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Mogu Inc

MOGU

2.235USD

+0.002+0.10%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
16.10MCap. mercado
PérdidaP/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025H2
FY2025H1
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022Q4
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-9.64%379.59M
-24.25%355.88M
-25.25%420.10M
-22.22%469.83M
--562.04M
--604.02M
-20.80%635.46M
-23.22%615.50M
-25.99%775.53M
-26.70%802.32M
-31.18%819.33M
-37.72%801.70M
-28.30%1.05B
-26.48%1.09B
-26.20%1.19B
7.50%1.29B
3.03%1.46B
--1.49B
--1.61B
--1.20B
--1.42B
Efectivo y equivalentes de efectivo
-77.14%82.02M
-76.96%84.36M
-13.79%358.79M
-6.82%366.15M
--416.20M
--392.97M
-19.09%438.61M
-11.31%507.05M
-27.25%602.35M
-36.72%542.08M
-23.82%659.33M
-36.36%571.70M
-27.22%827.94M
-32.91%856.57M
-31.64%865.53M
0.76%898.27M
-4.29%1.14B
--1.28B
--1.27B
--891.47M
--1.19B
-Inversiones a corto plazo
385.34%297.57M
161.89%271.52M
-57.96%61.31M
-50.87%103.68M
--145.84M
--211.05M
-24.36%196.85M
-52.85%108.46M
-21.28%173.18M
9.35%260.25M
-50.77%160.00M
-40.87%230.00M
-32.10%220.00M
12.26%238.00M
-6.34%325.00M
27.12%389.00M
40.87%324.00M
--212.00M
--347.00M
--306.00M
--230.00M
Por cobrar
-21.45%46.24M
533.91%29.09M
593.47%58.87M
-56.37%4.59M
--8.49M
--10.52M
-77.05%36.42M
-26.32%83.28M
-16.90%98.25M
40.23%158.70M
-21.11%140.42M
-19.41%113.02M
-2.19%118.22M
-7.76%113.17M
34.62%177.98M
-25.75%140.24M
-43.66%120.87M
--122.69M
--132.21M
--188.87M
--214.55M
-Préstamos por cobrar
-3.48%31.11M
777.33%28.76M
345.83%32.23M
-66.34%3.28M
--7.23M
--9.74M
-73.27%26.79M
-26.93%82.55M
-17.44%97.57M
-11.39%100.23M
-21.12%140.26M
-19.13%112.98M
-1.79%118.18M
-6.44%113.11M
35.38%177.81M
97.64%139.72M
105.44%120.33M
--120.90M
--131.35M
--70.69M
--58.57M
-Otros por cobrar
-16.44%15.13M
-74.75%331.00K
1337.14%18.11M
68.29%1.31M
--1.26M
--779.00K
-79.75%9.63M
1905.56%722.00K
1447.73%681.00K
83298.25%47.54M
-9.77%157.00K
-93.13%36.00K
-91.88%44.00K
-96.81%57.00K
-79.81%174.00K
-99.51%524.00K
-99.49%542.00K
--1.79M
--862.00K
--106.93M
--105.66M
Inventario
-88.78%11.00K
-40.71%67.00K
-31.94%98.00K
34.52%113.00K
--144.00K
--84.00K
-67.08%79.00K
-90.28%192.00K
-90.81%230.00K
-91.80%240.00K
-92.25%1.07M
-37.60%1.98M
-50.41%2.50M
-41.97%2.93M
195.52%13.78M
699.24%3.17M
1006.36%5.04M
--5.04M
--4.66M
--396.00K
--456.00K
Gastos prepago
113.51%59.21M
-3.60%95.56M
-59.88%27.73M
83.34%99.14M
--69.13M
--54.07M
110.23%46.15M
-26.21%60.73M
-22.64%65.09M
-77.85%21.95M
-16.08%98.82M
-42.23%82.30M
-45.93%84.15M
-38.54%99.11M
-27.91%117.76M
545.47%142.45M
813.91%155.64M
--161.25M
--163.34M
--22.07M
--17.03M
Otros activos corrientes
-49.80%511.00K
0.20%511.00K
25.68%1.02M
-36.96%510.00K
--810.00K
--809.00K
-79.05%809.00K
0.12%808.00K
0.12%808.00K
378.56%3.86M
0.12%807.00K
0.12%807.00K
0.12%807.00K
-19.78%807.00K
-19.80%806.00K
-97.16%806.00K
-97.10%806.00K
--1.01M
--1.00M
--28.34M
--27.82M
Total de activos corrientes
-4.38%485.56M
-16.21%481.11M
-20.73%507.81M
-14.24%574.18M
--640.61M
--669.50M
-27.17%718.91M
-23.93%760.50M
-25.02%939.91M
-24.68%987.07M
-29.34%1.06B
-36.48%999.80M
-28.12%1.25B
-26.32%1.31B
-21.60%1.50B
9.52%1.57B
3.90%1.74B
--1.78B
--1.91B
--1.44B
--1.68B
Activos no corrientes
Activos fijos netos
-6.65%282.22M
34.43%301.65M
51.14%302.32M
1127.81%224.38M
--200.03M
--18.27M
-28.55%7.70M
-28.61%9.85M
-17.91%10.38M
-23.59%10.78M
-27.49%10.78M
-10.56%13.79M
-6.81%12.64M
17.82%14.11M
33.04%14.87M
44.66%15.42M
9.07%13.56M
--11.97M
--11.18M
--10.66M
--12.43M
-Activos fijos
----
----
--357.87M
----
----
----
----
----
----
--53.93M
----
----
----
----
----
----
----
----
----
--71.47M
--79.77M
-Depreciación acumulada
----
----
--55.55M
----
----
----
----
----
----
--43.15M
----
----
----
----
----
----
----
----
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--60.81M
--67.33M
Fondo de comercio y otros activos intangibles
-24.34%718.00K
-15.11%871.00K
-92.44%949.00K
-99.26%1.03M
--12.55M
--137.87M
-74.97%153.28M
-54.92%373.47M
-41.66%541.65M
-38.72%612.51M
-35.58%692.55M
-67.78%828.53M
-63.39%928.50M
-61.12%999.51M
-58.77%1.08B
-3.79%2.57B
52.99%2.54B
--2.57B
--2.61B
--2.67B
--1.66B
Otros activos no actuales
-12.57%39.76M
6.42%49.41M
-28.55%45.47M
-80.36%46.43M
--63.64M
--236.36M
31.79%214.96M
77.97%215.80M
1053.62%163.62M
1050.05%163.11M
1036.42%163.11M
596.12%121.26M
1758.85%14.18M
1758.85%14.18M
54.92%14.35M
-13.43%17.42M
-93.15%763.00K
--763.00K
--9.27M
--20.12M
--11.13M
Total de activos no actuales
-13.44%372.67M
14.66%405.99M
24.60%430.55M
-21.99%354.07M
--345.54M
--453.90M
-47.46%448.07M
-37.45%678.31M
-26.25%788.93M
-24.54%852.78M
-21.07%928.66M
-60.08%1.08B
-61.37%1.07B
-59.99%1.13B
-58.69%1.18B
-6.47%2.72B
47.45%2.77B
--2.83B
--2.85B
--2.90B
--1.88B
Total de activos
-8.54%858.23M
-4.43%887.10M
-4.85%938.36M
-17.37%928.25M
--986.15M
--1.12B
-36.57%1.17B
-30.97%1.44B
-25.59%1.73B
-24.62%1.84B
-25.71%1.99B
-51.42%2.08B
-48.52%2.32B
-46.98%2.44B
-43.78%2.68B
-1.18%4.29B
26.90%4.51B
--4.60B
--4.76B
--4.34B
--3.56B
Pasivos
Pasivos corrientes
-Otros por pagar
-98.75%3.48M
-4.31%4.49M
6553.74%279.19M
56.92%4.69M
--4.20M
--2.99M
-98.53%4.69M
-18.69%5.49M
-56.65%5.70M
2561.26%319.83M
-50.34%6.71M
-7.21%6.75M
79.73%13.16M
27.95%12.02M
117.61%13.52M
-98.02%7.28M
-98.61%7.32M
--9.39M
--6.21M
--368.17M
--527.64M
Gastos acumulados
853.85%309.08M
10.01%300.89M
-88.60%32.40M
0.73%273.51M
--284.27M
--271.54M
1093.25%284.95M
-8.95%328.60M
-9.33%338.61M
-94.02%23.88M
-26.08%359.42M
-26.35%360.88M
-21.61%373.47M
-22.34%399.57M
-13.18%486.25M
222.55%490.00M
258.41%476.41M
--514.50M
--560.05M
--151.91M
--132.92M
Deuda a corto plazo y pasivos por arrendamiento
----
----
----
----
--0.00
--11.63M
--10.06M
----
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----
----
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----
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-Deuda a corto plazo
----
----
----
----
--0.00
--11.63M
--10.06M
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----
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----
----
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Pasivos diferidos
----
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--649.00K
--1.60M
Otros pasivos corrientes
-98.74%3.53M
7.79%5.12M
6191.33%279.40M
43.15%4.75M
--4.44M
--3.32M
-98.25%5.59M
-15.43%5.77M
-56.47%5.79M
2539.28%319.91M
-50.42%6.78M
-9.41%6.82M
70.52%13.31M
14.67%12.12M
79.86%13.67M
-97.97%7.53M
-98.53%7.80M
--10.57M
--7.60M
--370.34M
--530.42M
Total pasivos corrientes
-0.30%320.88M
7.71%312.39M
3.60%321.84M
-6.71%290.03M
--310.67M
--310.90M
-11.90%321.82M
-10.77%347.34M
-10.96%364.41M
-16.05%365.28M
-24.54%413.33M
-26.31%389.25M
-19.97%409.28M
-20.73%435.11M
-7.27%547.76M
-2.52%528.21M
-26.33%511.42M
--548.90M
--590.68M
--541.86M
--694.17M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-54.46%352.00K
--386.00K
2.66%773.00K
-100.00%0.00
--753.00K
--3.17M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Pasivos por arrendamiento a largo plazo
-54.46%352.00K
--386.00K
2.66%773.00K
-100.00%0.00
--753.00K
--3.17M
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Otros pasivos no corrientes
----
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--0.00
--332.00K
-58.62%890.00K
-47.10%1.52M
-45.26%1.81M
-40.97%2.15M
-37.63%2.44M
-33.33%2.87M
-26.44%3.31M
-22.83%3.64M
--3.91M
--4.30M
--4.50M
--4.72M
----
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Total pasivos no corrientes
-83.01%352.00K
-76.08%386.00K
-49.73%2.07M
-88.78%1.61M
--4.12M
--14.38M
-33.92%13.00M
-5.97%26.92M
-23.23%18.18M
-21.83%19.68M
-22.82%20.47M
2.01%28.63M
238.98%23.68M
249.29%25.17M
219.42%26.52M
89.83%28.06M
-65.26%6.99M
--7.21M
--8.30M
--14.78M
--20.11M
Total pasivos
-0.83%321.23M
7.24%312.77M
2.90%323.91M
-10.34%291.65M
--314.79M
--325.29M
-13.02%334.82M
-10.44%374.26M
-11.63%382.58M
-16.36%384.96M
-24.46%433.80M
-24.88%417.87M
-16.48%432.96M
-17.23%460.28M
-4.12%574.28M
-0.07%556.27M
-27.42%518.41M
--556.11M
--598.99M
--556.65M
--714.27M
Capital de los accionistas
Capital ordinario
0.01%9.49B
0.03%9.49B
0.05%9.49B
0.08%9.49B
--9.48B
--9.48B
0.13%9.47B
0.23%9.47B
0.30%9.47B
0.29%9.46B
-0.03%9.45B
0.12%9.45B
0.28%9.44B
0.42%9.43B
1.01%9.46B
6624.59%9.43B
6608.33%9.41B
--9.39B
--9.36B
--140.29M
--140.29M
Ganancias retenidas
-0.71%-8.92B
-0.54%-8.88B
-0.69%-8.85B
-1.82%-8.83B
---8.79B
---8.67B
-8.02%-8.61B
-7.12%-8.39B
-4.32%-8.07B
-4.29%-7.97B
-4.81%-7.87B
-33.38%-7.83B
-39.54%-7.74B
-41.00%-7.65B
-42.08%-7.50B
-14.68%-5.87B
-16.08%-5.54B
---5.42B
---5.28B
---5.12B
---4.78B
Reservas de capital
0.01%9.49B
0.03%9.49B
0.05%9.49B
0.08%9.49B
--9.48B
--9.48B
0.13%9.47B
0.23%9.47B
0.30%9.47B
0.29%9.46B
-0.03%9.45B
0.12%9.45B
0.28%9.44B
0.42%9.43B
1.01%9.46B
--9.43B
--9.41B
--9.39B
--9.36B
--0.00
--0.00
Menos: Acciones en tesorería
0.60%138.27M
0.60%138.27M
0.00%137.45M
0.00%137.45M
--137.45M
--137.45M
7.66%136.11M
22.91%134.79M
995.92%134.01M
1825.43%126.42M
2204.89%117.30M
3048.64%109.67M
251.08%12.23M
--6.57M
--5.09M
--3.48M
--3.48M
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Pérdidas de ganancias que no afectan a las ganancias retenidas
-18.87%72.67M
-19.07%72.08M
8.70%89.57M
3.18%89.07M
--82.40M
--86.33M
-28.96%69.02M
-52.31%76.28M
-57.76%84.88M
-51.86%97.14M
-45.19%86.43M
-8.03%159.95M
53.62%200.94M
159.39%201.80M
85.13%157.70M
121.21%173.91M
180.30%130.80M
--77.80M
--85.19M
--78.61M
--46.66M
Intereses no controladores
7.61%28.05M
2.72%27.62M
-23.34%26.06M
-34.43%26.89M
--34.00M
--41.01M
--42.42M
--42.90M
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Capital total
-12.61%537.00M
-9.78%574.32M
-8.48%614.45M
-20.24%636.60M
--671.36M
--798.12M
-42.80%832.15M
-36.12%1.06B
-28.78%1.35B
-26.54%1.45B
-26.05%1.56B
-55.38%1.67B
-52.68%1.89B
-51.07%1.98B
-49.48%2.10B
-1.34%3.73B
40.55%3.99B
--4.05B
--4.16B
--3.79B
--2.84B
Unidad monetaria
USD
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Opiniones de evaluación
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