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Iveda Solutions Inc

IVDA

2.010USD

+0.130+6.91%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
5.64MCap. 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
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-36.13%2.49M
-44.51%2.63M
-35.35%3.60M
-66.78%2.86M
-53.47%3.90M
-35.20%4.74M
-47.28%5.57M
38.79%8.60M
1021.90%8.38M
427.84%7.31M
757.19%10.56M
421.29%6.20M
--746.93K
--1.39M
--1.23M
--1.19M
40.17%959.53K
-88.25%184.92K
-17.80%206.93K
-11.93%242.80K
1.63%684.55K
72.05%1.57M
-55.03%251.73K
-74.53%275.70K
-53.09%673.60K
-46.42%914.83K
5.69%559.73K
45.15%1.08M
122.08%1.44M
94.09%1.71M
--529.57K
--745.69K
--646.64K
--879.66K
Efectivo y equivalentes de efectivo
-36.13%2.49M
-44.51%2.63M
-35.35%3.60M
-66.78%2.86M
-53.47%3.90M
-35.20%4.74M
-47.28%5.57M
38.79%8.60M
1021.90%8.38M
427.84%7.31M
757.19%10.56M
421.29%6.20M
--746.93K
--1.39M
--1.23M
--1.19M
40.17%959.53K
-88.25%184.92K
135.41%206.93K
-11.93%242.80K
1.63%684.55K
72.05%1.57M
-84.30%87.90K
-74.53%275.70K
-53.09%673.60K
-46.42%914.83K
389.01%559.73K
45.15%1.08M
361.14%1.44M
193.81%1.71M
--114.46K
--745.69K
--311.42K
--581.08K
-Inversiones a corto plazo
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--163.83K
----
----
----
----
----
----
----
--415.11K
----
--335.23K
--298.58K
Por cobrar
302.00%819.75K
354.60%1.28M
391.31%2.16M
347.13%1.06M
-59.67%203.92K
-77.01%281.05K
-30.95%439.43K
93.25%236.93K
244.65%505.58K
148.13%1.22M
736.61%636.35K
-45.46%122.60K
--146.70K
--492.75K
--76.06K
--224.81K
-70.36%383.84K
10.10%631.63K
111.82%996.57K
64.63%539.63K
173.28%1.30M
61.64%573.72K
26.28%470.49K
-35.49%327.79K
-52.50%473.93K
-48.24%354.93K
-81.04%372.59K
-29.32%508.14K
-39.80%997.77K
-35.99%685.66K
--1.97M
--718.95K
--1.66M
--1.07M
-Cuentas y pagarés por cobrar
302.00%819.75K
354.60%1.28M
391.31%2.16M
347.13%1.06M
-59.67%203.92K
-77.01%281.05K
-30.95%439.43K
93.25%236.93K
244.65%505.58K
148.13%1.22M
736.61%636.35K
-45.46%122.60K
--146.70K
--492.75K
--76.06K
--224.81K
-70.36%383.84K
10.10%631.63K
177.75%996.57K
64.63%539.63K
173.28%1.30M
61.64%573.72K
-3.70%358.80K
-35.49%327.79K
-52.50%473.93K
-48.24%354.93K
-80.98%372.59K
-29.32%508.14K
-39.45%997.77K
-35.59%685.66K
--1.96M
--718.95K
--1.65M
--1.06M
-Préstamos por cobrar
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--111.68K
----
----
----
----
----
----
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--6.25K
----
--9.56K
--6.73K
Inventario
-55.62%217.63K
-54.36%148.12K
165.64%1.30M
152.32%770.01K
26.31%490.39K
-38.36%324.51K
-32.12%487.75K
-51.59%305.17K
-32.62%388.25K
52.75%526.47K
56.66%718.51K
143.13%630.42K
--576.19K
--344.65K
--458.64K
--259.29K
-57.20%180.10K
-55.39%209.30K
-54.40%176.91K
-20.02%350.03K
-19.89%420.82K
18.94%469.15K
17.04%387.92K
110.28%437.67K
233.39%525.32K
144.51%394.43K
169.41%331.44K
93.48%208.13K
12.80%157.57K
45.58%161.31K
--123.02K
--107.58K
--139.69K
--110.81K
Gastos prepago
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--87.93K
----
----
----
----
----
----
----
--224.37K
----
--92.34K
--51.57K
Otros activos corrientes
-0.08%684.79K
71.82%971.37K
29.96%581.25K
78.91%642.82K
134.58%685.36K
12.73%565.36K
92.71%447.24K
-4.86%359.29K
-9.96%292.17K
10.63%501.52K
-65.59%232.08K
-48.14%377.64K
--324.47K
--453.35K
--674.54K
--728.23K
-64.02%398.23K
-58.98%649.25K
-51.69%610.28K
-32.34%1.14M
-13.58%1.11M
3.54%1.58M
-4.44%1.26M
32.30%1.69M
-6.80%1.28M
0.95%1.53M
195.60%1.32M
151.01%1.27M
--1.37M
--1.51M
--447.21K
--507.80K
----
----
Total de activos corrientes
-20.20%4.21M
-14.94%5.03M
10.01%7.63M
-43.91%5.33M
-44.82%5.28M
-38.20%5.91M
-42.85%6.94M
29.67%9.50M
433.13%9.57M
257.35%9.56M
397.51%12.14M
205.19%7.33M
--1.79M
--2.68M
--2.44M
--2.40M
-45.21%1.92M
-60.11%1.68M
-19.12%1.99M
-16.65%2.27M
18.75%3.51M
31.53%4.20M
-4.81%2.46M
-11.25%2.73M
-25.52%2.95M
-21.52%3.19M
-21.39%2.59M
47.75%3.07M
56.35%3.97M
92.52%4.07M
--3.29M
--2.08M
--2.54M
--2.11M
Activos no corrientes
Activos fijos netos
-77.23%243.95K
-30.33%68.68K
-88.19%76.99K
153.12%1.18M
423.80%1.07M
199.52%98.58K
2171.38%651.93K
1391.25%465.18K
442.41%204.52K
-13.82%32.91K
-0.67%28.70K
-52.00%31.19K
--37.70K
--38.19K
--28.90K
--64.99K
-61.21%141.84K
-62.67%166.22K
-64.49%189.09K
-41.35%331.11K
-37.48%365.69K
-20.26%445.24K
13.02%532.51K
25.12%564.55K
21.49%584.88K
16.08%558.33K
-8.86%471.18K
-26.17%451.21K
-22.76%481.43K
-11.09%480.97K
--516.98K
--611.11K
--623.26K
--540.95K
-Activos fijos
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----
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--714.54K
----
--1.06M
--924.78K
-Depreciación acumulada
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----
----
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--197.56K
----
--431.81K
--383.83K
Fondo de comercio y otros activos intangibles
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--1.13M
----
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----
----
----
----
----
--0.00
--0.00
----
--0.00
--0.00
----
-17.14%96.67K
-16.44%101.67K
-15.79%106.67K
-15.19%111.67K
-14.63%116.67K
-14.12%121.67K
-13.64%126.67K
-86.74%131.67K
-86.30%136.67K
-85.87%141.67K
-85.44%146.67K
-1.97%992.67K
-1.97%997.67K
-1.96%1.00M
--1.01M
--1.01M
--1.02M
--1.02M
Otros activos no actuales
-71.56%71.72K
-71.69%84.42K
-48.65%219.28K
-8.32%248.19K
-12.61%252.21K
11.51%298.16K
81.00%427.05K
16.53%270.72K
12.49%288.60K
-2.21%267.39K
36.55%235.94K
34.96%232.32K
--256.55K
--273.42K
--172.78K
--172.14K
10.42%234.57K
16.99%220.93K
-48.57%162.38K
-51.86%191.10K
-48.64%212.44K
-51.39%188.84K
-33.63%315.70K
281.57%396.93K
302.65%413.65K
268.45%388.45K
401.86%475.69K
-12.45%104.03K
-3.03%102.73K
3.72%105.43K
--94.78K
--118.82K
--105.94K
--101.65K
Total de activos no actuales
-76.15%315.67K
-61.41%153.10K
32.37%1.43M
93.73%1.43M
168.39%1.32M
32.11%396.74K
307.72%1.08M
179.27%735.90K
67.58%493.12K
-3.63%300.30K
31.22%264.64K
11.13%263.51K
--294.25K
--311.61K
--201.68K
--237.13K
-31.91%473.08K
-35.32%488.82K
-55.24%458.14K
-42.01%633.88K
-38.79%694.80K
-30.57%755.74K
-6.40%1.02M
-29.38%1.09M
-28.23%1.14M
-31.50%1.09M
-32.92%1.09M
-11.17%1.55M
-10.01%1.58M
-5.19%1.59M
--1.63M
--1.74M
--1.76M
--1.68M
Total de activos
-31.41%4.53M
-17.87%5.18M
13.02%9.06M
-34.02%6.76M
-34.36%6.60M
-36.06%6.31M
-35.37%8.02M
34.87%10.24M
381.63%10.06M
230.13%9.86M
369.56%12.41M
187.74%7.59M
--2.09M
--2.99M
--2.64M
--2.64M
-43.01%2.39M
-56.33%2.16M
-29.73%2.45M
-23.90%2.91M
2.77%4.20M
15.74%4.96M
-5.28%3.48M
-17.32%3.82M
-26.29%4.09M
-24.33%4.28M
-25.21%3.68M
20.89%4.62M
29.19%5.55M
49.30%5.66M
--4.92M
--3.82M
--4.29M
--3.79M
Pasivos
Pasivos corrientes
-Otros por pagar
--0.00
----
---34.61K
---52.69K
----
----
----
----
----
-100.00%0.00
0.00%300.00K
0.00%300.00K
--300.00K
--300.00K
--300.00K
--300.00K
2.33%440.00K
0.00%430.00K
24.32%714.82K
85.68%798.44K
330.00%430.00K
330.00%430.00K
475.00%575.00K
330.00%430.00K
0.00%100.00K
-70.66%100.00K
-70.29%100.00K
-56.97%100.00K
-78.69%100.00K
315.96%340.80K
--336.61K
--232.41K
--469.18K
--81.93K
Gastos acumulados
12.52%881.46K
9.12%981.77K
-0.03%666.05K
-11.60%746.64K
-0.74%783.37K
-27.62%899.75K
-49.66%666.26K
--844.65K
--789.19K
--1.24M
--1.32M
----
----
----
----
----
----
----
----
----
----
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--966.52K
----
----
----
----
----
----
----
--1.67M
----
--222.19K
--365.15K
Deuda a corto plazo y pasivos por arrendamiento
55.78%585.23K
57.42%549.03K
151.05%444.07K
56.56%452.64K
63.88%375.68K
-24.80%348.77K
-86.89%176.88K
-12.51%289.12K
-32.79%229.25K
172.38%463.82K
119.30%1.35M
-68.15%330.47K
--341.08K
--170.28K
--615.43K
--1.04M
-56.07%455.39K
-73.31%301.04K
-95.24%53.02K
-80.45%203.85K
81.60%1.04M
70.36%1.13M
396.83%1.12M
282.82%1.04M
-10.35%570.86K
25.29%662.07K
-74.43%224.45K
-58.42%272.34K
-34.00%636.77K
14.52%528.42K
--877.83K
--654.98K
--964.84K
--461.43K
-Deuda a corto plazo
85.64%464.93K
22.44%427.02K
60.26%283.47K
-4.23%276.89K
52.95%250.45K
-12.46%348.77K
-85.79%176.88K
32.45%289.12K
-27.11%163.75K
696.82%398.41K
119.36%1.24M
-78.96%218.28K
--224.65K
--50.00K
--567.49K
--1.04M
-60.53%409.20K
-77.09%255.19K
-95.09%53.02K
-79.03%203.85K
126.45%1.04M
113.15%1.11M
1692.14%1.08M
1017.57%972.28K
4.27%457.82K
15.14%522.52K
-92.48%60.29K
-86.72%87.00K
-53.97%439.05K
0.71%453.81K
--802.12K
--654.98K
--953.85K
--450.63K
-Pasivos por arrendamiento a corto plazo
--33.50K
----
--34.61K
--52.69K
----
----
----
----
----
----
----
----
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Pasivos diferidos
-11.42%42.74K
25.95%36.79K
71.72%50.16K
-1.12%100.56K
4.79%48.25K
-17.26%29.21K
0.11%29.21K
--101.71K
--46.05K
--35.30K
--29.18K
----
----
----
----
----
----
----
----
----
----
----
--14.28K
----
----
----
----
----
----
----
--55.57K
----
--68.31K
--84.28K
Otros pasivos corrientes
-11.42%42.74K
25.95%36.79K
-46.76%15.55K
-52.93%47.87K
4.79%48.25K
-17.26%29.21K
-91.13%29.21K
-66.10%101.71K
-84.65%46.05K
-88.23%35.30K
9.73%329.18K
0.00%300.00K
--300.00K
--300.00K
--300.00K
--300.00K
2.33%440.00K
0.00%430.00K
21.30%714.82K
85.68%798.44K
330.00%430.00K
330.00%430.00K
489.28%589.28K
330.00%430.00K
0.00%100.00K
-70.66%100.00K
-74.50%100.00K
-56.97%100.00K
-81.40%100.00K
105.04%340.80K
--392.18K
--232.41K
--537.49K
--166.21K
Total pasivos corrientes
58.31%2.34M
38.62%2.30M
132.42%3.11M
-22.96%2.08M
-4.24%1.48M
-21.16%1.66M
-64.71%1.34M
-2.28%2.70M
-57.54%1.54M
-38.63%2.10M
-11.15%3.79M
-42.56%2.76M
--3.63M
--3.43M
--4.27M
--4.81M
-5.09%3.57M
1.99%3.66M
-13.69%3.43M
-18.50%3.02M
30.39%3.76M
15.86%3.59M
45.74%3.97M
71.10%3.71M
15.73%2.88M
9.34%3.10M
-25.83%2.72M
19.16%2.17M
-5.87%2.49M
39.53%2.84M
--3.67M
--1.82M
--2.65M
--2.03M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
1.84%488.86K
--376.19K
--419.96K
--440.97K
174.83%480.04K
-100.00%0.00
-100.00%0.00
-100.00%0.00
-41.55%174.66K
-43.69%190.78K
218.92%216.61K
--259.90K
--298.84K
--338.80K
--67.92K
--0.00
--27.92K
--39.82K
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
5171.53%3.40M
3076.18%3.31M
3649.66%1.85M
438.25%364.37K
--64.54K
--104.35K
--49.24K
--67.69K
--0.00
--0.00
--0.00
-Deuda a largo plazo
-29.00%340.83K
--376.19K
--419.96K
--440.97K
174.83%480.04K
-100.00%0.00
-100.00%0.00
-100.00%0.00
-41.55%174.66K
-43.69%190.78K
218.92%216.61K
--259.90K
--298.84K
--338.80K
--67.92K
----
--27.92K
--39.82K
----
----
----
----
-100.00%0.00
5171.53%3.40M
3076.18%3.31M
3649.66%1.85M
438.25%364.37K
--64.54K
--104.35K
--49.24K
--67.69K
----
----
----
-Pasivos por arrendamiento a largo plazo
--148.03K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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----
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Otros pasivos no corrientes
--0.00
----
----
----
----
----
---1.00
----
----
----
----
----
----
----
---1.00
--2.00
----
----
----
----
----
----
-100.00%0.00
--160.83K
--158.87K
--118.17K
--70.11K
----
----
----
----
----
----
----
Total pasivos no corrientes
1.84%488.86K
--376.19K
41996100.00%419.96K
--440.97K
174.83%480.04K
-100.00%0.00
-100.00%-1.00
-100.00%0.00
-41.55%174.66K
-43.69%190.78K
218.92%216.61K
12995050.00%259.90K
--298.84K
--338.80K
--67.92K
--2.00
86.70%864.58K
114.18%788.15K
139.37%653.24K
-84.34%558.16K
-86.67%463.07K
-81.27%367.99K
-37.19%272.90K
5420.72%3.56M
3228.43%3.47M
3889.65%1.96M
541.83%434.48K
1720.65%64.54K
1818.20%104.35K
504.80%49.24K
--67.69K
--3.54K
--5.44K
--8.14K
Total pasivos
44.46%2.83M
61.31%2.67M
163.80%3.53M
-6.62%2.52M
13.97%1.96M
-27.72%1.66M
-66.61%1.34M
-10.69%2.70M
-56.32%1.72M
-39.09%2.29M
-7.55%4.01M
-37.15%3.02M
--3.93M
--3.76M
--4.34M
--4.81M
4.98%4.43M
12.41%4.45M
-3.84%4.08M
-50.77%3.58M
-33.56%4.22M
-21.81%3.96M
34.33%4.24M
225.89%7.27M
144.84%6.36M
75.56%5.07M
-15.55%3.16M
22.47%2.23M
-2.13%2.60M
41.39%2.89M
--3.74M
--1.82M
--2.65M
--2.04M
Capital de los accionistas
Capital ordinario
3.51%55.96M
3.51%55.96M
3.95%56.01M
0.59%54.18M
0.45%54.06M
2.99%54.07M
2.79%53.88M
12.53%53.86M
12.77%53.82M
28.90%52.50M
35.88%52.42M
27.11%47.86M
--47.72M
--40.73M
--38.58M
--37.65M
4.30%31.31M
1.88%30.41M
11.24%30.33M
30.52%30.14M
30.16%30.02M
32.93%29.85M
21.95%27.26M
6.13%23.09M
11.16%23.06M
17.85%22.46M
37.95%22.35M
38.90%21.76M
43.26%20.75M
38.76%19.05M
--16.20M
--15.66M
--14.48M
--13.73M
Capital preferente
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--0.00
--0.00
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--0.00
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-2.50%39.00
0.00%40.00
0.00%40.00
--40.00
--40.00
--40.00
--40.00
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--0.00
--0.00
--0.00
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Ganancias retenidas
-10.03%-53.97M
-8.09%-53.18M
-6.95%-50.10M
-7.67%-49.54M
-8.38%-49.05M
-10.04%-49.20M
-7.05%-46.84M
-6.78%-46.01M
-7.68%-45.26M
-8.09%-44.71M
-9.02%-43.76M
-8.59%-43.09M
---42.03M
---41.36M
---40.14M
---39.69M
-12.85%-33.31M
-15.29%-32.66M
-16.09%-31.91M
-17.84%-30.63M
-19.03%-29.51M
-22.07%-28.33M
-26.09%-27.49M
-34.43%-26.00M
-39.59%-24.80M
-42.75%-23.21M
-45.34%-21.80M
-41.82%-19.34M
-38.76%-17.76M
-36.00%-16.26M
---15.00M
---13.64M
---12.80M
---11.95M
Reservas de capital
3.52%55.96M
3.51%55.96M
3.95%56.01M
0.59%54.18M
0.45%54.06M
2.99%54.07M
2.79%53.88M
12.53%53.86M
12.77%53.82M
28.90%52.50M
35.88%52.42M
27.12%47.86M
--47.72M
--40.73M
--38.58M
--37.65M
4.30%31.31M
1.88%30.41M
11.24%30.33M
30.52%30.14M
30.16%30.02M
32.93%29.85M
21.95%27.26M
6.13%23.09M
11.16%23.06M
17.85%22.46M
37.95%22.35M
38.90%21.75M
43.26%20.75M
38.76%19.05M
--16.20M
--15.66M
--14.48M
--13.73M
Pérdidas de ganancias que no afectan a las ganancias retenidas
-13.19%-291.09K
-26.55%-280.21K
9.40%-249.03K
-14.59%-277.74K
-16.20%-257.18K
-0.35%-221.42K
-5.57%-274.86K
-22.05%-242.37K
-31.13%-221.32K
-53.77%-220.64K
-96.49%-260.36K
-45.64%-198.57K
---168.78K
---143.49K
---132.51K
---136.35K
-18.27%-39.64K
-14.05%-38.87K
-17.84%-41.97K
-16.26%-42.00K
-9.41%-33.52K
-4.97%-34.08K
-16.12%-35.62K
-44.53%-36.13K
5.46%-30.64K
-29.19%-32.47K
-29.80%-30.67K
-2.36%-25.00K
17.07%-32.41K
15.13%-25.13K
---23.63K
---24.42K
---39.08K
---29.61K
Intereses no controladores
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----
-58.83%-132.60K
-99.56%-119.67K
---109.86K
----
---83.49K
---59.97K
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Capital total
-63.38%1.70M
-46.10%2.51M
-17.20%5.53M
-43.83%4.24M
-44.32%4.65M
-38.59%4.65M
-20.46%6.68M
64.98%7.54M
552.59%8.34M
1073.88%7.57M
595.71%8.40M
310.82%4.57M
---1.84M
---777.28K
---1.69M
---2.17M
-9240.47%-2.04M
-330.09%-2.29M
-115.44%-1.63M
80.53%-671.31K
99.04%-21.83K
226.87%994.58K
-244.96%-756.39K
-244.25%-3.45M
-176.90%-2.27M
-128.28%-783.92K
-55.80%521.81K
19.46%2.39M
79.83%2.95M
58.53%2.77M
--1.18M
--2.00M
--1.64M
--1.75M
Unidad monetaria
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Opiniones de evaluación
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KeyAI