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Femto Technologies Inc

FMTO

3.530USD

-0.970-21.56%
Cierre 08/04, 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
150.34%22.96M
48.27%4.62M
168.56%5.86M
844.65%7.48M
462.97%9.17M
30.13%3.11M
-28.58%2.18M
-80.36%792.02K
-33.65%1.63M
-20.91%2.39M
-39.34%3.06M
57.07%4.03M
158.69%2.46M
--3.03M
--5.04M
--2.57M
--949.23K
Efectivo y equivalentes de efectivo
150.34%22.96M
48.27%4.62M
168.56%5.86M
844.65%7.48M
462.97%9.17M
30.13%3.11M
-28.58%2.18M
-80.36%792.02K
-33.65%1.63M
-20.91%2.39M
-39.34%3.06M
57.07%4.03M
158.69%2.46M
--3.03M
--5.04M
--2.57M
--949.23K
-Inversiones a corto plazo
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--0.00
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Por cobrar
-6.96%189.71K
66.66%315.71K
41.88%194.81K
145.22%337.15K
48.40%203.89K
-16.84%189.43K
-36.57%137.31K
-13.02%137.49K
-39.29%137.38K
15.74%227.80K
-58.23%216.48K
-64.09%158.08K
-6.96%226.31K
--196.83K
--518.25K
--440.25K
--243.24K
-Cuentas y pagarés por cobrar
-14.26%117.00K
-4.76%113.42K
-7.91%109.40K
63.17%206.99K
4.74%136.46K
-12.61%119.09K
-13.56%118.79K
10.86%126.85K
-10.16%130.28K
3.88%136.27K
-65.07%137.43K
-63.61%114.43K
7.48%145.01K
--131.19K
--393.38K
--314.42K
--134.91K
-Otros por cobrar
-1.33%36.20K
640.84%135.85K
6973.76%52.56K
13412.86%109.32K
3662.36%36.68K
1730.04%18.34K
-78.03%743.00
-89.81%809.00
-94.03%975.00
-75.53%1.00K
-14.29%3.38K
-37.74%7.94K
255.61%16.33K
--4.09K
--3.95K
--12.76K
--4.59K
Gastos prepago
10.39%100.08K
61.96%41.09K
-87.45%71.91K
-76.96%102.73K
-86.07%90.65K
-96.93%25.37K
350.83%573.23K
131.51%445.96K
7136.95%650.60K
1951.60%825.56K
77.86%127.15K
87.49%192.63K
--8.99K
--40.24K
--71.49K
--102.74K
--0.00
Otros activos corrientes
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-100.00%0.00
--0.00
--0.00
--2.45M
--2.48M
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Total de activos corrientes
145.62%23.25M
49.42%4.97M
111.84%6.13M
475.93%7.92M
291.63%9.47M
-3.41%3.33M
-14.91%2.89M
-68.62%1.38M
-52.97%2.42M
-40.03%3.45M
-39.59%3.40M
40.92%4.38M
331.02%5.14M
--5.75M
--5.63M
--3.11M
--1.19M
Activos no corrientes
Activos fijos netos
-34.65%4.60K
-53.19%4.46K
-99.58%5.12K
-99.51%6.06K
-99.45%7.03K
-99.28%9.53K
-12.86%1.23M
17.85%1.25M
42.82%1.29M
197.19%1.32M
358.57%1.41M
453.41%1.06M
942.53%902.01K
--443.24K
--306.94K
--191.23K
--86.52K
-Activos fijos
5.21%253.28K
7.91%257.27K
-83.52%238.03K
-83.74%238.22K
-84.09%240.74K
-84.56%238.41K
-14.95%1.44M
10.18%1.47M
28.45%1.51M
115.48%1.54M
234.28%1.70M
224.17%1.33M
291.93%1.18M
--716.81K
--507.87K
--410.27K
--300.50K
-Depreciación acumulada
6.41%248.69K
10.45%252.81K
7.10%232.91K
6.42%232.16K
4.03%233.71K
0.70%228.89K
-25.06%217.48K
-19.70%218.16K
-18.53%224.65K
-16.92%227.29K
44.42%290.19K
24.03%271.67K
28.87%275.75K
--273.57K
--200.93K
--219.03K
--213.98K
Fondo de comercio y otros activos intangibles
-24.51%25.26M
-24.51%25.26M
-38.67%27.86M
-26.17%33.46M
-25.98%33.46M
-25.87%33.46M
14.50%45.43M
2403.78%45.32M
3149.28%45.21M
3371.14%45.14M
3494.22%39.68M
73.15%1.81M
245.85%1.39M
--1.30M
--1.10M
--1.05M
--402.32K
Total de activos no actuales
-24.51%25.27M
-24.51%25.27M
-40.28%27.87M
-28.13%33.47M
-28.02%33.47M
-27.95%33.47M
13.56%46.66M
1523.52%46.57M
1927.49%46.50M
2564.32%46.46M
2812.07%41.09M
131.95%2.87M
369.15%2.29M
--1.74M
--1.41M
--1.24M
--488.84K
Total de activos
13.00%48.52M
-17.83%30.24M
-31.39%34.00M
-13.67%41.39M
-12.22%42.94M
-26.25%36.80M
11.39%49.55M
561.17%47.95M
558.07%48.92M
566.20%49.90M
531.86%44.49M
66.82%7.25M
342.11%7.43M
--7.49M
--7.04M
--4.35M
--1.68M
Pasivos
Pasivos corrientes
-Otros por pagar
-54.64%165.50K
-48.07%233.69K
240.50%247.63K
52.66%302.90K
655.96%364.84K
1113.26%450.05K
--72.72K
--198.41K
--48.26K
2705.90%37.09K
-100.00%0.00
--0.00
--0.00
--1.32K
--13.97K
--0.00
--0.00
Gastos acumulados
5.12%67.79K
-20.94%79.70K
-60.88%46.28K
-26.87%58.47K
0.29%64.49K
-11.66%100.81K
46.61%118.32K
-44.84%79.95K
7.72%64.30K
55.59%114.12K
-38.96%80.70K
-14.64%144.95K
-50.57%59.69K
--73.34K
--132.22K
--169.82K
--120.76K
Deuda a corto plazo y pasivos por arrendamiento
35.98%64.60K
63.62%76.38K
11.76%49.89K
8.34%48.89K
1.42%47.51K
-2.22%46.68K
-5.94%44.63K
0.10%45.13K
-1.93%46.85K
-2.98%47.74K
-5.14%47.45K
8.03%45.08K
37.25%47.77K
--49.21K
--50.02K
--41.73K
--34.80K
-Deuda a corto plazo
--37.74K
--35.61K
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--0.00
--0.00
--0.00
--0.00
-Pasivos por arrendamiento a corto plazo
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--0.00
--3.31K
--7.96K
--12.56K
Pasivos diferidos
14.11%113.72K
6.29%140.09K
27.73%22.81K
2.17%21.57K
448.76%99.66K
-39.84%131.79K
-46.74%17.86K
-23.14%21.11K
-12.59%18.16K
629.11%219.07K
-13.60%33.53K
-56.71%27.46K
-76.38%20.78K
--30.05K
--38.81K
--63.43K
--87.96K
Otros pasivos corrientes
-39.89%279.22K
-35.76%373.78K
198.55%270.44K
47.81%324.47K
599.31%464.50K
127.14%581.84K
170.15%90.58K
699.42%219.52K
219.69%66.42K
716.63%256.16K
-36.47%33.53K
-56.71%27.46K
-76.38%20.78K
--31.37K
--52.78K
--63.43K
--87.96K
Total pasivos corrientes
5.18%919.96K
-3.94%852.09K
130.19%672.99K
82.00%644.83K
342.27%874.68K
93.57%887.04K
10.20%292.36K
-10.24%354.30K
-26.01%197.77K
76.36%458.26K
-0.10%265.29K
11.37%394.74K
-54.44%267.30K
--259.85K
--265.56K
--354.43K
--586.70K
Pasivos no corrientes
Provisiones a largo plazo
3.96%98.73K
9.72%100.43K
21.46%98.87K
17.65%96.45K
12.04%94.96K
6.42%91.53K
-2.07%81.40K
3.47%81.98K
0.62%84.76K
-1.20%86.02K
-0.19%83.13K
-0.97%79.23K
6.91%84.23K
--87.06K
--83.28K
--80.01K
--78.79K
Deuda a largo plazo y pasivos por arrendamiento
-100.00%0.00
-100.00%0.00
-100.00%0.00
-78.52%12.96K
-63.44%26.83K
-56.45%38.43K
-51.71%48.19K
-43.48%60.33K
-41.79%73.40K
-38.49%88.23K
-33.70%99.80K
-31.75%106.74K
-23.91%126.09K
--143.44K
--150.52K
--156.40K
--165.71K
-Deuda a largo plazo
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-100.00%0.00
-100.00%0.00
-78.52%12.96K
-63.44%26.83K
-56.45%38.43K
-51.71%48.19K
-43.48%60.33K
-41.79%73.40K
-38.49%88.23K
-33.70%99.80K
-31.75%106.74K
-23.91%126.09K
--143.44K
--150.52K
--156.40K
--165.71K
Beneficios de empleado
3.96%98.73K
9.72%100.43K
21.46%98.87K
17.65%96.45K
12.04%94.96K
6.42%91.53K
-2.07%81.40K
3.47%81.98K
0.62%84.76K
-1.20%86.02K
-0.19%83.13K
-0.97%79.23K
6.91%84.23K
--87.06K
--83.28K
--80.01K
--78.79K
Pasivos derivados
40.37%52.48M
2498.43%24.90M
--30.30M
--32.41M
--37.39M
--958.15K
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Otros pasivos no corrientes
3.96%98.73K
9.72%100.43K
21.46%98.87K
17.65%96.45K
12.04%94.96K
6.42%91.53K
-2.07%81.40K
3.47%81.98K
0.62%84.76K
-1.20%86.02K
-0.19%83.13K
-0.97%79.23K
6.91%84.23K
--87.06K
--83.28K
--80.01K
--78.79K
Total pasivos no corrientes
40.18%52.58M
2197.31%25.00M
23353.67%30.39M
22751.10%32.52M
23615.94%37.51M
524.47%1.09M
-29.15%129.59K
-23.48%142.31K
-24.80%158.16K
-24.41%174.25K
-21.76%182.93K
-21.33%185.98K
-13.98%210.33K
--230.50K
--233.80K
--236.41K
--244.50K
Total pasivos
39.38%53.50M
1208.73%25.85M
7262.85%31.07M
6577.95%33.16M
10683.95%38.38M
212.27%1.98M
-5.86%421.95K
-14.48%496.61K
-25.48%355.93K
28.99%632.51K
-10.24%448.22K
-1.71%580.72K
-42.54%477.62K
--490.35K
--499.37K
--590.84K
--831.21K
Capital de los accionistas
Capital ordinario
30.48%77.60M
28.56%76.39M
8.29%63.48M
14.01%63.36M
7.10%59.47M
7.09%59.42M
18.60%58.62M
372.10%55.57M
378.45%55.53M
379.78%55.49M
348.08%49.43M
41.07%11.77M
109.72%11.61M
--11.57M
--11.03M
--8.34M
--5.53M
Ganancias retenidas
-51.17%-83.58M
-188.01%-72.90M
-497.65%-60.63M
-534.25%-55.21M
-631.56%-55.29M
-271.31%-25.31M
-65.85%-10.14M
-50.32%-8.70M
-42.12%-7.56M
-32.31%-6.82M
-25.95%-6.12M
-20.22%-5.79M
-13.07%-5.32M
---5.15M
---4.86M
---4.82M
---4.70M
Reservas de capital
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-100.00%0.00
0.00%639.88K
0.00%639.88K
0.00%639.88K
0.00%639.88K
--639.88K
--639.88K
--639.88K
--639.88K
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Pérdidas de ganancias que no afectan a las ganancias retenidas
-654.00%-91.91K
-2259.83%-140.78K
196.00%10.55K
243.31%8.90K
-183.95%-12.19K
-77.54%6.52K
-136.01%-10.99K
-140.98%-6.21K
-53.15%14.52K
-21.34%29.02K
57.57%30.53K
-50.44%15.15K
63.18%30.99K
--36.90K
--19.38K
--30.58K
--18.99K
Capital total
-209.38%-4.98M
-87.39%4.39M
-94.04%2.93M
-82.66%8.23M
-90.62%4.55M
-29.32%34.83M
11.56%49.13M
611.28%47.45M
598.15%48.56M
603.83%49.27M
573.25%44.04M
77.60%6.67M
718.20%6.96M
--7.00M
--6.54M
--3.76M
--850.11K
Unidad monetaria
USD
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Opiniones de evaluación
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