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P3 Health Partners Inc

PIII

7.190USD

-0.160-2.18%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
469.22KCap. 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
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
46.82%40.08M
6.87%38.82M
19.79%62.96M
21.96%73.09M
280.06%27.30M
107.10%36.32M
52.99%52.56M
-5.10%59.92M
-93.49%7.18M
-87.52%17.54M
692.27%34.36M
--63.15M
--110.35M
--140.48M
--4.34M
Efectivo y equivalentes de efectivo
46.82%40.08M
6.87%38.82M
19.79%62.96M
21.96%73.09M
280.06%27.30M
107.10%36.32M
52.99%52.56M
-5.10%59.92M
-93.49%7.18M
-87.52%17.54M
692.27%34.36M
--63.15M
--110.35M
--140.48M
--4.34M
Por cobrar
-6.25%134.76M
3.08%125.21M
5.35%125.82M
48.85%155.42M
46.42%143.74M
52.62%121.47M
40.03%119.42M
2.37%104.42M
2.32%98.17M
52.86%79.59M
82.95%85.28M
--102.00M
--95.94M
--52.07M
--46.61M
-Cuentas y pagarés por cobrar
-9.98%129.35M
2.34%121.27M
5.23%123.33M
49.55%153.26M
53.63%143.69M
62.52%118.50M
41.98%117.20M
0.73%102.48M
-1.91%93.53M
42.02%72.91M
78.40%82.55M
--101.74M
--95.36M
--51.34M
--46.27M
-Otros por cobrar
11168.75%5.41M
32.76%3.95M
12.13%2.50M
11.77%2.17M
-98.97%48.00K
-55.48%2.97M
-18.68%2.23M
639.50%1.94M
689.34%4.64M
818.69%6.68M
696.37%2.74M
--261.93K
--587.83K
--726.90K
--343.58K
Gastos prepago
116.82%14.98M
299.17%14.42M
294.14%11.03M
280.01%8.48M
144.65%6.91M
36.70%3.61M
-20.57%2.80M
-56.08%2.23M
-58.12%2.82M
-62.02%2.64M
39.54%3.52M
--5.08M
--6.74M
--6.96M
--2.53M
Otros activos corrientes
-75.80%1.21M
14.56%5.29M
5.29%5.14M
-8.23%5.12M
320.59%5.00M
401.52%4.61M
386.19%4.88M
639.47%5.58M
234.04%1.19M
158.22%920.00K
189.72%1.00M
--753.92K
--356.24K
--356.29K
--346.30K
Total de activos corrientes
4.63%191.44M
10.92%184.14M
19.71%215.07M
40.64%242.10M
67.28%182.96M
64.88%166.02M
44.69%179.66M
0.68%172.15M
-48.75%109.37M
-49.62%100.69M
130.70%124.17M
--170.98M
--213.39M
--199.86M
--53.82M
Activos no corrientes
Activos fijos netos
-34.64%5.31M
-33.99%5.73M
-32.53%6.32M
-20.84%7.54M
-9.23%8.12M
-1.73%8.69M
-51.98%9.36M
-46.52%9.52M
-41.38%8.95M
-41.34%8.84M
28.99%19.49M
--17.80M
--15.26M
--15.07M
--15.11M
-Activos fijos
-5.63%12.58M
-6.57%12.58M
-8.16%12.59M
0.35%13.37M
9.30%13.33M
17.51%13.47M
-36.21%13.71M
-30.39%13.32M
-23.87%12.20M
-24.85%11.46M
19.88%21.49M
--19.14M
--16.02M
--15.25M
--17.92M
-Depreciación acumulada
39.59%7.27M
43.23%6.85M
44.34%6.27M
53.41%5.83M
60.33%5.21M
82.41%4.78M
117.91%4.35M
184.27%3.80M
329.10%3.25M
1337.57%2.62M
-29.07%1.99M
--1.34M
--757.16K
--182.32K
--2.81M
Fondo de comercio y otros activos intangibles
-14.22%553.89M
-13.86%574.35M
-13.52%594.87M
-11.90%624.67M
-11.57%645.70M
-11.23%666.73M
-44.34%687.88M
-43.36%709.02M
-65.63%730.16M
-65.00%751.05M
20898.73%1.24B
--1.25B
--2.12B
--2.15B
--5.89M
Deuda a largo plazo
----
----
----
----
----
----
----
----
----
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-3.28%3.56M
--3.58M
--3.56M
--3.59M
--3.68M
Otros activos no actuales
73.62%33.24M
-1.72%19.20M
-14.57%17.08M
0.95%18.45M
1.06%19.14M
22.15%19.53M
--19.99M
--18.27M
--18.94M
--15.99M
----
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Total de activos no actuales
-11.97%592.43M
-13.77%599.28M
-13.80%618.26M
-11.69%650.65M
-11.22%672.97M
-10.43%694.95M
-43.03%717.23M
-42.13%736.81M
-64.63%758.05M
-64.15%775.88M
5000.69%1.26B
--1.27B
--2.14B
--2.16B
--24.68M
Total de activos
-8.42%783.87M
-9.01%783.42M
-7.09%833.33M
-1.78%892.76M
-1.33%855.92M
-1.78%860.97M
-35.15%896.89M
-37.06%908.96M
-63.19%867.42M
-62.92%876.57M
1661.83%1.38B
--1.44B
--2.36B
--2.36B
--78.51M
Pasivos
Pasivos corrientes
-Otros por pagar
-55.73%12.41M
-47.31%12.46M
69.85%35.93M
70.74%31.91M
71.61%28.04M
68.18%23.65M
67.14%21.15M
64.93%18.69M
63.17%16.34M
60.31%14.06M
58.11%12.66M
--11.33M
--10.01M
--8.77M
--8.00M
Gastos acumulados
89.45%91.59M
84.07%99.51M
90.49%83.06M
-3.84%54.92M
-19.75%48.35M
5.49%54.06M
24.29%43.60M
49.18%57.11M
36.31%60.25M
16.10%51.25M
418.87%35.08M
--38.28M
--44.20M
--44.14M
--6.76M
Deuda a corto plazo y pasivos por arrendamiento
4466.00%65.80M
--65.00M
--208.00K
--831.00K
--1.44M
--0.00
----
----
----
-100.00%0.00
-100.00%0.00
--1.18M
--2.42M
--3.62M
--68.87K
-Deuda a corto plazo
-44.76%796.00K
----
--208.00K
--831.00K
--1.44M
----
----
----
----
-100.00%0.00
--0.00
--1.18M
--2.39M
--3.58M
----
Otros pasivos corrientes
-55.73%12.41M
-47.31%12.46M
69.85%35.93M
70.74%31.91M
71.61%28.04M
68.18%23.65M
67.14%21.15M
64.93%18.69M
63.17%16.34M
60.31%14.06M
58.11%12.66M
--11.33M
--10.01M
--8.77M
--8.00M
Total pasivos corrientes
51.97%507.03M
65.82%496.42M
51.63%405.32M
40.68%352.25M
23.73%333.65M
23.88%299.37M
17.68%267.30M
9.43%250.40M
15.04%269.66M
21.58%241.66M
91.51%227.14M
--228.83M
--234.40M
--198.77M
--118.60M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-10.65%117.10M
-17.04%101.16M
18.54%144.39M
21.11%145.32M
8.37%131.07M
15.08%121.94M
33.62%121.81M
32.47%119.98M
40.10%120.95M
22.79%105.96M
38.46%91.16M
--90.58M
--86.33M
--86.30M
--65.83M
-Deuda a largo plazo
-10.16%106.12M
-17.07%89.82M
23.07%133.23M
23.05%133.12M
9.25%118.12M
14.72%108.32M
35.32%108.25M
35.23%108.19M
35.16%108.13M
18.03%94.42M
34.77%80.00M
--80.00M
--80.00M
--80.00M
--59.36M
-Pasivos por arrendamiento a largo plazo
-15.17%10.98M
-16.76%11.34M
-17.69%11.16M
3.36%12.19M
0.95%12.94M
18.02%13.62M
21.50%13.56M
11.54%11.80M
102.63%12.82M
83.30%11.54M
72.28%11.16M
--10.58M
--6.33M
--6.30M
--6.48M
Otros pasivos no corrientes
569.23%38.66M
506.02%36.31M
192.08%19.72M
304.50%30.36M
0.02%5.78M
-4.66%5.99M
-46.76%6.75M
-17.55%7.51M
-72.26%5.78M
-57.73%6.29M
-31.01%12.68M
--9.10M
--20.82M
--14.87M
--18.38M
Total pasivos no corrientes
13.82%155.76M
7.46%137.48M
27.65%164.10M
37.80%175.68M
7.99%136.84M
13.97%127.93M
23.81%128.56M
27.90%127.49M
18.27%126.72M
10.95%112.25M
23.30%103.84M
--99.68M
--107.15M
--101.17M
--84.21M
Total pasivos
40.87%662.79M
48.35%633.89M
43.84%569.42M
39.71%527.93M
18.70%470.49M
20.74%427.31M
19.60%395.86M
15.03%377.89M
16.05%396.38M
17.99%353.91M
63.19%330.98M
--328.51M
--341.55M
--299.94M
--202.82M
Capital de los accionistas
Capital ordinario
10.19%586.92M
13.67%579.13M
6.66%565.09M
193.58%564.90M
68.51%532.64M
61.53%509.47M
80.46%529.83M
-38.52%192.42M
1.00%316.08M
0.78%315.40M
195.22%293.59M
--312.97M
--312.97M
--312.97M
--99.45M
Ganancias retenidas
-35.65%-523.67M
-36.98%-503.19M
-30.04%-444.58M
-21.14%-398.06M
-21.10%-386.04M
-18.67%-367.34M
-58.63%-341.88M
-60.80%-328.59M
-537.60%-318.77M
-685.29%-309.55M
-5.58%-215.52M
---204.35M
---50.00M
---39.42M
---204.12M
Reservas de capital
10.20%586.92M
13.67%579.09M
6.66%565.05M
193.61%564.87M
68.51%532.61M
61.54%509.44M
80.47%529.79M
-38.52%192.39M
1.00%316.06M
0.78%315.38M
10583.21%293.57M
--312.95M
--312.95M
--312.95M
--2.75M
Intereses no controladores
-75.79%57.83M
-74.76%73.59M
-54.20%143.40M
-70.33%197.99M
-49.58%238.84M
-43.59%291.53M
-67.86%313.09M
-33.75%667.24M
-72.96%473.72M
-71.14%516.80M
3813.46%974.08M
--1.01B
--1.75B
--1.79B
---26.23M
Capital total
-68.59%121.08M
-65.52%149.53M
-47.33%263.91M
-31.30%364.83M
-18.17%385.43M
-17.03%433.66M
-52.38%501.03M
-52.40%531.07M
-76.62%471.04M
-74.68%522.66M
946.40%1.05B
--1.12B
--2.02B
--2.06B
---124.31M
Unidad monetaria
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Opiniones de evaluación
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