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StepStone Group Inc

STEP

58.303USD

+1.503+2.65%
Horarios del mercado ETCotizaciones retrasadas 15 min
4.48BCap. mercado
PérdidaP/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
Activos actuales
Efectivo y equivalentes de efectivo
59.31%289.30M
60.63%278.78M
27.53%224.62M
53.61%195.44M
41.25%181.59M
23.92%173.56M
22.68%176.12M
19.63%127.23M
10.46%128.56M
3.07%140.06M
-17.97%143.56M
-51.34%106.35M
-35.30%116.39M
-26.56%135.88M
11.54%175.01M
140.96%218.58M
100.01%179.89M
59.34%185.02M
--156.91M
--90.71M
--89.94M
--116.11M
Efectivo restringido
-30.08%502.00K
-4.13%720.00K
12.37%763.00K
5.15%735.00K
-24.82%718.00K
-22.66%751.00K
-26.28%679.00K
-28.53%699.00K
-10.16%955.00K
-5.82%971.00K
-9.35%921.00K
-75.62%978.00K
-73.27%1.06M
-74.04%1.03M
-65.19%1.02M
--4.01M
--3.98M
--3.97M
--2.92M
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Activos no corrientes
Activos fijos netos
-6.06%91.84M
-7.02%90.57M
-7.10%92.75M
-5.13%95.37M
-3.33%97.76M
-7.03%97.40M
59.07%99.84M
39.37%100.53M
65.61%101.13M
65.45%104.77M
-4.14%62.77M
11.48%72.13M
--61.06M
--63.32M
--65.48M
--64.71M
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Fondo de comercio y otros activos intangibles
-4.63%844.41M
-4.60%854.66M
-5.36%864.91M
-5.34%875.16M
-5.32%885.41M
-5.31%895.84M
-4.50%913.86M
-4.47%924.52M
-4.44%935.19M
-4.67%946.06M
-4.60%956.93M
8198.72%967.80M
7867.66%978.67M
7464.95%992.37M
7089.69%1.00B
-21.13%11.66M
-21.37%12.28M
-21.08%13.12M
--13.95M
--14.79M
--15.62M
--16.62M
Total de activos
21.06%4.59B
25.42%4.35B
11.96%4.04B
8.60%3.83B
8.33%3.79B
-1.00%3.47B
0.92%3.61B
-9.61%3.53B
-16.49%3.50B
-13.22%3.50B
-6.68%3.58B
140.71%3.91B
217.10%4.19B
305.76%4.04B
368.56%3.83B
195.38%1.62B
93.99%1.32B
57.54%994.82M
--817.72M
--549.38M
--680.83M
--631.46M
Pasivos
Pasivos corrientes
Deuda a corto plazo y pasivos por arrendamiento
--0.00
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--0.00
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--0.00
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--1.13M
--1.50M
--375.00K
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
80.93%269.27M
36.57%168.94M
39.39%172.26M
74.80%172.12M
51.32%148.82M
48.62%123.70M
95.81%123.59M
56.31%98.47M
56.41%98.35M
32.62%83.23M
-43.97%63.12M
--63.00M
--62.88M
--62.76M
--112.64M
-100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
--141.84M
--141.64M
--142.95M
-Deuda a largo plazo
80.93%269.27M
36.57%168.94M
39.39%172.26M
74.80%172.12M
51.32%148.82M
48.62%123.70M
95.81%123.59M
56.31%98.47M
56.41%98.35M
32.62%83.23M
-43.97%63.12M
--63.00M
--62.88M
--62.76M
--112.64M
-100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
--141.84M
--141.64M
--142.95M
Total pasivos
49.78%3.20B
54.36%2.90B
14.29%2.25B
7.42%2.04B
14.21%2.13B
-1.03%1.88B
1.83%1.97B
-11.80%1.90B
-20.95%1.87B
-14.45%1.90B
-7.87%1.93B
150.32%2.16B
257.57%2.36B
381.58%2.22B
433.84%2.10B
119.06%861.63M
48.94%661.08M
8.79%460.69M
--393.33M
--393.32M
--443.86M
--423.47M
Capital de los accionistas
Capital ordinario
35.69%421.17M
-34.13%415.18M
-37.49%393.23M
-40.67%363.64M
-49.17%310.40M
3.91%630.32M
5.47%629.09M
3.31%612.91M
3.97%610.68M
4.91%606.61M
13.56%596.46M
188.48%593.27M
211.02%587.35M
376.45%578.23M
336.33%525.23M
52.44%205.66M
-12.59%188.85M
-34.81%121.36M
--120.37M
--134.91M
--216.05M
--186.16M
Ganancias retenidas
-1861.66%-242.55M
-256.60%-205.67M
-97.58%3.99M
-98.04%3.00M
-91.42%13.77M
-9.11%131.34M
0.73%165.24M
-25.90%152.61M
-30.13%160.43M
-26.73%144.50M
3.74%164.04M
107.91%205.95M
280.11%229.62M
695.63%197.22M
20116.58%158.13M
--99.06M
--60.41M
--24.79M
---790.00K
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Reservas de capital
35.70%421.06M
-34.14%415.06M
-37.50%393.12M
-40.68%363.53M
-49.18%310.29M
3.91%630.21M
5.47%628.98M
3.31%612.80M
3.97%610.57M
4.91%606.50M
13.57%596.36M
188.56%593.16M
211.12%587.24M
376.74%578.12M
336.59%525.12M
--205.56M
--188.75M
--121.27M
--120.28M
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Pérdidas de ganancias que no afectan a las ganancias retenidas
139.47%728.00K
83.33%341.00K
-30.18%236.00K
-32.35%297.00K
-34.06%304.00K
-69.51%186.00K
-49.63%338.00K
-25.09%439.00K
-29.94%461.00K
144.00%610.00K
150.37%671.00K
172.56%586.00K
324.52%658.00K
371.70%250.00K
1318.18%268.00K
-29.74%215.00K
-12.92%155.00K
-87.67%53.00K
---22.00K
--306.00K
--178.00K
--430.00K
Intereses no controladores
-8.97%1.21B
49.80%1.24B
64.86%1.39B
65.09%1.42B
55.17%1.33B
-3.00%827.93M
-4.11%843.75M
-9.16%862.58M
-14.85%857.22M
-18.12%853.50M
-16.05%879.93M
108.15%949.58M
145.37%1.01B
168.69%1.04B
243.84%1.05B
2088.25%456.21M
1878.42%410.29M
1712.44%387.94M
--304.83M
--20.85M
--20.74M
--21.40M
Capital total
-15.98%1.39B
-8.79%1.45B
9.16%1.79B
9.97%1.79B
1.58%1.65B
-0.96%1.59B
-0.16%1.64B
-6.91%1.63B
-10.72%1.63B
-11.71%1.61B
-5.23%1.64B
129.84%1.75B
176.54%1.82B
240.37%1.82B
308.05%1.73B
387.72%761.13M
178.39%659.69M
156.81%534.14M
--424.39M
--156.06M
--236.97M
--207.99M
Unidad monetaria
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Opiniones de evaluación
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