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Ondas Holdings Inc

ONDS

2.670USD

+0.470+21.36%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
341.03MCap. 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
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2015Q4
FY2015Q2
FY2015Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
74.34%25.36M
99.99%29.96M
-86.49%2.83M
61.07%4.93M
3.06%14.55M
-49.69%14.98M
37.22%20.97M
-89.06%3.06M
-55.97%14.12M
-27.05%29.78M
-67.88%15.28M
-52.15%28.01M
33.44%32.06M
56.62%40.82M
2135.14%47.59M
133077.38%58.55M
13483.25%24.03M
1110.42%26.06M
-54.22%2.13M
-92.56%43.96K
-59.55%176.88K
90.56%2.15M
800.79%4.65M
23920.41%590.90K
7247.08%437.30K
147.77%1.13M
13110.11%516.25K
-88.64%2.46K
986.13%5.95K
19044.33%456.02K
-39.38%3.91K
--21.66K
--548.00
-53.96%2.38K
--6.45K
--5.17K
--4.33K
--19.00
Efectivo y equivalentes de efectivo
74.34%25.36M
99.99%29.96M
-86.49%2.83M
61.07%4.93M
3.06%14.55M
-49.69%14.98M
37.22%20.97M
-89.06%3.06M
-55.97%14.12M
-27.05%29.78M
-67.82%15.28M
-52.15%28.01M
33.44%32.06M
56.62%40.82M
2130.92%47.50M
133077.38%58.55M
13483.25%24.03M
1110.42%26.06M
-54.22%2.13M
-92.56%43.96K
-59.55%176.88K
90.56%2.15M
800.79%4.65M
23920.41%590.90K
7247.08%437.30K
147.77%1.13M
13110.11%516.25K
-88.64%2.46K
986.13%5.95K
19044.33%456.02K
-39.38%3.91K
--21.66K
--548.00
-53.96%2.38K
--6.45K
--5.17K
--4.33K
--19.00
-Inversiones a corto plazo
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--90.00K
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Por cobrar
65.90%5.39M
21.24%5.48M
-29.79%3.64M
-33.67%3.38M
186.36%3.25M
114.86%4.52M
531.94%5.19M
1822.87%5.10M
138.95%1.13M
73.45%2.10M
-32.97%821.16K
-92.08%265.28K
-5.72%474.47K
2446.32%1.21M
125.29%1.23M
905.33%3.35M
8628.32%503.27K
135.73%47.65K
620.77%543.78K
742.78%332.98K
87.21%5.77K
-33.60%20.21K
99.38%75.44K
--39.51K
43900.00%3.08K
-4.44%30.44K
3029.86%37.84K
--0.00
-97.67%7.00
1652.20%31.86K
--1.21K
--0.00
--301.00
--1.82K
----
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-Cuentas y pagarés por cobrar
-9.96%1.91M
52.28%5.22M
-41.24%2.88M
-53.36%2.29M
90.10%2.13M
63.00%3.43M
496.02%4.89M
1751.98%4.91M
135.66%1.12M
73.45%2.10M
-32.97%821.16K
-90.27%265.28K
2367.86%474.47K
2446.32%1.21M
125.29%1.23M
718.77%2.73M
233.44%19.23K
135.73%47.65K
623.45%543.78K
742.78%332.98K
--5.77K
-33.60%20.21K
98.64%75.17K
--39.51K
-100.00%0.00
-4.44%30.44K
3029.86%37.84K
--0.00
-97.67%7.00
1652.20%31.86K
--1.21K
--0.00
--301.00
--1.82K
----
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-Otros por cobrar
292.71%3.12M
-76.04%205.91K
414.40%565.26K
--810.91K
4988.85%794.27K
--859.22K
--109.89K
----
1560900.00%15.61K
----
----
----
-100.00%-1.00
----
----
--621.21K
--484.05K
----
----
----
----
--0.00
--279.00
--0.00
--3.08K
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Inventario
180.59%10.55M
349.17%9.82M
244.11%8.88M
70.46%4.96M
-0.09%3.76M
0.63%2.19M
80.20%2.58M
128.96%2.91M
188.20%3.76M
84.41%2.17M
11.48%1.43M
10.73%1.27M
13.31%1.31M
2.28%1.18M
31.73%1.28M
19.82%1.15M
105.61%1.15M
169.49%1.15M
130.38%975.00K
135.04%957.02K
57.67%560.41K
22.87%427.52K
34.30%423.21K
54997.29%407.17K
16578.93%355.43K
100.75%347.94K
17875.76%315.12K
-77.67%739.00
-63.46%2.13K
11771.23%173.32K
-75.67%1.75K
--3.31K
--5.83K
-49.06%1.46K
--7.21K
--2.87K
--269.00
--2.93K
Gastos prepago
-37.26%957.03K
-15.16%1.22M
-16.39%1.10M
-3.86%1.32M
-12.58%1.53M
11.95%1.43M
9.18%1.32M
-6.00%1.37M
-7.07%1.74M
-11.66%1.28M
128.58%1.21M
229.07%1.46M
261.50%1.88M
130.45%1.45M
163.12%527.88K
75.05%443.75K
233.50%519.43K
183.61%629.03K
-37.86%200.63K
-38.14%253.49K
-19.90%155.75K
--221.79K
--322.86K
--409.78K
--194.44K
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Otros activos corrientes
167.48%1.14M
114.93%1.04M
234.90%712.55K
-25.56%480.29K
-8.18%426.43K
3.48%485.29K
-51.35%212.77K
--645.16K
--464.42K
--468.99K
--437.35K
----
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-95.87%22.33K
-88.89%71.45K
105.43%478.81K
-10.25%478.81K
304.41%540.72K
--643.03K
--233.07K
1124.20%533.48K
--133.70K
----
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--43.58K
----
----
----
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----
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---1.00
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Total de activos corrientes
84.61%43.40M
101.31%47.52M
-43.28%17.17M
15.16%15.07M
10.77%23.51M
-34.06%23.61M
57.82%30.27M
-57.79%13.09M
-40.59%21.22M
-19.83%35.80M
-62.11%19.18M
-51.16%31.01M
36.32%35.72M
60.12%44.66M
1207.85%50.62M
3727.09%63.49M
1801.92%26.20M
744.79%27.89M
-35.62%3.87M
-20.64%1.66M
12.61%1.38M
61.69%3.30M
499.51%6.01M
65245.01%2.09M
15021.33%1.22M
189.70%2.04M
14498.40%1.00M
-87.19%3.20K
21.09%8.09K
12351.78%704.77K
-49.68%6.87K
--24.97K
--6.68K
-29.60%5.66K
--13.65K
--8.04K
--4.60K
--2.95K
Activos no corrientes
Activos fijos netos
-28.88%6.62M
-26.69%6.51M
-19.39%6.53M
15.37%9.73M
4.34%9.30M
49.10%8.88M
8.38%8.10M
21.13%8.43M
44.26%8.92M
218.75%5.95M
523.49%7.48M
583.05%6.96M
3049.98%6.18M
772.30%1.87M
284.40%1.20M
150.81%1.02M
-60.19%196.22K
-63.31%214.15K
-62.48%312.02K
-58.35%406.32K
-64.58%492.94K
16.23%583.66K
528.59%831.51K
--975.56K
--1.39M
3805.93%502.15K
--132.28K
----
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--12.86K
----
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----
----
----
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-Activos fijos
-24.14%10.31M
-21.45%10.02M
-9.85%9.87M
31.10%14.51M
18.92%13.59M
91.68%12.76M
34.52%10.95M
47.33%11.07M
72.01%11.43M
190.37%6.66M
413.25%8.14M
445.26%7.51M
1154.32%6.65M
338.73%2.29M
152.84%1.59M
96.03%1.38M
-30.71%529.79K
-37.09%522.58K
-43.62%627.14K
-42.49%702.83K
-52.31%764.62K
--830.70K
--1.11M
--1.22M
--1.60M
----
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-Depreciación acumulada
-13.86%3.69M
-9.49%3.51M
17.35%3.34M
81.40%4.78M
70.66%4.29M
452.41%3.88M
330.70%2.84M
377.93%2.64M
441.36%2.51M
65.52%702.89K
70.91%660.14K
53.80%551.70K
39.19%464.30K
37.69%424.66K
22.58%386.25K
20.97%358.70K
22.78%333.57K
24.85%308.43K
12.19%315.12K
20.30%296.51K
28.46%271.68K
--247.04K
--280.88K
--246.48K
--211.50K
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Fondo de comercio y otros activos intangibles
-7.17%53.89M
-7.03%54.93M
-6.89%55.97M
-6.72%57.01M
-6.03%58.05M
8.46%59.08M
-19.46%60.12M
-18.76%61.12M
-10.92%61.78M
-22.40%54.47M
-7.57%74.64M
25601.32%75.23M
20750.63%69.35M
18395.53%70.20M
20983.34%80.75M
-30.24%292.72K
-5.03%332.60K
16.30%379.53K
21.30%383.01K
41.60%419.62K
304.92%350.20K
512.42%326.34K
780.27%315.75K
--296.33K
--86.49K
--53.29K
--35.87K
----
----
--0.00
----
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Otros activos no actuales
16.50%694.59K
10.60%663.07K
-25.98%482.39K
69.02%709.21K
67.01%596.24K
174.75%599.52K
198.68%651.74K
92.30%419.61K
63.61%357.00K
0.00%218.21K
91.13%218.21K
84.02%218.21K
-0.15%218.21K
663.57%218.21K
-54.26%114.17K
62.49%118.58K
240.83%218.53K
-45.20%28.58K
345.73%249.62K
26.14%72.97K
-47.61%64.12K
-18.97%52.15K
60.01%56.00K
--57.85K
--122.39K
--64.36K
--35.00K
----
----
--0.00
----
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Total de activos no actuales
-10.14%61.20M
-9.42%62.10M
-10.49%62.99M
-5.63%67.45M
-6.12%68.11M
10.32%68.56M
-16.06%70.37M
-13.80%71.47M
-4.85%72.55M
-14.62%62.14M
2.16%83.84M
5696.41%82.91M
10102.44%76.25M
11596.52%72.78M
8587.42%82.07M
59.12%1.43M
-17.62%747.36K
-35.33%622.26K
-21.49%944.65K
-32.40%898.92K
-43.32%907.26K
55.24%962.16K
492.30%1.20M
--1.33M
--1.60M
4721.03%619.79K
--203.15K
----
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--12.86K
----
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----
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Total de activos
14.17%104.60M
18.94%109.62M
-20.36%80.16M
-2.41%82.52M
-2.30%91.62M
-5.90%92.16M
-2.30%100.65M
-25.77%84.56M
-16.25%93.77M
-16.60%97.95M
-22.36%103.02M
75.48%113.92M
315.49%111.97M
311.90%117.44M
2655.53%132.69M
2438.03%64.92M
1079.43%26.95M
568.74%28.51M
-33.27%4.82M
-25.21%2.56M
-19.09%2.28M
60.19%4.26M
498.30%7.22M
106812.63%3.42M
34806.27%2.82M
270.88%2.66M
17455.50%1.21M
-87.19%3.20K
21.09%8.09K
12578.92%717.63K
-49.68%6.87K
--24.97K
--6.68K
-29.60%5.66K
--13.65K
--8.04K
--4.60K
--2.95K
Pasivos
Pasivos corrientes
-Otros por pagar
38.03%883.53K
37.42%715.47K
-43.89%548.22K
-22.32%548.22K
-22.50%640.10K
-37.95%520.66K
628.76%976.96K
112.33%705.77K
56.58%825.88K
16.65%839.08K
198.58%134.06K
86.21%332.39K
4.67%527.45K
37.20%719.31K
-76.88%44.90K
-85.36%178.50K
-34.67%503.90K
11.26%524.29K
-42.67%194.18K
348.07%1.22M
310.22%771.27K
--471.23K
--338.70K
--272.02K
--188.01K
-100.00%0.00
--0.00
----
----
--155.65K
----
----
----
----
----
----
----
----
Gastos acumulados
62.90%5.24M
11.69%4.01M
64.76%3.52M
32.57%3.20M
71.36%3.22M
47.65%3.59M
23.48%2.13M
63.28%2.42M
54.60%1.88M
464.32%2.43M
26.98%1.73M
-21.91%1.48M
-27.57%1.22M
-81.35%430.59K
-38.82%1.36M
-11.28%1.90M
-20.03%1.68M
0.74%2.31M
-15.00%2.23M
-23.49%2.14M
8.55%2.10M
4.72%2.29M
154.45%2.62M
410478.53%2.79M
--1.93M
148.94%2.19M
--1.03M
--680.00
----
--879.02K
----
----
----
----
----
----
----
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Deuda a corto plazo y pasivos por arrendamiento
31.16%35.91M
49.30%38.36M
15.87%30.20M
42.40%28.88M
73.88%27.38M
62.10%25.69M
--26.07M
--20.28M
--15.75M
--15.85M
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-30.17%7.17M
-30.12%7.06M
15.10%11.82M
161.92%10.68M
-27.24%10.27M
-27.53%10.11M
15.04%10.27M
--4.08M
16872.63%14.11M
260.78%13.95M
13005.58%8.93M
-100.00%0.00
44.45%83.13K
7262.55%3.87M
34.91%68.13K
--60.05K
--57.55K
99.61%52.50K
--50.50K
--26.30K
--15.65K
--12.99K
-Deuda a corto plazo
25.68%34.41M
44.34%37.09M
15.87%30.20M
42.40%28.88M
73.88%27.38M
62.10%25.69M
--26.07M
--20.28M
--15.75M
--15.85M
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
--10.06M
7306.63%5.05M
-100.00%0.00
44.45%83.13K
-100.00%0.00
34.91%68.13K
--60.05K
--57.55K
99.61%52.50K
--50.50K
--26.30K
--15.65K
--12.99K
Pasivos diferidos
473.44%2.64M
18.81%329.02K
31.29%447.72K
100.01%285.28K
11.55%460.05K
350.26%276.94K
-0.85%341.02K
-28.56%142.63K
20.77%412.41K
-88.00%61.51K
-0.55%343.94K
708.61%199.66K
507.77%341.47K
210.48%512.40K
11.84%345.83K
-89.85%24.69K
-82.75%56.18K
-56.44%165.03K
3258.51%309.22K
1238.57%243.26K
1085.87%325.76K
--378.85K
--9.21K
--18.17K
--27.47K
----
----
----
----
----
----
----
----
----
----
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Otros pasivos corrientes
220.11%3.52M
30.95%1.04M
-24.43%995.94K
-1.76%833.50K
-11.16%1.10M
-11.44%797.60K
175.73%1.32M
59.46%848.41K
42.51%1.24M
-26.88%900.59K
22.34%478.00K
161.85%532.05K
55.14%868.92K
78.68%1.23M
-22.38%390.73K
-86.10%203.19K
-48.95%560.08K
-18.91%689.33K
44.69%503.39K
403.83%1.46M
409.10%1.10M
--850.08K
--347.91K
--290.20K
--215.48K
-100.00%0.00
--0.00
----
----
--155.65K
----
----
----
----
----
----
----
----
Total pasivos corrientes
32.87%50.42M
40.72%50.58M
11.12%39.51M
30.38%37.88M
53.48%37.94M
58.14%35.94M
464.06%35.55M
458.63%29.05M
362.63%24.72M
391.50%22.73M
47.57%6.30M
16.95%5.20M
-52.88%5.34M
-62.97%4.62M
-76.18%4.27M
-75.23%4.45M
-32.32%11.34M
-22.26%12.49M
8.13%17.93M
90.10%17.95M
-8.80%16.76M
-6.88%16.06M
53.51%16.58M
44798.75%9.44M
19952.66%18.37M
194.20%17.25M
15192.82%10.80M
-70.40%21.04K
32.94%91.63K
9588.90%5.86M
33.20%70.63K
--71.05K
--68.93K
113.77%60.50K
--53.03K
--28.30K
--15.65K
--12.99K
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-32.52%5.19M
133.71%20.83M
-18.50%5.55M
50.58%6.31M
-40.58%7.70M
-47.43%8.91M
137.37%6.82M
40.35%4.19M
326.99%12.95M
3030.10%16.96M
318.00%2.87M
354.09%2.98M
251.96%3.03M
-40.25%541.68K
15.25%686.93K
-30.58%657.37K
59.61%861.75K
53.04%906.54K
-38.73%596.04K
-95.13%946.98K
-89.43%539.92K
97.46%592.37K
224.26%972.78K
--19.44M
--5.11M
-89.20%300.00K
--300.00K
--0.00
--0.00
--2.78M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Deuda a largo plazo
-84.74%300.00K
409.88%15.87M
-93.43%300.00K
-64.61%670.72K
-81.35%1.97M
-78.53%3.11M
1420.98%4.56M
531.68%1.90M
3414.59%10.54M
4732.90%14.50M
0.00%300.00K
0.00%300.00K
-65.19%300.00K
-66.91%300.00K
-49.67%300.00K
-68.32%300.00K
59.61%861.75K
67.90%906.54K
10.39%596.04K
-94.98%946.98K
-87.73%539.92K
79.97%539.92K
79.97%539.92K
--18.85M
--4.40M
-89.20%300.00K
--300.00K
----
----
--2.78M
----
----
----
----
----
----
----
----
-Pasivos por arrendamiento a largo plazo
-14.61%4.89M
-14.46%4.96M
133.24%5.25M
145.71%5.64M
138.06%5.73M
136.15%5.80M
-12.39%2.25M
-14.55%2.29M
-11.93%2.41M
916.36%2.46M
564.55%2.57M
651.33%2.68M
--2.73M
--241.68K
--386.93K
--357.37K
--0.00
-100.00%0.00
----
-100.00%0.00
-100.00%0.00
--52.45K
--432.86K
--595.45K
--705.86K
----
----
----
----
----
----
----
----
----
----
----
----
----
Gastos acumulados a largo plazo
-18.60%18.96K
-25.34%20.04K
-41.33%21.25K
-44.70%22.42K
-94.69%23.29K
-34.47%26.84K
-5.88%36.22K
7.52%40.54K
1000.21%438.97K
2.02%40.97K
-5.24%38.48K
1.99%37.71K
8.34%39.90K
10.52%40.15K
14.48%40.61K
-36.80%36.97K
-25.98%36.83K
-11.91%36.33K
787.00%35.47K
-77.08%58.50K
--49.75K
--41.24K
--4.00K
--255.21K
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----
----
----
----
----
----
----
----
----
----
----
----
----
Otros pasivos no corrientes
2.45%2.32M
0.98%2.25M
-1.74%1.98M
7.26%1.89M
43.80%2.27M
--2.23M
--2.01M
--1.76M
--1.58M
--0.00
--0.00
--0.00
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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----
Total pasivos no corrientes
-24.55%7.53M
106.84%23.10M
-14.79%7.55M
37.19%8.22M
-33.28%9.99M
-34.29%11.17M
204.66%8.87M
98.28%5.99M
387.03%14.97M
2821.13%17.00M
-78.43%2.91M
335.34%3.02M
241.97%3.07M
-38.29%581.83K
2035.79%13.49M
-30.94%694.34K
52.39%898.58K
48.81%942.87K
-35.35%631.51K
-94.90%1.01M
-88.45%589.67K
111.20%633.61K
225.59%976.78K
--19.70M
--5.11M
-89.20%300.00K
--300.00K
----
----
--2.78M
----
----
----
----
----
----
----
----
Total pasivos
20.91%57.95M
56.40%73.68M
5.95%47.06M
31.54%46.10M
20.77%47.93M
18.60%47.11M
382.13%44.42M
326.17%35.04M
371.54%39.69M
663.05%39.72M
-48.12%9.21M
59.95%8.22M
-31.23%8.42M
-61.23%5.21M
-4.32%17.76M
-72.88%5.14M
-29.44%12.24M
-19.56%13.43M
5.71%18.56M
-34.94%18.96M
-26.12%17.35M
-4.86%16.69M
58.16%17.56M
138446.74%29.14M
25524.73%23.48M
103.10%17.55M
15617.55%11.10M
-70.40%21.04K
32.94%91.63K
14179.32%8.64M
33.20%70.63K
--71.05K
--68.93K
113.77%60.50K
--53.03K
--28.30K
--15.65K
--12.99K
Capital de los accionistas
Capital ordinario
17.20%276.59M
9.27%252.95M
5.03%240.95M
4.17%235.90M
6.28%236.00M
9.33%231.50M
9.74%229.42M
9.20%226.45M
14.56%222.05M
9.99%211.74M
9.42%209.06M
58.32%207.37M
133.26%193.83M
139.63%192.51M
303.24%191.05M
216.41%130.99M
110.28%83.10M
104.19%80.33M
24.11%47.38M
135.63%41.40M
125.25%39.52M
124.85%39.34M
166.22%38.17M
15595.83%17.57M
78571.76%17.54M
41.53%17.50M
64203.21%14.34M
425.51%111.93K
7333.33%22.30K
4120861.33%12.36M
7333.33%22.30K
--21.30K
--300.00
0.00%300.00
--300.00
--300.00
--300.00
--300.00
Ganancias retenidas
-20.30%-250.50M
-19.16%-236.37M
-22.70%-226.03M
-22.37%-216.51M
-23.97%-208.24M
-29.21%-198.36M
-59.84%-184.22M
-74.01%-176.93M
-86.05%-167.97M
-91.24%-153.52M
-51.40%-115.25M
-42.78%-101.68M
-32.02%-90.28M
-23.03%-80.27M
-24.54%-76.12M
-23.20%-71.21M
-25.30%-68.39M
-26.03%-65.25M
-26.01%-61.13M
-33.47%-57.80M
-42.86%-54.58M
-59.88%-51.77M
-100.18%-48.51M
-33271.52%-43.31M
-35996.16%-38.21M
-59.64%-32.38M
-28057.71%-24.23M
-92.58%-129.77K
-69.22%-105.84K
-36685.58%-20.28M
-116.91%-86.06K
---67.39K
---62.55K
-168.17%-55.14K
---39.68K
---20.56K
---11.35K
---10.34K
Reservas de capital
17.20%276.57M
9.27%252.94M
5.03%240.94M
4.17%235.89M
6.28%235.99M
9.33%231.49M
9.74%229.41M
9.20%226.44M
14.56%222.05M
9.99%211.73M
9.42%209.05M
58.32%207.37M
133.27%193.83M
139.64%192.50M
303.28%191.05M
216.44%130.98M
110.31%83.09M
104.22%80.33M
24.12%47.37M
135.67%41.39M
125.28%39.51M
124.88%39.34M
166.27%38.17M
15672.49%17.56M
80634.47%17.54M
41.51%17.49M
65884.95%14.33M
431.33%111.36K
--21.72K
--12.36M
--21.72K
--20.96K
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Pérdidas de ganancias que no afectan a las ganancias retenidas
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---7.75K
--13.90K
--4.66K
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----
----
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----
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Intereses no controladores
29.18%20.57M
62.42%19.36M
64.80%18.18M
--17.03M
--15.92M
--11.92M
--11.03M
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Capital total
6.78%46.65M
-20.22%35.94M
-41.14%33.10M
-26.44%36.42M
-19.23%43.69M
-22.61%45.06M
-40.06%56.22M
-53.15%49.52M
-47.77%54.08M
-48.12%58.22M
-18.38%93.80M
76.82%105.70M
604.00%103.55M
644.07%112.23M
936.15%114.93M
464.47%59.78M
197.66%14.71M
221.35%15.08M
-32.90%-13.75M
36.24%-16.40M
27.08%-15.06M
16.49%-12.43M
-4.51%-10.34M
-144120.52%-25.72M
-24625.94%-20.66M
-87.90%-14.88M
-15419.52%-9.90M
61.30%-17.84K
-34.21%-83.54K
-14344.48%-7.92M
-61.93%-63.76K
---46.09K
---62.25K
-170.66%-54.84K
---39.38K
---20.26K
---11.05K
---10.04K
Unidad monetaria
USD
USD
USD
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Opiniones de evaluación
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KeyAI