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Markets
/
Stocks
/
nasdaq-cint
/
Ci&T Inc
CINT
5.660
USD
+0.020
+0.35%
Close 09/18, 16:00(ET)
Quotes delayed by 15 min
0.000
USD
0.000
Pre-market 09/19, 09:30 (ET)
761.72M
Market Cap
13.54
P/E TTM
Ci&T Inc
5.660
+0.020
+0.35%
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
Total equity
Cash, cash equivalents and short-term investments
23.87%
58.64M
-12.56%
62.81M
27.61%
56.62M
51.65%
70.37M
22.45%
47.34M
5.30%
71.84M
-17.91%
44.37M
-24.70%
46.40M
-43.15%
38.66M
-39.84%
68.23M
-67.78%
54.05M
195.72%
61.62M
--
68.01M
--
113.41M
--
167.77M
--
20.84M
- Cash and cash equivalents
-53.69%
6.40M
-41.96%
14.38M
-33.81%
8.71M
-61.59%
8.61M
-27.69%
13.81M
-18.57%
24.77M
-63.04%
13.16M
54.86%
22.42M
59.58%
19.10M
119.10%
30.42M
46.09%
35.60M
-30.52%
14.48M
--
11.97M
--
13.89M
--
24.37M
--
20.84M
-Short-term investments
55.80%
52.25M
2.91%
48.43M
53.50%
47.91M
157.52%
61.75M
71.39%
33.53M
24.51%
47.07M
69.12%
31.21M
-49.13%
23.98M
-65.09%
19.57M
-62.02%
37.80M
-87.13%
18.46M
--
47.14M
--
56.05M
--
99.52M
--
143.40M
--
--
Receivables
-4.95%
127.77M
0.79%
121.72M
-9.51%
123.48M
-0.71%
135.77M
-10.25%
134.42M
-11.92%
120.76M
-3.76%
136.46M
5.83%
136.74M
18.09%
149.77M
20.30%
137.11M
62.68%
141.79M
47.56%
129.21M
--
126.83M
--
113.98M
--
87.16M
--
87.56M
-Accounts and notes receivable
-9.48%
71.67M
7.58%
66.93M
-3.76%
93.58M
-2.61%
81.71M
-18.98%
79.18M
-29.29%
62.21M
-29.43%
97.24M
-1.82%
83.91M
23.27%
97.73M
34.33%
87.98M
125.39%
137.78M
46.08%
85.46M
--
79.28M
--
65.49M
--
61.13M
--
58.50M
-Other receivables
1.44%
48.74M
-6.64%
46.72M
-27.15%
22.39M
-2.74%
46.35M
5.29%
48.05M
9.00%
50.05M
--
30.74M
12.61%
47.65M
3.52%
45.63M
2.16%
45.91M
--
--
56.04%
42.32M
--
44.08M
--
44.94M
--
24.13M
--
27.12M
Other current assets
-26.39%
7.69M
25.25%
7.24M
95.49%
10.93M
34.35%
10.21M
64.98%
10.45M
-8.13%
5.78M
-23.75%
5.59M
24.12%
7.60M
-9.01%
6.33M
-17.71%
6.29M
36.20%
7.33M
20.38%
6.13M
--
6.96M
--
7.65M
--
5.38M
--
5.09M
Total current assets
0.56%
194.52M
-3.73%
192.34M
1.78%
191.76M
9.56%
217.15M
-5.17%
193.44M
-8.98%
199.81M
-8.24%
188.41M
-1.65%
198.20M
-0.55%
203.98M
-7.03%
219.52M
-21.17%
205.32M
76.77%
201.54M
--
205.10M
--
236.13M
--
260.47M
--
114.01M
Non-current assets
Net Fixed Assets
-4.52%
14.98M
-2.29%
13.80M
-13.71%
13.95M
-8.19%
15.49M
-19.40%
15.69M
-30.16%
14.13M
-24.31%
16.17M
-30.11%
16.87M
-24.17%
19.47M
-28.23%
20.23M
-9.55%
21.36M
0.42%
24.14M
--
25.68M
--
28.19M
--
23.62M
--
24.04M
-Fixed Assets
--
30.91M
--
28.16M
-6.81%
40.38M
--
42.75M
--
--
--
--
--
43.33M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-Accumulated depreciation
--
15.93M
--
14.36M
-2.71%
26.43M
--
27.25M
--
--
--
--
--
27.16M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Goodwill and other intangible assets
3.31%
331.14M
-5.01%
320.32M
-10.33%
309.28M
-2.37%
328.04M
-8.35%
320.55M
-0.69%
337.22M
2.49%
344.92M
61.94%
336.01M
70.51%
349.77M
53.25%
339.56M
153.74%
336.55M
51.43%
207.49M
--
205.13M
--
221.57M
--
132.63M
--
137.02M
Other non-current assets
-39.50%
4.67M
-58.61%
4.77M
-53.51%
5.34M
-43.19%
8.22M
-47.81%
7.73M
-28.51%
11.53M
-1.01%
11.50M
-2.68%
14.48M
10.84%
14.81M
37.32%
16.13M
70.04%
11.61M
158.15%
14.88M
--
13.36M
--
11.74M
--
6.83M
--
5.76M
Total non-current assets
4.12%
358.28M
-4.73%
345.86M
-10.23%
334.66M
-4.42%
351.84M
-10.58%
344.10M
-3.61%
363.03M
0.69%
372.78M
48.93%
368.10M
57.17%
384.82M
43.61%
376.64M
126.26%
370.21M
47.66%
247.17M
--
244.84M
--
262.26M
--
163.62M
--
167.39M
Total assets
2.84%
552.80M
-4.38%
538.20M
-6.20%
526.42M
0.47%
568.98M
-8.71%
537.53M
-5.59%
562.84M
-2.49%
561.19M
26.21%
566.30M
30.86%
588.80M
19.62%
596.16M
35.71%
575.53M
59.45%
448.70M
--
449.95M
--
498.39M
--
424.10M
--
281.40M
Liabilities
Current liabilities
-Dividends payable
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
743.00K
-Other payables
-8.88%
2.85M
-6.62%
2.95M
-29.22%
3.99M
-49.94%
3.44M
-61.25%
3.13M
-68.48%
3.16M
-38.09%
5.64M
8.94%
6.87M
102.80%
8.08M
168.80%
10.02M
271.00%
9.10M
130.94%
6.30M
--
3.98M
--
3.73M
--
2.45M
--
2.73M
Accrued expenses
21.91%
48.62M
17.10%
52.54M
9.83%
44.55M
7.88%
49.63M
-10.87%
39.88M
-14.22%
44.87M
-18.64%
40.57M
-7.80%
46.00M
4.07%
44.74M
-5.19%
52.31M
15.92%
49.86M
23.48%
49.89M
--
42.99M
--
55.17M
--
43.01M
--
40.41M
Short-term debt and lease liabilities
114.23%
69.81M
77.71%
52.93M
85.72%
50.09M
3.03%
49.86M
-29.19%
32.58M
-40.51%
29.79M
-45.36%
26.97M
-7.02%
48.39M
14.62%
46.02M
21.97%
50.07M
48.14%
49.36M
77.43%
52.04M
--
40.15M
--
41.05M
--
33.32M
--
29.33M
-Short-term lease liabilities
14.38%
3.98M
24.58%
3.90M
4.80%
3.87M
3.83%
3.90M
-16.57%
3.48M
-20.40%
3.13M
-10.61%
3.69M
-30.26%
3.76M
-20.49%
4.17M
-28.28%
3.93M
8.39%
4.13M
40.07%
5.39M
--
5.24M
--
5.49M
--
3.81M
--
3.85M
Deferred liabilities
-74.26%
1.17M
-61.83%
2.25M
-31.87%
6.77M
108.09%
5.36M
67.84%
4.55M
45.99%
5.91M
61.24%
9.93M
18.55%
2.57M
21.11%
2.71M
72.12%
4.05M
150.02%
6.16M
292.15%
2.17M
--
2.24M
--
2.35M
--
2.46M
--
553.76K
Other current liabilities
-47.61%
4.03M
-42.60%
5.21M
-30.91%
10.76M
-6.85%
8.79M
-28.81%
7.68M
-35.55%
9.07M
1.99%
15.57M
11.40%
9.44M
73.41%
10.79M
131.41%
14.07M
210.39%
15.26M
158.13%
8.47M
--
6.22M
--
6.08M
--
4.92M
--
3.28M
Total current liabilities
22.03%
130.86M
12.43%
123.75M
32.90%
124.98M
11.29%
137.62M
-12.08%
107.24M
-23.86%
110.07M
-32.77%
94.04M
-10.49%
123.66M
-4.70%
121.97M
4.72%
144.55M
41.94%
139.88M
38.94%
138.16M
--
127.99M
--
138.03M
--
98.55M
--
99.44M
Non-current liabilities
Long-term provisions
-27.57%
1.24M
-39.69%
1.17M
-45.85%
1.08M
-26.50%
1.76M
-32.00%
1.72M
-18.93%
1.93M
-16.02%
1.99M
-11.02%
2.40M
-9.05%
2.52M
850.47%
2.38M
1982.04%
2.37M
2791.68%
2.69M
--
2.78M
--
250.90K
--
113.64K
--
93.15K
Long-term debt and lease liabilities
-31.41%
81.70M
-31.28%
90.47M
-27.15%
92.51M
-12.63%
107.75M
-14.02%
119.12M
-6.74%
131.65M
-12.10%
126.98M
47.20%
123.33M
48.68%
138.54M
15.46%
141.17M
28.89%
144.46M
-29.13%
83.78M
--
93.18M
--
122.27M
--
112.08M
--
118.22M
-Long-term debt
-31.41%
81.70M
-31.28%
90.47M
-27.15%
92.51M
-12.63%
107.75M
-14.02%
119.12M
-6.74%
131.65M
-12.10%
126.98M
47.20%
123.33M
48.68%
138.54M
15.46%
141.17M
28.89%
144.46M
-29.13%
83.78M
--
93.18M
--
122.27M
--
112.08M
--
118.22M
Other non-current liabilities
-4.49%
4.00M
-18.01%
3.88M
-2.70%
3.50M
11.98%
4.60M
31.33%
4.19M
59.90%
4.74M
18.27%
3.60M
33.86%
4.10M
2.70%
3.19M
295.23%
2.96M
639.22%
3.04M
1289.76%
3.07M
--
3.11M
--
749.74K
--
411.65K
--
220.66K
Total non-current liabilities
-20.42%
119.73M
-24.15%
123.69M
-30.94%
121.31M
-12.27%
138.64M
-14.02%
150.45M
-8.20%
163.08M
-5.04%
175.65M
48.50%
158.04M
46.12%
174.98M
20.44%
177.65M
42.30%
184.97M
-21.99%
106.43M
--
119.75M
--
147.50M
--
129.99M
--
136.43M
Total liabilities
-2.75%
250.59M
-9.41%
247.44M
-8.67%
246.29M
-1.93%
276.26M
-13.22%
257.68M
-15.22%
273.15M
-16.98%
269.69M
15.18%
281.70M
19.86%
296.95M
12.84%
322.20M
42.14%
324.85M
3.70%
244.58M
--
247.74M
--
285.53M
--
228.54M
--
235.86M
Shareholders' equity
Common equity
4.77%
184.19M
-5.54%
185.18M
2.89%
186.34M
-4.04%
180.44M
-11.07%
175.81M
4.90%
196.05M
3.69%
181.10M
7.62%
188.04M
11.74%
197.70M
-4.77%
186.88M
6.21%
174.65M
1497.19%
174.73M
--
176.94M
--
196.25M
--
164.44M
--
10.94M
Retained earnings
30.89%
142.46M
19.15%
131.48M
21.70%
124.57M
-2.43%
118.99M
-8.69%
108.84M
8.83%
110.35M
25.80%
102.36M
166.49%
121.96M
205.66%
119.20M
181.72%
101.39M
233.10%
81.36M
60.52%
45.76M
--
39.00M
--
35.99M
--
24.43M
--
28.51M
Less: Treasury stock
268.08%
20.15M
1292.25%
11.50M
--
6.46M
23.69%
9.30M
41.79%
5.47M
--
826.07K
--
0.00
--
7.52M
--
3.86M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Gains losses not affecting retained earnings
-739.02%
-4.29M
9.33%
-14.39M
-402.37%
-24.33M
114.50%
2.59M
103.17%
671.97K
-10.89%
-15.88M
250.71%
8.04M
-9.24%
-17.88M
-54.34%
-21.19M
26.13%
-14.32M
-179.82%
-5.34M
-368.80%
-16.37M
--
-13.73M
--
-19.38M
--
6.69M
--
6.09M
Non-controlling interests
--
--
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Total equity
7.99%
302.21M
0.37%
290.76M
-3.90%
280.12M
2.86%
292.72M
-4.11%
279.85M
5.74%
289.69M
16.28%
291.50M
39.43%
284.60M
44.33%
291.85M
28.70%
273.96M
28.19%
250.68M
348.23%
204.12M
--
202.20M
--
212.86M
--
195.55M
--
45.54M
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
--
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