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Patria Investments Ltd

PAX
15.890USD
-0.030-0.19%
Close 12/31, 16:00ETQuotes delayed by 15 min
2.53BMarket Cap
23.36P/E TTM
You can check out the annual or quarterly balance sheets of Patria Investments Ltd here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
Total equity
- Cash and cash equivalents
-12.42%26.55M
5.15%25.65M
40.62%34.01M
154.45%30.61M
136.03%30.31M
49.07%24.39M
7.04%24.19M
-43.72%12.03M
-47.37%12.84M
21.94%16.36M
74.99%22.60M
40.02%21.37M
-44.93%24.40M
-46.75%13.42M
-55.05%12.91M
8.63%15.26M
11.61%44.30M
--25.19M
--28.73M
--14.05M
--39.70M
Restricted cash
-36.74%11.91M
5.93%19.43M
73.74%17.28M
-4.04%13.29M
101.01%18.83M
5.85%18.34M
-40.88%9.95M
-38.43%13.85M
--9.37M
-64.41%17.32M
-78.62%16.83M
--22.49M
----
--48.67M
--78.71M
----
----
----
----
----
----
Total current assets
-43.98%245.29M
-6.48%312.18M
-0.94%397.24M
-7.20%372.68M
17.58%437.89M
-11.64%333.82M
-13.26%401.01M
-16.27%401.59M
-23.82%372.43M
-23.35%377.79M
36.70%462.30M
36.14%479.64M
16.02%488.90M
15.09%492.87M
-4.87%338.19M
556.40%352.32M
567.50%421.38M
--428.23M
--355.49M
--53.67M
--63.13M
Non-current assets
Net Fixed Assets
48.21%40.74M
39.07%38.50M
21.28%34.88M
15.74%32.62M
15.68%27.49M
8.94%27.68M
14.12%28.76M
14.45%28.18M
-1.00%23.76M
38.67%25.41M
59.16%25.20M
83.67%24.63M
533.41%24.00M
356.67%18.33M
288.04%15.83M
251.09%13.41M
-1.99%3.79M
--4.01M
--4.08M
--3.82M
--3.87M
-Fixed Assets
39.25%64.83M
37.53%61.72M
22.93%55.71M
14.28%51.24M
19.61%46.56M
11.85%44.87M
17.96%45.32M
22.95%44.84M
--38.92M
31.21%40.12M
29.87%38.42M
45.42%36.47M
----
169.54%30.58M
185.98%29.58M
146.96%25.08M
17.87%11.00M
--11.34M
--10.34M
--10.15M
--9.34M
-Accumulated depreciation
26.34%24.09M
35.06%23.22M
25.79%20.83M
11.80%18.62M
25.76%19.07M
16.88%17.19M
25.27%16.56M
40.64%16.65M
--15.16M
20.06%14.71M
-3.86%13.22M
1.47%11.84M
----
67.11%12.25M
119.51%13.75M
84.20%11.67M
31.91%7.21M
--7.33M
--6.26M
--6.34M
--5.47M
Goodwill and other intangible assets
10.52%829.37M
11.57%795.09M
64.11%777.15M
43.91%700.87M
71.17%750.40M
58.02%712.62M
12.06%473.54M
18.34%487.01M
21.94%438.38M
32.72%450.98M
15.36%422.56M
714.91%411.52M
1868.14%359.50M
1657.47%339.81M
1615.16%366.31M
-399.34%-66.92M
-22.96%18.27M
--19.34M
--21.36M
--22.36M
--23.71M
Total assets
-1.49%1.33B
11.50%1.32B
26.58%1.33B
19.23%1.21B
44.73%1.35B
24.50%1.18B
5.41%1.05B
3.62%1.01B
-0.75%929.64M
5.41%949.43M
-0.89%999.77M
28.23%976.24M
95.76%936.70M
85.15%900.66M
143.93%1.01B
610.17%761.32M
268.09%478.51M
--486.45M
--413.53M
--107.20M
--130.00M
Liabilities
Current liabilities
-Dividends payable
-19.75%1.15M
58.77%5.80M
-17.24%1.40M
-36.18%1.30M
-21.35%1.43M
-74.10%3.65M
-45.88%1.69M
-2.16%2.04M
--1.82M
--14.10M
--3.13M
--2.08M
----
----
----
-100.00%0.00
--0.00
--0.00
--0.00
--23.26M
----
Short-term debt and lease liabilities
135.36%45.97M
186.83%90.84M
237.46%45.95M
2628.57%82.24M
579.30%19.53M
1007.03%31.67M
419.30%13.62M
34.37%3.01M
--2.88M
134.70%2.86M
71.48%2.62M
135.86%2.24M
----
28.32%1.22M
63.88%1.53M
21.92%951.00K
19.62%890.00K
--950.00K
--933.00K
--780.00K
--744.00K
-Short-term lease liabilities
35.58%4.60M
72.72%5.80M
24.74%3.95M
23.46%3.72M
17.98%3.39M
17.37%3.36M
20.71%3.17M
34.37%3.01M
--2.88M
134.70%2.86M
71.48%2.62M
135.86%2.24M
----
28.32%1.22M
63.88%1.53M
21.92%951.00K
19.62%890.00K
--950.00K
--933.00K
--780.00K
--744.00K
Total current liabilities
-25.97%356.59M
6.29%401.94M
1.34%410.81M
-0.03%397.39M
52.45%481.70M
34.49%378.15M
10.93%405.38M
17.60%397.50M
-9.10%315.98M
-10.42%281.17M
119.94%365.44M
116.35%338.00M
306.07%347.60M
499.52%313.86M
320.49%166.15M
254.70%156.23M
147.34%85.60M
--52.35M
--39.51M
--44.04M
--34.61M
Non-current liabilities
Long-term debt and lease liabilities
-29.72%104.94M
-48.93%76.00M
104.80%150.26M
--149.45M
--149.32M
--148.80M
--73.37M
--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
-Long-term debt
-29.72%104.94M
-48.93%76.00M
104.80%150.26M
--149.45M
--149.32M
--148.80M
--73.37M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Total liabilities
-16.18%722.43M
4.57%729.20M
39.99%777.82M
45.88%715.17M
88.91%861.89M
57.70%697.36M
9.94%555.63M
5.93%490.24M
8.35%456.25M
20.44%442.22M
16.10%505.40M
134.87%462.78M
366.27%421.10M
551.80%367.17M
897.72%435.31M
309.38%197.04M
126.43%90.31M
--56.33M
--43.63M
--48.13M
--39.88M
Shareholders' equity
Common equity
17.56%578.77M
8.66%580.13M
6.50%573.11M
5.30%527.25M
-0.60%492.33M
7.79%533.91M
10.91%538.12M
3.20%500.71M
2.09%495.32M
2.09%495.32M
0.00%485.19M
0.00%485.19M
61.52%485.20M
61.52%485.19M
61.75%485.19M
31042.17%485.19M
19181.45%300.40M
--300.39M
--299.97M
--1.56M
--1.56M
Retained earnings
--0.00
--0.00
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-87.11%6.38M
-34.48%50.83M
-40.80%33.27M
-24.63%51.92M
-40.17%49.48M
-11.79%77.58M
-40.09%56.20M
-49.09%68.89M
8.34%82.71M
41.85%87.95M
-2.49%93.80M
--135.32M
--76.35M
--62.00M
--96.20M
Capital reserves
17.56%578.76M
8.66%580.11M
6.50%573.10M
5.30%527.24M
-0.60%492.32M
7.79%533.89M
10.91%538.10M
3.20%500.69M
2.08%495.31M
2.09%495.31M
0.00%485.18M
0.00%485.18M
61.52%485.20M
61.53%485.18M
61.75%485.18M
31061.21%485.18M
19192.94%300.39M
--300.37M
--299.96M
--1.56M
--1.56M
Gains losses not affecting retained earnings
43.70%-13.24M
19.81%-22.65M
-26.03%-41.59M
-467.95%-68.22M
-39.38%-23.52M
-1863.11%-28.25M
-1310.38%-32.99M
-4.64%-12.01M
40.36%-16.88M
107.39%1.60M
-39.90%2.73M
-19.29%-11.48M
-321.44%-28.30M
-249.95%-21.68M
175.31%4.54M
-54.10%-9.62M
14.95%-6.71M
---6.19M
---6.02M
---6.24M
---7.89M
Non-controlling interests
101.64%16.67M
145.41%13.66M
164.01%10.64M
146.60%9.85M
120.26%8.27M
31.43%-30.09M
62.88%-16.63M
46.23%-21.15M
-3500.08%-40.80M
---43.88M
---44.80M
---39.33M
--1.20M
--0.00
100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
---394.00K
--1.76M
--247.00K
Total equity
24.71%603.08M
21.48%588.76M
11.62%556.17M
-5.83%490.93M
2.16%483.60M
-4.44%484.67M
0.79%498.27M
1.54%521.34M
-8.19%473.39M
-4.93%507.21M
-13.79%494.36M
-9.01%513.46M
32.82%515.60M
24.03%533.49M
55.02%573.41M
855.23%564.28M
330.78%388.19M
--430.12M
--369.90M
--59.07M
--90.11M
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