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Presidio Property Trust Inc

SQFT

6.010USD

+0.210+3.62%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
7.71MCap. 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
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
Flujos de efectivo operativos (método indirecto)
Flujo de efectivo por actividades operativas continuas
86.28%-118.91K
-67.43%312.77K
-98.06%822.66K
-3086.45%-729.29K
46.76%-866.77K
200.10%960.44K
1706.21%42.41M
-95.29%24.42K
-66.43%-1.63M
-176.76%-959.49K
9.81%2.35M
-54.83%518.36K
33.37%-978.26K
56.78%1.25M
-20.66%2.14M
70.05%1.15M
-209.69%-1.47M
-43.58%797.28K
7798.13%2.70M
-38.38%674.79K
-135.97%-474.07K
177.48%1.41M
-102.28%-35.01K
7221.92%1.10M
79.13%1.32M
---1.82M
--1.54M
---15.38K
--735.68K
Ingresos netos por operaciones continuas
163.59%2.38M
72.05%-2.28M
-125.74%-5.70M
-5457.30%-11.38M
-514.31%-3.74M
-2530.38%-8.17M
6210.15%22.16M
-148.98%-204.75K
-260.04%-608.46K
160.07%336.12K
182.72%351.18K
-76.46%418.05K
116.86%380.19K
76.06%-559.58K
69.34%-424.53K
210.46%1.78M
-141.93%-2.26M
-1545.47%-2.34M
-146.87%-1.38M
-49.31%-1.61M
3.10%-932.12K
-101.46%-142.04K
284.74%2.95M
56.88%-1.08M
16.43%-961.94K
--9.70M
---1.60M
---2.50M
---1.15M
Pérdidas de ganancias operativas
-12.13%1.27M
-47.33%2.43M
59.28%2.15M
6.12%1.45M
8.47%1.45M
209.68%4.62M
2.54%1.35M
4.00%1.37M
-0.42%1.33M
-6.87%1.49M
0.40%1.32M
-5.05%1.32M
-23.34%1.34M
-31.81%1.60M
-19.93%1.31M
-44.12%1.39M
10.07%1.75M
41.23%2.35M
-7.26%1.64M
40.80%2.48M
-28.75%1.59M
-26.02%1.66M
-37.16%1.77M
-22.79%1.76M
-5.63%2.23M
--2.25M
--2.81M
--2.28M
--2.36M
Otros artículos no monetarios
-1536.46%-16.92K
420.53%199.02K
98.95%59.09K
1282.68%118.95K
96.67%-1.03K
999.28%38.23K
146.78%29.70K
-57.96%8.60K
-168.96%-31.07K
-98.10%3.48K
-1901.36%-63.50K
-63.74%20.46K
-54.84%45.05K
-32.60%182.97K
-99.57%3.52K
-90.76%56.45K
-83.52%99.75K
-52.89%271.48K
366.51%828.99K
361.58%610.92K
230.74%605.45K
890.54%576.29K
116.00%177.70K
483.90%132.35K
580.98%183.06K
---72.90K
--82.27K
---34.48K
---38.06K
Cambio en el capital de trabajo
131.02%297.86K
86.58%-51.75K
-79.24%396.28K
-666.24%-480.82K
32.80%-960.12K
53.72%-385.57K
-28.10%1.91M
122.08%84.92K
8.99%-1.43M
-283.95%-833.05K
71.23%2.65M
-272.44%-384.51K
37.77%-1.57M
-140.21%-216.97K
-12.07%1.55M
132.84%222.98K
-32.65%-2.52M
211.12%539.65K
793.13%1.76M
-369.93%-678.94K
-392.53%-1.90M
79.11%-485.64K
-155.05%-254.41K
-47.07%251.52K
221.89%650.12K
---2.33M
--462.12K
--475.22K
---533.35K
-Cambio en los gastos pagaderos y acumulados
204.22%632.65K
7.55%-339.47K
-75.08%267.55K
-166.08%-567.56K
32.66%-607.02K
78.19%-367.21K
-41.85%1.07M
1784.12%858.95K
32.24%-901.38K
-713.78%-1.68M
2517.26%1.85M
-95.62%45.59K
32.83%-1.33M
-216.24%-206.88K
32.64%-76.39K
38.63%1.04M
24.20%-1.98M
134.05%177.98K
93.59%-113.41K
-62.14%751.66K
-468.09%-2.61M
54.24%-522.65K
-505.49%-1.77M
464.75%1.99M
-359.10%-459.90K
---1.14M
---292.32K
--351.51K
---100.17K
-Cambio en otros activos corrientes
63.27%567.69K
94.01%-27.83K
-240.51%-430.34K
139.00%241.17K
58.62%347.69K
-200.14%-464.91K
14.27%306.28K
-2837.91%-618.36K
-25.79%219.20K
204.79%464.24K
-74.70%268.04K
109.62%22.59K
-38.65%295.36K
-106.84%-443.00K
-9.76%1.06M
75.28%-234.73K
-75.27%481.46K
68.20%-214.17K
54.19%1.17M
13.94%-949.45K
-5.07%1.95M
63.03%-673.58K
507.15%761.48K
-231.03%-1.10M
488.37%2.05M
---1.82M
---187.03K
--841.99K
--348.62K
Efectivo de actividades de inversión no recurrentes
Efectivo de actividades operativas
86.28%-118.91K
-67.43%312.77K
-98.06%822.66K
-3086.45%-729.29K
46.76%-866.77K
200.10%960.44K
1706.21%42.41M
-95.29%24.42K
-66.43%-1.63M
-176.76%-959.49K
9.81%2.35M
-54.83%518.36K
33.37%-978.26K
56.78%1.25M
-20.66%2.14M
70.05%1.15M
-209.69%-1.47M
-43.58%797.28K
7798.13%2.70M
-38.38%674.79K
-135.97%-474.07K
177.48%1.41M
-102.28%-35.01K
7221.92%1.10M
79.13%1.32M
---1.82M
--1.54M
---15.38K
--735.68K
Flujo de efectivo por actividades de inversión
Efectivo neto de actividades de inversión continuadas
-56.86%-17.82M
-5973.78%-2.16M
-110.58%-1.49M
-165.28%-7.24M
-1219.76%-11.36M
99.29%-35.56K
-7.67%-706.93K
23.46%-2.73M
94.04%-860.95K
-315.96%-5.00M
76.40%-656.54K
85.78%-3.56M
23.77%-14.44M
82.11%-1.20M
35.29%-2.78M
-658.38%-25.06M
20.05%-18.95M
-306.93%-6.72M
68.94%-4.30M
-61.29%-3.30M
-191.13%-23.70M
95.58%-1.65M
-259.08%-13.84M
25.75%-2.05M
-2417.88%-8.14M
---37.37M
---3.85M
---2.76M
--351.17K
Gastos de capital
-55.57%568.55K
-90.59%334.08K
-60.04%725.71K
-55.07%181.49K
114.06%1.28M
2015.56%3.55M
64.08%1.82M
-21.29%403.96K
86.99%597.87K
-64.69%167.79K
40.17%1.11M
121.48%513.25K
217.31%319.74K
46.55%475.13K
518.20%789.54K
-84.48%231.74K
-88.67%100.77K
-73.24%324.22K
-75.49%127.72K
-24.01%1.49M
-67.01%889.67K
-0.50%1.21M
56.30%521.12K
225.59%1.96M
123.81%2.70M
--1.22M
--333.41K
--603.36K
--1.20M
Flujo de efectivo neto por disposición de activos fijos
-55.57%568.55K
-90.59%334.08K
-60.04%725.71K
-55.07%181.49K
114.06%1.28M
2015.56%3.55M
64.08%1.82M
-21.29%403.96K
86.99%597.87K
-64.69%167.79K
40.17%1.11M
121.48%513.25K
217.31%319.74K
46.55%475.13K
518.20%789.54K
-84.48%231.74K
-88.67%100.77K
-73.24%324.22K
-75.49%127.72K
-24.01%1.49M
-67.01%889.67K
-0.50%1.21M
56.30%521.12K
225.59%1.96M
123.81%2.70M
--1.22M
--333.41K
--603.36K
--1.20M
Flujo de efectivo neto de productos de inversión
-94.64%-4.27M
100.56%42.38K
-331.48%-3.99M
55.61%-3.49M
58.94%-2.19M
-0.94%-7.60M
72.38%-924.36K
-234.05%-7.85M
96.09%-5.34M
47.19%-7.53M
48.94%-3.35M
33.67%-2.35M
---136.74M
-1123.33%-14.26M
-142.47%-6.56M
-30.38%-3.54M
----
83.16%-1.17M
---2.70M
55.55%-2.72M
---3.57M
-229.44%-6.92M
100.00%0.00
-110.03%-6.12M
100.00%0.00
---2.10M
---5.03M
---2.91M
---7.28M
Flujo de efectivo neto de otras actividades de inversión
-100.00%0.00
100.00%0.00
-100.02%-3.87K
-99.77%1.94K
-100.00%1.94K
66.83%-5.81K
132177.13%23.13M
4843.70%830.72K
621470.51%114.03M
8.46%-17.51K
28.35%-17.51K
51.23%-17.51K
51.17%-18.35K
49.48%-19.13K
42.91%-24.44K
62.26%-35.91K
---37.59K
---37.87K
---42.81K
81.32%-95.15K
100.00%0.00
100.00%0.00
100.00%0.00
-181.23%-509.50K
9.26%-151.90K
---131.77K
---234.24K
---181.17K
---167.41K
Efectivo de actividades de inversión no corrientes
Flujo de efectivo neto de actividades de inversión
47.82%13.55M
129.09%2.20M
-110.93%-2.50M
187.30%3.75M
-91.63%9.17M
-196.93%-7.57M
946.06%22.91M
-459.56%-4.30M
189.57%109.55M
80.50%-2.55M
28.71%-2.71M
-94.44%1.19M
-746.84%-122.31M
-337.19%-13.07M
-344.74%-3.80M
4282.18%21.48M
-6.03%18.91M
204.56%5.51M
-88.79%1.55M
110.71%490.06K
151.93%20.12M
-115.00%-5.27M
1082.17%13.84M
-1269.48%-4.58M
202.37%7.99M
--35.14M
---1.41M
---334.23K
---7.80M
Flujo de efectivo de financiación
Flujo de efectivo de actividades de financiación continuadas
-24.32%-9.51M
-131.41%-1.68M
101.33%345.59K
-252.31%-1.65M
93.20%-7.65M
266.69%5.34M
-1112.77%-25.93M
134.40%1.08M
-185.86%-112.55M
212.91%1.46M
-1705.48%-2.14M
-1085.94%-3.14M
695.93%131.09M
72.98%-1.29M
104.59%133.16K
82.22%-264.84K
-4.46%-22.00M
-250.23%-4.77M
79.85%-2.90M
-164.88%-1.49M
-237.33%-21.06M
108.98%3.18M
-1853.34%-14.39M
-65.73%2.30M
-228.50%-6.24M
---35.38M
---736.60K
--6.70M
--4.86M
Flujo de efectivo neto por emisión/amortización de deuda
-52.95%-8.40M
-106.28%-326.69K
225.39%1.15M
-125.13%-954.90K
-308.66%-5.49M
77.90%5.20M
-615.60%-916.59K
233.87%3.80M
-35.65%2.63M
17.25%2.92M
104.70%177.77K
106.04%1.14M
121.65%4.09M
158.75%2.49M
-85.30%-3.79M
-1108.22%-18.86M
8.64%-18.89M
-290.29%-4.24M
-160.89%-2.04M
-170.28%-1.56M
-415.94%-20.68M
110.38%2.23M
1318.65%3.35M
-66.04%2.22M
-204.38%-4.01M
---21.48M
--236.49K
--6.54M
--3.84M
Flujo de efectivo neto por emisión/recompra de acciones ordinarias
----
---43.02K
99.61%-89.78K
96.78%-7.61K
100.00%0.00
-100.00%0.00
-6461.36%-23.09M
-669.14%-236.35K
-186.07%-113.83M
2772.67%1.13M
-95.88%362.95K
---30.73K
--132.25M
-102.06%-42.23K
49008.24%8.80M
--0.00
----
16873.03%2.05M
81.10%-18.00K
100.00%0.00
----
---12.22K
---95.25K
---119.96K
----
--0.00
--0.00
--0.00
--0.00
Flujo de efectivo neto por emisión/recompra de acciones preferentes
---194.97K
65.68%-40.91K
100.00%0.00
683.56%1.20M
100.00%0.00
-215.76%-119.22K
53.90%-38.90K
---204.93K
---6.95K
---37.76K
---84.39K
----
----
--0.00
--0.00
--20.49M
----
--0.00
100.00%0.00
--0.00
100.00%0.00
100.00%0.00
---16.00M
--0.00
---900.00K
---13.95M
----
--0.00
--0.00
Pagos de dividendos en efectivo
11.02%579.58K
-29.06%585.40K
-29.44%585.93K
-34.91%543.33K
-36.58%522.03K
3.97%825.23K
5.66%830.37K
-54.88%834.78K
-55.20%823.10K
-55.35%793.72K
-53.27%785.91K
83.30%1.85M
83.95%1.84M
84.52%1.78M
--1.68M
--1.01M
--998.79K
--963.46K
----
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----
----
----
----
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----
----
Flujo de efectivo neto de otras actividades de financiación
81.58%-338.57K
10.95%-3.97M
--349.59K
---332.84K
---1.84M
-152.47%-4.45M
100.00%0.00
100.00%0.00
100.00%0.00
10.16%-1.76M
43.55%-1.81M
-169.54%-2.40M
-62.41%-3.42M
-21.42%-1.96M
-281.95%-3.20M
-1351.60%-889.59K
-457.48%-2.10M
-268.42%-1.62M
49.10%-838.69K
-63.58%71.08K
71.71%-377.50K
1600.82%960.06K
-69.35%-1.65M
22.16%195.18K
-231.10%-1.33M
--56.45K
---973.09K
--159.77K
--1.02M
Efectivo neto de actividades de financiación no recurrentes
Efectivo neto de actividades de financiación
-24.32%-9.51M
-131.41%-1.68M
101.33%345.59K
-252.31%-1.65M
93.20%-7.65M
266.69%5.34M
-1112.77%-25.93M
134.40%1.08M
-185.86%-112.55M
212.91%1.46M
-1705.48%-2.14M
-1085.94%-3.14M
695.93%131.09M
72.98%-1.29M
104.59%133.16K
82.22%-264.84K
-4.46%-22.00M
-250.23%-4.77M
79.85%-2.90M
-164.88%-1.49M
-237.33%-21.06M
108.98%3.18M
-1853.34%-14.39M
-65.73%2.30M
-228.50%-6.24M
---35.38M
---736.60K
--6.70M
--4.86M
Flujo de efectivo neto
Saldo de efectivo inicial
23.44%8.04M
-7.45%7.20M
-1.91%8.53M
-39.80%7.16M
-60.58%6.51M
-58.11%7.78M
-58.70%8.70M
-47.13%11.89M
12.34%16.52M
-33.24%18.57M
-28.21%21.07M
222.02%22.49M
27.39%14.70M
178.00%27.82M
238.92%29.34M
-22.23%6.99M
11.06%11.54M
-9.62%10.01M
-25.70%8.66M
-30.04%8.98M
6.29%10.39M
-6.50%11.07M
-6.41%11.65M
110.43%12.84M
17.64%9.78M
--11.84M
--12.45M
--6.10M
--8.31M
Cambios en el flujo de efectivo del período actual
504.06%3.92M
166.00%837.05K
-44.84%-1.34M
143.10%1.38M
114.03%649.00K
38.20%-1.27M
63.09%-922.03K
-123.52%-3.19M
-159.35%-4.62M
84.35%-2.05M
-63.57%-2.50M
-106.39%-1.43M
271.06%7.79M
-954.41%-13.11M
-213.28%-1.53M
6985.96%22.36M
-223.41%-4.56M
325.66%1.53M
331.85%1.35M
72.63%-324.69K
-145.99%-1.41M
67.06%-680.16K
4.66%-581.42K
-118.68%-1.19M
238.65%3.06M
---2.06M
---609.85K
--6.35M
---2.21M
Saldo de efectivo final
67.01%11.96M
23.44%8.04M
-7.45%7.20M
-1.91%8.53M
-39.80%7.16M
-60.58%6.51M
-58.11%7.78M
-58.70%8.70M
-47.13%11.89M
12.34%16.52M
-33.24%18.57M
-28.21%21.07M
222.02%22.49M
27.39%14.70M
178.00%27.82M
238.92%29.34M
-22.23%6.99M
11.06%11.54M
-9.62%10.01M
-25.70%8.66M
-30.04%8.98M
6.29%10.39M
-6.50%11.07M
-6.41%11.65M
110.43%12.84M
--9.78M
--11.84M
--12.45M
--6.10M
Flujo de caja libre
67.97%-687.46K
99.18%-21.32K
-99.76%96.95K
-139.97%-910.78K
3.57%-2.15M
-129.70%-2.59M
3170.09%40.60M
-7527.46%-379.54K
-71.50%-2.23M
-245.49%-1.13M
-7.96%1.24M
-99.44%5.11K
17.27%-1.30M
63.79%774.80K
-47.47%1.35M
211.95%915.75K
-15.05%-1.57M
134.89%473.06K
561.71%2.57M
5.92%-817.97K
1.08%-1.36M
106.62%201.39K
-146.24%-556.13K
-40.52%-869.43K
-193.88%-1.38M
---3.04M
--1.20M
---618.74K
---469.10K
Unidad monetaria
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Opiniones de evaluación
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