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Femto Technologies Inc

FMTO
3.530USD
0.000
Cierre 11/04, 16:00ETCotizaciones retrasadas 15 min
20.66KCap. 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
FY2021Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
143.99%16.45M
39.79%3.21M
162.72%4.19M
824.40%5.46M
456.51%6.74M
28.90%2.30M
-30.57%1.59M
-80.74%590.18K
-37.21%1.21M
-24.19%1.78M
-42.36%2.30M
50.89%3.06M
145.25%1.93M
--2.35M
--3.98M
--2.03M
--786.96K
Efectivo y equivalentes de efectivo
143.99%16.45M
39.79%3.21M
162.72%4.19M
824.40%5.46M
456.51%6.74M
28.90%2.30M
-30.57%1.59M
-80.74%590.18K
-37.21%1.21M
-24.19%1.78M
-42.36%2.30M
50.89%3.06M
145.25%1.93M
--2.35M
--3.98M
--2.03M
--786.96K
-Inversiones a corto plazo
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--0.00
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Por cobrar
-9.32%135.94K
57.13%219.44K
38.80%139.19K
139.96%245.85K
46.70%149.91K
-17.63%139.66K
-38.34%100.28K
-14.69%102.45K
-42.55%102.18K
10.94%169.56K
-60.31%162.63K
-65.51%120.09K
-11.79%177.88K
--152.84K
--409.75K
--348.16K
--201.66K
-Cuentas y pagarés por cobrar
-16.43%83.84K
-10.21%78.84K
-9.91%78.17K
59.68%150.93K
3.54%100.33K
-13.44%87.80K
-15.96%86.76K
8.73%94.52K
-14.98%96.90K
-0.43%101.43K
-66.81%103.24K
-65.04%86.93K
1.90%113.97K
--101.87K
--311.02K
--248.65K
--111.85K
-Otros por cobrar
-3.83%25.94K
598.46%94.42K
6820.11%37.55K
13123.17%79.71K
3619.21%26.97K
1712.64%13.52K
-78.64%542.65
-90.01%602.83
-94.35%725.18
-76.54%745.81
-18.56%2.54K
-40.19%6.03K
237.13%12.84K
--3.18K
--3.12K
--10.09K
--3.81K
Gastos prepago
7.59%71.71K
52.70%28.56K
-87.73%51.38K
-77.46%74.91K
-86.23%66.65K
-96.96%18.71K
338.29%418.66K
127.07%332.31K
6748.33%483.90K
1866.54%614.49K
69.00%95.52K
80.12%146.34K
--7.07K
--31.25K
--56.52K
--81.25K
--0.00
Otros activos corrientes
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-100.00%0.00
--0.00
--0.00
--1.92M
--1.93M
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Total de activos corrientes
139.39%16.66M
40.87%3.46M
107.24%4.38M
463.58%5.78M
287.14%6.96M
-4.33%2.45M
-17.27%2.11M
-69.22%1.02M
-55.50%1.80M
-42.52%2.57M
-42.60%2.56M
35.38%3.33M
308.63%4.04M
--4.46M
--4.45M
--2.46M
--988.62K
Activos no corrientes
Activos fijos netos
-36.31%3.29K
-55.86%3.10K
-99.59%3.66K
-99.52%4.42K
-99.46%5.17K
-99.28%7.02K
-15.29%895.79K
15.60%929.40K
35.15%958.14K
184.87%980.49K
335.73%1.06M
431.63%804.00K
888.37%708.96K
--344.18K
--242.68K
--151.23K
--71.73K
-Activos fijos
2.54%181.50K
1.74%178.82K
-83.87%170.07K
-84.09%173.71K
-84.27%177.00K
-84.71%175.77K
-17.31%1.05M
8.07%1.09M
21.55%1.13M
106.55%1.15M
217.63%1.28M
211.42%1.01M
271.57%925.69K
--556.62K
--401.54K
--324.45K
--249.13K
-Depreciación acumulada
3.71%178.21K
4.13%175.72K
4.77%166.41K
4.14%169.29K
2.84%171.83K
-0.26%168.75K
-27.14%158.83K
-21.23%162.56K
-22.91%167.09K
-20.36%169.18K
37.23%218.01K
19.15%206.39K
22.17%216.73K
--212.43K
--158.86K
--173.22K
--177.40K
Fondo de comercio y otros activos intangibles
-26.42%18.10M
-28.82%17.56M
-40.01%19.91M
-27.75%24.40M
-26.83%24.60M
-26.57%24.67M
11.31%33.18M
2355.83%33.77M
2974.79%33.63M
3227.23%33.60M
3315.20%29.81M
66.34%1.38M
227.88%1.09M
--1.01M
--872.85K
--826.78K
--333.54K
Total de activos no actuales
-26.42%18.11M
-28.83%17.56M
-41.57%19.91M
-29.67%24.41M
-28.85%24.61M
-28.63%24.68M
10.40%34.08M
1492.43%34.70M
1818.62%34.58M
2453.86%34.58M
2667.03%30.87M
122.82%2.18M
344.78%1.80M
--1.35M
--1.12M
--978.01K
--405.27K
Total de activos
10.13%34.77M
-22.53%21.02M
-32.88%24.29M
-15.52%30.18M
-13.23%31.57M
-26.96%27.13M
8.29%36.19M
548.51%35.73M
522.74%36.38M
538.58%37.14M
500.39%33.42M
60.25%5.51M
319.14%5.84M
--5.82M
--5.57M
--3.44M
--1.39M
Pasivos
Pasivos corrientes
-Otros por pagar
-55.79%118.60K
-51.04%162.43K
233.10%176.93K
49.39%220.87K
647.29%268.25K
1101.72%331.80K
--53.11K
--147.85K
--35.90K
2589.57%27.61K
-100.00%0.00
--0.00
--0.00
--1.03K
--11.05K
--0.00
--0.00
Gastos acumulados
2.45%48.58K
-25.46%55.40K
-61.73%33.07K
-28.44%42.64K
-0.86%47.42K
-12.50%74.32K
42.53%86.41K
-45.90%59.58K
1.94%47.83K
49.14%84.94K
-42.00%60.63K
-18.00%110.12K
-53.14%46.92K
--56.95K
--104.54K
--134.30K
--100.12K
Deuda a corto plazo y pasivos por arrendamiento
32.53%46.29K
54.26%53.09K
9.34%35.64K
6.02%35.65K
0.25%34.93K
-3.15%34.41K
-8.55%32.60K
-1.81%33.63K
-7.19%34.84K
-7.00%35.53K
-9.86%35.65K
3.78%34.25K
30.12%37.54K
--38.21K
--39.55K
--33.00K
--28.85K
-Deuda a corto plazo
--27.04K
--24.75K
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--0.00
--0.00
--0.00
--0.00
-Pasivos por arrendamiento a corto plazo
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--0.00
--2.61K
--6.29K
--10.41K
Pasivos diferidos
11.21%81.49K
0.21%97.37K
24.96%16.30K
-0.02%15.73K
442.47%73.27K
-40.41%97.16K
-48.22%13.04K
-24.61%15.73K
-17.28%13.51K
598.88%163.06K
-17.90%25.19K
-58.41%20.86K
-77.61%16.33K
--23.33K
--30.68K
--50.16K
--72.92K
Otros pasivos corrientes
-41.41%200.09K
-39.43%259.80K
192.06%193.22K
44.64%236.59K
591.29%341.52K
124.98%428.96K
162.63%66.16K
684.12%163.58K
202.53%49.40K
682.78%190.67K
-39.63%25.19K
-58.41%20.86K
-77.61%16.33K
--24.36K
--41.73K
--50.16K
--72.92K
Total pasivos corrientes
2.51%659.24K
-9.43%592.27K
125.19%480.85K
78.10%470.20K
337.20%643.10K
91.72%653.96K
7.13%213.52K
-11.96%264.01K
-29.98%147.10K
69.04%341.10K
-5.08%199.30K
6.99%299.89K
-56.81%210.09K
--201.78K
--209.97K
--280.29K
--486.40K
Pasivos no corrientes
Provisiones a largo plazo
1.33%70.75K
3.44%69.81K
18.82%70.64K
15.13%70.33K
10.75%69.82K
5.40%67.48K
-4.80%59.45K
1.48%61.09K
-4.78%63.04K
-5.29%64.02K
-5.16%62.45K
-4.87%60.19K
1.35%66.21K
--67.60K
--65.85K
--63.28K
--65.32K
Deuda a largo plazo y pasivos por arrendamiento
-100.00%0.00
-100.00%0.00
-100.00%0.00
-78.98%9.45K
-63.86%19.73K
-56.86%28.33K
-53.05%35.20K
-44.57%44.95K
-44.92%54.59K
-41.04%65.67K
-37.00%74.97K
-34.43%81.09K
-27.86%99.11K
--111.39K
--119.00K
--123.68K
--137.39K
-Deuda a largo plazo
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-100.00%0.00
-100.00%0.00
-78.98%9.45K
-63.86%19.73K
-56.86%28.33K
-53.05%35.20K
-44.57%44.95K
-44.92%54.59K
-41.04%65.67K
-37.00%74.97K
-34.43%81.09K
-27.86%99.11K
--111.39K
--119.00K
--123.68K
--137.39K
Beneficios de empleado
1.33%70.75K
3.44%69.81K
18.82%70.64K
15.13%70.33K
10.75%69.82K
5.40%67.48K
-4.80%59.45K
1.48%61.09K
-4.78%63.04K
-5.29%64.02K
-5.16%62.45K
-4.87%60.19K
1.35%66.21K
--67.60K
--65.85K
--63.28K
--65.32K
Pasivos derivados
36.81%37.61M
2349.79%17.31M
--21.65M
--23.63M
--27.49M
--706.39K
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Otros pasivos no corrientes
1.33%70.75K
3.44%69.81K
18.82%70.64K
15.13%70.33K
10.75%69.82K
5.40%67.48K
-4.80%59.45K
1.48%61.09K
-4.78%63.04K
-5.29%64.02K
-5.16%62.45K
-4.87%60.19K
1.35%66.21K
--67.60K
--65.85K
--63.28K
--65.32K
Total pasivos no corrientes
36.62%37.68M
2065.89%17.37M
22844.25%21.72M
22261.22%23.71M
23343.93%27.58M
518.53%802.20K
-31.13%94.65K
-24.95%106.04K
-28.84%117.63K
-27.54%129.70K
-25.66%137.42K
-24.43%141.29K
-18.45%165.31K
--178.99K
--184.85K
--186.96K
--202.71K
Total pasivos
35.85%38.34M
1133.86%17.97M
7102.93%22.20M
6434.79%24.18M
10560.26%28.22M
209.30%1.46M
-8.48%308.17K
-16.12%370.05K
-29.48%264.73K
23.64%470.79K
-14.71%336.73K
-5.58%441.18K
-45.52%375.40K
--380.77K
--394.82K
--467.25K
--689.11K
Capital de los accionistas
Capital ordinario
27.17%55.61M
21.21%53.10M
5.93%45.35M
11.57%46.20M
5.87%43.73M
6.07%43.81M
15.30%42.81M
363.06%41.41M
352.76%41.30M
359.89%41.30M
325.77%37.13M
35.52%8.94M
98.82%9.12M
--8.98M
--8.72M
--6.60M
--4.59M
Ganancias retenidas
-47.34%-59.89M
-171.54%-50.67M
-484.66%-43.32M
-520.65%-40.26M
-623.17%-40.65M
-267.78%-18.66M
-61.23%-7.41M
-47.44%-6.49M
-34.49%-5.62M
-26.82%-5.07M
-19.68%-4.60M
-15.48%-4.40M
-7.19%-4.18M
---4.00M
---3.84M
---3.81M
---3.90M
Reservas de capital
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-100.00%0.00
-2.78%467.34K
-1.92%476.81K
-5.37%475.92K
-4.15%476.28K
--480.71K
--486.12K
--502.93K
--496.88K
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Pérdidas de ganancias que no afectan a las ganancias retenidas
-634.88%-65.86K
-2136.28%-97.85K
193.91%7.54K
240.24%6.49K
-182.99%-8.96K
-77.76%4.81K
-135.01%-8.03K
-140.20%-4.63K
-55.67%10.80K
-24.60%21.60K
49.72%22.94K
-52.39%11.51K
54.70%24.36K
--28.65K
--15.32K
--24.19K
--15.75K
Capital total
-206.60%-3.57M
-88.11%3.05M
-94.17%2.09M
-83.03%6.00M
-90.73%3.35M
-29.99%25.68M
8.46%35.88M
597.66%35.36M
560.66%36.12M
574.65%36.67M
539.71%33.09M
70.61%5.07M
675.70%5.47M
--5.44M
--5.17M
--2.97M
--704.78K
Unidad monetaria
USD
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Opiniones de evaluación
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