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Oportun Financial Corp

OPRT

6.120USD

+0.310+5.34%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
229.51MCap. 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
Activos actuales
Efectivo y equivalentes de efectivo
13.50%78.54M
-34.24%59.97M
-12.27%71.84M
-0.68%72.87M
-6.58%69.20M
-7.72%91.19M
-53.44%81.89M
9.98%73.37M
-32.58%74.08M
-24.54%98.82M
4.42%175.86M
-51.81%66.71M
-21.76%109.86M
-3.84%130.96M
53.58%168.41M
-0.57%138.43M
-3.05%140.42M
88.68%136.19M
-29.03%109.66M
204.63%139.22M
149.25%144.84M
--72.18M
--154.51M
--45.70M
--58.11M
Efectivo restringido
19.69%152.43M
34.68%154.66M
33.07%156.70M
26.99%163.76M
-0.39%127.35M
9.36%114.83M
22.22%117.76M
92.07%128.96M
110.64%127.85M
69.35%105.00M
74.08%96.35M
-69.42%67.14M
41.92%60.69M
91.34%62.00M
2.83%55.35M
273.74%219.54M
-30.19%42.77M
-49.34%32.40M
-18.33%53.82M
-0.33%58.74M
1.03%61.26M
--63.96M
--65.91M
--58.93M
--60.64M
Activos no corrientes
Activos fijos netos
-52.16%11.93M
-54.62%12.75M
-56.38%13.55M
-57.97%14.87M
-35.52%24.93M
-31.43%28.10M
-25.16%31.08M
-17.30%35.38M
-16.44%38.66M
-15.20%40.97M
-6.99%41.52M
-7.41%42.77M
-13.45%46.27M
-22.90%48.32M
-33.86%44.64M
-33.04%46.20M
-26.80%53.47M
-14.55%62.67M
9.14%67.50M
9.03%68.99M
9.59%73.04M
--73.34M
--61.84M
--63.27M
--66.65M
-Activos fijos
-25.17%50.12M
-28.08%50.38M
-27.57%52.10M
-30.10%52.63M
-13.74%66.98M
-10.95%70.05M
-7.63%71.93M
-3.31%75.29M
-4.89%77.65M
-4.66%78.66M
-0.65%77.87M
-1.55%77.87M
-13.61%81.64M
-18.00%82.50M
-25.21%78.38M
-24.42%79.09M
-10.95%94.50M
--100.61M
--104.80M
--104.64M
--106.13M
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-Depreciación acumulada
-9.16%38.20M
-10.30%37.63M
-5.65%38.55M
-5.40%37.76M
7.86%42.05M
11.32%41.95M
12.39%40.86M
13.74%39.92M
10.22%38.98M
10.25%37.69M
7.75%36.35M
6.68%35.10M
-13.81%35.37M
-9.89%34.19M
-9.55%33.74M
-7.73%32.90M
24.03%41.04M
--37.94M
--37.30M
--35.66M
--33.09M
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Fondo de comercio y otros activos intangibles
-23.02%81.88M
-24.53%86.59M
-27.69%92.05M
-25.05%99.69M
-22.84%106.37M
-17.93%114.73M
-8.47%127.29M
-44.82%133.01M
-41.90%137.86M
-40.56%139.80M
291.03%139.07M
642.31%241.06M
698.62%237.25M
757.78%235.19M
31.16%35.56M
31.48%32.48M
37.73%29.71M
49.51%27.42M
87.53%27.11M
130.71%24.70M
198.13%21.57M
--18.34M
--14.46M
--10.71M
--7.24M
Total de activos
-1.56%3.23B
-5.42%3.23B
-5.21%3.25B
-6.38%3.25B
-6.41%3.28B
-5.58%3.41B
-3.11%3.43B
3.64%3.47B
17.03%3.50B
22.64%3.61B
50.77%3.54B
50.80%3.35B
50.22%2.99B
46.67%2.95B
22.44%2.35B
12.50%2.22B
-5.92%1.99B
-8.76%2.01B
-8.37%1.92B
5.81%1.97B
17.15%2.12B
--2.20B
--2.09B
--1.87B
--1.81B
Pasivos
Pasivos corrientes
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-0.52%2.79B
-3.64%2.80B
-1.96%2.84B
-3.29%2.81B
-4.46%2.80B
-0.61%2.91B
1.71%2.89B
13.57%2.90B
35.25%2.94B
35.58%2.93B
68.52%2.85B
58.37%2.56B
54.43%2.17B
52.77%2.16B
28.24%1.69B
15.77%1.61B
-4.89%1.41B
-8.75%1.41B
-11.75%1.32B
2.82%1.39B
12.26%1.48B
--1.55B
--1.49B
--1.36B
--1.32B
-Deuda a largo plazo
-0.52%2.79B
-3.64%2.80B
-1.96%2.84B
-3.29%2.81B
-4.46%2.80B
-0.61%2.91B
1.71%2.89B
13.57%2.90B
35.25%2.94B
35.58%2.93B
68.52%2.85B
58.37%2.56B
54.43%2.17B
52.77%2.16B
28.24%1.69B
15.77%1.61B
-4.89%1.41B
-8.75%1.41B
-11.75%1.32B
2.82%1.39B
12.26%1.48B
--1.55B
--1.49B
--1.36B
--1.32B
Total pasivos
-1.22%2.86B
-4.46%2.87B
-2.17%2.92B
-3.90%2.90B
-4.94%2.90B
-1.91%3.01B
-0.08%2.99B
11.54%3.01B
30.02%3.05B
30.88%3.07B
62.86%2.99B
55.53%2.70B
54.11%2.34B
51.86%2.34B
25.40%1.84B
14.26%1.74B
-6.96%1.52B
-9.95%1.54B
-10.23%1.46B
2.23%1.52B
13.12%1.63B
--1.71B
--1.63B
--1.49B
--1.44B
Capital de los accionistas
Capital ordinario
4.52%615.17M
4.80%612.65M
2.66%595.13M
2.80%591.74M
5.39%588.57M
6.71%584.56M
7.17%579.70M
7.76%575.59M
6.02%558.44M
4.08%547.81M
20.68%540.90M
20.25%534.15M
19.96%526.74M
20.58%526.34M
3.83%448.22M
4.04%444.19M
4.12%439.11M
4.34%436.50M
3.70%431.68M
39.26%426.95M
38.47%421.73M
--418.37M
--416.26M
--306.59M
--304.55M
Ganancias retenidas
-21.21%-242.76M
-45.26%-252.53M
-97.89%-261.27M
-108.60%-231.31M
-108.66%-200.29M
-2949.05%-173.85M
-1008.95%-132.03M
-192.14%-110.89M
-174.12%-95.99M
-92.72%6.10M
-79.15%14.53M
157.71%120.35M
228.28%129.51M
130.14%83.85M
149.58%69.68M
37.50%46.70M
-42.16%39.45M
-52.49%36.43M
-47.83%27.92M
-58.04%33.97M
1.58%68.21M
--76.68M
--53.52M
--80.94M
--67.15M
Reservas de capital
4.52%615.16M
4.80%612.64M
2.66%595.13M
2.80%591.73M
5.39%588.56M
6.71%584.55M
7.17%579.69M
7.76%575.59M
6.02%558.44M
4.08%547.80M
20.68%540.89M
20.25%534.15M
19.96%526.73M
20.58%526.34M
3.83%448.21M
4.04%444.18M
4.12%439.10M
4.34%436.50M
3.70%431.67M
39.26%426.94M
38.47%421.72M
--418.36M
--416.26M
--306.59M
--304.55M
Menos: Acciones en tesorería
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
0.00%6.31M
3.11%6.31M
3.11%6.31M
-25.74%6.31M
-25.14%6.31M
-27.40%6.12M
--6.12M
--8.50M
--8.43M
--8.43M
Pérdidas de ganancias que no afectan a las ganancias retenidas
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35.82%-172.00K
9.12%-249.00K
8.60%-255.00K
-61.11%-261.00K
-59.52%-268.00K
-55.68%-274.00K
-106.67%-279.00K
---162.00K
---168.00K
---176.00K
---135.00K
Capital total
-4.16%366.10M
-12.51%353.81M
-25.79%327.56M
-22.75%354.12M
-16.26%381.97M
-26.15%404.40M
-19.62%441.36M
-29.28%458.40M
-29.82%456.15M
-9.32%547.60M
7.37%549.11M
33.83%648.20M
37.70%649.94M
29.49%603.88M
12.89%511.42M
6.60%484.33M
-2.39%471.99M
-4.58%466.37M
-1.76%453.02M
19.89%454.33M
33.15%483.54M
--488.77M
--461.12M
--378.95M
--363.16M
Unidad monetaria
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Opiniones de evaluación
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