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Sanofi SA

SNY

46.750USD

+1.110+2.43%
Cierre 08/01, 16:00ETCotizaciones retrasadas 15 min
117.21BCap. mercado
17.26P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q1
FY2025H1
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015Q4
FY2015Q2
FY2015H2
FY2015H1
FY2014Q4
FY2014Q2
FY2014H2
FY2014H1
FY2013Q4
FY2013Q2
FY2013H2
FY2013H1
FY2012Q4
FY2012Q2
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
--8.64B
148.68%18.10B
-19.86%7.70B
-16.52%7.28B
-29.48%9.61B
20.59%8.72B
18.74%13.63B
-37.26%7.23B
-32.45%11.48B
-35.74%11.53B
53.86%16.99B
134.00%17.93B
35.18%11.05B
-12.45%7.66B
-33.97%8.17B
-29.54%8.75B
14.23%12.37B
80.30%12.42B
7.73%10.83B
25.61%6.89B
8.65%9.93B
-11.21%5.23B
9.96%10.06B
-8.39%5.49B
-21.19%9.14B
6.31%5.90B
-21.19%9.14B
7.99%5.99B
34.08%11.60B
-5.54%5.55B
--11.60B
--5.55B
--8.65B
--5.87B
Efectivo y equivalentes de efectivo
--8.64B
148.68%18.10B
-19.86%7.70B
-16.52%7.28B
-29.48%9.61B
20.59%8.72B
18.74%13.63B
-37.26%7.23B
-32.45%11.48B
-35.74%11.53B
60.81%16.99B
134.00%17.93B
33.06%10.57B
-12.45%7.66B
-35.81%7.94B
-29.54%8.75B
14.57%12.37B
84.16%12.42B
8.71%10.80B
28.89%6.75B
11.87%9.93B
-11.21%5.23B
11.87%9.93B
-11.21%5.23B
-21.75%8.88B
8.40%5.90B
-21.75%8.88B
8.40%5.90B
34.80%11.35B
-0.24%5.44B
--11.35B
--5.44B
--8.42B
--5.45B
-Inversiones a corto plazo
----
----
----
----
----
----
----
----
----
----
----
----
109.24%477.55M
----
--228.23M
----
----
----
-72.96%32.59M
-42.64%144.35M
----
----
-54.29%120.55M
170.31%251.65M
3.71%263.71M
----
3.71%263.71M
-12.72%93.10M
8.27%254.28M
-74.54%106.67M
--254.28M
--106.67M
--234.85M
--418.98M
Por cobrar
--483.52M
2.55%9.67B
-10.69%8.70B
0.05%9.43B
3.42%9.74B
7.01%9.43B
1.25%9.42B
0.10%8.81B
-12.47%9.30B
8.81%8.80B
-6.01%10.62B
-1.56%8.09B
5.46%11.30B
6.54%8.22B
23.81%10.72B
-1.53%7.71B
-9.02%8.66B
-3.24%7.83B
-1.04%9.51B
-6.38%8.09B
----
----
-11.79%9.61B
-11.51%8.65B
-10.44%10.90B
----
-10.44%10.90B
-1.34%9.77B
22.87%12.17B
-4.51%9.90B
--12.17B
--9.90B
--9.90B
--10.37B
-Cuentas y pagarés por cobrar
----
0.97%9.20B
-14.60%7.95B
0.81%9.12B
3.23%9.31B
9.65%9.04B
4.79%9.02B
2.28%8.25B
-5.96%8.60B
-0.32%8.06B
2.83%9.15B
-1.56%8.09B
6.86%8.90B
6.54%8.22B
-3.81%8.33B
-1.53%7.71B
12.62%8.66B
-3.24%7.83B
-4.18%7.69B
-6.38%8.09B
----
----
-7.25%8.02B
-11.51%8.65B
-7.89%8.65B
----
-7.89%8.65B
-1.34%9.77B
-5.21%9.39B
-4.51%9.90B
--9.39B
--9.90B
--9.90B
--10.37B
-Otros por cobrar
----
----
----
----
----
----
----
----
----
----
----
----
-37.28%1.50B
----
--2.39B
----
----
----
14.75%1.83B
----
----
----
-29.23%1.59B
----
-19.04%2.25B
----
-19.04%2.25B
----
--2.78B
----
--2.78B
----
----
----
Inventario
--23.64B
-0.26%11.34B
-8.47%9.76B
4.49%11.37B
11.25%10.67B
10.80%10.88B
-3.21%9.59B
-10.58%9.82B
-2.87%9.91B
9.90%10.98B
13.83%10.20B
4.33%9.99B
4.50%8.96B
11.30%9.58B
4.85%8.58B
3.94%8.60B
12.82%8.18B
5.48%8.28B
2.45%7.25B
-1.39%7.85B
----
----
-10.86%7.08B
-14.32%7.96B
-9.08%7.94B
----
-9.08%7.94B
4.21%9.29B
3.73%8.73B
6.88%8.91B
--8.73B
--8.91B
--8.42B
--8.34B
Gastos prepago
----
----
----
----
----
----
----
----
----
----
----
----
2.74%552.65M
----
--537.89M
----
----
----
7.45%350.08M
----
----
----
-9.01%325.80M
----
-1.32%358.07M
----
-1.32%358.07M
----
--362.87M
----
--362.87M
----
----
----
Otros activos corrientes
----
2.20%4.24B
3.89%3.96B
12.73%4.15B
0.87%3.81B
-4.89%3.68B
-6.89%3.78B
5.42%3.87B
21.44%4.06B
19.76%3.67B
--3.34B
-7.74%3.06B
----
14.71%3.32B
----
21.16%2.89B
--2.41B
21.39%2.39B
----
-18.57%1.97B
--17.14B
-12.37%19.27B
----
-14.90%2.42B
----
713.59%21.99B
----
5.05%2.84B
----
5.30%2.70B
----
--2.70B
--3.11B
--2.57B
Total de activos corrientes
--47.62B
35.39%43.63B
30.27%44.09B
-1.47%32.22B
-7.05%33.85B
10.01%32.70B
4.81%36.41B
-15.00%29.73B
-15.59%34.75B
-10.50%34.97B
28.34%41.16B
35.79%39.08B
13.78%32.07B
2.91%28.78B
-10.83%28.19B
-9.57%27.96B
12.67%31.61B
24.69%30.92B
3.65%28.06B
1.20%24.80B
-4.47%27.07B
-12.12%24.51B
-4.47%27.07B
-12.12%24.51B
-13.77%28.34B
3.03%27.89B
-13.77%28.34B
3.03%27.89B
9.26%32.87B
-0.31%27.07B
--32.87B
--27.07B
--30.08B
--27.15B
Activos no corrientes
Activos fijos netos
--12.28B
1.93%12.97B
-7.88%12.01B
1.20%12.73B
4.27%13.04B
3.06%12.58B
-8.15%12.50B
-6.22%12.20B
5.53%13.61B
9.26%13.01B
4.46%12.90B
-2.19%11.91B
11.58%12.35B
10.05%12.18B
-3.68%11.07B
0.55%11.06B
9.09%11.49B
0.92%11.00B
-2.45%10.53B
-7.10%10.90B
-14.14%10.80B
-15.04%11.74B
-14.14%10.80B
-15.04%11.74B
-10.14%12.58B
2.02%13.81B
-10.14%12.58B
2.02%13.81B
0.28%14.00B
-0.25%13.54B
--14.00B
--13.54B
--13.96B
--13.57B
-Activos fijos
----
----
----
----
----
----
--12.50B
----
----
----
----
----
8.31%28.19B
----
--26.03B
----
----
----
0.33%23.00B
----
----
----
-9.24%22.92B
----
-6.05%25.26B
----
-6.05%25.26B
----
--26.89B
----
--26.89B
----
----
----
-Depreciación acumulada
----
----
----
----
----
----
--8.17B
----
----
----
----
----
5.89%15.84B
----
--14.96B
----
----
----
2.80%12.47B
----
----
----
-4.39%12.13B
----
-1.62%12.68B
----
-1.62%12.68B
----
--12.89B
----
--12.89B
----
----
----
Fondo de comercio y otros activos intangibles
--69.02B
-12.95%71.56B
-16.00%68.34B
2.05%82.20B
6.28%81.36B
5.95%80.55B
-3.05%76.55B
-0.48%76.03B
3.11%78.97B
9.23%76.40B
11.94%76.58B
-3.14%69.94B
-9.79%68.41B
-8.12%72.21B
18.51%75.84B
25.51%78.58B
18.96%63.99B
11.63%62.61B
-3.98%53.79B
-8.52%56.09B
-13.83%56.02B
-13.34%61.31B
-13.83%56.02B
-13.34%61.31B
-9.96%65.01B
-3.58%70.75B
-9.96%65.01B
-3.58%70.75B
-6.08%72.20B
-5.68%73.38B
--72.20B
--73.38B
--76.87B
--77.80B
Deuda a largo plazo
----
----
-75.24%161.51M
28.95%628.85M
34.83%652.22M
-27.42%487.68M
-12.26%483.73M
11.57%671.89M
-15.93%551.35M
-12.95%602.23M
12.29%655.84M
-2.94%691.83M
-31.74%584.04M
-15.38%712.78M
-2.30%855.58M
14.51%842.35M
7.34%875.71M
5.66%735.64M
11.95%815.81M
-14.58%696.22M
----
----
-15.28%728.71M
-8.55%815.08M
-7.43%860.10M
----
-7.43%860.10M
--891.28M
--929.16M
----
--929.16M
----
----
----
Gastos prepago a largo plazo
----
----
25.08%157.37M
-64.67%101.77M
-58.90%125.81M
10.35%288.02M
356.35%306.08M
185.92%261.00M
-40.31%67.07M
-21.09%91.28M
-12.84%112.36M
--115.68M
--128.92M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Otros activos no actuales
--13.75B
20.07%10.08B
23.04%9.51B
13.90%8.39B
-47.75%7.73B
23.01%7.37B
148.20%14.78B
8.70%5.99B
3.93%5.96B
-3.59%5.51B
-12.22%5.73B
-3.44%5.72B
21.40%6.53B
11.67%5.92B
3.22%5.38B
1.18%5.30B
5.46%5.21B
-13.29%5.24B
-4.48%4.94B
8.84%6.04B
----
--5.48B
-13.07%5.17B
-15.25%5.55B
4.09%5.95B
----
4.09%5.95B
16.21%6.55B
-1.06%5.72B
12.22%5.64B
--5.72B
--5.64B
--5.78B
--5.02B
Total de activos no actuales
--95.05B
-2.93%103.65B
-11.66%93.39B
2.62%106.78B
-1.55%105.72B
6.21%104.06B
5.33%107.38B
-0.21%97.97B
3.42%101.95B
7.89%98.18B
4.66%98.57B
-6.08%91.00B
-5.42%94.19B
-6.65%96.89B
13.01%99.58B
21.48%103.79B
7.48%88.12B
0.22%85.44B
-2.45%81.99B
0.86%85.25B
-6.07%84.05B
-12.24%84.53B
-6.07%84.05B
-12.24%84.53B
-9.77%89.48B
-2.80%96.32B
-9.77%89.48B
-2.80%96.32B
-3.16%99.16B
-2.50%99.09B
--99.16B
--99.09B
--102.40B
--101.64B
Total de activos
--142.67B
5.95%147.28B
-1.49%137.49B
1.64%139.01B
2.91%139.56B
7.10%136.76B
-0.78%135.62B
-4.10%127.70B
-2.18%136.69B
2.37%133.16B
10.67%139.73B
3.51%130.08B
-1.19%126.26B
-4.62%125.67B
6.71%127.77B
13.23%131.76B
8.80%119.74B
5.73%116.37B
-0.96%110.05B
0.93%110.05B
-5.68%111.12B
-12.21%109.04B
-5.68%111.12B
-12.21%109.04B
-10.76%117.82B
-1.55%124.20B
-10.76%117.82B
-1.55%124.20B
-0.34%132.03B
-2.04%126.16B
--132.03B
--126.16B
--132.48B
--128.79B
Pasivos
Pasivos corrientes
-Otros por pagar
--0.00
-63.88%77.79M
-67.53%74.54M
4.98%215.33M
104.28%229.55M
117.42%205.11M
-27.85%112.37M
-60.21%94.34M
-41.50%155.74M
-13.12%237.10M
-96.50%266.24M
-16.06%272.91M
10.99%7.60B
-38.02%325.13M
1564.05%6.85B
-95.17%524.57M
-93.95%411.46M
10.05%10.86B
5.16%6.81B
5.59%9.87B
-97.61%141.18M
5.21%157.00M
9.56%6.47B
8.57%9.35B
1.05%5.91B
-98.20%149.23M
1.05%5.91B
3.62%8.61B
-35.40%5.85B
-4.64%8.31B
--5.85B
--8.31B
--9.05B
--8.71B
Gastos acumulados
----
----
----
----
----
----
----
----
----
----
----
----
-2.80%2.22B
----
--2.28B
----
----
----
-0.83%2.07B
----
----
----
-9.85%2.09B
----
-7.18%2.31B
----
-7.18%2.31B
----
--2.49B
----
--2.49B
----
----
----
Provisiones corrientes
----
18.23%16.14B
-2.77%14.74B
5.02%13.65B
17.87%15.16B
6.24%13.00B
0.89%12.86B
-1.62%12.24B
3.05%12.75B
10.09%12.44B
1297.28%12.37B
8.04%11.30B
-17.85%885.59M
6.29%10.46B
-90.24%1.08B
--9.84B
1454.95%11.05B
----
12.63%710.68M
----
----
----
-7.52%630.97M
----
-32.92%682.27M
----
-32.92%682.27M
----
--1.02B
----
--1.02B
----
----
----
Deuda a corto plazo y pasivos por arrendamiento
--8.26B
-12.46%8.91B
78.84%4.61B
89.97%10.18B
-45.83%2.58B
55.24%5.36B
21.39%4.76B
17.82%3.45B
7.14%3.92B
-27.05%2.93B
-32.11%3.66B
-23.81%4.02B
80.04%5.40B
-26.67%5.27B
95.94%3.00B
94.08%7.19B
-17.53%1.53B
37.46%3.70B
-50.10%1.85B
-38.43%2.69B
259.52%3.73B
-31.19%4.41B
258.05%3.72B
-31.73%4.38B
-75.83%1.04B
24.12%6.41B
-75.83%1.04B
24.12%6.41B
-14.63%4.29B
-30.97%5.17B
--4.29B
--5.17B
--5.03B
--7.48B
-Deuda a corto plazo
--7.97B
-27.85%166.18M
-3.42%216.38M
58.73%230.33M
24.60%224.03M
-7.09%145.10M
-16.32%179.79M
-13.33%156.18M
-38.27%214.86M
-47.74%180.20M
1.80%348.07M
0.43%344.79M
19.72%341.91M
-4.28%343.31M
0.45%285.58M
49.52%358.67M
33.22%284.31M
-89.15%239.88M
-13.81%213.41M
568.84%2.21B
----
----
--247.61M
--330.71M
----
----
----
----
----
----
----
----
----
----
-Pasivos por arrendamiento a corto plazo
--286.65M
-0.63%297.01M
-10.96%270.21M
8.28%298.89M
2.38%303.49M
14.00%276.02M
-3.06%296.45M
-17.31%242.13M
7.93%305.80M
5.13%292.82M
-3.16%283.34M
2.09%278.53M
6277.69%292.58M
5738.21%272.83M
-65.23%4.59M
-77.27%4.67M
-33.94%13.20M
2.87%20.56M
2.18%19.97M
5.59%19.99M
----
----
7.73%19.55M
--18.93M
1.55%18.15M
----
1.55%18.15M
----
--17.87M
----
--17.87M
----
----
----
Pasivos diferidos
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Otros pasivos corrientes
--0.00
16.95%16.22B
-3.74%14.82B
5.02%13.87B
18.62%15.39B
7.09%13.21B
0.54%12.98B
-2.72%12.33B
2.11%12.91B
9.54%12.68B
48.98%12.64B
7.31%11.57B
7.06%8.48B
4.05%10.78B
-30.86%7.93B
-4.59%10.36B
52.51%11.46B
10.05%10.86B
5.82%7.52B
5.59%9.87B
-97.86%141.18M
5.21%157.00M
7.79%7.10B
8.57%9.35B
-3.99%6.59B
-98.20%149.23M
-3.99%6.59B
3.62%8.61B
-24.15%6.86B
-4.64%8.31B
--6.86B
--8.31B
--9.05B
--8.71B
Total pasivos corrientes
--34.85B
6.47%34.25B
13.01%30.19B
19.08%32.17B
4.17%26.71B
16.82%27.01B
5.94%25.65B
1.98%23.12B
2.98%24.21B
7.39%22.67B
2.89%23.51B
-3.29%21.12B
14.65%22.85B
-4.69%21.83B
7.43%19.93B
17.58%22.91B
7.31%18.55B
15.09%19.48B
-5.39%17.29B
-6.71%16.93B
15.90%18.27B
-6.67%18.14B
15.90%18.27B
-6.67%18.14B
-17.65%15.76B
9.66%19.44B
-17.65%15.76B
9.66%19.44B
4.69%19.14B
-12.87%17.73B
--19.14B
--17.73B
--18.29B
--20.35B
Pasivos no corrientes
Provisiones a largo plazo
--8.32B
-4.75%8.39B
-0.09%8.38B
13.86%8.80B
23.63%8.39B
19.36%7.73B
-11.18%6.79B
-22.17%6.48B
-14.48%7.64B
-24.25%8.32B
7.51%8.93B
6.24%10.99B
-15.88%8.31B
-1.07%10.34B
-10.04%9.88B
8.81%10.46B
18.24%10.98B
-12.55%9.61B
-6.73%9.29B
7.18%10.99B
-14.06%9.96B
-17.41%10.25B
-14.06%9.96B
-17.41%10.25B
-3.50%11.59B
-0.24%12.41B
-3.50%11.59B
-0.24%12.41B
-17.60%12.01B
-12.04%12.44B
--12.01B
--12.44B
--14.57B
--14.15B
Deuda a largo plazo y pasivos por arrendamiento
--12.73B
16.15%15.56B
-22.90%12.21B
-13.79%13.39B
-0.42%15.83B
-7.02%15.54B
-18.32%15.90B
-21.41%16.71B
-19.28%19.47B
-7.22%21.26B
6.86%24.11B
-4.41%22.92B
-10.78%22.57B
-10.05%23.97B
47.55%25.29B
54.21%26.65B
-2.55%17.14B
5.90%17.28B
24.84%17.59B
38.04%16.32B
-6.38%14.25B
-13.39%11.99B
-7.41%14.09B
-14.61%11.82B
13.83%15.22B
-0.42%13.85B
13.83%15.22B
-0.42%13.85B
-5.48%13.37B
6.96%13.90B
--13.37B
--13.90B
--14.14B
--13.00B
-Deuda a largo plazo
--12.73B
16.15%15.56B
-22.90%12.21B
-13.79%13.39B
-0.42%15.83B
-7.02%15.54B
-18.32%15.90B
-21.41%16.71B
-19.28%19.47B
-7.22%21.26B
6.86%24.11B
-4.41%22.92B
-10.78%22.57B
-10.05%23.97B
47.55%25.29B
54.21%26.65B
-2.55%17.14B
5.90%17.28B
24.84%17.59B
38.04%16.32B
-6.38%14.25B
-13.39%11.99B
-7.41%14.09B
-14.61%11.82B
13.83%15.22B
-0.42%13.85B
13.83%15.22B
-0.42%13.85B
-5.48%13.37B
6.96%13.90B
--13.37B
--13.90B
--14.14B
--13.00B
Beneficios de empleado
----
----
-15.59%2.06B
4.99%2.19B
11.97%2.44B
4.96%2.08B
-34.86%2.18B
-48.76%1.98B
-16.27%3.35B
-13.45%3.87B
-0.83%4.00B
-3.77%4.47B
-0.12%4.03B
6.70%4.65B
-14.95%4.04B
-1.76%4.36B
3.21%4.75B
-22.01%4.43B
-1.64%4.60B
21.69%5.68B
----
----
--4.68B
-24.01%4.67B
----
----
----
--6.15B
----
----
----
----
----
----
Pasivos derivados
----
----
----
----
----
----
----
----
----
----
----
----
----
----
100.00%0.00
2.59%-23.37M
11.25%-8.40M
-13.70%-23.99M
20.80%-9.46M
0.28%-21.10M
----
----
---11.95M
---21.16M
----
----
----
----
----
----
----
----
----
----
Otros pasivos no corrientes
--10.58B
-5.55%10.82B
-4.00%10.54B
9.63%11.46B
14.02%10.98B
11.37%10.45B
-9.32%9.63B
-11.67%9.38B
-7.89%10.61B
-7.25%10.62B
7.06%11.52B
2.41%11.45B
-1.34%10.76B
-3.71%11.18B
-10.88%10.91B
4.26%11.62B
13.36%12.24B
-9.21%11.14B
-4.36%10.80B
5.41%12.27B
-18.69%11.17B
-16.25%11.51B
-17.85%11.29B
-15.31%11.64B
-2.52%13.74B
-3.16%13.75B
-2.52%13.74B
-3.16%13.75B
-13.78%14.10B
-11.17%14.19B
--14.10B
--14.19B
--16.35B
--15.98B
Total pasivos no corrientes
--27.32B
5.45%30.20B
-13.33%26.69B
-5.06%28.64B
4.23%30.79B
1.10%30.16B
-13.13%29.54B
-15.64%29.83B
-12.74%34.01B
-6.10%35.36B
5.30%38.98B
-4.86%37.66B
-7.78%37.01B
-7.95%39.58B
28.14%40.14B
39.32%43.01B
-2.36%31.32B
-5.84%30.87B
8.26%32.08B
18.45%32.78B
-12.80%29.63B
-18.34%27.67B
-12.80%29.63B
-18.34%27.67B
-1.47%33.98B
-4.09%33.89B
-1.47%33.98B
-4.09%33.89B
-10.11%34.49B
-4.78%35.33B
--34.49B
--35.33B
--38.37B
--37.11B
Total pasivos
--62.17B
5.99%64.45B
-1.09%56.88B
6.35%60.80B
4.20%57.51B
7.96%57.17B
-5.20%55.19B
-8.76%52.96B
-6.83%58.22B
-1.25%58.04B
4.38%62.48B
-4.30%58.78B
-0.34%59.86B
-6.82%61.42B
20.44%60.07B
30.91%65.91B
1.03%49.87B
1.29%50.35B
3.05%49.37B
8.49%49.71B
-3.71%47.90B
-14.08%45.82B
-3.71%47.90B
-14.08%45.82B
-7.25%49.75B
0.51%53.33B
-7.25%49.75B
0.51%53.33B
-5.34%53.64B
-7.64%53.06B
--53.64B
--53.06B
--56.66B
--57.45B
Capital de los accionistas
Capital ordinario
----
----
-16.65%2.62B
5.01%3.05B
-95.77%3.14B
-10.12%2.91B
-1.14%74.25B
-5.39%3.23B
-2.42%75.11B
-94.91%3.42B
25.87%76.98B
12.75%67.11B
-4.09%61.16B
-4.80%59.52B
-3.99%63.77B
0.12%62.53B
16.87%66.42B
10.86%62.45B
-4.19%56.83B
-5.21%56.33B
----
----
-11.15%59.32B
--59.43B
-12.82%66.77B
----
-12.82%66.77B
----
4.50%76.59B
2.87%70.38B
--76.59B
--70.38B
--73.29B
--68.42B
Ganancias retenidas
----
----
-5.23%70.59B
-2.70%69.73B
--74.49B
10.49%71.67B
----
-7.33%64.87B
----
--70.00B
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Reservas de capital
----
----
-100.00%0.00
122.34%339.60M
-99.52%345.43M
-73.74%152.74M
-0.95%71.55B
35.56%581.75M
-2.25%72.24B
-99.33%429.15M
26.66%73.90B
13.43%64.29B
-4.20%58.35B
-4.92%56.68B
-3.95%60.91B
0.06%59.61B
17.18%63.41B
11.40%59.57B
-4.19%54.12B
-5.37%53.47B
----
----
-11.15%56.48B
--56.51B
-12.85%63.57B
----
-12.85%63.57B
----
4.52%72.95B
2.84%66.92B
--72.95B
--66.92B
--69.79B
--65.07B
Menos: Acciones en tesorería
----
----
-33.44%869.66M
40.67%1.47B
72.94%1.31B
-14.79%1.04B
-29.22%755.57M
48.29%1.23B
23.98%1.07B
201.52%826.29M
8434.20%861.02M
2578.44%274.04M
-94.25%10.09M
-94.24%10.23M
944.84%175.47M
-62.81%177.58M
-98.94%16.79M
--477.48M
388.25%1.58B
-100.00%0.00
----
----
-61.45%323.63M
--497.73M
150.33%839.53M
----
150.33%839.53M
----
22.80%335.38M
97.16%643.89M
--335.38M
--643.89M
--273.12M
--326.58M
Pérdidas de ganancias que no afectan a las ganancias retenidas
----
----
3695.12%2.46B
144.14%1.07B
-104.41%-68.42M
-83.87%437.49M
259.39%1.55B
200.06%2.71B
76.23%-974.24M
-869.07%-2.71B
-666.86%-4.10B
-190.77%-279.65M
475.26%723.05M
142.06%308.07M
72.50%-192.68M
-409.80%-732.53M
-133.93%-700.57M
-60.64%236.46M
108.47%2.06B
-45.67%600.72M
----
----
183.80%990.43M
--1.11B
10.71%-1.18B
----
10.71%-1.18B
----
-490.12%-1.32B
-46.59%239.35M
---1.32B
--239.35M
---224.30M
--448.10M
Intereses no controladores
--372.11M
-2.88%319.40M
4.90%362.36M
-5.20%328.89M
-12.29%345.43M
-6.24%346.94M
-1.02%393.84M
145.76%370.01M
123.14%397.88M
-26.34%150.56M
-8.58%178.31M
8.97%204.40M
6.96%195.05M
-2.10%187.57M
-10.05%182.36M
4.18%191.60M
13.43%202.73M
5.49%183.91M
2.22%178.72M
0.36%174.33M
-2.34%174.85M
-2.40%173.71M
-2.34%174.85M
-2.40%173.71M
0.97%179.04M
6.07%177.98M
0.97%179.04M
6.07%177.98M
0.29%177.31M
-9.20%167.80M
--177.31M
--167.80M
--176.80M
--184.81M
Capital total
--80.50B
5.92%82.83B
-1.77%80.61B
-1.74%78.20B
2.02%82.06B
6.48%79.59B
2.49%80.43B
-0.50%74.74B
1.59%78.47B
5.35%75.12B
16.35%77.25B
10.98%71.30B
-1.93%66.40B
-2.43%64.25B
-3.09%67.71B
-0.26%65.85B
15.13%69.86B
9.39%66.02B
-4.01%60.68B
-4.54%60.35B
-7.13%63.22B
-10.80%63.22B
-7.13%63.22B
-10.80%63.22B
-13.17%68.07B
-3.04%70.87B
-13.17%68.07B
-3.04%70.87B
3.39%78.39B
2.47%73.10B
--78.39B
--73.10B
--75.82B
--71.33B
Unidad monetaria
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