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Hafnia Ltd

HAFN

5.635USD

+0.165+3.02%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
2.83BCap. mercado
4.59P/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
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-13.17%188.10M
27.43%283.57M
131.04%288.38M
8.74%262.58M
-19.26%216.62M
-20.62%222.52M
-17.61%124.81M
176.01%241.47M
262.65%268.31M
180.11%280.32M
100.77%151.49M
1.78%87.48M
-18.83%73.98M
-0.59%100.08M
-38.44%75.45M
-41.93%85.96M
-29.06%91.14M
9.89%100.67M
0.17%122.56M
46.71%148.03M
70.83%128.48M
74.62%91.61M
174.14%122.35M
97.94%100.90M
28.38%75.21M
26.81%52.46M
-12.19%44.63M
-21.42%50.97M
-30.10%58.58M
-56.67%41.37M
-52.36%50.82M
-41.28%64.87M
-38.07%83.81M
-22.28%95.49M
-5.76%106.67M
-4.30%110.47M
28.64%135.33M
66.59%122.86M
144.65%113.20M
89.17%115.44M
44.65%105.20M
--73.75M
--46.27M
--61.02M
--72.73M
Efectivo y equivalentes de efectivo
-13.17%188.10M
27.43%283.57M
131.04%288.38M
8.74%262.58M
-19.26%216.62M
-20.62%222.52M
-17.61%124.81M
176.01%241.47M
262.65%268.31M
180.11%280.32M
100.77%151.49M
1.78%87.48M
-18.83%73.98M
-0.59%100.08M
-38.44%75.45M
-41.93%85.96M
-29.06%91.14M
9.89%100.67M
0.17%122.56M
46.71%148.03M
70.83%128.48M
74.62%91.61M
174.14%122.35M
97.94%100.90M
28.38%75.21M
26.81%52.46M
-12.19%44.63M
-21.42%50.97M
-30.10%58.58M
-56.67%41.37M
-52.36%50.82M
-41.28%64.87M
-38.07%83.81M
-22.28%95.49M
-5.76%106.67M
-4.30%110.47M
28.64%135.33M
66.59%122.86M
144.65%113.20M
89.17%115.44M
44.65%105.20M
--73.75M
--46.27M
--61.02M
--72.73M
Por cobrar
----
-14.56%503.84M
-17.63%570.81M
-22.78%623.62M
-13.94%598.68M
17.21%589.71M
9.48%693.00M
48.64%807.63M
89.22%695.66M
113.19%503.11M
264.06%632.98M
237.24%543.35M
127.70%367.65M
44.21%235.99M
-6.61%173.87M
-25.60%161.12M
-35.38%161.47M
-29.92%163.64M
-11.83%186.18M
27.71%216.56M
50.93%249.88M
265.07%233.49M
1025.86%211.16M
683.04%169.57M
609.79%165.56M
11.73%63.96M
25.72%18.75M
118.72%21.66M
41.32%23.32M
474.70%57.24M
170.55%14.92M
119.83%9.90M
540.47%16.50M
-22.90%9.96M
-60.93%5.51M
-65.07%4.50M
-79.52%2.58M
10.68%12.92M
107.80%14.11M
57.33%12.90M
111.30%12.58M
--11.67M
--6.79M
--8.20M
--5.96M
-Cuentas y pagarés por cobrar
----
-14.56%503.84M
-17.62%570.81M
-22.77%623.62M
-8.12%598.68M
17.21%589.71M
18.28%692.90M
61.22%807.53M
97.17%651.60M
150.15%503.11M
237.19%585.84M
210.89%500.89M
104.67%330.48M
22.91%201.12M
-6.68%173.74M
-25.60%161.12M
-35.38%161.47M
-29.92%163.64M
-11.83%186.18M
27.71%216.56M
50.93%249.88M
265.07%233.49M
1025.86%211.16M
683.04%169.57M
609.79%165.56M
11.73%63.96M
25.72%18.75M
118.72%21.66M
41.32%23.32M
474.70%57.24M
170.55%14.92M
119.83%9.90M
540.47%16.50M
-22.90%9.96M
-60.93%5.51M
-65.07%4.50M
-79.52%2.58M
10.68%12.92M
107.80%14.11M
57.33%12.90M
111.30%12.58M
--11.67M
--6.79M
--8.20M
--5.96M
-Préstamos por cobrar
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-99.80%95.00K
-99.78%95.00K
18.53%44.06M
----
--47.14M
--42.45M
--37.17M
--34.87M
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-Otros por cobrar
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--127.00K
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Inventario
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-12.58%94.16M
1075.18%106.24M
902.43%107.69M
1297.96%111.61M
19.76%107.70M
-10.00%9.04M
-7.58%10.74M
-31.34%7.98M
1250.11%89.93M
44.41%10.04M
100.38%11.62M
111.36%11.63M
27.41%6.66M
16.34%6.96M
-4.04%5.80M
-16.85%5.50M
-25.16%5.23M
-17.40%5.98M
-67.13%6.04M
-72.95%6.62M
-69.17%6.99M
48.42%7.24M
275.12%18.39M
398.82%24.46M
55.63%22.66M
-1.53%4.88M
1.01%4.90M
2.57%4.90M
224.71%14.56M
11.83%4.95M
12.75%4.85M
8.54%4.78M
-0.27%4.48M
-14.57%4.43M
8.19%4.30M
37.10%4.41M
59.15%4.50M
64.75%5.18M
32.81%3.98M
4.32%3.21M
--2.83M
--3.15M
--3.00M
--3.08M
Gastos prepago
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31.86%11.80M
17.00%9.36M
-17.48%9.23M
----
-16.46%8.95M
-43.37%8.00M
-35.40%11.19M
-20.16%10.61M
-36.55%10.71M
-7.16%14.13M
47.65%17.32M
73.03%13.28M
113.86%16.89M
140.21%15.21M
77.60%11.73M
--7.68M
--7.90M
--6.33M
--6.60M
Otros activos corrientes
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--5.92M
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-100.01%-1.00K
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--0.00
--3.96M
--9.70M
--8.39M
Total de activos corrientes
----
-3.51%900.08M
19.96%993.47M
-5.33%1.01B
-4.82%938.99M
6.64%932.84M
0.17%828.19M
17.59%1.06B
42.22%986.49M
155.06%874.79M
221.74%826.81M
245.99%905.56M
157.47%693.65M
22.15%342.98M
-21.67%256.98M
-30.62%261.73M
-30.02%269.41M
-16.14%280.78M
-3.72%328.06M
30.57%377.24M
45.15%384.98M
140.74%334.82M
325.60%340.75M
232.50%288.91M
176.17%265.24M
22.89%139.08M
0.53%80.06M
-0.84%86.89M
-17.41%96.04M
-6.10%113.18M
-37.45%79.64M
-34.32%87.63M
-27.15%116.28M
-21.50%120.54M
-14.76%127.33M
-9.57%133.41M
20.27%159.63M
60.09%153.55M
119.46%149.38M
67.17%147.53M
37.18%132.72M
--95.92M
--68.07M
--88.25M
--96.75M
Activos no corrientes
Activos fijos netos
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-6.12%2.61B
-4.82%2.64B
-2.71%2.71B
-0.59%2.74B
-3.44%2.78B
-5.25%2.77B
-7.41%2.78B
-4.97%2.76B
37.98%2.88B
39.72%2.93B
41.28%3.01B
33.88%2.90B
-5.52%2.08B
-6.12%2.09B
-6.30%2.13B
-5.84%2.17B
-4.56%2.21B
-0.83%2.23B
4.93%2.27B
7.68%2.30B
97.29%2.31B
125.74%2.25B
114.77%2.16B
109.76%2.14B
5.95%1.17B
-4.60%996.65M
-4.61%1.01B
-2.37%1.02B
9.91%1.11B
2.98%1.04B
8.32%1.06B
11.38%1.04B
6.87%1.01B
13.20%1.01B
18.66%975.34M
20.88%936.49M
50.19%941.64M
45.86%896.19M
37.35%821.97M
30.73%774.76M
--626.96M
--614.43M
--598.44M
--592.62M
-Activos fijos
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-0.69%3.89B
0.24%3.88B
3.10%3.95B
3.38%3.93B
-2.68%3.92B
-4.00%3.87B
-6.15%3.83B
-5.90%3.80B
26.59%4.03B
26.50%4.03B
28.17%4.08B
25.89%4.03B
-1.03%3.18B
-1.13%3.18B
-1.43%3.18B
-0.40%3.20B
0.66%3.21B
3.91%3.22B
8.12%3.23B
9.99%3.22B
--3.19B
158.44%3.10B
149.49%2.99B
145.11%2.93B
----
0.51%1.20B
0.35%1.20B
2.30%1.19B
----
7.05%1.19B
11.93%1.19B
14.81%1.17B
10.58%1.12B
16.61%1.11B
22.09%1.07B
24.31%1.02B
52.45%1.01B
48.08%955.75M
39.94%872.56M
33.62%817.56M
--663.20M
--645.41M
--623.51M
--611.87M
-Depreciación acumulada
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12.53%1.28B
13.08%1.24B
18.59%1.24B
13.90%1.19B
-0.79%1.14B
-0.68%1.09B
-2.63%1.04B
-8.27%1.04B
4.91%1.15B
1.08%1.10B
1.68%1.07B
9.23%1.14B
8.82%1.10B
10.12%1.09B
10.16%1.05B
13.24%1.04B
14.39%1.01B
16.46%989.06M
16.51%956.36M
16.22%917.66M
--880.09M
319.39%849.27M
334.81%820.87M
350.50%789.60M
----
36.47%202.50M
38.91%188.79M
41.59%175.27M
----
48.35%148.38M
51.09%135.91M
55.04%123.79M
60.91%111.70M
67.94%100.02M
77.80%89.95M
86.54%79.84M
91.55%69.42M
92.23%59.56M
101.76%50.59M
122.33%42.80M
--36.24M
--30.98M
--25.08M
--19.25M
Fondo de comercio y otros activos intangibles
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-60.47%510.00K
-61.75%617.00K
-62.55%725.00K
-56.78%976.00K
-50.19%1.29M
-41.87%1.61M
-35.51%1.94M
-31.24%2.26M
-27.49%2.59M
-27.39%2.77M
-25.69%3.00M
-21.94%3.28M
-19.26%3.57M
4.88%3.82M
41.70%4.04M
40.00%4.21M
40.04%4.42M
18.31%3.64M
-7.44%2.85M
--3.00M
--3.16M
-48.69%3.08M
-48.69%3.08M
----
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0.00%6.00M
0.00%6.00M
-2.31%6.00M
----
-20.25%6.00M
-37.37%6.00M
-48.31%6.14M
-53.98%6.64M
-56.02%7.53M
-52.96%9.59M
-54.51%11.89M
-57.48%14.42M
-59.57%17.11M
-59.85%20.38M
-55.85%26.14M
--33.92M
--42.34M
--50.75M
--59.20M
Deuda a largo plazo
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-7.89%64.13M
-9.73%62.02M
-25.02%57.67M
-3.26%73.12M
-6.18%69.63M
-5.99%68.70M
10.57%76.91M
24.70%75.58M
23.22%74.21M
-21.44%73.08M
44.96%69.56M
28.50%60.61M
32.58%60.23M
138.77%93.03M
39.05%47.98M
54.79%47.16M
53.56%45.43M
35.64%38.96M
47.09%34.51M
-32.30%30.47M
--29.58M
136.87%28.73M
429.47%23.46M
1834.34%45.01M
----
555.51%12.13M
139.51%4.43M
--2.33M
----
--1.85M
--1.85M
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Gastos prepago a largo plazo
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-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-66.74%920.00K
33.22%3.39M
7.73%3.54M
27.82%3.65M
--2.77M
--2.54M
--3.28M
--2.85M
Otros activos no actuales
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0.93%13.54M
34.49%13.50M
-63.98%13.45M
209.10%13.42M
178.59%13.42M
108.39%10.04M
675.02%37.33M
-28.66%4.34M
13277.78%4.82M
13277.78%4.82M
13277.78%4.82M
16805.56%6.09M
0.00%36.00K
0.00%36.00K
0.00%36.00K
0.00%36.00K
0.00%36.00K
0.00%36.00K
0.00%36.00K
157.14%36.00K
--36.00K
-99.89%36.00K
-99.89%36.00K
-99.96%14.00K
----
6.54%33.31M
11.24%33.01M
14.89%32.03M
----
19.78%31.27M
13.62%29.67M
12.67%27.88M
1.70%26.09M
-16.81%26.10M
-14.60%26.12M
-15.22%24.75M
1.39%25.66M
48.35%31.38M
55.21%30.58M
50.97%29.19M
--25.31M
--21.15M
--19.70M
--19.34M
Total de activos no actuales
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-6.00%2.80B
-5.28%2.84B
-3.55%2.91B
0.44%2.96B
-2.91%2.98B
-3.97%2.99B
-4.38%3.02B
-2.54%2.94B
41.63%3.07B
41.15%3.12B
44.38%3.16B
35.70%3.02B
-4.20%2.17B
-3.21%2.21B
-5.45%2.19B
-4.70%2.23B
-3.55%2.26B
-0.08%2.28B
5.53%2.32B
6.94%2.34B
99.70%2.35B
117.31%2.28B
108.24%2.19B
106.00%2.18B
6.18%1.17B
-3.28%1.05B
-3.89%1.05B
-1.71%1.06B
6.30%1.11B
3.43%1.09B
8.21%1.10B
10.38%1.08B
5.60%1.04B
10.75%1.05B
15.62%1.01B
17.41%977.63M
43.25%985.83M
39.52%948.38M
30.65%876.11M
23.76%832.67M
--688.17M
--679.73M
--670.56M
--672.80M
Total de activos
-5.15%3.70B
-5.41%3.70B
0.19%3.83B
-4.01%3.92B
-0.88%3.90B
-0.80%3.91B
-3.10%3.82B
0.51%4.09B
5.82%3.93B
57.13%3.95B
59.98%3.94B
65.91%4.07B
48.84%3.72B
-1.30%2.51B
-5.53%2.47B
-8.97%2.45B
-8.28%2.50B
-5.12%2.54B
-0.55%2.61B
8.44%2.69B
11.08%2.72B
104.04%2.68B
132.06%2.62B
117.71%2.48B
111.83%2.45B
7.73%1.31B
-3.02%1.13B
-3.67%1.14B
-3.24%1.16B
5.01%1.22B
-0.99%1.17B
3.26%1.18B
5.11%1.20B
1.95%1.16B
7.28%1.18B
11.99%1.15B
17.80%1.14B
45.31%1.14B
46.80%1.10B
34.90%1.02B
25.45%965.39M
--784.09M
--747.80M
--758.81M
--769.55M
Pasivos
Pasivos corrientes
-Otros por pagar
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--3.08M
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Deuda a corto plazo y pasivos por arrendamiento
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25.80%336.30M
-1.58%259.49M
-3.16%325.91M
-14.45%250.92M
-16.49%267.33M
-31.57%263.66M
8.73%336.54M
-10.00%293.31M
28.88%320.12M
142.61%385.28M
92.95%309.52M
102.50%325.89M
38.69%248.37M
-23.73%158.81M
-25.97%160.42M
-14.94%160.93M
-16.05%179.08M
-13.16%208.22M
-6.36%216.70M
-3.11%189.20M
177.27%213.33M
315.17%239.77M
304.51%231.42M
279.61%195.28M
-51.19%76.94M
14.02%57.75M
13.05%57.21M
3.63%51.44M
230.38%157.63M
6.96%50.65M
12.78%50.60M
7.02%49.64M
15.42%47.71M
21.95%47.35M
29.16%44.87M
41.71%46.38M
-15.71%41.34M
39.81%38.83M
22.71%34.74M
16.10%32.73M
--49.05M
--27.77M
--28.31M
--28.19M
-Deuda a corto plazo
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--1.00K
----
--2.75M
----
----
----
----
----
--6.76M
--6.68M
--1.00M
----
----
----
----
----
----
----
--3.22M
----
----
----
----
----
----
----
----
-Pasivos por arrendamiento a corto plazo
----
-10.27%83.74M
-4.70%85.85M
-50.53%76.99M
-62.56%76.57M
-56.72%93.32M
-27.22%90.09M
26.52%155.62M
66.64%204.50M
322.63%215.64M
254.06%123.77M
237.93%123.00M
236.23%122.72M
41.16%51.02M
-13.47%34.96M
-10.19%36.40M
-8.57%36.50M
-2.48%36.15M
25.28%40.40M
61.35%40.53M
69.24%39.92M
--37.06M
350.35%32.24M
675.76%25.12M
637.98%23.59M
----
--7.16M
--3.24M
--3.20M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Pasivos diferidos
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
--0.00
114.72%1.06M
----
-60.72%1.10M
-100.00%0.00
4.64%496.00K
--1.21M
128.44%2.80M
--378.00K
-4.24%474.00K
----
--1.23M
----
14.85%495.00K
--0.00
--0.00
--0.00
--431.00K
Otros pasivos corrientes
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--3.08M
----
----
----
----
----
----
----
-100.00%0.00
--0.00
114.72%1.06M
----
-60.72%1.10M
-100.00%0.00
4.64%496.00K
--1.21M
128.44%2.80M
--378.00K
-4.24%474.00K
----
--1.23M
----
14.85%495.00K
--0.00
--0.00
--0.00
--431.00K
Total pasivos corrientes
----
-1.11%653.83M
2.85%583.71M
1.89%677.16M
16.12%596.96M
37.42%661.19M
18.43%567.52M
3.38%664.59M
-20.56%514.08M
52.36%481.16M
115.35%479.20M
181.13%642.86M
188.02%647.11M
25.47%315.80M
-19.92%222.52M
-21.13%228.67M
-20.44%224.68M
-21.40%251.69M
-13.82%277.86M
-6.66%289.94M
5.48%282.40M
155.11%320.22M
350.96%322.42M
333.70%310.62M
299.08%267.72M
-38.09%125.52M
9.41%71.50M
12.29%71.62M
4.90%67.08M
234.97%202.75M
4.38%65.34M
9.76%63.78M
-24.60%63.95M
6.00%60.53M
13.92%62.60M
16.98%58.11M
109.54%84.81M
3.45%57.10M
52.73%54.95M
33.39%49.68M
12.06%40.48M
--55.20M
--35.98M
--37.24M
--36.12M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-100.00%0.00
-18.99%322.82M
-15.31%350.36M
-36.64%290.40M
-19.95%413.20M
-36.48%398.51M
-39.26%413.69M
-44.16%458.33M
-44.35%516.16M
-33.17%627.33M
-31.16%681.07M
-13.15%820.85M
-4.90%927.57M
-3.46%938.70M
2.01%989.34M
-4.03%945.10M
-10.27%975.32M
-7.26%972.37M
-12.26%969.80M
-0.41%984.76M
6.60%1.09B
71.02%1.05B
170.46%1.11B
120.94%988.81M
122.30%1.02B
-0.19%613.04M
-20.35%408.70M
-14.89%447.55M
-11.87%458.70M
23.64%614.24M
0.85%513.13M
9.22%525.84M
15.21%520.48M
7.31%496.80M
16.64%508.78M
23.93%481.44M
27.87%451.75M
127.30%462.97M
124.45%436.19M
91.90%388.49M
69.52%353.29M
--203.68M
--194.34M
--202.45M
--208.40M
-Deuda a largo plazo
----
-18.99%322.82M
-15.31%350.36M
-36.64%290.40M
-19.95%413.20M
-36.48%398.51M
-39.26%413.69M
-44.16%458.33M
-44.35%516.16M
-33.17%627.33M
-31.16%681.07M
-13.15%820.85M
-4.90%927.57M
-3.46%938.70M
2.01%989.34M
-4.03%945.10M
-10.27%975.32M
-7.26%972.37M
-12.26%969.80M
-0.41%984.76M
6.60%1.09B
71.02%1.05B
170.46%1.11B
120.94%988.81M
122.30%1.02B
-0.19%613.04M
-20.35%408.70M
-14.89%447.55M
-11.87%458.70M
23.64%614.24M
0.85%513.13M
9.22%525.84M
15.21%520.48M
7.31%496.80M
16.64%508.78M
23.93%481.44M
27.87%451.75M
127.30%462.97M
124.45%436.19M
91.90%388.49M
69.52%353.29M
--203.68M
--194.34M
--202.45M
--208.40M
Pasivos derivados
----
----
----
----
----
--0.00
----
----
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-98.08%306.00K
-68.05%5.85M
-62.05%7.67M
-64.90%7.09M
145.21%15.97M
141.59%18.32M
201.15%20.23M
382.00%20.19M
--6.51M
620.82%7.58M
1376.04%6.72M
322.70%4.19M
----
-67.29%1.05M
-85.33%455.00K
-34.67%991.00K
----
-38.38%3.22M
-39.97%3.10M
-63.14%1.52M
-76.35%639.00K
86.86%5.22M
285.81%5.17M
--4.12M
--2.70M
--2.79M
--1.34M
----
----
----
----
----
Total pasivos no corrientes
----
-23.32%785.95M
-21.87%824.96M
-35.08%809.04M
-27.96%944.85M
-29.56%1.03B
-33.09%1.06B
-28.74%1.25B
-22.15%1.31B
34.35%1.46B
39.71%1.58B
60.36%1.75B
49.19%1.68B
-5.34%1.08B
-2.48%1.13B
-8.19%1.09B
-13.08%1.13B
-7.92%1.14B
-10.82%1.16B
2.56%1.19B
10.38%1.30B
101.23%1.24B
158.63%1.30B
134.07%1.16B
131.98%1.18B
-0.28%617.48M
-2.75%502.17M
-6.46%494.77M
-2.81%507.32M
24.48%619.19M
0.46%516.35M
8.70%528.95M
14.51%521.99M
6.82%497.44M
17.09%514.00M
24.83%486.61M
29.04%455.87M
128.63%465.68M
125.88%438.98M
92.56%389.83M
69.52%353.29M
--203.68M
--194.34M
--202.45M
--208.40M
Total pasivos
-8.03%1.42B
-14.61%1.44B
-13.23%1.41B
-22.22%1.49B
-15.54%1.54B
-12.92%1.69B
-21.09%1.62B
-20.10%1.91B
-21.71%1.83B
38.41%1.94B
52.16%2.06B
81.29%2.39B
72.23%2.33B
0.22%1.40B
-5.85%1.35B
-10.73%1.32B
-14.39%1.35B
-10.68%1.40B
-11.41%1.44B
0.61%1.48B
9.47%1.58B
110.33%1.56B
182.60%1.62B
159.32%1.47B
151.50%1.44B
-9.60%743.00M
-1.38%573.67M
-4.44%566.40M
-1.97%574.41M
47.31%821.94M
0.88%581.69M
8.81%592.73M
8.37%585.95M
6.73%557.97M
16.74%576.60M
23.94%544.72M
37.31%540.68M
101.94%522.78M
114.46%493.93M
83.36%439.51M
61.04%393.76M
--258.88M
--230.32M
--239.69M
--244.52M
Capital de los accionistas
Capital ordinario
----
4.11%1.09B
4.11%1.09B
4.11%1.09B
3.79%1.07B
2.03%1.05B
2.03%1.05B
3.59%1.05B
12.91%1.03B
45.23%1.03B
45.23%1.03B
43.04%1.01B
29.27%915.91M
0.00%708.54M
0.00%708.54M
0.00%708.54M
0.00%708.54M
0.00%708.54M
11.31%708.54M
11.31%708.54M
11.31%708.54M
217.47%708.54M
79.40%636.52M
79.40%636.52M
80.44%636.52M
699.19%223.18M
0.58%354.81M
0.58%354.81M
0.00%352.76M
-92.08%27.93M
0.00%352.76M
0.21%352.76M
0.20%352.76M
0.19%352.76M
0.16%352.76M
-0.07%352.03M
-0.13%352.06M
3.52%352.08M
3.52%352.20M
3.51%352.29M
3.44%352.51M
--340.12M
--340.21M
--340.33M
--340.79M
Ganancias retenidas
----
3.90%1.19B
20.77%1.30B
22.25%1.29B
20.36%1.22B
24.47%1.14B
35.43%1.08B
74.01%1.06B
135.03%1.02B
123.34%918.29M
89.80%795.35M
38.29%608.17M
-4.11%432.47M
-11.89%411.16M
-15.01%419.06M
-17.22%439.79M
-4.47%451.00M
12.12%466.65M
31.91%493.09M
38.22%531.28M
26.78%472.10M
20.73%416.19M
1802.66%373.80M
1171.53%384.36M
879.55%372.37M
-6.67%344.74M
-51.83%19.65M
-32.97%30.23M
-19.25%38.01M
764.98%369.39M
-7.27%40.78M
0.12%45.10M
14.77%47.08M
-19.54%42.70M
-1.24%43.98M
45.33%45.04M
89.62%41.02M
320.65%53.08M
506.11%44.53M
269.20%30.99M
80.79%21.63M
--12.62M
--7.35M
--8.39M
--11.96M
Reservas de capital
----
-100.00%0.00
4.12%1.09B
4.12%1.09B
3.81%1.07B
2.04%1.04B
2.04%1.04B
3.60%1.04B
12.92%1.03B
45.28%1.02B
45.28%1.02B
43.09%1.01B
29.29%911.29M
0.00%704.83M
0.00%704.83M
0.00%704.83M
0.00%704.83M
0.00%704.83M
11.33%704.83M
11.33%704.83M
11.33%704.83M
218.61%704.83M
78.60%633.09M
78.60%633.09M
79.64%633.09M
726.65%221.22M
0.58%354.47M
0.58%354.47M
0.00%352.42M
-92.41%26.76M
0.00%352.42M
0.21%352.42M
0.20%352.42M
0.19%352.42M
0.16%352.42M
-0.07%351.69M
-0.13%351.72M
3.51%351.74M
3.52%351.86M
3.51%351.95M
3.44%352.18M
--339.80M
--339.89M
--340.01M
--340.46M
Menos: Acciones en tesorería
----
197.69%53.44M
27.17%4.28M
61.52%5.64M
-95.13%273.00K
41.63%17.95M
-78.13%3.36M
--3.49M
--5.61M
-1.22%12.68M
19.88%15.38M
-100.00%0.00
-100.00%0.00
-1.30%12.83M
-1.30%12.83M
-1.30%12.83M
-1.07%13.00M
2500.20%13.00M
2500.20%13.00M
2500.20%13.00M
--13.14M
--500.00K
-96.44%500.00K
-96.44%500.00K
----
----
0.00%14.04M
0.00%14.04M
5341.09%14.04M
----
5341.09%14.04M
6919.00%14.04M
29.00%258.00K
29.00%258.00K
29.00%258.00K
0.00%200.00K
--200.00K
--200.00K
--200.00K
--200.00K
----
----
----
----
----
Pérdidas de ganancias que no afectan a las ganancias retenidas
----
-35.85%31.41M
-61.48%27.19M
-22.53%52.58M
-3.67%55.98M
-28.50%48.97M
-1.07%70.59M
44.91%67.87M
93.72%58.12M
21780.83%68.49M
1317.16%71.35M
708.55%46.83M
521.30%30.00M
101.96%313.00K
65.32%-5.86M
43.63%-7.70M
75.00%-7.12M
-144.46%-16.01M
-121.92%-16.90M
-101.91%-13.65M
-747.87%-28.48M
-307.35%-6.55M
-898.30%-7.62M
-1703.20%-6.76M
-364.59%-3.36M
525.35%3.16M
65.00%-763.00K
82.19%-375.00K
32.87%-723.00K
199.61%505.00K
36.54%-2.18M
38.09%-2.10M
60.39%-1.08M
71.85%-507.00K
-88.22%-3.44M
-278.62%-3.40M
-11721.74%-2.72M
---1.80M
---1.82M
---898.00K
---23.00K
----
----
----
----
Intereses no controladores
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-4.62%197.41M
-2.86%203.34M
-2.23%206.25M
----
-0.50%206.96M
0.54%209.34M
2.20%210.96M
-2.13%208.91M
-0.53%208.01M
3.10%208.21M
4.51%206.42M
23.74%213.44M
23.07%209.13M
18.51%201.95M
14.64%197.50M
--172.50M
--169.92M
--170.40M
--172.28M
Capital total
-3.26%2.28B
1.56%2.26B
10.10%2.42B
11.98%2.44B
11.84%2.36B
10.89%2.23B
16.53%2.20B
29.96%2.18B
52.20%2.11B
80.66%2.01B
69.47%1.89B
47.98%1.67B
21.12%1.38B
-3.14%1.11B
-5.13%1.11B
-6.84%1.13B
0.20%1.14B
2.64%1.15B
17.01%1.17B
19.78%1.21B
13.38%1.14B
95.86%1.12B
80.01%1.00B
76.65%1.01B
72.69%1.01B
43.55%571.08M
-4.66%557.06M
-2.89%573.96M
-4.46%582.27M
-34.09%397.82M
-2.79%584.29M
-1.77%591.05M
2.16%609.46M
-2.11%603.61M
-0.46%601.06M
3.01%601.69M
4.37%596.58M
17.40%616.60M
16.69%603.83M
12.52%584.13M
8.87%571.63M
--525.21M
--517.48M
--519.12M
--525.03M
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
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KeyAI