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Society Pass Inc

SOPA

1.200USD

+0.030+2.56%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
5.96MCap. 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
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
439.22%11.15M
127.22%10.00M
-42.30%4.74M
-88.88%1.21M
-84.97%2.07M
-76.75%4.40M
-64.24%8.22M
-61.31%10.84M
-55.58%13.76M
-18.63%18.93M
301.69%22.99M
19539.81%28.01M
3455.11%30.97M
--23.26M
--5.72M
--142.63K
--871.07K
Efectivo y equivalentes de efectivo
338.00%7.09M
110.27%7.63M
-48.66%4.22M
-92.31%833.94K
-88.23%1.62M
-80.83%3.63M
-64.24%8.22M
-61.31%10.84M
-55.58%13.76M
-18.63%18.93M
301.69%22.99M
19539.81%28.01M
3455.11%30.97M
--23.26M
--5.72M
--142.63K
--871.07K
-Inversiones a corto plazo
804.41%4.06M
206.86%2.37M
--522.31K
--371.11K
--448.78K
--772.43K
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Por cobrar
27.69%2.60M
48.95%3.25M
206.38%4.06M
104.32%3.16M
135.44%2.03M
124.59%2.18M
127.31%1.33M
2881.75%1.55M
1714.39%863.18K
1747.64%971.63K
214.80%583.34K
2581.71%51.89K
1979.28%47.57K
--52.59K
--185.30K
--1.94K
--2.29K
-Cuentas y pagarés por cobrar
-35.82%858.80K
-16.96%1.11M
-41.06%764.25K
-37.62%776.18K
55.93%1.34M
40.66%1.34M
125.76%1.30M
2297.83%1.24M
1703.74%858.11K
1709.02%951.33K
209.93%574.32K
2581.71%51.89K
1979.28%47.57K
--52.59K
--185.30K
--1.94K
--2.29K
-Otros por cobrar
176.55%1.64M
183.11%2.05M
10658.99%3.16M
647.33%2.26M
11598.32%593.22K
3473.74%725.83K
225.56%29.36K
--303.00K
--5.07K
--20.31K
--9.02K
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Inventario
-57.03%163.19K
-63.44%157.73K
-64.89%294.49K
46.40%293.33K
65.82%379.74K
38.77%431.48K
227.90%838.84K
-40.45%200.36K
-14.36%229.01K
40.65%310.93K
--255.82K
--336.48K
--267.41K
--221.07K
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Gastos prepago
154.22%2.19M
20.84%1.01M
-58.88%594.41K
-58.55%730.56K
-55.62%861.88K
-69.06%838.72K
-64.96%1.45M
-61.27%1.76M
-66.51%1.94M
-55.51%2.71M
5825.61%4.13M
7212.25%4.55M
1782.15%5.80M
--6.09M
--69.62K
--62.22K
--308.09K
Otros activos corrientes
-74.91%50.00K
-43.45%53.90K
-46.56%118.22K
-20.75%194.54K
174.58%199.25K
31.74%95.31K
957.69%221.19K
--245.47K
--72.56K
--72.35K
--20.91K
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Total de activos corrientes
191.46%16.15M
82.11%14.48M
-18.58%9.81M
-61.73%5.58M
-67.14%5.54M
-65.44%7.95M
-56.92%12.05M
-55.71%14.59M
-54.53%16.86M
-22.39%23.00M
367.97%27.97M
15834.58%32.95M
3038.62%37.08M
--29.63M
--5.98M
--206.79K
--1.18M
Activos no corrientes
Activos fijos netos
0.46%1.70M
-44.64%1.16M
-34.25%1.43M
-38.03%1.50M
-33.21%1.69M
-6.64%2.09M
68.39%2.17M
200.11%2.42M
185.28%2.54M
227.55%2.24M
138.77%1.29M
981.81%807.30K
931.61%888.95K
--685.00K
--540.86K
--74.63K
--86.17K
-Activos fijos
6.81%2.41M
-30.13%1.83M
-18.28%2.14M
-25.67%2.11M
-21.83%2.26M
3.53%2.62M
28.37%2.62M
234.09%2.84M
214.99%2.89M
257.94%2.53M
264.32%2.04M
822.45%850.65K
804.50%916.46K
--705.73K
--560.71K
--92.22K
--101.32K
-Depreciación acumulada
25.92%708.68K
28.23%667.59K
59.33%713.08K
45.74%610.93K
60.44%562.81K
84.37%520.61K
-40.43%447.56K
866.93%419.19K
1175.06%350.78K
1262.22%282.38K
3685.75%751.36K
146.44%43.35K
81.58%27.51K
--20.73K
--19.85K
--17.59K
--15.15K
Fondo de comercio y otros activos intangibles
-98.65%81.85K
-9.47%5.59M
-11.81%5.74M
-14.69%5.93M
-9.51%6.04M
-17.27%6.17M
-43.15%6.51M
86.05%6.96M
82.68%6.68M
86.45%7.46M
138.59%11.45M
-33.24%3.74M
-42.90%3.65M
--4.00M
--4.80M
--5.60M
--6.40M
Gastos prepago a largo plazo
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-100.00%0.00
--0.00
--0.00
--0.00
--858.67K
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Otros activos no actuales
--56.47K
-61.06%58.35K
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--149.86K
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-100.00%0.00
--0.00
--0.00
--0.00
--858.67K
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Total de activos no actuales
-12.55%6.76M
-19.14%6.80M
-17.42%7.17M
-20.72%7.44M
-16.03%7.73M
-13.27%8.41M
-31.84%8.69M
106.30%9.38M
102.75%9.21M
75.01%9.70M
138.61%12.74M
-19.89%4.55M
-29.95%4.54M
--5.54M
--5.34M
--5.67M
--6.49M
Total de activos
72.60%22.91M
30.05%21.28M
-18.10%16.98M
-45.69%13.02M
-49.08%13.28M
-49.96%16.36M
-49.07%20.74M
-36.07%23.97M
-37.36%26.07M
-7.04%32.70M
259.74%40.72M
537.55%37.50M
442.86%41.62M
--35.18M
--11.32M
--5.88M
--7.67M
Pasivos
Pasivos corrientes
-Otros por pagar
-24.40%609.10K
-20.58%720.75K
-53.96%638.65K
-48.64%601.93K
-25.10%805.69K
-10.73%907.47K
-55.21%1.39M
181.74%1.17M
67.02%1.08M
-9.30%1.02M
12408.22%3.10M
-75.40%415.96K
-59.45%644.06K
--1.12M
--24.76K
--1.69M
--1.59M
Gastos acumulados
58.56%140.77K
569.95%918.47K
238.80%364.92K
1080.41%4.46M
-15.64%88.78K
-86.61%137.10K
19.38%107.71K
400.04%378.17K
10.61%105.23K
--1.02M
--90.22K
--75.63K
--95.14K
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Deuda a corto plazo y pasivos por arrendamiento
260.95%68.51K
430.39%113.04K
1783.63%421.61K
-30.05%17.05K
-28.76%18.98K
-24.33%21.31K
-89.11%22.38K
-61.59%24.38K
--26.64K
--28.16K
--205.45K
-91.41%63.46K
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--738.96K
--738.96K
-Deuda a corto plazo
260.95%68.51K
430.39%113.04K
1783.63%421.61K
-30.05%17.05K
-28.76%18.98K
-24.33%21.31K
-89.11%22.38K
-61.59%24.38K
--26.64K
--28.16K
--205.45K
-91.41%63.46K
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--738.96K
--738.96K
Pasivos diferidos
-2.78%1.23M
12.73%1.43M
9.69%1.33M
2.57%1.28M
0.43%1.27M
-9.92%1.27M
-10.36%1.21M
27003.36%1.25M
6683.55%1.26M
5469.34%1.41M
3690.96%1.35M
36.47%4.62K
76.90%18.64K
--25.23K
--35.58K
--3.38K
--10.54K
Otros pasivos corrientes
-14.03%1.84M
-1.18%2.15M
-23.69%2.03M
-21.58%1.95M
-10.98%2.14M
-12.74%2.17M
-40.97%2.67M
492.65%2.49M
263.58%2.41M
117.32%2.49M
7382.49%4.52M
-75.17%420.58K
-58.55%662.71K
--1.15M
--60.34K
--1.69M
--1.60M
Total pasivos corrientes
148.56%23.30M
123.01%23.23M
61.56%15.94M
1.47%10.35M
0.26%9.37M
-10.31%10.42M
-22.46%9.87M
276.69%10.20M
449.24%9.35M
376.07%11.61M
1072.31%12.72M
-16.59%2.71M
-55.57%1.70M
--2.44M
--1.09M
--3.25M
--3.83M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-35.66%421.56K
-53.68%392.75K
-46.90%489.38K
-47.76%556.50K
-43.43%655.22K
-20.98%847.95K
164.14%921.58K
149.68%1.07M
127.67%1.16M
161.07%1.07M
-4.55%348.90K
1508.73%426.65K
1290.75%508.75K
--411.05K
--365.54K
--26.52K
--36.58K
-Pasivos por arrendamiento a largo plazo
-35.66%421.56K
-53.68%392.75K
-46.90%489.38K
-47.76%556.50K
-43.43%655.22K
-20.98%847.95K
164.14%921.58K
149.68%1.07M
127.67%1.16M
161.07%1.07M
-4.55%348.90K
1508.73%426.65K
1290.75%508.75K
--411.05K
--365.54K
--26.52K
--36.58K
Otros pasivos no corrientes
--0.00
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Total pasivos no corrientes
-25.13%490.56K
-49.64%461.75K
-46.90%489.38K
-47.76%556.50K
-43.43%655.22K
-14.55%916.95K
164.14%921.58K
149.68%1.07M
127.67%1.16M
161.07%1.07M
-4.55%348.90K
1508.73%426.65K
1290.75%508.75K
--411.05K
--365.54K
--26.52K
--36.58K
Total pasivos
137.21%23.79M
109.04%23.69M
52.30%16.43M
-3.18%10.91M
-4.56%10.03M
-10.67%11.33M
-17.48%10.79M
259.40%11.26M
375.26%10.51M
345.07%12.69M
801.02%13.07M
-4.23%3.13M
-42.84%2.21M
--2.85M
--1.45M
--3.27M
--3.87M
Capital de los accionistas
Capital ordinario
5.17%111.92M
2.30%108.04M
2.92%107.97M
3.29%107.11M
3.01%106.42M
4.12%105.61M
5.71%104.90M
7.99%103.70M
10.43%103.32M
27.05%101.43M
680.57%99.24M
4164.36%96.03M
4077.20%93.56M
--79.84M
--12.71M
--2.25M
--2.24M
Ganancias retenidas
-9.04%-112.00M
-10.97%-110.16M
-13.33%-106.09M
-16.67%-104.71M
-18.84%-102.72M
-22.35%-99.27M
-31.17%-93.61M
-46.16%-89.75M
-60.36%-86.43M
-71.35%-81.14M
-153.82%-71.36M
-265.66%-61.41M
-251.28%-53.90M
---47.35M
---28.12M
---16.79M
---15.34M
Reservas de capital
5.16%111.92M
2.30%108.04M
2.93%107.97M
3.29%107.11M
3.01%106.42M
4.12%105.61M
5.71%104.90M
7.99%103.69M
10.43%103.31M
27.05%101.43M
680.61%99.23M
4167.76%96.03M
4080.56%93.56M
--79.83M
--12.71M
--2.25M
--2.24M
Menos: Acciones en tesorería
-70.59%54.93K
-93.01%54.93K
-91.42%54.93K
-100.00%0.00
-65.54%186.78K
--785.52K
--640.52K
--640.52K
--541.99K
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Pérdidas de ganancias que no afectan a las ganancias retenidas
5624.31%110.19K
212.72%272.92K
-156.51%-729.34K
246.38%269.71K
100.59%1.93K
-528.34%-242.13K
-410.16%-284.34K
-411.85%-184.25K
-237.50%-325.69K
204.02%56.53K
570.66%91.67K
-27.03%-36.00K
-343.60%-96.50K
---54.34K
---19.48K
---28.34K
---21.75K
Intereses no controladores
20.86%-214.64K
1.21%-273.90K
26.28%-309.25K
34.36%-271.60K
39.73%-271.22K
17.61%-277.25K
-31.12%-419.48K
-84.12%-413.76K
-202.37%-450.00K
-227.40%-336.51K
---319.93K
---224.72K
---148.83K
---102.78K
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Capital total
-127.03%-877.61K
-147.97%-2.41M
-94.44%553.32K
-83.36%2.11M
-79.14%3.25M
-74.87%5.03M
-64.01%9.95M
-63.01%12.71M
-60.51%15.57M
-38.09%20.01M
180.14%27.64M
1217.13%34.36M
937.41%39.41M
--32.33M
--9.87M
--2.61M
--3.80M
Unidad monetaria
USD
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Opiniones de evaluación
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