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Sitio Royalties Corp

STR

18.120USD

+0.480+2.72%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
1.41BCap. mercado
34.01P/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
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-85.18%1.74M
-78.35%3.29M
535.32%8.51M
4597.70%16.35M
15.64%11.75M
-19.25%15.20M
-87.62%1.34M
-97.77%348.00K
247.72%10.16M
579.84%18.82M
203.62%10.81M
414.26%15.62M
-0.20%2.92M
1.62%2.77M
42.38%3.56M
64.52%3.04M
33.71%2.93M
7.12%2.72M
-4.80%2.50M
-35.61%1.85M
-29.11%2.19M
-65.25%2.54M
-79.65%2.63M
304.84%2.87M
198.08%3.09M
525.61%7.32M
915.98%12.91M
1072901.52%708.18K
4043.80%1.04M
--1.17M
--1.27M
--66.00
--25.00K
Efectivo y equivalentes de efectivo
-85.18%1.74M
-78.35%3.29M
535.32%8.51M
4597.70%16.35M
15.64%11.75M
-19.25%15.20M
-87.62%1.34M
-97.77%348.00K
247.72%10.16M
579.84%18.82M
203.62%10.81M
414.26%15.62M
-0.20%2.92M
1.62%2.77M
42.38%3.56M
64.52%3.04M
33.71%2.93M
7.12%2.72M
-4.80%2.50M
-35.61%1.85M
-29.11%2.19M
-65.25%2.54M
-79.65%2.63M
304.84%2.87M
198.08%3.09M
525.61%7.32M
915.98%12.91M
1072901.52%708.18K
4043.80%1.04M
--1.17M
--1.27M
--66.00
--25.00K
Por cobrar
11.31%126.43M
14.92%123.36M
2.19%118.64M
9.36%129.45M
-10.80%113.58M
-24.41%107.35M
39.00%116.09M
69.12%118.38M
975.02%127.33M
1317.55%142.01M
772.21%83.51M
662.99%70.00M
43.58%11.84M
84.87%10.02M
104.77%9.57M
212.57%9.17M
41.11%8.25M
-31.31%5.42M
-41.76%4.68M
-65.74%2.94M
-53.84%5.85M
-30.01%7.89M
-33.57%8.03M
--8.57M
--12.66M
--11.27M
--12.09M
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-Cuentas y pagarés por cobrar
11.31%126.43M
14.92%123.36M
2.19%118.64M
9.36%129.45M
-10.80%113.58M
-24.41%107.35M
39.00%116.09M
69.12%118.38M
975.02%127.33M
1317.55%142.01M
772.21%83.51M
662.99%70.00M
43.58%11.84M
84.87%10.02M
104.77%9.57M
212.57%9.17M
41.11%8.25M
-31.31%5.42M
-41.76%4.68M
-65.74%2.94M
-53.84%5.85M
-30.01%7.89M
-33.57%8.03M
--8.57M
--12.66M
--11.27M
--12.09M
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Gastos prepago
18.51%6.58M
-45.32%6.76M
-41.86%8.02M
-91.12%1.84M
-55.45%5.55M
-1.02%12.36M
963.99%13.80M
1233.16%20.70M
1355.14%12.46M
923.69%12.49M
20.32%1.30M
374.92%1.55M
15.36%856.00K
59.27%1.22M
4.15%1.08M
-63.13%327.00K
-32.30%742.00K
-35.19%766.00K
-19.89%1.03M
-42.70%887.00K
-19.05%1.10M
-22.44%1.18M
-25.23%1.29M
1178.21%1.55M
750.65%1.35M
950.08%1.52M
880.08%1.73M
--121.11K
--159.17K
--145.13K
--176.31K
----
----
Otros activos corrientes
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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----
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--293.45K
--43.43K
Total de activos corrientes
-2.69%135.22M
-12.18%135.22M
3.95%144.23M
-7.34%153.19M
-20.39%138.95M
-19.88%153.98M
17.43%138.75M
75.37%165.31M
1017.39%174.55M
1272.20%192.19M
731.25%118.15M
651.85%94.27M
31.07%15.62M
57.21%14.01M
73.09%14.21M
121.21%12.54M
30.52%11.92M
-23.29%8.91M
-31.27%8.21M
-56.34%5.67M
-46.62%9.13M
-42.25%11.61M
-55.28%11.95M
1465.56%12.98M
1331.32%17.11M
1429.76%20.11M
1747.08%26.72M
182.54%829.29K
1646.39%1.20M
--1.31M
--1.45M
--293.51K
--68.43K
Activos no corrientes
Activos fijos netos
0.60%4.54B
0.22%4.60B
-8.84%4.54B
-5.71%4.60B
-8.59%4.51B
-7.45%4.59B
113.38%4.98B
125.14%4.88B
827472.32%4.93B
602884.91%4.96B
222475.95%2.33B
184573.42%2.17B
-54.15%596.00K
-46.17%822.00K
-36.60%1.05M
-34.01%1.17M
-31.76%1.30M
195.36%1.53M
232.60%1.65M
242.12%1.78M
251.48%1.91M
--517.00K
--497.00K
--520.00K
--542.00K
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----
----
----
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-Activos fijos
6.85%5.43B
6.49%5.42B
-3.18%5.28B
-0.18%5.26B
-2.67%5.08B
-1.81%5.09B
116.34%5.45B
127.04%5.27B
--5.22B
--5.18B
--2.52B
--2.32B
----
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----
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----
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----
----
----
----
----
----
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-Depreciación acumulada
55.89%896.11M
64.21%818.63M
56.55%738.23M
68.91%660.14M
97.56%574.85M
123.34%498.53M
153.52%471.55M
153.81%390.83M
--290.98M
--223.21M
--186.00M
--153.99M
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Fondo de comercio y otros activos intangibles
----
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----
----
----
----
----
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----
-6.95%190.12M
-6.73%193.54M
-6.22%197.69M
-6.05%201.38M
-6.11%204.32M
-5.33%207.50M
-4.37%210.81M
-3.76%214.35M
1.05%217.62M
4.79%219.19M
4.11%220.45M
--222.73M
--215.36M
--209.17M
--211.74M
----
----
----
----
----
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Otros activos no actuales
-63.02%10.44M
-19.72%11.27M
-5.57%11.66M
-58.79%12.47M
102.55%28.23M
59.62%14.04M
82.22%12.35M
9.76%30.26M
-73.56%13.94M
-83.55%8.80M
-87.58%6.78M
-50.54%27.57M
-7.76%52.70M
-7.31%53.47M
-6.09%54.58M
-4.73%55.74M
-2.01%57.13M
-2.03%57.69M
-1.76%58.12M
-1.96%58.50M
-4.15%58.31M
-4.96%58.88M
-7.41%59.16M
--59.67M
--60.83M
--61.95M
--63.90M
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Total de activos no actuales
0.19%4.55B
0.08%4.61B
-8.88%4.55B
-6.31%4.61B
-8.56%4.54B
-7.51%4.60B
110.80%4.99B
123.09%4.93B
1938.75%4.96B
1908.88%4.98B
834.88%2.37B
754.79%2.21B
-7.36%243.41M
-7.08%247.84M
-6.38%253.32M
-5.95%258.29M
-5.43%262.75M
-4.26%266.72M
-3.40%270.58M
-2.93%274.63M
0.40%277.83M
2.75%278.59M
1.62%280.10M
1.95%282.92M
0.00%276.73M
-1.78%271.12M
0.03%275.63M
--277.50M
--276.73M
--276.04M
--275.56M
----
----
Total de activos
0.10%4.68B
-0.32%4.74B
-8.53%4.69B
-6.34%4.77B
-8.96%4.68B
-7.97%4.76B
106.37%5.13B
121.13%5.09B
1883.19%5.14B
1874.83%5.17B
829.37%2.49B
750.03%2.30B
-5.69%259.04M
-5.00%261.84M
-4.04%267.54M
-3.38%270.83M
-4.28%274.67M
-5.02%275.63M
-4.54%278.79M
-5.27%280.30M
-2.34%286.96M
-0.35%290.20M
-3.41%292.05M
6.32%295.90M
5.73%293.84M
5.00%291.24M
9.15%302.35M
94725.78%278.33M
406017.85%277.92M
--277.36M
--277.01M
--293.51K
--68.43K
Pasivos
Pasivos corrientes
-Otros por pagar
--0.00
----
----
----
----
-100.00%0.00
-100.00%0.00
--8.00K
59300.00%592.00K
1360.40%2.95M
26.33%3.51M
----
-100.07%-1.00K
-78.89%202.00K
1113.97%2.78M
1511.64%3.05M
14870.00%1.48M
--957.00K
--229.00K
--189.00K
---10.00K
----
--0.00
--0.00
--0.00
--0.00
--0.00
----
----
--0.00
--0.00
--532.00
--532.00
Gastos acumulados
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--0.00
--0.00
----
----
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----
--174.00K
--46.43K
Deuda a corto plazo y pasivos por arrendamiento
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--243.29M
----
----
----
----
----
----
----
----
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----
--0.00
--0.00
--0.00
--0.00
--0.00
----
----
----
----
--97.60K
----
-Deuda a corto plazo
----
----
----
----
----
----
----
----
----
----
----
--243.29M
----
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--97.60K
----
Otros pasivos corrientes
--0.00
----
----
----
----
-100.00%0.00
-100.00%0.00
--8.00K
59300.00%592.00K
1360.40%2.95M
26.33%3.51M
----
-100.07%-1.00K
-78.89%202.00K
1113.97%2.78M
1511.64%3.05M
14870.00%1.48M
--957.00K
--229.00K
--189.00K
---10.00K
----
--0.00
--0.00
--0.00
--0.00
--0.00
----
----
--0.00
--0.00
--532.00
--532.00
Total pasivos corrientes
39.71%57.59M
51.16%48.03M
148.91%57.97M
53.71%28.68M
56.37%41.22M
20.31%31.77M
23.90%23.29M
-92.79%18.66M
295.69%26.36M
564.79%26.41M
137.49%18.80M
3365.44%258.73M
101.09%6.66M
28.29%3.97M
164.63%7.92M
217.03%7.47M
95.23%3.31M
40.39%3.10M
51.52%2.99M
67.85%2.35M
10.27%1.70M
323.42%2.21M
154.71%1.97M
482.37%1.40M
249.78%1.54M
56.10%521.00K
259.93%775.00K
-11.47%240.91K
836.82%439.99K
--333.76K
--215.32K
--272.13K
--46.97K
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
26.74%1.08B
24.45%1.08B
-0.30%997.37M
17.41%1.05B
-6.12%853.92M
-7.78%870.73M
50.02%1.00B
252.09%897.82M
2268.84%909.63M
2225.61%944.20M
1697.40%666.83M
585.48%255.00M
-6.80%38.40M
0.00%40.60M
-7.25%37.10M
-10.79%37.20M
-11.49%41.20M
-4.47%40.60M
5.26%40.00M
14.25%41.70M
63.33%46.55M
102.38%42.50M
0.00%38.00M
--36.50M
--28.50M
--21.00M
--38.00M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Deuda a largo plazo
26.89%1.08B
24.60%1.08B
-0.36%992.85M
17.42%1.05B
-6.23%848.83M
-7.83%865.34M
49.43%996.46M
250.46%893.66M
2282.17%905.23M
2247.24%938.90M
1726.94%666.83M
598.63%255.00M
-6.17%38.00M
0.50%40.00M
-6.41%36.50M
-10.10%36.50M
-10.50%40.50M
-6.35%39.80M
2.63%39.00M
11.23%40.60M
58.77%45.25M
102.38%42.50M
0.00%38.00M
--36.50M
--28.50M
--21.00M
--38.00M
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-Pasivos por arrendamiento a largo plazo
0.41%5.11M
1.26%5.46M
15.46%4.51M
15.51%4.80M
15.50%5.09M
1.72%5.39M
--3.91M
--4.16M
1001.75%4.41M
783.83%5.30M
----
----
-42.86%400.00K
-25.00%600.00K
-40.00%600.00K
-36.36%700.00K
-46.15%700.00K
--800.00K
--1.00M
--1.10M
--1.30M
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Pasivos diferidos
----
----
----
----
----
----
----
----
----
----
--1.14M
--1.12M
----
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Otros pasivos no corrientes
0.00%1.15M
0.00%1.15M
-3.28%1.15M
-3.28%1.15M
1192.13%1.15M
1192.13%1.15M
4.48%1.19M
-73.12%1.19M
-98.92%89.00K
-97.05%89.00K
-73.39%1.14M
-25.02%4.42M
22.15%8.24M
-14.70%3.01M
26825.00%4.28M
15423.68%5.90M
67560.00%6.75M
-61.21%3.53M
-103.36%-16.00K
-91.44%38.00K
-102.33%-10.00K
--9.10M
--476.00K
-95.39%444.00K
-95.54%429.00K
----
----
--9.63M
--9.63M
--9.63M
--9.63M
----
----
Total pasivos no corrientes
18.83%1.32B
18.27%1.34B
-6.63%1.25B
5.40%1.31B
-12.50%1.11B
-10.03%1.13B
98.44%1.34B
373.27%1.24B
2621.97%1.27B
2784.29%1.26B
1525.95%672.75M
508.26%262.15M
-2.72%46.64M
-1.18%43.61M
3.48%41.38M
3.26%43.10M
3.02%47.95M
-14.48%44.13M
3.92%39.98M
12.98%41.74M
60.88%46.54M
145.73%51.60M
1.25%38.48M
283.83%36.94M
200.56%28.93M
118.18%21.00M
294.81%38.00M
--9.63M
--9.63M
--9.63M
--9.63M
----
----
Total pasivos
19.57%1.38B
19.17%1.39B
-3.96%1.30B
6.12%1.34B
-11.10%1.15B
-9.40%1.16B
96.42%1.36B
141.77%1.26B
2331.22%1.30B
2598.97%1.28B
1303.00%691.55M
930.13%520.88M
3.99%53.30M
0.76%47.59M
14.70%49.29M
14.68%50.56M
6.26%51.26M
-12.23%47.23M
6.24%42.98M
14.98%44.09M
58.32%48.24M
150.03%53.81M
4.32%40.45M
288.68%38.35M
202.71%30.47M
116.10%21.52M
294.04%38.77M
3525.41%9.87M
21330.37%10.06M
--9.96M
--9.84M
--272.13K
--46.97K
Capital de los accionistas
Capital ordinario
-4.42%1.68B
-4.78%1.71B
-3.92%1.72B
-2.55%1.74B
1.45%1.76B
2.60%1.80B
707.16%1.79B
1430.11%1.78B
1330.37%1.74B
1346.37%1.75B
83.78%221.83M
-3.06%116.56M
-0.51%121.36M
-0.02%121.04M
-3.63%120.70M
-4.37%120.24M
-3.13%121.98M
2.97%121.06M
-5.35%125.25M
3.51%125.74M
-2.22%125.93M
-14.73%117.57M
-4.02%132.33M
-54.49%121.47M
-51.74%128.79M
-48.34%137.88M
-48.34%137.88M
1067411.12%266.88M
1067411.12%266.88M
--266.88M
--266.88M
--25.00K
--25.00K
Ganancias retenidas
23.85%-136.51M
21.81%-146.79M
-40.38%-153.85M
-116.18%-166.42M
-411.37%-179.27M
-1939.97%-187.74M
-67551.85%-109.60M
---76.98M
-2187.97%-35.06M
-195.55%-9.20M
-101.38%-162.00K
-100.00%0.00
-87.87%1.68M
-48.50%9.63M
--11.71M
2336.17%12.86M
--13.84M
-17.74%18.70M
--0.00
-104.12%-575.00K
-100.00%0.00
372.68%22.74M
-100.00%0.00
782.04%13.95M
940.08%10.19M
821.66%4.81M
777.16%2.53M
43783.37%1.58M
27844.20%979.92K
--521.88K
--288.32K
---3.62K
---3.53K
Reservas de capital
-4.42%1.68B
-4.78%1.71B
-3.92%1.72B
-2.55%1.74B
1.45%1.76B
2.60%1.80B
707.19%1.79B
1430.20%1.78B
1330.47%1.74B
1346.46%1.75B
83.78%221.82M
-3.06%116.55M
-0.51%121.35M
-0.02%121.03M
-3.63%120.69M
-4.37%120.23M
-3.13%121.97M
2.97%121.05M
-5.35%125.24M
3.51%125.73M
-2.22%125.92M
-14.73%117.56M
-4.02%132.32M
3453.67%121.46M
3104.05%128.78M
2979.23%137.87M
2826.56%137.87M
13976.22%3.42M
16453.09%4.02M
--4.48M
--4.71M
--24.28K
--24.28K
Menos: Acciones en tesorería
778.41%120.64M
14401.48%98.17M
12479.17%85.16M
8149.34%55.85M
--13.73M
-96.45%677.00K
--677.00K
--677.00K
--0.00
--19.09M
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Otro capital
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--0.00
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--0.00
--0.00
--0.00
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--0.00
--0.00
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Intereses no controladores
-4.02%1.88B
-4.82%1.89B
-8.84%1.91B
-9.86%1.92B
-8.58%1.96B
-8.16%1.99B
--2.09B
--2.13B
2488.32%2.14B
2489.22%2.16B
-100.00%0.00
-100.00%0.00
-5.59%82.70M
-5.70%83.59M
-22.37%85.83M
-21.51%87.16M
-22.35%87.59M
-7.76%88.64M
-7.29%110.57M
-9.08%111.05M
-9.32%112.79M
-24.36%96.09M
-3.17%119.27M
--122.14M
--124.39M
--127.03M
--123.17M
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Capital total
-6.26%3.30B
-6.62%3.36B
-10.18%3.39B
-10.43%3.43B
-8.24%3.52B
-7.50%3.60B
110.20%3.77B
115.10%3.83B
1767.11%3.84B
1714.00%3.89B
722.40%1.79B
708.68%1.78B
-7.91%205.73M
-6.19%214.26M
-7.45%218.25M
-6.75%220.26M
-6.41%223.41M
-3.38%228.40M
-6.27%235.82M
-8.29%236.21M
-9.36%238.72M
-12.35%236.40M
-4.54%251.60M
-4.06%257.56M
-1.68%263.37M
0.87%269.71M
-1.34%263.58M
1255555.37%268.46M
1247606.85%267.86M
--267.40M
--267.17M
--21.38K
--21.47K
Unidad monetaria
USD
USD
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USD
Opiniones de evaluación
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KeyAI