%2.38B
1.08%2.38B
1.04%2.37B
0.96%2.37B
0.87%2.36B
0.75%2.35B
0.77%2.35B
0.71%2.34B
0.87%2.34B
0.83%2.33B
0.81%2.33B
0.80%2.33B
0.58%2.32B
0.74%2.31B
-8.64%2.31B
116.67%2.31B
116.35%2.31B
115.65%2.30B
--2.53B
--1.07B
--1.07B
--1.07B
Ganancias retenidas
-17.02%-2.35B
-41.06%-2.28B
-113.33%-2.22B
-329.62%-2.15B
-328.96%-2.01B
-264.09%-1.62B
-198.91%-1.04B
-43.56%-499.31M
-254.77%-467.92M
-257.03%-443.77M
-229.17%-347.59M
-254.50%-347.80M
51.04%302.34M
131.68%282.60M
59.31%269.09M
92.41%225.11M
2974.98%200.17M
7096.08%121.98M
5474.39%168.91M
--117.00M
---6.96M
--1.70M
--3.03M
Reservas de capital
1.05%2.39B
1.06%2.38B
1.08%2.38B
1.04%2.37B
0.96%2.37B
0.87%2.36B
0.75%2.35B
0.78%2.35B
0.71%2.34B
0.87%2.34B
0.83%2.33B
0.81%2.33B
0.80%2.33B
0.58%2.32B
0.74%2.31B
-8.64%2.31B
19201.53%2.31B
69709.25%2.30B
116716.22%2.30B
--2.53B
--11.96M
--3.30M
--1.97M
Menos: Acciones en tesorería
0.00%138.73M
0.00%138.73M
0.00%138.73M
8.08%138.73M
9.86%138.73M
9.86%138.73M
-29.89%138.73M
-33.20%128.36M
-34.28%126.28M
-34.28%126.28M
2.98%197.89M
0.00%192.17M
25.40%192.17M
109.03%192.17M
113.82%192.17M
114.45%192.17M
--153.25M
--91.93M
--89.87M
--89.61M
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Pérdidas de ganancias que no afectan a las ganancias retenidas
58.75%-5.14M
-429.35%-5.93M
-106.64%-6.69M
57.01%-5.06M
-3362.30%-12.46M
---1.12M
---3.24M
---11.78M
--382.00K
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Capital total
-149.06%-101.83M
-106.61%-39.91M
-98.73%14.82M
-95.08%84.02M
-88.14%207.56M
-65.88%603.36M
-34.55%1.17B
-4.55%1.71B
-28.21%1.75B
-26.58%1.77B
-25.22%1.79B
-23.63%1.79B
3.47%2.44B
3.16%2.41B
0.63%2.39B
-8.33%2.34B
122.53%2.36B
118.82%2.34B
122.44%2.38B
--2.56B
--1.06B
--1.07B
--1.07B
Unidad monetaria
USD
USD
USD
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USD
USD
USD
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USD
USD
USD
USD
USD
USD
USD
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USD
USD
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USD
Opiniones de evaluación
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Preguntas frecuentes

¿Qué es el balance general?

Es un informe financiero que resume los activos, las responsabilidades y el patrimonio neto de una empresa en un momento determinado.
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