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First Financial Corp

THFF
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80.550USD
-0.290-0.36%
Cierre 07-31 16:00ETCotizaciones retrasadas 15 min
957.89MCap. mercado
11.85P/E TTM

THFF Balance Sheet

Puede mirar aquí los balances anuales o trimestrales de First Financial Corp para evaluar su salud financiera, analizar sus fundamentos y calcular sus ratios clave de liquidez, apalancamiento y rentabilidad sobre el patrimonio neto.
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
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
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Activos actuales
Activos no corrientes
Activos fijos netos
10.75%88.31M
10.43%88.69M
-3.59%78.58M
-3.48%79.35M
21.28%79.74M
20.18%80.32M
21.14%81.51M
21.93%82.21M
-2.05%65.75M
-1.95%66.83M
1.72%67.29M
-1.01%67.42M
-2.75%67.13M
-2.60%68.16M
-4.85%66.15M
7.80%68.11M
8.02%69.02M
11.81%69.98M
12.02%69.52M
0.35%63.19M
0.99%63.90M
-0.88%62.58M
-0.82%62.06M
-10.80%62.97M
38.56%63.27M
37.33%63.14M
34.42%62.58M
50.24%70.59M
-3.61%45.66M
-3.76%45.98M
-3.56%46.55M
-0.64%46.98M
-1.91%47.37M
-1.64%47.77M
-1.97%48.27M
-4.83%47.29M
-2.14%48.30M
-3.63%48.57M
-2.55%49.24M
-2.25%49.69M
-1.98%49.35M
-1.13%50.39M
-2.45%50.53M
-3.31%50.83M
-2.72%50.35M
0.62%50.97M
0.69%51.80M
1.35%52.57M
11.38%51.75M
7.91%50.66M
8.75%51.45M
15.99%51.88M
3.39%46.47M
15.55%46.94M
--47.31M
--44.72M
--44.95M
--40.62M
Fondo de comercio y otros activos intangibles
0.28%117.10M
-1.20%118.63M
-5.85%114.46M
-4.00%115.61M
26.79%116.77M
30.04%120.07M
31.33%121.57M
29.77%120.43M
-1.03%92.10M
-1.12%92.34M
-1.20%92.57M
-1.28%92.80M
-1.33%93.06M
-0.46%93.38M
-0.49%93.70M
8.91%94.01M
8.79%94.32M
7.67%93.81M
7.53%94.16M
-1.91%86.32M
-1.94%86.70M
-1.91%87.13M
-1.87%87.56M
1.52%88.00M
150.31%88.42M
150.66%88.83M
151.00%89.23M
143.03%86.68M
-1.27%35.32M
-1.24%35.44M
-1.20%35.55M
-1.20%35.66M
-1.20%35.78M
-1.25%35.88M
-1.31%35.98M
-1.39%36.10M
-1.47%36.21M
-1.56%36.34M
-14.54%36.46M
-14.59%36.61M
-14.65%36.75M
-14.50%36.91M
-1.67%42.67M
-1.76%42.86M
-1.86%43.06M
-2.20%43.17M
-2.33%43.39M
-2.48%43.63M
7.23%43.88M
7.11%44.15M
43.48%44.42M
6.97%44.74M
-2.92%40.92M
-1.12%41.21M
--30.96M
--41.83M
--42.15M
--41.68M
Total de activos
10.27%6.18B
10.44%6.13B
3.52%5.76B
3.37%5.67B
14.56%5.60B
14.35%5.55B
14.62%5.56B
14.63%5.48B
0.28%4.89B
-0.29%4.85B
-2.77%4.85B
-4.48%4.78B
-2.58%4.88B
-4.55%4.87B
-3.59%4.99B
4.34%5.01B
5.33%5.01B
8.92%5.10B
13.55%5.18B
9.36%4.80B
8.82%4.75B
15.23%4.68B
13.28%4.56B
10.08%4.39B
42.55%4.37B
34.27%4.06B
33.72%4.02B
33.79%3.99B
3.24%3.06B
2.33%3.03B
0.27%3.01B
-0.05%2.98B
-0.22%2.97B
-0.02%2.96B
0.41%3.00B
-1.22%2.98B
0.56%2.97B
0.61%2.96B
0.30%2.99B
2.60%3.02B
-0.53%2.96B
-1.89%2.94B
-0.76%2.98B
-3.73%2.94B
-1.98%2.97B
-1.21%3.00B
-0.54%3.00B
1.30%3.06B
2.48%3.03B
2.28%3.03B
4.26%3.02B
4.80%3.02B
2.38%2.96B
1.46%2.96B
--2.90B
--2.88B
--2.89B
--2.92B
Pasivos
Pasivos corrientes
Deuda a corto plazo y pasivos por arrendamiento
107.40%310.09M
154.18%349.78M
56.35%292.47M
116.35%182.52M
291.28%149.51M
-3.42%137.61M
10.14%187.06M
-60.08%84.36M
-70.35%38.21M
31.22%142.49M
139.62%169.83M
136.62%211.35M
52.98%128.86M
12.32%108.58M
-24.10%70.88M
-11.61%89.32M
-14.51%84.23M
-2.13%96.67M
-19.55%93.37M
6.09%101.05M
-1.57%98.53M
17.89%98.78M
44.86%116.06M
4.84%95.25M
65.47%100.10M
47.90%83.78M
15.02%80.12M
54.83%90.85M
85.62%60.49M
94.81%56.65M
20.75%69.66M
149.55%58.68M
-37.18%32.59M
-18.82%29.08M
-28.77%57.69M
-25.04%23.51M
-16.65%51.88M
15.12%35.82M
139.39%80.99M
34.43%31.37M
-26.61%62.25M
9.32%31.12M
-29.54%33.83M
-60.47%23.34M
15.53%84.82M
-20.30%28.46M
-19.43%48.02M
111.36%59.03M
151.49%73.42M
-10.62%35.71M
46.96%59.59M
-36.52%27.93M
-38.01%29.19M
-38.51%39.95M
--40.55M
--44.00M
--47.09M
--64.97M
-Deuda a corto plazo
107.40%310.09M
154.18%349.78M
56.35%292.47M
116.35%182.52M
291.28%149.51M
54.84%137.61M
178.27%187.06M
-36.44%84.36M
-70.35%38.21M
-18.15%88.87M
-5.16%67.22M
48.60%132.73M
52.98%128.86M
12.32%108.58M
-24.10%70.88M
-11.61%89.32M
-14.51%84.23M
-2.13%96.67M
-19.55%93.37M
6.09%101.05M
-1.57%98.53M
17.89%98.78M
44.86%116.06M
4.84%95.25M
65.47%100.10M
47.90%83.78M
15.02%80.12M
54.83%90.85M
85.62%60.49M
94.81%56.65M
20.75%69.66M
149.55%58.68M
-37.18%32.59M
-18.82%29.08M
-28.77%57.69M
-25.04%23.51M
-16.65%51.88M
15.12%35.82M
139.39%80.99M
34.43%31.37M
-26.61%62.25M
9.32%31.12M
-29.54%33.83M
-60.47%23.34M
15.53%84.82M
-20.30%28.46M
-19.43%48.02M
111.36%59.03M
151.49%73.42M
-10.62%35.71M
46.96%59.59M
-36.52%27.93M
-38.01%29.19M
-38.51%39.95M
--40.55M
--44.00M
--47.09M
--64.97M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-100.00%0.00
-56.58%8.14M
-40.00%12.50M
-36.37%14.58M
-33.33%16.67M
--18.75M
--20.83M
--22.92M
--25.00M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Deuda a largo plazo
----
-56.58%8.14M
-40.00%12.50M
-36.37%14.58M
-33.33%16.67M
--18.75M
--20.83M
--22.92M
--25.00M
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Depósitos del cliente
3.66%4.83B
4.36%4.84B
-3.56%4.55B
-2.17%4.62B
12.84%4.66B
13.03%4.64B
15.37%4.72B
16.74%4.72B
1.70%4.13B
-1.45%4.11B
-6.38%4.09B
-8.32%4.04B
-7.30%4.06B
-5.23%4.17B
-0.92%4.37B
9.40%4.41B
9.89%4.38B
12.54%4.40B
17.40%4.41B
11.77%4.03B
11.73%3.99B
18.66%3.91B
14.67%3.76B
11.93%3.60B
44.94%3.57B
36.03%3.29B
34.42%3.28B
33.78%3.22B
0.35%2.46B
-1.53%2.42B
-0.89%2.44B
-1.89%2.41B
1.10%2.45B
0.79%2.46B
1.24%2.46B
-1.04%2.45B
1.39%2.43B
1.56%2.44B
-0.57%2.43B
2.51%2.48B
-0.18%2.39B
-2.57%2.40B
-0.60%2.44B
-1.36%2.42B
-1.42%2.40B
-1.72%2.46B
-0.06%2.46B
-1.41%2.45B
6.74%2.43B
6.69%2.51B
8.02%2.46B
10.06%2.49B
1.17%2.28B
3.08%2.35B
--2.28B
--2.26B
--2.25B
--2.28B
Total pasivos
9.71%5.50B
9.97%5.47B
1.87%5.11B
2.62%5.05B
15.02%5.02B
14.90%4.98B
15.92%5.01B
14.00%4.92B
-0.46%4.36B
-0.68%4.33B
-4.23%4.32B
-5.60%4.31B
-3.63%4.38B
-4.63%4.36B
-1.71%4.51B
8.67%4.57B
9.12%4.55B
12.00%4.57B
15.96%4.59B
11.19%4.21B
10.25%4.17B
17.31%4.08B
14.28%3.96B
10.24%3.78B
46.07%3.78B
35.82%3.48B
35.06%3.47B
34.40%3.43B
1.49%2.59B
0.83%2.56B
-0.81%2.57B
0.57%2.55B
0.32%2.55B
0.45%2.54B
0.50%2.59B
-2.24%2.54B
-0.18%2.54B
0.12%2.53B
0.19%2.57B
2.47%2.60B
-1.16%2.54B
-2.30%2.53B
-1.50%2.57B
-4.47%2.53B
-2.03%2.57B
-1.76%2.59B
-0.92%2.61B
0.40%2.65B
1.39%2.63B
1.80%2.63B
4.33%2.63B
5.25%2.64B
2.32%2.59B
0.75%2.59B
--2.52B
--2.51B
--2.53B
--2.57B
Capital de los accionistas
Capital ordinario
0.98%149.87M
1.00%149.66M
1.03%149.46M
1.26%148.64M
1.20%148.41M
1.21%148.18M
1.22%147.94M
0.64%146.80M
0.69%146.65M
0.68%146.41M
0.67%146.17M
0.87%145.87M
0.86%145.65M
0.85%145.42M
0.84%145.20M
0.80%144.61M
0.80%144.40M
0.81%144.19M
0.81%143.99M
0.81%143.47M
0.80%143.25M
0.80%143.03M
0.80%142.83M
0.88%142.31M
79.89%142.11M
80.08%141.90M
80.28%141.70M
80.86%141.08M
1.52%79.00M
1.50%78.80M
1.49%78.60M
1.47%78.00M
1.46%77.82M
1.45%77.63M
1.44%77.45M
1.52%76.88M
1.51%76.70M
1.51%76.52M
1.51%76.34M
1.33%75.73M
1.33%75.56M
1.33%75.38M
1.34%75.21M
1.36%74.73M
1.63%74.56M
1.73%74.39M
1.83%74.22M
1.91%73.73M
1.67%73.37M
1.59%73.13M
1.52%72.89M
1.18%72.35M
1.10%72.16M
1.02%71.98M
--71.80M
--71.50M
--71.38M
--71.25M
Ganancias retenidas
8.25%771.02M
7.89%754.94M
7.92%741.79M
7.36%726.99M
5.72%712.27M
4.80%699.73M
3.56%687.37M
3.13%677.15M
5.22%673.73M
5.84%667.67M
7.95%663.73M
8.13%656.61M
8.68%640.33M
8.75%630.81M
9.96%614.83M
8.49%607.22M
8.38%589.17M
8.63%580.06M
7.30%559.14M
7.01%559.69M
6.79%543.60M
5.90%533.98M
5.90%521.10M
7.88%523.03M
7.71%509.03M
8.11%504.24M
7.74%492.06M
7.28%484.83M
7.26%472.58M
8.06%466.40M
8.67%456.72M
2.19%451.92M
1.65%440.61M
0.09%431.59M
-0.37%420.27M
5.40%442.23M
5.35%433.44M
5.35%431.19M
6.62%421.83M
6.29%419.58M
6.49%411.42M
6.11%409.31M
4.67%395.63M
5.23%394.76M
5.32%386.36M
5.70%385.73M
5.85%377.97M
5.80%375.13M
6.00%366.86M
5.46%364.91M
5.54%357.08M
5.48%354.56M
5.50%346.09M
6.28%346.04M
--338.34M
--336.15M
--328.06M
--325.57M
Reservas de capital
0.99%147.84M
1.02%147.64M
1.04%147.44M
1.27%146.62M
1.22%146.39M
1.22%146.16M
1.23%145.93M
0.65%144.78M
0.70%144.63M
0.69%144.39M
0.68%144.15M
0.88%143.85M
0.87%143.63M
0.86%143.41M
0.85%143.19M
0.81%142.60M
0.81%142.39M
0.82%142.19M
0.82%141.98M
0.82%141.46M
0.81%141.24M
0.80%141.02M
0.81%140.82M
0.89%140.31M
81.54%140.10M
81.75%139.90M
81.95%139.69M
82.56%139.07M
1.55%77.17M
1.54%76.97M
1.52%76.77M
1.50%76.18M
1.49%76.00M
1.48%75.81M
1.47%75.62M
1.55%75.05M
1.55%74.88M
1.54%74.70M
1.54%74.53M
1.36%73.91M
1.36%73.74M
1.36%73.57M
1.37%73.40M
1.39%72.92M
1.66%72.75M
1.77%72.58M
1.87%72.41M
1.95%71.91M
1.71%71.56M
1.63%71.31M
1.55%71.07M
1.21%70.54M
1.13%70.35M
1.04%70.17M
--69.99M
--69.69M
--69.57M
--69.45M
Menos: Acciones en tesorería
-0.48%154.04M
-0.48%154.04M
-0.18%153.71M
-0.27%154.78M
-0.27%154.78M
-0.27%154.78M
-0.55%153.99M
-0.68%155.21M
4.99%155.21M
6.93%155.21M
6.96%154.83M
7.16%156.27M
1.67%147.83M
13.58%145.14M
22.55%144.76M
36.13%145.83M
45.28%145.41M
63.69%127.79M
54.01%118.13M
52.23%107.12M
42.24%100.09M
10.94%78.07M
11.74%76.70M
1.29%70.37M
1.29%70.37M
1.29%70.37M
-0.74%68.64M
-0.52%69.47M
-0.52%69.47M
-0.52%69.47M
-0.42%69.16M
-0.39%69.84M
-0.39%69.84M
-0.39%69.84M
-0.24%69.45M
-0.58%70.11M
-0.21%70.11M
3.54%70.11M
36.15%69.61M
35.25%70.53M
46.93%70.26M
54.64%67.72M
17.68%51.13M
22.23%52.15M
58.55%47.82M
45.19%43.79M
45.78%43.45M
38.93%42.66M
-1.78%30.16M
-1.78%30.16M
-2.43%29.80M
-3.46%30.71M
-3.46%30.71M
-3.46%30.71M
--30.55M
--31.81M
--31.81M
--31.81M
Pérdidas de ganancias que no afectan a las ganancias retenidas
22.98%-91.06M
21.38%-95.28M
34.47%-86.68M
4.05%-98.64M
12.09%-118.23M
12.26%-121.18M
-4.09%-132.28M
41.60%-102.80M
4.78%-134.50M
-9.97%-138.11M
9.21%-127.09M
-5.18%-176.04M
-11.55%-141.25M
-76.82%-125.59M
-5669.74%-139.97M
-15088.29%-167.38M
-9068.13%-126.63M
-8436.66%-71.03M
-124.85%-2.43M
-109.09%-1.10M
-85.16%1.41M
-113.86%-832.00K
230.17%9.76M
8259.31%12.12M
322.21%9.52M
146.42%6.00M
68.02%-7.50M
100.45%145.00K
85.18%-4.28M
47.21%-12.93M
-59.51%-23.45M
-494.92%-32.31M
-419.21%-28.89M
-126.89%-24.49M
-3.81%-14.70M
-125.17%-5.43M
-59.29%-5.56M
-113.34%-10.79M
-50.66%-14.16M
72.46%-2.41M
75.14%-3.49M
30.73%-5.06M
35.29%-9.40M
-276.69%-8.76M
-225.19%-14.05M
14.59%-7.30M
-4.01%-14.53M
89.00%-2.33M
77.44%-4.32M
4.19%-8.55M
-86.95%-13.97M
-198.54%-21.13M
-105.03%-19.15M
11.48%-8.93M
---7.47M
---7.08M
---9.34M
---10.08M
Capital total
14.99%675.78M
14.57%655.29M
18.55%650.87M
9.94%622.22M
10.74%587.67M
9.83%571.95M
3.99%549.04M
20.37%565.95M
6.80%530.67M
3.02%520.77M
11.08%527.98M
7.19%470.17M
7.66%496.89M
-3.80%505.50M
-18.42%475.29M
-26.27%438.63M
-21.53%461.53M
-12.15%525.44M
-2.41%582.58M
-2.00%594.93M
-0.36%588.16M
2.81%598.11M
7.06%596.99M
9.08%607.10M
23.54%590.28M
25.71%581.77M
25.96%557.61M
30.11%556.58M
13.85%477.82M
11.54%462.80M
7.04%442.70M
-3.56%427.77M
-3.40%419.69M
-2.79%414.90M
-0.20%413.57M
5.02%443.56M
5.14%434.45M
3.62%426.81M
0.99%414.39M
3.37%422.37M
3.55%413.22M
0.71%411.91M
4.08%410.32M
1.17%408.59M
-1.65%399.06M
2.43%409.03M
2.08%394.21M
7.68%403.87M
10.14%405.75M
5.54%399.33M
3.78%386.19M
1.71%375.08M
2.82%368.40M
6.61%378.38M
--372.12M
--368.76M
--358.29M
--354.94M
Unidad monetaria
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Preguntas frecuentes

¿Qué métricas del balance general importan más al analizar las acciones de THFF?

Las métricas importantes incluyen efectivo e inversiones a corto plazo, activos totales, activos corrientes, pasivos totales, pasivos corrientes, deuda a largo plazo, patrimonio de los accionistas, ganancias retenidas, inventario, cuentas por cobrar, capital de trabajo, ratio de liquidez corriente, ratio de prueba ácida, relación deuda-patrimonio y rentabilidad sobre el capital. Los inversores suelen revisar todo esto en conjunto, en vez de guiarse por un solo número.

¿Cuál es la diferencia entre activos, pasivos y patrimonio de los accionistas?

Los activos son recursos que la empresa posee o controla, como efectivo, cuentas por cobrar, inventario, inversiones y propiedades. Los pasivos son obligaciones que la empresa debe, como cuentas por pagar, deuda, arrendamientos e impuestos. El patrimonio de los accionistas es el valor residual después de restar los pasivos de los activos.

¿Cuál es la diferencia entre elementos corrientes y no corrientes?

Se espera generalmente que los activos corrientes y los pasivos corrientes se conviertan, usen, paguen o liquiden dentro de un año o de un ciclo operativo. Los activos no corrientes y los pasivos no corrientes son elementos a más largo plazo, como propiedades, inversiones a largo plazo, activos por impuestos diferidos, deuda a largo plazo y obligaciones de arrendamiento.

¿Cuánto patrimonio neto de los accionistas tiene First Financial Corp?

First Financial Corp reportó un patrimonio neto total de los accionistas de 650.87M en el último trimestre reportado.
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