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Affirm Holdings Inc

AFRM

67.210USD

+1.060+1.60%
Fechamento 07/16, 16:00ETCotações atrasadas em 15 min
21.68BValor de mercado
PerdaP/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
Ativos Circulantes
- Caixa e Equivalentes de Caixa
6.16%1.35B
15.79%1.20B
-3.07%1.05B
13.57%1.01B
30.88%1.27B
-28.02%1.04B
-29.47%1.08B
-28.93%892.03M
-57.01%972.48M
-43.90%1.44B
6.29%1.53B
-14.41%1.26B
39.31%2.26B
393.03%2.57B
110.33%1.44B
--1.47B
--1.62B
--520.74M
--684.42M
Caixa Restrito
10.92%384.81M
30.52%536.78M
-17.29%338.46M
-23.27%282.29M
-15.18%346.93M
-3.11%411.26M
6.74%409.23M
24.45%367.92M
-1.12%409.01M
71.57%424.46M
62.27%383.41M
30.77%295.64M
125.62%413.63M
113.19%247.40M
132.90%236.28M
--226.07M
--183.33M
--116.05M
--101.45M
Total de Ativos Circulantes
15.91%8.24B
23.44%8.40B
26.29%7.67B
23.90%7.01B
38.99%7.11B
22.47%6.80B
31.85%6.07B
38.79%5.66B
-1.20%5.12B
5.71%5.55B
18.29%4.60B
7.27%4.08B
28.01%5.18B
113.48%5.25B
83.21%3.89B
--3.80B
--4.05B
--2.46B
--2.12B
Ativos não Circulantes
Ativos Fixos Líquidos
32.71%564.75M
32.64%523.81M
34.63%492.72M
40.35%449.55M
36.75%425.57M
34.99%394.90M
42.82%365.98M
44.18%320.31M
60.38%311.21M
72.68%292.55M
78.58%256.24M
84.62%222.15M
71.60%194.05M
243.24%169.42M
189.51%143.49M
--120.33M
--113.08M
--49.36M
--49.56M
-Ativos Fixos
53.02%961.08M
53.29%862.58M
53.45%780.04M
55.67%691.75M
51.01%628.08M
47.81%562.72M
54.44%508.34M
57.31%444.38M
--415.91M
--380.71M
--329.15M
84.36%282.49M
----
----
----
--153.23M
----
----
----
-Depreciação Acumulada
95.71%396.32M
101.88%338.78M
101.83%287.33M
95.22%242.21M
93.41%202.51M
90.36%167.81M
95.26%142.36M
105.62%124.07M
--104.70M
--88.16M
--72.91M
83.39%60.34M
----
----
----
--32.90M
----
----
----
Goodwill e outros Ativos Intangíveis
-2.97%534.76M
-4.42%533.89M
-1.09%550.20M
-5.21%546.94M
-5.86%551.11M
-5.55%558.56M
-6.68%556.25M
-6.71%577.00M
-3.76%585.39M
-2.67%591.38M
-2.63%596.04M
5.82%618.48M
117.87%608.28M
--607.59M
--612.15M
--584.45M
--279.20M
----
----
Total de ativos
13.42%10.44B
15.62%10.48B
20.60%10.14B
16.72%9.52B
22.56%9.20B
16.15%9.06B
17.34%8.41B
16.95%8.16B
6.77%7.51B
12.26%7.80B
32.63%7.17B
43.29%6.97B
47.53%7.03B
156.73%6.95B
140.03%5.40B
--4.87B
--4.77B
--2.71B
--2.25B
Passivos
Passivos circulantes
Dívidas e arrendamentos de curto prazo
--0.00
38420.80%750.00M
308.65%750.00M
62.63%328.92M
-100.00%0.00
-98.91%1.95M
7.33%183.53M
--202.25M
-91.60%17.50M
--177.86M
24.67%170.99M
-100.00%0.00
157.16%208.47M
----
--137.15M
--104.16M
--81.06M
--0.00
--0.00
Total de passivos circulantes
28.87%379.99M
242.39%1.11B
140.62%1.09B
55.17%661.85M
21.88%294.86M
-34.93%323.25M
-2.95%451.22M
64.27%426.52M
-42.78%241.92M
115.12%496.80M
-32.66%464.91M
-16.22%259.65M
84.35%422.80M
115.78%230.95M
836.90%690.36M
--309.93M
--229.35M
--107.03M
--73.69M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
2.05%3.06B
-22.67%2.57B
-25.32%2.20B
-4.28%2.85B
3.07%3.00B
-2.72%3.32B
26.27%2.94B
25.11%2.98B
21.33%2.91B
45.22%3.41B
570.00%2.33B
312.75%2.38B
253.05%2.40B
192.02%2.35B
-50.25%347.67M
--576.44M
--679.33M
--804.96M
--698.89M
-Dívida de longo prazo
2.05%3.06B
-22.67%2.57B
-25.32%2.20B
-4.28%2.85B
3.07%3.00B
-2.72%3.32B
26.27%2.94B
25.11%2.98B
21.33%2.91B
45.22%3.41B
570.00%2.33B
312.75%2.38B
253.05%2.40B
192.02%2.35B
-50.25%347.67M
--576.44M
--679.33M
--804.96M
--698.89M
Total de passivos
14.95%7.56B
19.68%7.70B
25.05%7.30B
20.75%6.79B
31.65%6.58B
21.45%6.43B
26.92%5.84B
29.06%5.62B
12.14%5.00B
18.07%5.29B
52.13%4.60B
90.55%4.36B
88.61%4.46B
159.13%4.48B
137.89%3.02B
--2.29B
--2.36B
--1.73B
--1.27B
Patrimônio líquido dos acionistas
Capital ordinário
5.98%6.05B
7.00%5.96B
13.05%6.05B
14.04%5.86B
15.98%5.70B
18.14%5.57B
20.21%5.36B
21.50%5.14B
23.34%4.92B
23.18%4.72B
24.44%4.45B
22.19%4.23B
27.24%3.99B
2587.30%3.83B
3033.93%3.58B
--3.46B
--3.13B
--142.48M
--114.23M
Lucros retidos
-2.03%-3.13B
-6.79%-3.13B
-16.15%-3.21B
-19.98%-3.11B
-28.45%-3.06B
-34.42%-2.93B
-48.78%-2.76B
-61.36%-2.59B
-68.04%-2.39B
-59.70%-2.18B
-54.11%-1.86B
-80.77%-1.61B
-93.16%-1.42B
-176.28%-1.36B
-160.59%-1.21B
---888.38M
---734.87M
---494.00M
---462.44M
Reservas de capital
5.98%6.05B
7.00%5.96B
13.05%6.05B
14.04%5.86B
15.98%5.70B
18.14%5.57B
20.21%5.36B
21.50%5.14B
23.34%4.92B
23.18%4.72B
24.44%4.45B
22.19%4.23B
27.24%3.99B
2587.30%3.83B
3033.93%3.58B
--3.46B
--3.13B
--142.48M
--114.23M
Ganhos (perdas) fora do lucro retido
-157.23%-44.50M
-565.82%-47.55M
63.81%-9.12M
-39.82%-21.57M
22.55%-17.30M
73.18%-7.14M
26.35%-25.20M
-115.74%-15.42M
-390.97%-22.34M
-708.59%-26.63M
-1371.29%-34.22M
-205.61%-7.15M
61.76%7.68M
125.80%4.38M
2488.46%2.69M
--6.77M
--4.75M
--1.94M
--104.00K
Patrimônio total
9.58%2.87B
5.72%2.79B
10.47%2.84B
7.81%2.73B
4.47%2.62B
4.97%2.63B
0.13%2.57B
-3.21%2.53B
-2.52%2.51B
1.69%2.51B
7.83%2.56B
1.44%2.62B
7.16%2.58B
152.47%2.47B
142.82%2.38B
--2.58B
--2.40B
--977.69M
--979.05M
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