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VivoPower International PLC

VVPR

3.897USD

-0.013-0.34%
Horarios del mercado ETCotizaciones retrasadas 15 min
29.77MCap. mercado
--P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025H1
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019Q4
FY2019H2
FY2019H1
FY2018H2
FY2018H1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-77.39%26.00K
-64.01%199.00K
-96.44%115.00K
-56.96%553.00K
-1.97%3.23M
-85.07%1.28M
-81.07%3.29M
204.67%8.60M
532.42%17.40M
-37.55%2.82M
-11.97%2.75M
--7.13M
133.21%4.52M
-36.56%3.13M
--1.94M
--4.93M
Efectivo y equivalentes de efectivo
-77.39%26.00K
-64.01%199.00K
-96.44%115.00K
-56.96%553.00K
-1.97%3.23M
-85.07%1.28M
-81.07%3.29M
204.67%8.60M
532.42%17.40M
-37.55%2.82M
-11.97%2.75M
--7.13M
133.21%4.52M
-36.56%3.13M
--1.94M
--4.93M
Por cobrar
76.78%10.04M
43.06%10.04M
-50.32%5.68M
-22.74%7.02M
1.19%11.43M
-28.92%9.09M
-5.88%11.30M
1.82%12.79M
-8.69%12.00M
20.74%12.56M
2.30%13.15M
--14.99M
31.58%10.40M
53.82%12.85M
--7.90M
--8.36M
-Cuentas y pagarés por cobrar
76.78%10.04M
43.06%10.04M
-50.32%5.68M
-22.74%7.02M
1.19%11.43M
-28.92%9.09M
-5.88%11.30M
1.82%12.79M
-8.69%12.00M
20.74%12.56M
2.30%13.15M
--14.99M
31.58%10.40M
53.82%12.85M
--7.90M
--8.36M
Inventario
-34.97%1.54M
-22.17%1.65M
46.72%2.37M
12.08%2.12M
14.06%1.61M
-4.12%1.89M
76.88%1.42M
--1.97M
--800.00K
----
----
----
----
--583.00K
----
----
Otros activos corrientes
-56.61%210.00K
-51.97%292.00K
-51.84%484.00K
-49.12%608.00K
-9.62%1.00M
4.82%1.20M
1.46%1.11M
12.54%1.14M
44.02%1.10M
-23.20%1.01M
-8.31%761.00K
--632.00K
--1.32M
--830.00K
----
----
Total de activos corrientes
36.66%11.82M
71.51%17.66M
-49.96%8.65M
-52.48%10.30M
0.95%17.28M
-11.54%21.67M
-51.17%17.12M
19.66%24.50M
16.12%35.05M
-31.23%20.47M
-4.27%30.19M
--36.28M
39.91%29.77M
137.46%31.54M
--21.28M
--13.28M
Activos no corrientes
Activos fijos netos
-89.04%415.00K
-88.27%439.00K
1.75%3.79M
-0.03%3.74M
3.02%3.72M
45.36%3.74M
33.63%3.61M
3.58%2.58M
1.88%2.70M
106.31%2.49M
55.69%2.65M
--2.95M
-37.08%1.21M
-36.75%1.70M
--1.92M
--2.69M
Fondo de comercio y otros activos intangibles
-63.19%15.79M
-63.88%15.23M
5.59%42.91M
6.56%42.17M
-15.51%40.63M
-15.69%39.58M
33.47%48.09M
57.27%46.95M
17.23%36.03M
-7.78%29.85M
-7.41%30.74M
--31.76M
-11.09%32.37M
-28.52%33.20M
--36.40M
--46.44M
Deuda a largo plazo
----
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
----
--0.00
--635.00K
Otros activos no actuales
-36.38%3.84M
-20.19%4.10M
19.47%6.04M
10.03%5.14M
67.72%5.05M
87.09%4.67M
76.15%3.01M
85.23%2.50M
-21.59%1.71M
-34.42%1.35M
-31.88%2.18M
--2.11M
-20.08%2.05M
-2.56%3.20M
--2.57M
--3.29M
Total de activos no actuales
-62.02%20.05M
-61.32%19.77M
6.71%52.80M
6.52%51.12M
-9.58%49.48M
-7.74%47.99M
12.80%54.72M
24.12%52.02M
36.37%48.51M
17.63%41.91M
-6.65%35.57M
--36.83M
-35.27%35.63M
-56.84%38.10M
--55.03M
--88.28M
Total de activos
-48.13%31.87M
-39.05%37.43M
-7.96%61.45M
-11.83%61.42M
-7.07%66.76M
-8.96%69.66M
-14.03%71.84M
22.65%76.51M
27.07%83.56M
-4.61%62.38M
-5.57%65.76M
--73.11M
-14.31%65.39M
-31.43%69.64M
--76.31M
--101.56M
Pasivos
Pasivos corrientes
Provisiones corrientes
20.08%2.22M
25.42%2.23M
101.53%1.85M
61.05%1.78M
-63.95%917.00K
-60.60%1.10M
12.32%2.54M
-3.28%2.80M
31.61%2.27M
69.42%2.90M
-8.60%1.72M
--1.72M
-30.77%1.71M
25.53%1.88M
--2.47M
--1.50M
Deuda a corto plazo y pasivos por arrendamiento
-25.65%2.26M
242.74%8.17M
-69.22%3.04M
-53.34%2.38M
251.55%9.87M
408.86%5.11M
-48.11%2.81M
-23.48%1.00M
131.65%5.41M
47.91%1.31M
-58.80%2.33M
--2.33M
-77.57%887.00K
1802.01%5.67M
--3.96M
--298.00K
-Pasivos por arrendamiento a corto plazo
----
-100.00%0.00
----
-8.51%462.00K
----
-24.51%505.00K
-8.09%682.00K
4.37%669.00K
-15.97%742.00K
--641.00K
404.57%883.00K
----
----
-15.05%175.00K
--285.00K
--206.00K
Otros pasivos corrientes
20.08%2.22M
25.42%2.23M
101.53%1.85M
61.05%1.78M
-63.95%917.00K
-60.60%1.10M
12.32%2.54M
-3.28%2.80M
31.61%2.27M
69.42%2.90M
-8.60%1.72M
--1.72M
-30.77%1.71M
25.53%1.88M
--2.47M
--1.50M
Total pasivos corrientes
70.16%39.96M
186.15%54.13M
-14.61%23.48M
-18.82%18.91M
79.26%27.50M
73.47%23.30M
-19.81%15.34M
-31.75%13.43M
-14.40%19.13M
-5.42%19.68M
-0.86%22.35M
--29.13M
0.96%20.81M
68.66%22.54M
--20.61M
--13.37M
Pasivos no corrientes
Provisiones a largo plazo
-10.94%57.00K
-25.00%57.00K
-1.54%64.00K
33.33%76.00K
-63.28%65.00K
-65.45%57.00K
14.94%177.00K
-2.37%165.00K
0.00%154.00K
-92.39%169.00K
-28.70%154.00K
--2.10M
671.53%2.22M
-21.17%216.00K
--288.00K
--274.00K
Deuda a largo plazo y pasivos por arrendamiento
-11.51%26.73M
-25.73%20.91M
36.44%30.21M
31.02%28.16M
3.57%22.14M
-1.23%21.49M
8.41%21.38M
-9.05%21.76M
8.11%19.72M
30.18%23.93M
20.99%18.24M
--19.36M
1.59%18.38M
-24.63%15.08M
--18.09M
--20.00M
-Deuda a largo plazo
-11.51%26.73M
-25.73%20.91M
36.44%30.21M
31.02%28.16M
3.57%22.14M
-1.23%21.49M
8.41%21.38M
-9.05%21.76M
8.11%19.72M
30.18%23.93M
20.99%18.24M
--19.36M
1.59%18.38M
-24.63%15.08M
--18.09M
--20.00M
Otros pasivos no corrientes
-99.37%57.00K
-99.13%57.00K
13915.38%9.11M
11336.84%6.52M
-63.28%65.00K
-65.45%57.00K
14.94%177.00K
-2.37%165.00K
0.00%154.00K
-92.39%169.00K
-28.70%154.00K
--2.10M
671.53%2.22M
-95.03%216.00K
--288.00K
--4.35M
Total pasivos no corrientes
-28.99%29.83M
-38.47%23.84M
79.28%42.01M
56.63%38.76M
2.05%23.43M
9.18%24.74M
12.52%22.96M
-8.66%22.66M
6.08%20.41M
20.42%24.81M
24.02%19.24M
--21.46M
10.18%20.60M
-44.67%15.51M
--18.70M
--28.03M
Total pasivos
6.56%69.78M
35.20%77.97M
28.58%65.49M
20.04%57.67M
32.98%50.93M
33.10%48.04M
-3.12%38.30M
-18.87%36.09M
-4.92%39.54M
7.44%44.49M
9.28%41.58M
--50.59M
5.34%41.41M
-8.08%38.05M
--39.31M
--41.40M
Capital de los accionistas
Capital ordinario
9.15%115.70M
3.25%108.75M
0.79%106.00M
5.67%105.33M
6.35%105.17M
30.38%99.67M
43.04%98.89M
89.34%76.45M
71.22%69.14M
0.00%40.38M
0.00%40.38M
--40.38M
0.00%40.38M
0.00%40.38M
--40.38M
--40.38M
Ganancias retenidas
-41.63%-147.47M
-48.50%-142.99M
-25.95%-104.12M
-33.86%-96.29M
-39.04%-82.67M
-44.21%-71.94M
-36.04%-59.46M
-22.34%-49.88M
-26.56%-43.70M
-19.70%-40.77M
-36.96%-34.53M
---35.66M
-50.86%-34.06M
-2611.18%-25.21M
---22.58M
---930.00K
Reservas de capital
8.56%114.66M
3.05%108.22M
0.72%105.62M
5.63%105.02M
6.31%104.87M
30.42%99.42M
43.11%98.64M
89.55%76.23M
71.39%68.92M
0.00%40.22M
0.00%40.22M
--40.22M
0.00%40.22M
0.00%40.22M
--40.22M
--40.22M
Pérdidas de ganancias que no afectan a las ganancias retenidas
340.00%396.00K
-99.83%2.00K
156.60%90.00K
965.47%1.20M
-1345.45%-159.00K
90.51%-139.00K
-105.39%-11.00K
55.70%-1.47M
111.11%204.00K
-51.91%-3.31M
6.18%-1.84M
---2.28M
-365.16%-2.18M
-181.85%-1.96M
--821.00K
--2.39M
Intereses no controladores
----
----
----
--0.00
--0.00
--0.00
----
-100.00%0.00
2258.44%1.82M
--184.00K
--77.00K
----
----
----
----
----
Capital total
-838.05%-37.92M
-1182.14%-40.54M
-125.54%-4.04M
-82.67%3.75M
-52.81%15.83M
-46.52%21.61M
-23.83%33.54M
125.93%40.42M
82.11%44.03M
-25.41%17.89M
-23.47%24.18M
--22.52M
-35.18%23.98M
-47.50%31.59M
--37.00M
--60.17M
Unidad monetaria
USD
USD
USD
USD
USD
USD
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USD
Opiniones de evaluación
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