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Nutex Health Inc

NUTX
168.100USD
+0.760+0.45%
Cierre 12/24, 13:00ETCotizaciones retrasadas 15 min
1.16BCap. mercado
7.72P/E TTM
Puede mirar aquí los balances anuales o trimestrales de Nutex Health Inc para evaluar su salud financiera, analizar sus fundamentos y calcular sus ratios clave de liquidez, apalancamiento y rentabilidad sobre el patrimonio neto.
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q3
FY2025Q2
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
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
253.98%166.05M
137.04%96.73M
182.37%84.73M
98.08%43.58M
74.86%46.91M
24.59%40.81M
-8.62%30.01M
-35.77%22.00M
-26.74%26.83M
-31.19%32.75M
158.23%32.84M
123.68%34.26M
509.18%36.62M
892.68%47.60M
239.87%12.72M
56765.06%15.31M
21569.10%6.01M
7436.98%4.80M
2130.52%3.74M
-97.47%26.93K
176.62%27.74K
-15.68%63.62K
2284.01%167.74K
288635.50%1.07M
215.18%10.03K
48.19%75.46K
-88.32%7.04K
-96.09%369.00
-79.46%3.18K
1344.86%50.92K
-18.06%60.24K
-10.20%9.45K
-29.04%15.49K
-89.44%3.52K
201.65%73.53K
--10.52K
--21.83K
--33.37K
--24.38K
Efectivo y equivalentes de efectivo
253.98%166.05M
137.04%96.73M
182.37%84.73M
98.08%43.58M
74.86%46.91M
24.59%40.81M
-8.62%30.01M
-35.77%22.00M
-26.74%26.83M
-31.19%32.75M
158.23%32.84M
123.68%34.26M
509.18%36.62M
892.68%47.60M
239.87%12.72M
56765.06%15.31M
21569.10%6.01M
7436.98%4.80M
2130.52%3.74M
-97.47%26.93K
176.62%27.74K
-15.68%63.62K
2284.01%167.74K
288635.50%1.07M
215.18%10.03K
48.19%75.46K
-88.32%7.04K
-96.09%369.00
-79.46%3.18K
1344.86%50.92K
-18.06%60.24K
-10.20%9.45K
-29.04%15.49K
-89.44%3.52K
201.65%73.53K
--10.52K
--21.83K
--33.37K
--24.38K
-Inversiones a corto plazo
--0.00
--0.00
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Por cobrar
513.22%406.86M
----
355.29%299.34M
276.02%236.05M
21.30%66.35M
25.43%65.24M
27.63%65.75M
7.65%62.78M
-13.62%54.70M
-45.85%52.01M
2321.90%51.52M
2703.02%58.32M
1117.25%63.33M
28573.71%96.04M
513.01%2.13M
11279.18%2.08M
7092.32%5.20M
165.66%334.96K
497.83%346.99K
-81.75%18.28K
623.32%72.33K
1116.32%126.08K
459.92%58.04K
573.68%100.18K
-61.51%10.00K
820.60%10.37K
581.53%10.37K
137.78%14.87K
136.71%25.98K
400.44%1.13K
-56.54%1.52K
-58.31%6.25K
-97.99%10.98K
-99.95%225.00
-98.94%3.50K
--15.00K
--545.87K
--442.23K
--331.28K
-Cuentas y pagarés por cobrar
494.99%394.76M
----
355.29%299.34M
276.02%236.05M
21.30%66.35M
25.43%65.24M
27.63%65.75M
7.65%62.78M
-13.62%54.70M
-45.85%52.01M
2321.90%51.52M
2844.55%58.32M
14546.83%63.33M
28573.71%96.04M
513.01%2.13M
10732.22%1.98M
497.73%432.35K
165.66%334.96K
497.83%346.99K
-81.75%18.28K
623.32%72.33K
1116.32%126.08K
459.92%58.04K
573.68%100.18K
-61.51%10.00K
820.60%10.37K
581.53%10.37K
137.78%14.87K
136.71%25.98K
400.44%1.13K
-56.54%1.52K
--6.25K
-97.99%10.98K
-99.95%225.00
-98.94%3.50K
----
--545.87K
--441.43K
--329.68K
-Préstamos por cobrar
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-100.00%0.00
--0.00
--0.00
--0.00
--15.00K
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-Otros por cobrar
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--0.00
--100.00K
--4.77M
----
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--800.00
--1.60K
Inventario
39.79%3.16M
-17.56%2.27M
4.79%3.12M
-15.95%2.85M
-15.79%2.26M
12.59%2.76M
-14.63%2.98M
-4.04%3.39M
-16.51%2.68M
-15.70%2.45M
--3.49M
--3.53M
--3.21M
--2.91M
----
----
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----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-0.31%26.99K
--26.99K
--26.99K
--26.99K
--27.07K
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----
----
----
----
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--1.16K
--1.16K
--21.16K
Gastos prepago
287.58%16.59M
276.16%19.06M
598.99%11.39M
273.08%10.00M
-24.20%4.28M
4.29%5.07M
96.41%1.63M
43.30%2.68M
28.92%5.65M
100.12%4.86M
551.22%829.55K
520.63%1.87M
1011.58%4.38M
430.86%2.43M
84.06%127.38K
169.38%301.27K
196.14%393.94K
160.91%457.35K
247.43%69.21K
120.39%111.84K
2127.85%133.03K
--175.29K
--19.92K
--50.75K
--5.97K
----
----
-100.00%0.00
-100.00%0.00
-92.57%5.66K
-75.37%22.52K
-63.85%39.38K
-57.13%60.87K
-47.76%76.23K
-52.91%91.45K
--108.94K
--142.00K
--145.92K
--194.18K
Otros activos corrientes
----
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--2.94M
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----
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Total de activos corrientes
394.72%592.65M
315.41%473.02M
300.08%401.52M
221.94%292.48M
33.32%119.80M
23.67%113.87M
13.19%100.36M
-7.27%90.85M
-16.45%89.85M
-38.20%92.08M
492.27%88.67M
453.65%97.97M
826.44%107.54M
2566.33%148.98M
260.08%14.97M
11167.36%17.70M
4879.74%11.61M
1430.84%5.59M
1592.17%4.16M
-87.37%157.06K
339.91%233.10K
223.55%364.99K
453.50%245.70K
2838.46%1.24M
81.70%52.99K
95.50%112.81K
-47.33%44.39K
-23.18%42.31K
-66.75%29.16K
-28.53%57.70K
-85.70%84.29K
-89.16%55.08K
-88.52%87.71K
-89.14%80.74K
-18.74%589.23K
--507.93K
--764.25K
--743.12K
--725.07K
Activos no corrientes
Activos fijos netos
16.57%335.89M
21.74%338.04M
20.30%320.09M
20.53%324.69M
-17.62%288.15M
-9.33%277.67M
-12.24%266.07M
-8.73%269.39M
21.48%349.80M
11.34%306.25M
297782.42%303.19M
261228.82%295.15M
243425.84%287.94M
211702.79%275.05M
797.79%101.78K
811.49%112.94K
-57.49%118.24K
-56.23%129.86K
-96.37%11.34K
-96.25%12.39K
20116.21%278.18K
18182.13%296.72K
16608.34%312.61K
15506.66%330.55K
-46.04%1.38K
-45.57%1.62K
-45.18%1.87K
-44.92%2.12K
-38.60%2.55K
-33.17%2.98K
-28.45%3.41K
225.02%3.85K
-83.00%4.15K
-84.66%4.46K
-86.03%4.77K
--1.18K
--24.43K
--29.08K
--34.14K
-Activos fijos
17.38%365.92M
22.38%366.60M
21.33%347.01M
21.63%349.97M
-14.86%311.76M
-6.69%299.56M
-9.73%286.01M
-6.63%287.73M
22.00%366.15M
12.17%321.06M
194476.90%316.83M
178621.71%308.16M
175078.14%300.13M
157178.47%286.22M
160.59%162.83K
--172.43K
--171.33K
--181.98K
--62.49K
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-Depreciación acumulada
27.22%30.03M
30.47%28.56M
35.04%26.92M
37.79%25.27M
44.35%23.60M
47.83%21.89M
46.18%19.94M
40.96%18.34M
34.21%16.35M
32.63%14.81M
22241.24%13.64M
21774.58%13.01M
22851.04%12.18M
21323.29%11.17M
19.35%61.05K
--59.48K
--53.09K
--52.12K
--51.15K
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Fondo de comercio y otros activos intangibles
19.14%35.47M
-4.32%28.80M
-21.64%29.12M
-21.63%29.45M
-24.74%29.77M
-19.58%30.10M
-1.71%37.17M
-1.63%37.58M
2.52%39.56M
-91.63%37.43M
-44.60%37.82M
-43.76%38.20M
-39.67%38.59M
591.97%447.32M
5.61%68.26M
--67.92M
--63.97M
--64.64M
1199.91%64.63M
-100.00%0.00
-100.00%0.00
-100.00%0.00
107.34%4.97M
94.69%5.01M
-25.34%2.05M
-23.83%2.22M
-22.49%2.40M
-21.29%2.57M
-57.60%2.75M
-57.07%2.92M
174.50%3.09M
--3.27M
-3.42%6.48M
1.44%6.80M
-83.19%1.13M
----
--6.71M
--6.71M
--6.71M
Otros activos no actuales
-35.02%499.00K
1618.86%13.14M
1532.23%11.19M
1917.60%8.70M
82.89%767.94K
58.05%764.46K
62.03%685.26K
1.82%431.13K
-5.81%419.88K
9.60%483.68K
--422.93K
--423.43K
--445.79K
--441.30K
----
----
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-100.00%0.00
--50.31K
--100.00K
--100.00K
--100.00K
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Total de activos no actuales
16.68%371.87M
----
18.58%360.40M
18.04%362.84M
-18.24%318.69M
-10.35%308.53M
-10.98%303.93M
-7.90%307.40M
19.21%389.78M
-52.39%344.16M
399.44%341.43M
390.58%333.78M
356.27%326.98M
907.15%722.81M
-4.76%68.36M
531401.21%68.04M
963.21%71.66M
953.83%71.77M
1230.23%71.78M
-99.77%12.80K
228.51%6.74M
205.94%6.81M
124.65%5.40M
111.52%5.45M
-25.40%2.05M
-23.89%2.23M
-22.50%2.40M
-21.31%2.58M
-57.57%2.75M
-57.04%2.92M
173.40%3.10M
112668.69%3.27M
-3.70%6.48M
1.07%6.81M
-83.18%1.13M
--2.90K
--6.73M
--6.74M
--6.74M
Total de activos
119.96%964.52M
99.11%841.03M
88.46%761.92M
64.55%655.32M
-8.58%438.49M
-3.17%422.40M
-6.00%404.28M
-7.76%398.25M
10.38%479.63M
-49.96%436.23M
416.12%430.10M
403.60%431.75M
421.81%434.52M
1026.99%871.79M
9.74%83.33M
50373.94%85.73M
1094.12%83.27M
978.10%77.36M
1245.99%75.94M
-97.46%169.86K
231.31%6.97M
206.79%7.18M
130.62%5.64M
155.59%6.69M
-24.28%2.10M
-21.58%2.34M
-23.16%2.45M
-21.34%2.62M
-57.69%2.78M
-56.70%2.98M
84.79%3.18M
551.63%3.33M
-12.35%6.57M
-7.90%6.89M
-76.92%1.72M
--510.84K
--7.50M
--7.48M
--7.47M
Pasivos
Pasivos corrientes
-Otros por pagar
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--0.00
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0.00%128.18K
327.25%128.18K
--128.18K
--128.18K
-0.23%128.18K
-76.65%30.00K
-100.00%0.00
-100.00%0.00
-8.07%128.48K
-11.62%128.48K
0.00%128.48K
0.00%128.48K
8.78%139.75K
13.15%145.37K
2447.61%128.48K
--128.48K
12747.60%128.48K
25190.55%128.48K
-97.50%5.04K
-100.00%0.00
-99.63%1.00K
--508.00
--201.74K
--188.34K
--267.99K
Gastos acumulados
248.19%103.37M
428.09%123.67M
323.04%74.85M
464.89%73.18M
100.96%29.69M
94.34%23.42M
74.12%17.69M
107.59%12.96M
44.03%14.77M
-29.91%12.05M
6363.13%10.16M
3939.31%6.24M
5537.92%10.26M
5284.45%17.19M
-22.26%157.23K
--154.50K
--181.94K
452.08%319.28K
113.75%202.25K
-100.00%0.00
-100.00%0.00
210.42%57.83K
351.88%94.62K
6.49%34.36K
-15.27%27.16K
-32.06%18.63K
11.53%20.94K
49.36%32.27K
100.58%32.06K
211.59%27.42K
942.48%18.77K
--21.60K
-96.49%15.98K
-97.80%8.80K
-99.48%1.80K
----
--454.85K
--400.27K
--345.69K
Deuda a corto plazo y pasivos por arrendamiento
58.87%30.42M
49.23%33.88M
74.13%28.79M
38.70%25.65M
-29.58%19.15M
-3.38%22.70M
-4.15%16.53M
-4.60%18.50M
153.44%27.19M
68.80%23.50M
298.78%17.25M
318.64%19.39M
286.12%10.73M
383.00%13.92M
95.73%4.33M
1380.20%4.63M
444.62%2.78M
0.53%2.88M
-13.59%2.21M
-87.38%312.89K
-10.21%510.13K
453.65%2.87M
858.16%2.56M
476.36%2.48M
4.74%568.14K
-18.58%517.85K
-56.49%266.87K
11.37%430.11K
172.41%542.42K
97.26%636.01K
371.28%613.30K
672.38%386.19K
-78.89%199.12K
-67.16%322.43K
-86.18%130.13K
--50.00K
--943.19K
--981.94K
--941.41K
-Deuda a corto plazo
56.71%5.30M
170.13%7.86M
156.60%7.13M
5.41%3.55M
0.38%3.38M
-2.40%2.91M
3.90%2.78M
28.52%3.37M
30.04%3.37M
14.96%2.98M
--2.67M
--2.62M
--2.59M
--2.59M
----
----
----
----
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----
843.99%495.59K
748.75%445.59K
0.00%52.50K
0.00%52.50K
0.00%52.50K
0.00%52.50K
-13.22%52.50K
--52.50K
-94.43%52.50K
-94.65%52.50K
-93.57%60.50K
----
--943.19K
--981.94K
--941.41K
-Pasivos por arrendamiento a corto plazo
35.10%7.11M
26.95%7.07M
83.82%8.03M
78.52%7.70M
26.13%5.26M
35.68%5.57M
6.03%4.37M
2.29%4.32M
1.55%4.17M
14.29%4.11M
--4.12M
--4.22M
--4.11M
--3.59M
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Pasivos diferidos
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71.09%92.11K
126.79%173.92K
163.87%45.02K
109.05%74.03K
-38.75%53.84K
-53.68%76.69K
2743.67%17.06K
1253.15%35.41K
1507.90%87.90K
1701.13%165.56K
-85.60%600.00
58.61%2.62K
1.71%5.47K
1.01%9.19K
--4.17K
--1.65K
--5.38K
--9.10K
----
----
----
----
--385.40K
--734.63K
--736.60K
Otros pasivos corrientes
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----
--0.00
----
----
----
----
----
----
----
----
----
----
----
13.54%220.29K
109.21%304.06K
1063.54%198.52K
542.52%227.53K
-10.34%194.01K
-50.57%145.34K
-86.78%17.06K
-72.99%35.41K
49.00%216.38K
90.24%294.04K
-2.69%129.08K
0.74%131.09K
8.49%145.22K
12.34%154.56K
2530.24%132.64K
--130.13K
13285.10%133.85K
26981.89%137.58K
-99.14%5.04K
-100.00%0.00
-99.90%1.00K
--508.00
--587.13K
--922.97K
--1.00M
Total pasivos corrientes
174.51%185.46M
171.95%194.87M
194.83%176.57M
141.57%140.87M
0.43%67.56M
24.75%71.66M
25.08%59.89M
6.29%58.31M
53.48%67.27M
1.72%57.44M
467.89%47.88M
534.86%54.86M
570.72%43.83M
675.25%56.47M
21.45%8.43M
649.08%8.64M
416.86%6.53M
102.38%7.28M
80.40%6.94M
-74.98%1.15M
-13.69%1.26M
171.62%3.60M
214.68%3.85M
232.78%4.61M
20.68%1.46M
18.62%1.33M
15.20%1.22M
44.35%1.39M
65.36%1.21M
79.51%1.12M
-84.10%1.06M
-84.96%959.78K
-73.27%734.04K
-79.19%622.33K
126.39%6.68M
--6.38M
--2.75M
--2.99M
--2.95M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
36.22%56.00M
38.20%51.27M
25.79%52.08M
27.01%53.08M
16.86%41.11M
-10.32%37.10M
-0.81%41.41M
-1.64%41.79M
-21.37%35.18M
6.27%41.36M
95938.91%41.74M
20535.46%42.49M
12061.40%44.74M
10151.70%38.92M
-85.51%43.47K
37.27%205.91K
10.79%367.88K
9.65%379.66K
42.71%300.00K
-32.92%150.00K
--332.06K
--346.26K
--210.22K
--223.62K
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
--2.81M
--2.81M
--2.81M
-Deuda a largo plazo
-4.58%25.57M
-8.67%20.46M
-17.39%21.73M
-14.63%22.47M
38.84%26.80M
-10.76%22.41M
4.78%26.31M
14.16%26.31M
-21.82%19.30M
53.98%25.11M
--25.11M
15267.43%23.05M
8130.16%24.69M
5335.09%16.31M
-100.00%0.00
0.00%150.00K
100.00%300.00K
100.00%300.00K
--300.00K
--150.00K
--150.00K
--150.00K
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
--2.81M
--2.81M
--2.81M
-Pasivos por arrendamiento a largo plazo
112.64%30.42M
109.69%30.80M
101.03%30.35M
97.79%30.62M
-9.87%14.31M
-9.64%14.69M
-9.24%15.10M
-20.37%15.48M
-20.82%15.87M
-28.12%16.26M
38172.05%16.63M
34669.97%19.44M
29435.25%20.05M
28291.31%22.62M
--43.47K
--55.91K
-62.71%67.88K
-59.41%79.66K
----
-100.00%0.00
--182.06K
--196.26K
--210.22K
--223.62K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Pasivos diferidos
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--497.09K
--453.82K
--385.06K
Otros pasivos no corrientes
-100.00%0.00
-100.00%0.00
-100.00%0.00
----
--5.72M
--2.00M
--5.06M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--497.09K
--453.82K
--385.06K
Total pasivos no corrientes
17.13%341.03M
----
17.43%310.47M
19.84%312.56M
-5.30%291.15M
-0.68%268.72M
-3.04%264.38M
1.66%260.83M
19.10%307.46M
8.70%270.56M
15127.40%272.68M
13035.75%256.56M
9128.69%258.16M
8760.59%248.91M
-34.39%1.79M
1202.10%1.95M
742.44%2.80M
711.29%2.81M
1198.38%2.73M
-32.92%150.00K
--332.06K
--346.26K
--210.22K
--223.62K
----
----
----
----
----
----
----
----
----
----
----
----
--3.31M
--3.26M
--3.19M
Total pasivos
46.77%526.49M
48.11%504.15M
50.19%487.04M
42.08%453.43M
-4.27%358.71M
3.77%340.38M
1.16%324.27M
2.48%319.14M
24.09%374.73M
7.41%328.01M
3036.05%320.56M
2839.38%311.42M
3136.10%301.99M
2925.53%305.38M
5.69%10.22M
712.71%10.59M
484.58%9.33M
155.82%10.09M
138.32%9.67M
-73.03%1.30M
8.98%1.60M
197.75%3.95M
231.87%4.06M
248.92%4.83M
20.68%1.46M
18.62%1.33M
15.20%1.22M
44.35%1.39M
65.36%1.21M
79.51%1.12M
-84.10%1.06M
-84.96%959.78K
-87.87%734.04K
-90.05%622.33K
8.69%6.68M
--6.38M
--6.05M
--6.25M
--6.14M
Capital de los accionistas
Capital ordinario
28.42%615.19M
24.58%588.71M
14.16%539.37M
6.95%503.24M
2.49%479.03M
1.72%472.53M
2.47%472.46M
2.48%470.53M
-0.44%467.38M
-0.75%464.53M
282.36%461.05M
329.01%459.15M
363.73%469.45M
404.62%468.05M
35.53%120.58M
526.43%107.03M
492.52%101.23M
455.62%92.75M
482.40%88.97M
18.42%17.09M
9.48%17.09M
6.97%16.69M
0.20%15.28M
-1.83%14.43M
10.22%15.61M
12.68%15.61M
13.94%15.25M
12.89%14.70M
12.10%14.16M
12.32%13.85M
142.50%13.38M
198.48%13.02M
189.72%12.63M
182.85%12.33M
26.56%5.52M
--4.36M
--4.36M
--4.36M
--4.36M
Ganancias retenidas
28.80%-298.02M
13.75%-353.46M
16.41%-342.26M
12.76%-356.89M
-10.90%-418.59M
-10.19%-409.80M
-11.13%-409.44M
-12.60%-409.07M
-5.15%-377.45M
-745.25%-371.91M
-657.29%-368.43M
-1039.24%-363.29M
-1214.62%-358.97M
326.91%57.64M
-114.67%-48.65M
-75.03%-31.89M
-133.22%-27.31M
-88.66%-25.40M
-65.53%-22.66M
-44.95%-18.22M
16.17%-11.71M
0.94%-13.46M
-5.14%-13.69M
-0.85%-12.57M
-20.47%-13.97M
-23.74%-13.59M
-26.94%-13.02M
-29.17%-12.46M
-100.06%-11.59M
-116.87%-10.98M
2.04%-10.26M
5.69%-9.65M
-98.69%-5.79M
-61.65%-5.07M
-244.81%-10.47M
---10.23M
---2.92M
---3.13M
---3.04M
Reservas de capital
28.42%615.18M
24.58%588.70M
14.17%539.36M
7.11%503.23M
2.64%479.02M
1.87%472.53M
2.61%472.41M
2.48%469.85M
-0.45%466.71M
-0.76%463.87M
281.98%460.40M
328.59%458.50M
363.30%468.80M
404.14%467.40M
35.54%120.53M
526.34%106.98M
492.44%101.19M
455.53%92.71M
482.32%88.93M
18.42%17.08M
9.45%17.08M
9.74%16.69M
2.60%15.27M
-0.40%14.42M
11.50%15.61M
10.97%15.21M
12.35%14.88M
12.33%14.48M
11.90%14.00M
12.21%13.70M
142.59%13.25M
198.31%12.89M
189.54%12.51M
182.69%12.21M
26.41%5.46M
--4.32M
--4.32M
--4.32M
--4.32M
Menos: Acciones en tesorería
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-99.88%1.17K
----
0.00%1.00M
0.00%1.00M
0.00%1.00M
0.00%1.00M
0.00%1.00M
0.00%1.00M
--1.00M
--1.00M
--1.00M
--1.00M
----
----
----
----
----
Intereses no controladores
525.03%120.87M
426.89%101.63M
357.67%77.77M
214.66%55.55M
29.12%19.34M
23.58%19.29M
0.42%16.99M
-27.84%17.65M
-32.06%14.98M
-61.67%15.61M
8589.60%16.92M
2745657.46%24.46M
178486.09%22.04M
45597.06%40.72M
592.02%194.75K
--891.00
--12.34K
---89.51K
---39.58K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Capital total
449.06%438.03M
310.72%336.88M
243.55%274.88M
155.22%201.89M
-23.95%79.78M
-24.21%82.02M
-26.95%80.01M
-34.26%79.11M
-20.84%104.90M
-80.89%108.23M
49.82%109.54M
60.14%120.33M
79.24%132.53M
742.09%566.41M
10.33%73.11M
6727.18%75.14M
1275.08%73.94M
1982.63%67.26M
4085.16%66.26M
-161.01%-1.13M
740.26%5.38M
218.61%3.23M
29.41%1.58M
50.72%1.86M
-59.13%639.93K
-45.66%1.01M
-42.35%1.22M
-47.95%1.23M
-73.17%1.57M
-70.23%1.87M
142.83%2.12M
140.36%2.37M
304.41%5.84M
410.95%6.27M
-474.68%-4.95M
---5.87M
--1.44M
--1.23M
--1.32M
Unidad monetaria
USD
USD
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USD
USD
Opiniones de evaluación
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Preguntas frecuentes

¿Qué es el balance general?

Es un informe financiero que resume los activos, las responsabilidades y el patrimonio neto de una empresa en un momento determinado.
KeyAI