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Offerpad Solutions Inc

OPAD

1.200USD

-0.020-1.64%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
33.05MCap. 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
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-55.03%30.83M
-43.37%43.02M
-54.24%48.50M
-50.77%56.91M
-36.37%68.55M
-21.88%75.97M
-46.15%106.00M
-25.64%115.60M
-45.64%107.73M
-42.74%97.24M
68.77%196.84M
54821.27%155.46M
25955.99%198.17M
15629.14%169.82M
--116.63M
--283.07K
--760.54K
--1.08M
----
Efectivo y equivalentes de efectivo
-55.03%30.83M
-43.37%43.02M
-54.24%48.50M
-50.77%56.91M
-36.37%68.55M
-21.88%75.97M
-46.15%106.00M
-25.64%115.60M
-45.64%107.73M
-42.74%97.24M
68.77%196.84M
54821.27%155.46M
25955.99%198.17M
15629.14%169.82M
--116.63M
--283.07K
--760.54K
--1.08M
----
Por cobrar
44.79%6.29M
-61.27%3.85M
44.27%5.59M
356.05%6.75M
80.82%4.35M
322.77%9.94M
-57.53%3.87M
-88.56%1.48M
-88.97%2.40M
-61.88%2.35M
-9.14%9.12M
--12.93M
--21.80M
--6.17M
--10.04M
----
----
----
----
-Cuentas y pagarés por cobrar
44.79%6.29M
-61.27%3.85M
44.27%5.59M
356.05%6.75M
80.82%4.35M
322.77%9.94M
-57.53%3.87M
-88.56%1.48M
-88.97%2.40M
-61.88%2.35M
-9.14%9.12M
--12.93M
--21.80M
--6.17M
--10.04M
----
----
----
----
Inventario
-20.77%210.85M
-22.54%214.17M
-11.44%256.47M
45.77%307.75M
54.13%266.11M
-58.40%276.50M
-75.54%289.60M
-83.63%211.12M
-80.19%172.65M
-41.31%664.70M
31.26%1.18B
--1.29B
--871.51M
--1.13B
--902.06M
----
----
----
----
Gastos prepago
-38.98%2.66M
-51.03%2.56M
-60.50%2.55M
-59.40%3.54M
-55.18%4.35M
-23.37%5.24M
-31.78%6.46M
-32.66%8.73M
-2.92%9.71M
-30.33%6.83M
-9.36%9.47M
4533.21%12.97M
2850.61%10.00M
2318.61%9.81M
--10.45M
--279.85K
--339.05K
--405.52K
----
Otros activos corrientes
-51.35%4.86M
671.57%30.61M
33.92%9.92M
141.69%16.09M
-71.65%9.98M
-90.79%3.97M
-72.39%7.41M
-85.03%6.66M
-6.32%35.21M
74.92%43.06M
33.99%26.83M
576510.92%44.47M
196218.15%37.59M
--24.62M
4181.78%20.02M
--7.71K
--19.15K
----
--467.66K
Total de activos corrientes
-27.70%255.48M
-20.83%294.21M
-21.85%323.04M
13.81%391.04M
7.82%353.34M
-54.36%371.61M
-71.02%413.34M
-77.32%343.59M
-71.23%327.71M
-39.38%814.18M
34.66%1.43B
265441.88%1.52B
101717.13%1.14B
90326.72%1.34B
226393.62%1.06B
--570.63K
--1.12M
--1.49M
--467.66K
Activos no corrientes
Activos fijos netos
17.97%17.95M
125.42%17.71M
66.88%14.31M
55.30%14.43M
51.99%15.22M
-26.33%7.86M
-22.44%8.58M
-17.88%9.29M
-10.11%10.01M
7.38%10.66M
15.72%11.06M
--11.31M
--11.14M
--9.93M
--9.56M
----
----
----
----
-Activos fijos
13.29%21.05M
92.97%21.35M
54.01%17.90M
47.06%17.88M
46.23%18.58M
-15.90%11.06M
-12.54%11.62M
-6.67%12.16M
-0.17%12.71M
15.40%13.15M
21.53%13.29M
--13.03M
--12.73M
--11.40M
--10.94M
----
----
----
----
-Depreciación acumulada
-7.88%3.10M
13.50%3.64M
17.79%3.59M
20.38%3.46M
24.84%3.36M
28.78%3.21M
36.45%3.05M
67.11%2.87M
69.58%2.69M
69.57%2.49M
61.81%2.23M
--1.72M
--1.59M
--1.47M
--1.38M
----
----
----
----
Otros activos no actuales
-10.52%1.05M
384.62%1.13M
400.00%1.14M
413.72%1.16M
417.26%1.17M
3.08%234.00K
-2.58%227.00K
0.44%226.00K
20.21%226.00K
29.71%227.00K
20.73%233.00K
--225.00K
--188.00K
--175.00K
--193.00K
----
----
----
----
Total de activos no actuales
15.94%19.00M
132.92%18.84M
75.47%15.45M
63.82%15.59M
60.05%16.39M
-25.72%8.09M
-22.03%8.80M
-17.52%9.52M
-9.61%10.24M
7.77%10.89M
15.82%11.29M
-97.14%11.54M
-97.19%11.33M
-97.49%10.11M
--9.75M
--402.69M
--402.67M
--402.58M
----
Total de activos
-25.76%274.48M
-17.55%313.05M
-19.82%338.49M
15.16%406.63M
9.40%369.73M
-53.98%379.69M
-70.64%422.15M
-76.87%353.10M
-70.62%337.95M
-39.02%825.07M
34.49%1.44B
278.62%1.53B
184.90%1.15B
234.87%1.35B
228478.27%1.07B
--403.26M
--403.79M
--404.06M
--467.66K
Pasivos
Pasivos corrientes
-Otros por pagar
-9.76%1.50M
-34.99%1.29M
-20.82%1.56M
55.49%1.73M
25.97%1.66M
-54.38%1.99M
-67.70%1.97M
-68.70%1.11M
-89.07%1.32M
--4.36M
--6.11M
16779.66%3.55M
17462218.84%12.05M
--0.00
--0.00
--21.05K
--69.00
--0.00
----
Gastos acumulados
5.70%9.85M
-0.53%9.55M
-60.91%7.11M
-41.07%9.35M
-45.69%9.32M
-55.62%9.60M
-31.84%18.19M
-60.26%15.86M
6.34%17.16M
-35.79%21.63M
-5.87%26.69M
715.26%39.91M
403.16%16.14M
12087.68%33.68M
9050.50%28.35M
--4.90M
--3.21M
--276.36K
--309.86K
Deuda a corto plazo y pasivos por arrendamiento
-17.14%210.97M
-7.77%237.24M
-9.04%250.84M
58.85%303.79M
64.03%254.60M
-61.38%257.22M
-75.93%275.77M
-83.25%191.24M
-80.24%155.22M
-35.09%666.07M
52.56%1.15B
--1.14B
--785.55M
--1.03B
761612.59%751.04M
--0.00
--0.00
--0.00
--98.60K
-Deuda a corto plazo
-17.14%210.97M
-7.77%237.24M
-9.04%250.84M
58.85%303.79M
64.03%254.60M
-61.38%257.22M
-75.93%275.77M
-83.25%191.24M
-80.24%155.22M
-35.09%666.07M
52.56%1.15B
--1.14B
--785.55M
--1.03B
761612.59%751.04M
----
----
----
--98.60K
Otros pasivos corrientes
-9.76%1.50M
-34.99%1.29M
-20.82%1.56M
55.49%1.73M
25.97%1.66M
-54.38%1.99M
-67.70%1.97M
-68.70%1.11M
-89.07%1.32M
--4.36M
--6.11M
16779.66%3.55M
17462218.84%12.05M
--0.00
--0.00
--21.05K
--69.00
--0.00
----
Total pasivos corrientes
-17.02%225.83M
-9.08%250.97M
-13.49%263.50M
47.44%319.72M
50.85%272.15M
-60.51%276.03M
-74.37%304.60M
-81.90%216.85M
-78.11%180.41M
-34.53%698.96M
51.32%1.19B
23338.43%1.20B
24815.75%824.11M
333505.81%1.07B
181350.50%785.52M
--5.11M
--3.31M
--320.02K
--432.91K
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
49.13%13.94M
901.69%14.20M
415.69%10.15M
261.90%9.20M
200.61%9.35M
-61.56%1.42M
-51.74%1.97M
--2.54M
--3.11M
--3.69M
--4.08M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Deuda a largo plazo
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
----
-Pasivos por arrendamiento a largo plazo
49.13%13.94M
901.69%14.20M
415.69%10.15M
261.90%9.20M
200.61%9.35M
-61.56%1.42M
-51.74%1.97M
--2.54M
--3.11M
--3.69M
--4.08M
----
----
----
----
----
----
----
----
Pasivos diferidos
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--100.00K
--100.00K
--100.00K
--35.00K
Pasivos derivados
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--33.26M
--41.25M
--49.67M
----
Otros pasivos no corrientes
284.25%488.00K
-50.96%231.00K
-66.30%122.00K
-72.41%136.00K
-86.31%127.00K
-12.62%471.00K
-90.72%362.00K
-95.11%493.00K
-95.94%928.00K
-98.07%539.00K
-90.18%3.90M
-28.91%10.09M
61.15%22.86M
96.59%27.89M
113360.00%39.71M
--14.19M
--14.19M
--14.19M
--35.00K
Total pasivos no corrientes
52.28%14.43M
664.16%14.44M
340.84%10.28M
207.61%9.34M
134.67%9.48M
-55.32%1.89M
-70.79%2.33M
-69.90%3.04M
-82.34%4.04M
-84.84%4.23M
-79.91%7.98M
-78.74%10.09M
-58.76%22.86M
-56.33%27.89M
113360.00%39.71M
--47.45M
--55.44M
--63.86M
--35.00K
Total pasivos
-14.69%240.26M
-4.50%265.40M
-10.80%273.77M
49.65%329.06M
52.68%281.63M
-60.48%277.92M
-74.35%306.93M
-81.80%219.89M
-78.22%184.45M
-35.81%703.19M
45.00%1.20B
2198.43%1.21B
1341.72%846.97M
1606.89%1.10B
176264.79%825.23M
--52.56M
--58.75M
--64.18M
--467.91K
Capital de los accionistas
Capital ordinario
1.16%509.32M
1.61%507.70M
1.96%507.43M
2.24%506.75M
2.00%503.50M
24.13%499.66M
24.25%497.66M
24.48%495.67M
25.13%493.62M
3.32%402.55M
3.07%400.53M
9.01%398.19M
8.00%394.50M
6.67%389.63M
1554260.00%388.59M
--365.26M
--365.26M
--365.26M
--25.00K
Ganancias retenidas
-14.37%-475.10M
-15.62%-460.05M
-15.76%-442.72M
-18.41%-429.18M
-22.14%-415.40M
-41.76%-397.89M
-139.73%-382.45M
-355.87%-362.46M
-273.47%-340.12M
-112.54%-280.67M
-10.13%-159.53M
-445.72%-79.51M
-350.47%-91.07M
-420.30%-132.06M
-573474.60%-144.86M
---14.57M
---20.22M
---25.38M
---25.26K
Reservas de capital
1.16%509.32M
1.61%507.70M
1.96%507.43M
2.24%506.75M
2.01%503.50M
24.13%499.66M
24.26%497.66M
24.49%495.67M
25.12%493.58M
3.32%402.52M
3.07%400.51M
1934.77%398.17M
1464.44%394.47M
1182.46%389.60M
1619329.86%388.57M
--19.57M
--25.21M
--30.38M
--23.99K
Capital total
-61.16%34.22M
-53.18%47.65M
-43.83%64.71M
-41.77%77.57M
-42.61%88.10M
-16.49%101.78M
-52.19%115.22M
-58.20%133.21M
-49.41%153.50M
-52.68%121.88M
-1.12%241.00M
-9.13%318.68M
-12.06%303.43M
-24.22%257.57M
95206350.00%243.73M
--350.69M
--345.05M
--339.88M
---256.00
Unidad monetaria
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Opiniones de evaluación
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