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Teekay Corp Ltd

TK

7.532USD

+0.302+4.18%
Horarios del mercado ETCotizaciones retrasadas 15 min
633.16MCap. mercado
4.73P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
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FY2024Q4
FY2024Q3
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FY2022Q2
FY2022Q1
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FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
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FY2019Q3
FY2019Q2
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FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
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FY2016Q2
FY2016Q1
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FY2015Q3
FY2015Q2
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FY2014Q1
FY2013Q4
FY2013Q3
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FY2013Q1
Flujos de efectivo operativos (método indirecto)
Flujo de efectivo por actividades operativas continuas
-55.98%60.58M
-15.04%115.66M
-21.41%160.54M
-16.10%130.40M
-4.36%137.60M
99.11%136.13M
9279.80%204.29M
1118.16%155.43M
325.71%143.87M
168.57%68.37M
-94.47%2.18M
25.59%-15.27M
-62.40%33.80M
-78.51%25.46M
-88.31%39.38M
-104.67%-20.52M
-29.33%89.88M
53.42%118.44M
356.46%336.73M
317.44%438.96M
30.14%127.18M
396.69%77.20M
-4.60%73.77M
217.59%105.15M
-6.92%97.72M
-116.24%-26.02M
-54.99%77.32M
-69.15%33.11M
-10.28%104.98M
-18.38%160.19M
7.29%171.78M
-27.19%107.32M
-17.76%117.01M
-33.97%196.27M
3.53%160.11M
-18.87%147.40M
-8.30%142.28M
231.62%297.24M
58.14%154.65M
75.12%181.67M
-21.46%155.15M
217.82%89.63M
-2.72%97.79M
407.76%103.74M
--197.56M
--28.20M
--100.53M
---33.71M
Ingresos netos por operaciones continuas
-29.12%81.50M
-26.17%62.11M
-25.71%110.25M
-13.04%147.76M
-20.06%114.98M
4.04%84.13M
720.93%148.41M
612.98%169.91M
149.43%143.82M
744.01%80.86M
131.38%18.08M
-153.86%-33.12M
-544.65%-290.94M
123.15%9.58M
-145.90%-57.60M
18.27%61.50M
-136.84%-45.13M
76.47%-41.39M
467.92%125.50M
184.61%52.00M
2026.96%122.50M
-9877.77%-175.91M
13.96%-34.11M
-515.87%-61.46M
80.28%-6.36M
99.54%-1.76M
68.22%-39.65M
-190.93%-9.98M
-124.42%-32.24M
-577.98%-383.06M
-44.54%-124.74M
128.00%10.97M
-19.00%132.03M
582.32%80.14M
-140.10%-86.30M
-189.39%-39.20M
6411.71%162.99M
-118.92%-16.62M
1493.38%215.24M
-10.73%43.85M
135.19%2.50M
203.69%87.82M
-117.65%-15.45M
23.56%49.12M
---7.11M
---84.70M
--87.53M
--39.76M
Pérdidas de ganancias operativas
-0.73%24.45M
-4.56%23.45M
-8.25%22.37M
-2.74%23.32M
0.69%24.63M
1.29%24.57M
-3.40%24.38M
-4.41%23.98M
--24.46M
-58.78%24.25M
-57.39%25.24M
-57.19%25.08M
----
-8.57%58.84M
-5.87%59.24M
-19.65%58.59M
-14.29%60.93M
-12.60%64.35M
-14.78%62.94M
1.12%72.92M
0.02%71.08M
5.24%73.63M
8.67%73.85M
7.13%72.11M
12.60%71.07M
-48.91%69.97M
-52.39%67.96M
-52.94%67.31M
-57.08%63.12M
-3.35%136.94M
-22.73%142.74M
-0.78%143.03M
-28.45%147.05M
8.31%141.69M
44.09%184.73M
12.45%144.16M
88.15%205.53M
22.44%130.81M
24.02%128.20M
23.92%128.20M
-0.43%109.24M
-2.09%106.83M
-5.83%103.37M
-2.08%103.46M
--109.71M
--109.11M
--109.77M
--105.66M
Otros artículos no monetarios
-217.09%-7.95M
-81.90%-15.37M
-104.86%-868.00K
-139.32%-2.48M
-55.29%6.79M
30.96%-8.45M
814.52%17.86M
-63.66%6.30M
140.12%15.19M
10.11%-12.24M
92.95%-2.50M
535.45%17.34M
85.77%-37.85M
-163.95%-13.61M
-127.69%-35.44M
-98.68%2.73M
-3748.52%-265.93M
-1.79%21.29M
579.34%127.98M
14863.36%206.69M
55.54%-6.91M
991.04%21.68M
-78629.41%-26.70M
74.08%-1.40M
-153.83%-15.54M
-102.53%-2.43M
101.49%34.00K
66.99%-5.40M
251.62%28.87M
489.82%96.27M
86.53%-2.28M
-21.84%-16.36M
70.66%-19.04M
6.16%-24.70M
-52.43%-16.91M
-15.18%-13.43M
-118.22%-64.89M
8.66%-26.32M
78.12%-11.09M
-5.31%-11.66M
-179.45%-29.74M
-148.18%-28.81M
-47.48%-50.71M
84.31%-11.07M
--37.43M
--59.79M
---34.38M
---70.56M
Cambio en el capital de trabajo
-795.80%-10.94M
26.73%45.48M
111.11%28.79M
40.57%-26.60M
103.97%1.57M
1164.52%35.88M
135.08%13.64M
11.30%-44.76M
-258.16%-39.59M
-96.22%-3.37M
-51052.63%-38.88M
41.77%-50.46M
-91.67%25.04M
-110.52%-1.72M
-100.08%-76.00K
-367.77%-86.66M
745.34%300.42M
-29.91%16.33M
4332.60%94.50M
-213.69%-18.52M
-274.55%-46.55M
141.80%23.30M
-91.79%2.13M
240.05%16.30M
-27.87%26.67M
-208.57%-55.75M
-47.12%25.96M
64.30%-11.63M
287.75%36.98M
18.40%51.35M
591.01%49.10M
-50.35%-32.59M
127.16%9.54M
-43.77%43.37M
133.68%7.11M
34.73%-21.68M
-235.47%-35.11M
180.32%77.13M
-185.80%-21.10M
-90.95%-33.21M
-76.75%25.92M
2011.95%27.51M
-58.87%24.59M
83.54%-17.39M
--111.50M
---1.44M
--59.79M
---105.67M
-Cambio en otros pasivos corrientes
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--80.00K
---80.00K
----
--0.00
100.00%0.00
100.00%0.00
--1.42M
--0.00
---499.00K
---920.00K
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Efectivo de actividades de inversión no recurrentes
Efectivo de actividades operativas
-55.98%60.58M
-15.04%115.66M
-21.41%160.54M
-16.10%130.40M
-4.36%137.60M
99.11%136.13M
9279.80%204.29M
1118.16%155.43M
325.71%143.87M
168.57%68.37M
-94.47%2.18M
25.59%-15.27M
-62.40%33.80M
-78.51%25.46M
-88.31%39.38M
-104.67%-20.52M
-29.33%89.88M
53.42%118.44M
356.46%336.73M
317.44%438.96M
30.14%127.18M
396.69%77.20M
-4.60%73.77M
217.59%105.15M
-6.92%97.72M
-116.24%-26.02M
-54.99%77.32M
-69.15%33.11M
-10.28%104.98M
-18.38%160.19M
7.29%171.78M
-27.19%107.32M
-17.76%117.01M
-33.97%196.27M
3.53%160.11M
-18.87%147.40M
-8.30%142.28M
231.62%297.24M
58.14%154.65M
75.12%181.67M
-21.46%155.15M
217.82%89.63M
-2.72%97.79M
407.76%103.74M
--197.56M
--28.20M
--100.53M
---33.71M
Flujo de efectivo por actividades de inversión
Efectivo neto de actividades de inversión continuadas
-236.43%-65.06M
1858.63%64.14M
357.71%10.34M
-5270.81%-22.86M
-593.44%-19.34M
109.63%3.27M
108.97%2.26M
103.70%442.00K
112.07%3.92M
-503.46%-34.00M
-310.04%-25.18M
51.47%-11.93M
-503.96%-32.47M
218.50%8.43M
248.30%11.99M
52.93%-24.58M
138.81%8.04M
-174.14%-7.11M
77.18%-8.08M
-141.94%-52.23M
-120.61%-20.71M
-96.15%9.59M
-124.09%-35.42M
-26.00%124.54M
-71.55%100.49M
-22.42%249.12M
55.44%147.06M
-20.38%168.29M
2865.44%353.27M
21.52%321.10M
2668.75%94.61M
71.55%211.36M
-94.40%11.91M
-62.16%264.23M
-101.77%-3.68M
-81.22%123.21M
-29.87%212.83M
848.54%698.25M
-37.09%208.18M
517.29%656.17M
51.64%303.48M
-67.35%73.61M
43.47%330.90M
113.31%106.30M
--200.13M
--225.46M
--230.63M
--49.83M
Gastos de capital
-93.01%295.00K
2074.02%71.20M
357.71%10.34M
28.96%570.00K
7.76%4.22M
-20.06%3.27M
-32.46%2.26M
-89.14%442.00K
--3.92M
-79.93%4.10M
-72.11%3.34M
-49.77%4.07M
----
261.73%20.42M
189.59%11.99M
-6.69%8.10M
-25.63%8.04M
-41.17%5.64M
--4.14M
-93.03%8.69M
-91.64%10.81M
-96.15%9.59M
----
-26.00%124.54M
-64.03%129.33M
-24.19%249.12M
45.12%147.06M
-36.39%168.29M
256.05%359.55M
18.10%328.60M
11.81%101.34M
48.23%264.57M
-55.00%100.98M
-60.15%278.24M
-56.47%90.63M
-73.16%178.48M
-29.18%224.38M
820.78%698.25M
-58.02%208.18M
525.68%665.09M
58.32%316.84M
-67.54%75.83M
100.13%495.96M
47.24%106.30M
--200.13M
--233.61M
--247.82M
--72.20M
Flujo de efectivo neto por disposición de activos fijos
-236.43%-65.06M
1858.63%64.14M
357.71%10.34M
-5270.81%-22.86M
-593.44%-19.34M
109.63%3.27M
108.97%2.26M
103.70%442.00K
112.07%3.92M
-503.46%-34.00M
-310.04%-25.18M
51.47%-11.93M
-503.96%-32.47M
218.50%8.43M
248.30%11.99M
52.93%-24.58M
138.81%8.04M
-174.14%-7.11M
77.18%-8.08M
-141.94%-52.23M
-120.61%-20.71M
-96.15%9.59M
-124.09%-35.42M
-26.00%124.54M
-71.55%100.49M
-22.42%249.12M
55.44%147.06M
-20.38%168.29M
2865.44%353.27M
21.52%321.10M
2668.75%94.61M
71.55%211.36M
-94.40%11.91M
-62.16%264.23M
-101.77%-3.68M
-81.22%123.21M
-29.87%212.83M
848.54%698.25M
-37.09%208.18M
517.29%656.17M
51.64%303.48M
-67.35%73.61M
43.47%330.90M
113.31%106.30M
--200.13M
--225.46M
--230.63M
--49.83M
Flujo de efectivo neto de transacciones comerciales
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--0.00
-100.00%0.00
--0.00
--0.00
--0.00
--454.79M
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----
----
----
----
----
----
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-100.00%0.00
----
----
----
--30.83M
----
----
----
100.00%0.00
----
----
----
---46.96M
-100.00%0.00
--0.00
--0.00
--0.00
--1.77M
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----
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Flujo de efectivo neto de productos de inversión
127.44%21.24M
-66.35%13.83M
-38.44%44.29M
3458.98%62.21M
-321.13%-77.39M
264.41%41.10M
--71.94M
100.79%1.75M
--35.00M
---25.00M
--0.00
---220.00M
----
----
----
----
--0.00
----
----
----
--0.00
--0.00
--0.00
100.00%0.00
-100.00%0.00
100.00%0.00
--0.00
---25.25M
--45.45M
---45.45M
--0.00
--0.00
----
----
----
----
----
----
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135.32%59.61M
---29.81M
---54.80M
----
---168.79M
--0.00
--0.00
--0.00
Flujo de efectivo neto de otras actividades de inversión
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-283.50%-11.83M
-100.00%0.00
688.67%11.83M
100.00%0.00
--6.45M
--1.15M
488.24%1.50M
-1637.25%-4.43M
-100.00%0.00
-100.00%0.00
101.17%255.00K
-110.81%-255.00K
106.50%2.23M
-85.20%3.13M
-2101.11%-21.77M
112.24%2.36M
92.09%-34.26M
-88.43%21.16M
91.00%-989.00K
-110.23%-19.27M
-1866.90%-433.17M
621.60%182.93M
-717.25%-10.99M
1676.93%188.27M
2303.53%24.52M
131.13%25.35M
-76.28%1.78M
-229.80%-11.94M
-97.03%1.02M
45.88%-81.43M
418.68%7.50M
127.95%9.20M
--34.32M
---150.45M
---2.35M
---32.91M
Efectivo de actividades de inversión no corrientes
Flujo de efectivo neto de actividades de inversión
248.64%86.29M
-220.06%-47.82M
-52.57%33.95M
6413.48%85.07M
-286.79%-58.06M
342.33%39.83M
222.80%71.58M
-99.47%1.31M
40.36%31.08M
206.83%9.00M
14314.74%22.18M
903.62%246.72M
957.30%22.14M
-202.01%-8.43M
-101.63%-156.00K
-48.57%24.58M
72.83%-2.58M
122.82%8.26M
-92.21%9.58M
137.44%47.80M
87.99%-9.51M
85.58%-36.21M
169.54%122.98M
18.35%-127.66M
73.66%-79.14M
40.68%-251.11M
-55.49%-176.85M
35.97%-156.35M
32.31%-300.45M
-381.85%-423.29M
-83.23%-113.74M
-486.00%-244.16M
-83.91%-443.85M
87.43%-87.85M
70.16%-62.08M
109.37%63.26M
6.43%-241.34M
-254.82%-698.82M
45.05%-208.00M
-357.95%-675.12M
26.63%-257.94M
48.21%-196.95M
-60.87%-378.52M
32.02%-147.42M
---351.55M
---380.30M
---235.29M
---216.85M
Flujo de efectivo de financiación
Flujo de efectivo de actividades de financiación continuadas
-869.35%-150.19M
12.63%-65.38M
74.50%-56.01M
32.33%-144.87M
66.98%-15.49M
-97.19%-74.83M
-2859.25%-219.64M
43.67%-214.09M
-124.07%-46.92M
4.30%-37.95M
112.49%7.96M
-405.45%-380.03M
257.29%194.97M
82.26%-39.66M
87.19%-63.74M
70.22%-75.19M
-129.11%-123.95M
-874.15%-223.57M
-34.40%-497.51M
-2017.20%-252.48M
-289.22%-54.10M
-84.85%28.88M
-668.05%-370.17M
-91.25%13.17M
-85.12%28.59M
4953.59%190.57M
5403.89%65.17M
72.66%150.46M
1.41%192.21M
101.96%3.77M
-96.47%1.18M
137.74%87.14M
1647.89%189.54M
-139.89%-192.83M
-56.32%33.52M
-162.22%-230.88M
-106.01%-12.24M
651.64%483.39M
-82.78%76.73M
2750.33%371.06M
35.65%203.79M
-85.05%64.31M
128.16%445.64M
-85.65%13.02M
--150.24M
--430.31M
--195.32M
--90.71M
Flujo de efectivo neto por emisión/amortización de deuda
100.00%0.00
100.00%0.00
100.00%0.00
28.50%-142.17M
86.15%-5.21M
-23.16%-68.95M
-1921.45%-151.03M
46.80%-198.83M
-127.79%-37.64M
-217.12%-55.99M
120.91%8.29M
-568.04%-373.78M
232.48%135.44M
91.22%-17.66M
91.70%-39.66M
74.62%-55.95M
-170.87%-102.23M
-440.29%-201.01M
-36.25%-477.55M
-623.66%-220.49M
-175.99%-37.74M
-72.06%59.07M
-513.23%-350.49M
-42.02%42.10M
19.95%49.67M
592.88%211.45M
121.27%84.82M
-37.08%72.62M
-72.32%41.41M
118.69%30.52M
121.43%38.33M
148.40%115.42M
39.83%149.61M
-158.21%-163.28M
-4221.61%-178.88M
-151.67%-238.45M
130.23%106.99M
958.80%280.49M
100.40%4.34M
403.65%461.51M
-619.12%-353.94M
-93.87%26.49M
-502.84%-1.07B
-46.80%91.63M
--68.18M
--432.32M
--266.08M
--172.23M
Flujo de efectivo neto por emisión/recompra de acciones ordinarias
-1356.08%-59.04M
-1526.10%-56.51M
106.93%2.29M
118.19%2.70M
59.71%-4.05M
-119.85%-3.48M
---33.10M
-181.74%-14.85M
-111.92%-10.06M
--17.50M
--0.00
---5.27M
---4.75M
--0.00
--0.00
100.00%0.00
--0.00
100.00%0.00
100.00%0.00
-64.63%-15.63M
100.00%0.00
---13.67M
-6461.54%-2.56M
-109.16%-9.50M
-100.00%-2.00K
--0.00
87.89%-39.00K
1072.63%103.70M
-21.75%190.04M
-100.00%0.00
-100.12%-322.00K
--8.84M
1482.34%242.87M
-92.75%26.99M
57.50%264.92M
-100.00%0.00
-95.00%15.35M
170.37%372.45M
--168.20M
-40.87%20.53M
785.22%306.83M
--137.75M
----
--34.72M
---44.78M
----
--0.00
--0.00
Pagos de dividendos en efectivo
--85.02M
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--0.00
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--0.00
--0.00
--0.00
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-100.00%0.00
-100.00%0.00
-100.00%0.00
0.16%5.52M
14.82%5.45M
18.11%5.60M
16.11%5.52M
16.40%5.51M
0.06%4.74M
1.67%4.74M
18.72%4.76M
18.51%4.74M
-88.15%4.74M
-88.34%4.66M
-82.57%4.01M
-82.57%4.00M
74.40%39.98M
74.70%39.99M
5.81%22.98M
-2.31%22.93M
1.88%22.93M
1.82%22.89M
-2.64%21.72M
2.16%23.47M
--22.50M
--22.48M
--22.31M
--22.97M
Procedimientos de la opción de stock ejercida por los empleados
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-78.89%1.62M
209.97%9.17M
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--7.68M
--2.96M
--12.45M
--4.13M
Flujo de efectivo neto de otras actividades de financiación
1.56%-6.13M
-268.97%-8.87M
-64.25%-58.30M
-1217.32%-5.40M
-894.13%-6.23M
-551.03%-2.40M
-10592.17%-35.50M
58.38%-410.00K
-98.78%784.00K
102.42%533.00K
98.62%-332.00K
94.88%-985.00K
395.90%64.28M
2.50%-22.00M
-20.67%-24.09M
-17.63%-19.24M
-32.77%-21.72M
-36.62%-22.57M
-16.53%-19.96M
-17.51%-16.35M
-4.69%-16.36M
-8.09%-16.52M
-21.57%-17.13M
31.61%-13.92M
54.70%-15.63M
30.56%-15.28M
56.06%-14.09M
37.16%-20.35M
82.59%-34.50M
57.59%-22.00M
33.90%-32.07M
-380.15%-32.38M
-109.51%-198.20M
59.95%-51.88M
33.39%-48.51M
113.13%11.56M
-134.75%-94.60M
-50.27%-129.56M
-104.73%-72.83M
2.01%-88.06M
92.16%272.21M
-592.46%-86.22M
2627.40%1.54B
-43.38%-89.87M
--141.66M
--17.51M
---60.90M
---62.68M
Efectivo neto de actividades de financiación no recurrentes
Efectivo neto de actividades de financiación
-869.35%-150.19M
12.63%-65.38M
74.50%-56.01M
32.33%-144.87M
66.98%-15.49M
-97.19%-74.83M
-2859.25%-219.64M
43.67%-214.09M
-124.07%-46.92M
4.30%-37.95M
112.49%7.96M
-405.45%-380.03M
257.29%194.97M
82.26%-39.66M
87.19%-63.74M
70.22%-75.19M
-129.11%-123.95M
-874.15%-223.57M
-34.40%-497.51M
-2017.20%-252.48M
-289.22%-54.10M
-84.85%28.88M
-668.05%-370.17M
-91.25%13.17M
-85.12%28.59M
4953.59%190.57M
5403.89%65.17M
72.66%150.46M
1.41%192.21M
101.96%3.77M
-96.47%1.18M
137.74%87.14M
1647.89%189.54M
-139.89%-192.83M
-56.32%33.52M
-162.22%-230.88M
-106.01%-12.24M
651.64%483.39M
-82.78%76.73M
2750.33%371.06M
35.65%203.79M
-85.05%64.31M
128.16%445.64M
-85.65%13.02M
--150.24M
--430.31M
--195.32M
--90.71M
Flujo de efectivo neto
Saldo de efectivo inicial
66.14%692.32M
118.59%689.86M
112.59%551.37M
51.80%480.77M
120.86%416.72M
111.45%315.60M
121.79%259.36M
19.28%316.71M
-34.40%188.68M
-51.89%149.25M
-65.07%116.94M
-34.58%265.52M
-35.01%287.62M
-42.48%310.25M
-51.53%334.77M
-11.05%405.89M
12.68%442.55M
67.06%539.42M
39.15%690.61M
-9.75%456.32M
-14.33%392.76M
-40.76%322.88M
-14.34%496.30M
-8.43%505.64M
-17.46%458.46M
-33.11%545.03M
-23.31%579.39M
-31.43%552.17M
-21.25%555.43M
3.17%814.76M
14.80%755.54M
18.70%805.24M
-10.69%705.30M
11.56%789.71M
-3.85%658.16M
-15.93%678.39M
11.87%789.70M
-5.48%707.88M
17.21%684.51M
31.28%806.90M
14.15%705.90M
38.63%748.90M
21.75%583.99M
-3.88%614.66M
--618.42M
--540.21M
--479.65M
--639.49M
Cambios en el flujo de efectivo del período actual
-105.18%-3.32M
-97.56%2.46M
146.25%138.49M
223.11%70.60M
-49.97%64.06M
156.51%101.12M
74.04%56.24M
61.40%-57.35M
679.22%128.03M
274.22%39.42M
231.80%32.31M
-108.91%-148.58M
39.70%-22.10M
76.64%-22.63M
83.78%-24.52M
-130.36%-71.12M
-157.66%-36.66M
-238.64%-96.87M
12.82%-151.19M
2609.46%234.28M
34.75%63.57M
180.72%69.87M
-404.64%-173.42M
-134.30%-9.34M
1548.00%47.18M
66.62%-86.56M
-158.03%-34.37M
154.76%27.22M
97.63%-3.26M
-207.21%-259.33M
-54.98%59.22M
-145.65%-49.70M
-23.35%-137.30M
-203.18%-84.41M
462.80%131.55M
83.47%-20.23M
-210.20%-111.31M
290.25%81.81M
-85.83%23.37M
-299.09%-122.39M
2789.24%101.01M
-154.99%-43.00M
172.31%164.91M
80.81%-30.67M
---3.76M
--78.21M
--60.56M
---159.84M
Saldo de efectivo final
43.31%689.00M
66.14%692.32M
118.59%689.86M
112.59%551.37M
51.80%480.77M
120.86%416.72M
111.45%315.60M
121.79%259.36M
19.28%316.71M
-34.40%188.68M
-51.89%149.25M
-65.07%116.94M
-34.58%265.52M
-35.01%287.62M
-42.48%310.25M
-51.53%334.77M
-11.05%405.89M
12.68%442.55M
67.06%539.42M
39.15%690.61M
-9.75%456.32M
-14.33%392.76M
-40.76%322.88M
-14.34%496.30M
-8.43%505.64M
-17.46%458.46M
-33.11%545.03M
-23.31%579.39M
-2.79%552.17M
-21.25%555.43M
3.17%814.76M
14.80%755.54M
-16.27%567.99M
-10.69%705.30M
11.56%789.71M
-3.85%658.16M
-15.93%678.39M
11.87%789.70M
-5.48%707.88M
17.21%684.51M
31.28%806.90M
14.15%705.90M
38.63%748.90M
21.75%583.99M
--614.66M
--618.42M
--540.21M
--479.65M
Flujo de caja libre
-54.80%60.28M
-66.53%44.46M
-25.65%150.21M
-16.23%129.83M
-4.70%133.38M
106.70%132.85M
17441.97%202.03M
901.53%154.99M
--139.96M
1175.22%64.27M
-104.25%-1.17M
32.44%-19.34M
----
-95.53%5.04M
-91.76%27.39M
-106.65%-28.62M
-29.67%81.84M
66.84%112.80M
--332.60M
2319.51%430.27M
468.19%116.37M
124.57%67.61M
----
85.66%-19.39M
87.58%-31.61M
-63.37%-275.14M
-199.00%-69.74M
14.04%-135.18M
-1688.14%-254.56M
-105.46%-168.41M
1.38%70.44M
-405.87%-157.25M
119.52%16.03M
79.56%-81.97M
229.78%69.48M
93.57%-31.09M
49.22%-82.10M
-3005.41%-401.00M
86.55%-53.54M
-18768.97%-483.42M
-6196.26%-161.69M
106.72%13.80M
-170.33%-398.17M
97.58%-2.56M
---2.57M
---205.41M
---147.29M
---105.90M
Unidad monetaria
USD
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Opiniones de evaluación
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KeyAI