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Mogu Inc

MOGU
2.610USD
-0.070-2.61%
Cierre 11/05, 16:00ETCotizaciones retrasadas 15 min
18.70MCap. 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
-9.45%52.31M
-25.42%49.12M
-27.20%57.77M
-24.71%65.86M
--79.35M
--87.48M
-24.53%95.09M
-20.74%96.63M
-20.88%119.85M
-17.87%126.00M
-25.06%126.95M
-33.41%121.91M
-25.89%151.48M
-28.88%153.41M
-29.81%169.39M
6.23%183.09M
-1.04%204.41M
--215.72M
--241.33M
--172.35M
--206.55M
Efectivo y equivalentes de efectivo
-77.09%11.30M
-77.32%11.64M
-16.04%49.33M
-9.81%51.33M
--58.76M
--56.91M
-22.90%65.64M
-8.43%79.60M
-22.22%93.08M
-29.09%85.13M
-17.05%102.16M
-31.95%86.94M
-24.78%119.68M
-35.11%120.05M
-34.99%123.15M
-0.43%127.76M
-8.07%159.10M
--185.00M
--189.42M
--128.31M
--173.06M
-Inversiones a corto plazo
386.40%41.01M
157.84%37.47M
-59.06%8.43M
-52.45%14.53M
--20.59M
--30.57M
-27.93%29.46M
-51.32%17.03M
-15.84%26.76M
22.53%40.87M
-46.39%24.79M
-36.78%34.98M
-29.82%31.80M
8.59%33.36M
-10.92%46.24M
25.62%55.33M
35.31%45.31M
--30.72M
--51.91M
--44.04M
--33.49M
Por cobrar
20.24%9.73M
524.11%4.01M
575.38%8.09M
-57.77%643.30K
--1.20M
--1.52M
-78.14%5.45M
-23.93%13.07M
-11.16%15.18M
57.14%24.92M
-14.09%21.76M
-13.84%17.19M
1.09%17.09M
-10.78%15.86M
28.04%25.32M
-26.63%19.95M
-45.89%16.90M
--17.78M
--19.78M
--27.18M
--31.24M
-Préstamos por cobrar
-1.56%4.36M
763.77%3.97M
334.19%4.43M
-67.42%459.52K
--1.02M
--1.41M
-74.53%4.01M
-24.57%12.96M
-11.74%15.08M
-0.71%15.74M
-14.10%21.73M
-13.54%17.18M
1.51%17.08M
-9.51%15.85M
28.75%25.30M
95.31%19.87M
97.33%16.83M
--17.52M
--19.65M
--10.17M
--8.53M
-Otros por cobrar
110.13%5.23M
-75.14%45.68K
1299.64%2.49M
62.90%183.78K
--177.90K
--112.82K
-80.70%1.44M
1970.54%113.35K
1554.61%105.24K
93349.41%7.47M
-1.74%24.33K
-92.65%5.47K
-91.61%6.36K
-96.92%7.99K
-80.80%24.76K
-99.52%74.53K
-99.51%75.80K
--259.23K
--128.96K
--15.39M
--15.38M
Inventario
-88.75%1.52K
-41.62%9.25K
-33.72%13.48K
30.21%15.84K
--20.33K
--12.17K
-68.64%11.82K
-89.96%30.14K
-90.17%35.54K
-90.81%37.69K
-91.56%165.48K
-33.28%300.33K
-48.74%361.67K
-43.87%410.10K
181.06%1.96M
689.80%450.16K
962.68%705.56K
--730.61K
--697.59K
--57.00K
--66.39K
Gastos prepago
22.26%4.66M
-5.09%13.19M
-60.93%3.81M
77.46%13.90M
--9.76M
--7.83M
100.31%6.91M
-23.82%9.53M
-17.30%10.06M
-75.18%3.45M
-8.62%15.31M
-38.23%12.52M
-44.12%12.16M
-40.55%13.89M
-31.43%16.76M
537.84%20.26M
777.83%21.77M
--23.37M
--24.44M
--3.18M
--2.48M
Otros activos corrientes
47.37%206.29K
-1.35%70.53K
22.40%139.98K
-38.98%71.49K
--114.36K
--117.16K
-80.04%121.06K
3.37%126.85K
7.04%124.86K
436.24%606.53K
9.03%125.04K
7.05%122.72K
3.49%116.65K
-22.41%113.11K
-23.72%114.68K
-97.19%114.64K
-97.22%112.72K
--145.77K
--150.35K
--4.08M
--4.05M
Total de activos corrientes
-4.17%66.91M
-17.50%66.40M
-22.80%69.83M
-16.99%80.49M
--90.45M
--96.96M
-30.60%107.58M
-21.47%119.40M
-19.85%145.25M
-15.61%155.02M
-23.06%164.31M
-32.08%152.04M
-25.70%181.21M
-28.73%183.69M
-25.44%213.55M
8.22%223.86M
-0.20%243.90M
--257.74M
--286.40M
--206.85M
--244.39M
Activos no corrientes
Activos fijos netos
-6.45%38.89M
32.36%41.63M
47.19%41.57M
1088.45%31.45M
--28.24M
--2.65M
-31.92%1.15M
-26.29%1.55M
-12.24%1.60M
-14.39%1.69M
-21.04%1.67M
-4.37%2.10M
-3.68%1.83M
13.96%1.98M
26.53%2.12M
42.95%2.19M
4.77%1.90M
--1.74M
--1.67M
--1.53M
--1.81M
-Activos fijos
-6.42%46.05M
----
--49.21M
----
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--8.47M
----
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----
----
----
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--10.29M
--11.61M
-Depreciación acumulada
-6.28%7.16M
----
--7.64M
----
----
----
----
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--6.78M
----
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----
----
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--8.75M
--9.80M
Fondo de comercio y otros activos intangibles
-24.18%98.94K
-16.42%120.21K
-92.64%130.49K
-99.28%143.83K
--1.77M
--19.97M
-76.15%22.94M
-53.46%58.63M
-37.63%83.70M
-31.33%96.19M
-29.85%107.30M
-65.56%125.99M
-62.16%134.21M
-62.39%140.09M
-60.79%152.96M
-4.92%365.78M
46.95%354.66M
--372.49M
--390.06M
--384.72M
--241.35M
Otros activos no actuales
-12.38%5.48M
4.78%6.82M
-30.41%6.25M
-80.99%6.51M
--8.99M
--34.23M
25.58%32.17M
83.74%33.88M
1133.29%25.28M
1188.65%25.62M
1137.51%25.27M
644.27%18.44M
1821.26%2.05M
1697.96%1.99M
47.34%2.04M
-14.46%2.48M
-93.42%106.71K
--110.56K
--1.39M
--2.90M
--1.62M
Total de activos no actuales
-13.26%51.35M
12.89%56.03M
21.35%59.20M
-24.50%49.63M
--48.79M
--65.74M
-49.94%67.05M
-35.42%106.49M
-21.15%121.92M
-15.45%133.93M
-14.05%143.89M
-57.32%164.91M
-60.08%154.63M
-61.31%158.40M
-60.71%167.41M
-7.58%386.40M
41.62%387.32M
--409.37M
--426.06M
--418.08M
--273.48M
Total de activos
-8.34%118.27M
-5.91%122.43M
-7.33%129.03M
-20.02%130.13M
--139.23M
--162.70M
-39.56%174.63M
-28.73%225.89M
-20.45%267.16M
-15.53%288.95M
-19.10%308.19M
-48.06%316.95M
-46.80%335.84M
-48.72%342.09M
-46.53%380.96M
-2.35%610.26M
21.89%631.22M
--667.11M
--712.45M
--624.93M
--517.87M
Pasivos
Pasivos corrientes
-Otros por pagar
-2.05%37.60M
-5.78%619.69K
6380.09%38.39M
51.89%657.74K
--592.43K
--433.03K
-98.60%702.43K
-16.05%862.06K
-53.66%881.46K
2881.99%50.23M
-45.92%1.04M
-0.80%1.03M
85.76%1.90M
23.76%1.68M
106.96%1.92M
-98.05%1.04M
-98.67%1.02M
--1.36M
--929.48K
--52.99M
--76.83M
Gastos acumulados
22.70%5.47M
8.31%41.53M
-88.90%4.46M
-2.50%38.34M
--40.14M
--39.33M
1036.99%42.64M
-6.00%51.59M
-3.07%52.33M
-93.30%3.75M
-19.51%55.69M
-21.26%54.88M
-18.97%53.99M
-24.88%56.00M
-17.43%69.18M
218.74%69.69M
244.26%66.63M
--74.55M
--83.78M
--21.87M
--19.35M
Deuda a corto plazo y pasivos por arrendamiento
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--0.00
--1.69M
--1.51M
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-Deuda a corto plazo
----
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--0.00
--1.69M
--1.51M
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Pasivos diferidos
----
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--93.41K
--232.67K
Otros pasivos corrientes
-2.10%37.61M
6.13%706.23K
6027.14%38.42M
38.56%665.45K
--627.02K
--480.25K
-98.33%837.26K
-12.69%905.24K
-53.46%895.37K
2857.37%50.24M
-46.01%1.05M
-3.14%1.04M
76.24%1.92M
10.92%1.70M
71.06%1.94M
-97.99%1.07M
-98.59%1.09M
--1.53M
--1.14M
--53.30M
--77.23M
Total pasivos corrientes
-0.08%44.22M
6.04%43.11M
0.89%44.25M
-9.70%40.66M
--43.86M
--45.03M
-16.05%48.16M
-7.87%54.53M
-4.81%56.31M
-5.93%57.37M
-17.83%64.04M
-21.21%59.19M
-17.29%59.16M
-23.33%60.98M
-11.80%77.94M
-3.67%75.13M
-29.23%71.52M
--79.54M
--88.37M
--77.99M
--101.07M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-54.36%48.51K
--53.27K
-0.02%106.29K
-100.00%0.00
--106.32K
--459.83K
--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
-54.36%48.51K
--53.27K
-0.02%106.29K
-100.00%0.00
--106.32K
--459.83K
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Otros pasivos no corrientes
----
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--0.00
--48.08K
-60.57%133.18K
-45.39%238.01K
-41.48%280.01K
-33.86%337.81K
-32.09%378.21K
-28.72%435.83K
-23.97%478.46K
-25.36%510.74K
--556.90K
--611.45K
--629.34K
--684.24K
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Total pasivos no corrientes
-82.97%48.51K
-76.45%53.27K
-51.05%284.91K
-89.14%226.26K
--581.98K
--2.08M
-37.04%1.95M
-2.92%4.23M
-17.93%2.81M
-12.41%3.09M
-15.95%3.17M
9.06%4.35M
250.37%3.42M
237.84%3.53M
203.79%3.77M
87.58%3.99M
-66.63%976.88K
--1.04M
--1.24M
--2.13M
--2.93M
Total pasivos
-0.61%44.27M
5.59%43.17M
0.21%44.54M
-13.22%40.88M
--44.44M
--47.11M
-17.12%50.10M
-7.54%58.76M
-5.53%59.12M
-6.28%60.46M
-17.74%67.21M
-19.68%63.55M
-13.68%62.58M
-19.94%64.51M
-8.81%81.71M
-1.25%79.12M
-30.29%72.50M
--80.58M
--89.61M
--80.12M
--104.00M
Capital de los accionistas
Capital ordinario
0.23%1.31B
-1.52%1.31B
-2.56%1.30B
-3.13%1.33B
--1.34B
--1.37B
-4.59%1.42B
3.47%1.49B
7.23%1.46B
12.37%1.49B
8.86%1.46B
7.04%1.44B
3.64%1.36B
-2.87%1.32B
-3.93%1.35B
6545.10%1.34B
6343.48%1.32B
--1.36B
--1.40B
--20.19M
--20.43M
Ganancias retenidas
-0.93%-1.23B
1.01%-1.23B
1.94%-1.22B
1.45%-1.24B
---1.24B
---1.26B
-2.93%-1.29B
-10.59%-1.32B
-11.53%-1.25B
-16.86%-1.25B
-14.14%-1.22B
-42.60%-1.19B
-44.23%-1.12B
-36.38%-1.07B
-35.13%-1.07B
-13.32%-834.92M
-11.49%-775.29M
---785.82M
---790.24M
---736.75M
---695.36M
Reservas de capital
0.23%1.31B
-1.52%1.31B
-2.56%1.30B
-3.13%1.33B
--1.34B
--1.37B
-4.59%1.42B
3.47%1.49B
7.23%1.46B
12.37%1.49B
8.86%1.46B
7.04%1.44B
3.64%1.36B
-2.87%1.32B
-3.93%1.35B
--1.34B
--1.32B
--1.36B
--1.40B
--0.00
--0.00
Menos: Acciones en tesorería
0.82%19.05M
-0.96%19.08M
-2.61%18.90M
-3.21%19.27M
--19.41M
--19.91M
2.59%20.37M
26.89%21.16M
1071.60%20.71M
2057.49%19.85M
2409.92%18.17M
3266.40%16.68M
262.87%1.77M
--920.28K
--724.08K
--495.39K
--487.11K
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Pérdidas de ganancias que no afectan a las ganancias retenidas
-18.69%10.01M
-20.32%9.95M
5.87%12.32M
-0.13%12.49M
--11.63M
--12.50M
-32.31%10.33M
-50.77%11.98M
-54.84%13.12M
-46.06%15.26M
-40.32%13.39M
-1.67%24.32M
58.78%29.05M
150.90%28.28M
76.07%22.44M
118.60%24.73M
169.24%18.29M
--11.27M
--12.74M
--11.32M
--6.79M
Intereses no controladores
7.85%3.86M
1.13%3.81M
-25.34%3.58M
-36.53%3.77M
--4.80M
--5.94M
--6.35M
--6.74M
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Capital total
-12.42%74.00M
-11.18%79.27M
-10.86%84.49M
-22.79%89.24M
--94.79M
--115.59M
-45.50%124.53M
-34.05%167.13M
-23.87%208.04M
-17.68%228.49M
-19.47%240.98M
-52.29%253.40M
-51.09%273.25M
-52.67%277.58M
-51.95%299.25M
-2.51%531.14M
35.00%558.72M
--586.53M
--622.84M
--544.81M
--413.87M
Unidad monetaria
USD
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Opiniones de evaluación
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