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Mission Produce Inc

AVO

12.470USD

+0.420+3.49%
Fechamento 07/10, 16:00ETCotações atrasadas em 15 min
880.61MValor de mercado
23.99P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-20.56%36.70M
0.50%40.10M
35.20%58.00M
115.22%49.50M
121.05%46.20M
1.79%39.90M
-18.75%42.90M
-47.49%23.00M
-2.34%20.90M
54.94%39.20M
-37.51%52.80M
-38.22%43.80M
-60.52%21.40M
-72.23%25.30M
-31.85%84.50M
94.15%70.90M
104.00%54.20M
196.68%91.10M
--124.00M
--36.52M
--26.57M
--30.71M
- Caixa e Equivalentes de Caixa
-20.56%36.70M
0.50%40.10M
35.20%58.00M
115.22%49.50M
121.05%46.20M
1.79%39.90M
-18.75%42.90M
-47.49%23.00M
-2.34%20.90M
54.94%39.20M
-37.51%52.80M
-38.22%43.80M
-60.52%21.40M
-72.23%25.30M
-31.85%84.50M
94.15%70.90M
104.00%54.20M
196.68%91.10M
--124.00M
--36.52M
--26.57M
--30.71M
Contas a Receber
8.89%137.20M
12.66%122.80M
22.78%119.10M
5.47%129.10M
14.55%126.00M
23.16%109.00M
7.78%97.00M
2.09%122.40M
-17.11%110.00M
-30.26%88.50M
-6.93%90.00M
25.03%119.90M
18.48%132.70M
49.82%126.90M
28.42%96.70M
1.95%95.90M
19.87%112.00M
-9.08%84.70M
--75.30M
--94.07M
--93.44M
--93.16M
-Contas e Títulos a Receber
14.17%113.60M
17.35%100.10M
28.74%95.40M
14.56%101.50M
25.95%99.50M
32.66%85.30M
17.81%74.10M
-3.28%88.60M
-23.23%79.00M
-36.46%64.30M
-14.77%62.90M
31.23%91.60M
19.93%102.90M
44.16%101.20M
28.35%73.80M
-7.59%69.80M
13.28%85.80M
-8.95%70.20M
--57.50M
--75.54M
--75.74M
--77.10M
-Empréstimos a Receber
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-100.00%0.00
-34.38%2.10M
-22.22%2.10M
--2.10M
--3.30M
--3.20M
--2.70M
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-Outros Recebíveis
4.97%16.90M
39.31%20.20M
27.82%17.00M
-28.37%15.40M
-13.44%16.10M
11.54%14.50M
-30.37%13.30M
13.76%21.50M
23.18%18.60M
2.36%13.00M
48.06%19.10M
11.18%18.90M
-11.70%15.10M
-0.78%12.70M
-13.42%12.90M
11.88%17.00M
36.44%17.10M
1.49%12.80M
--14.90M
--15.20M
--12.53M
--12.61M
Inventário
18.86%112.80M
42.84%122.70M
28.81%91.20M
-4.56%83.80M
-1.15%94.90M
11.85%85.90M
-3.15%70.80M
-5.29%87.80M
5.96%96.00M
-3.15%76.80M
51.66%73.10M
39.19%92.70M
39.17%90.60M
65.21%79.30M
24.87%48.20M
31.92%66.60M
35.08%65.10M
-1.98%48.00M
--38.60M
--50.48M
--48.19M
--48.97M
Despesas Antecipadas
-1.22%8.10M
4.40%9.50M
3.30%9.40M
-3.49%8.30M
-17.17%8.20M
-9.90%9.10M
-18.02%9.10M
3.61%8.60M
26.92%9.90M
-10.62%10.10M
-4.31%11.10M
-33.06%8.30M
-27.78%7.80M
50.67%11.30M
31.82%11.60M
73.06%12.40M
58.08%10.80M
38.10%7.50M
--8.80M
--7.17M
--6.83M
--5.43M
Outros Ativos Circulantes
130.00%2.30M
250.00%2.10M
333.33%1.30M
-80.95%400.00K
-23.08%1.00M
-40.00%600.00K
-72.73%300.00K
-32.26%2.10M
-50.00%1.30M
-65.52%1.00M
-81.97%1.10M
-26.19%3.10M
52.94%2.60M
81.25%2.90M
335.71%6.10M
171.49%4.20M
55.68%1.70M
-29.73%1.60M
--1.40M
--1.55M
--1.09M
--2.28M
Total de Ativos Circulantes
7.53%297.10M
21.55%297.20M
26.76%279.00M
11.15%271.10M
16.04%276.30M
13.40%244.50M
-3.51%220.10M
-8.92%243.90M
-6.66%238.10M
-12.25%215.60M
-7.69%228.10M
7.12%267.80M
4.63%255.10M
5.50%245.70M
-0.40%247.10M
31.73%250.00M
38.43%243.80M
29.00%232.90M
--248.10M
--189.78M
--176.12M
--180.54M
Ativos não Circulantes
Ativos Fixos Líquidos
1.92%604.60M
-0.25%595.10M
-0.74%591.20M
-2.12%589.60M
-0.44%593.20M
1.84%596.60M
7.30%595.60M
11.39%602.40M
22.24%595.80M
22.35%585.80M
18.59%555.10M
29.19%540.80M
18.27%487.40M
18.84%478.80M
23.48%468.10M
14.63%418.60M
19.05%412.10M
18.47%402.90M
--379.10M
--365.19M
--346.17M
--340.08M
Goodwill e outros Ativos Intangíveis
--39.40M
19600.00%39.40M
-100.00%0.00
-100.00%0.00
-100.00%0.00
-75.00%200.00K
-98.79%500.00K
-99.13%800.00K
-98.95%800.00K
-98.95%800.00K
-45.81%41.40M
20.03%91.70M
0.00%76.40M
0.00%76.40M
0.00%76.40M
0.03%76.40M
0.03%76.40M
0.03%76.40M
--76.40M
--76.38M
--76.38M
--76.38M
Dívida de longo prazo
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-100.00%0.00
-100.00%0.00
26.67%1.90M
-57.78%1.90M
-60.00%1.80M
-59.38%1.80M
-61.54%1.50M
15.38%4.50M
--4.50M
--4.43M
--3.90M
--3.90M
Outros ativos não circulantes
28.52%36.50M
15.60%32.60M
2.48%28.90M
1.05%28.80M
-6.58%28.40M
-5.69%28.20M
1.44%28.20M
1.42%28.50M
11.76%30.40M
13.69%29.90M
1.46%27.80M
11.51%28.10M
5.02%27.20M
2.33%26.30M
21.78%27.40M
39.92%25.20M
34.62%25.90M
57.61%25.70M
--22.50M
--18.01M
--19.24M
--16.31M
Total de ativos não circulantes
9.55%713.40M
7.19%700.60M
-0.34%653.10M
-1.77%649.40M
-0.29%651.20M
1.81%653.60M
0.60%655.30M
-3.71%661.10M
1.15%653.10M
1.05%642.00M
3.99%651.40M
20.16%686.60M
14.26%645.70M
13.63%635.30M
18.37%626.40M
12.49%571.40M
15.87%565.10M
11.94%559.10M
--529.20M
--507.96M
--487.70M
--499.48M
Total de ativos
4.51%1.01B
6.43%997.80M
6.20%971.50M
1.64%959.90M
3.90%966.90M
4.52%937.50M
4.01%914.80M
-1.05%944.40M
3.31%930.60M
1.82%897.00M
0.69%879.50M
16.19%954.40M
11.36%900.80M
11.24%881.00M
12.38%873.50M
17.72%821.40M
21.85%808.90M
16.47%792.00M
--777.30M
--697.75M
--663.82M
--680.02M
Passivos
Passivos circulantes
-Outros a pagar
--0.00
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Despesas acumuladas
15.03%37.50M
59.11%46.30M
51.14%39.90M
10.73%28.90M
8.67%32.60M
-1.02%29.10M
-12.29%26.40M
-10.00%26.10M
3.81%30.00M
-25.57%29.40M
12.73%30.10M
3.94%29.00M
-8.25%28.90M
23.05%39.50M
-5.65%26.70M
11.27%27.90M
57.65%31.50M
84.81%32.10M
--28.30M
--25.07M
--19.98M
--17.37M
Dívidas e arrendamentos de curto prazo
-12.28%5.00M
-7.41%5.00M
2.15%9.50M
0.00%9.10M
3.64%5.70M
12.50%5.40M
29.17%9.30M
-8.08%9.10M
-44.44%5.50M
-52.00%4.80M
-27.27%7.20M
-1.00%9.90M
5.32%9.90M
13.64%10.00M
15.12%9.90M
18.53%10.00M
13.94%9.40M
8.29%8.80M
--8.60M
--8.44M
--8.25M
--8.13M
-Dívida de curto prazo
-100.00%0.00
-100.00%0.00
25.00%3.50M
25.00%3.50M
--500.00K
--500.00K
12.00%2.80M
--2.80M
--0.00
--0.00
--2.50M
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-Passivos de arrendamento de curto prazo
-5.26%1.80M
0.00%1.40M
11.54%2.90M
9.09%2.40M
0.00%1.90M
16.67%1.40M
116.67%2.60M
100.00%2.20M
72.73%1.90M
0.00%1.20M
9.09%1.20M
-8.33%1.10M
-8.33%1.10M
0.00%1.20M
-8.33%1.10M
2.39%1.20M
4.80%1.20M
1.27%1.20M
--1.20M
--1.17M
--1.15M
--1.19M
Outros passivos circulantes
--0.00
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Total de passivos circulantes
23.17%149.90M
57.28%169.70M
52.92%149.10M
16.64%133.90M
16.68%121.70M
12.98%107.90M
-4.13%97.50M
-7.04%114.80M
-19.02%104.30M
-17.03%95.50M
14.01%101.70M
31.80%123.50M
32.78%128.80M
35.57%115.10M
14.51%89.20M
-0.76%93.70M
22.32%97.00M
9.19%84.90M
--77.90M
--94.42M
--79.30M
--77.76M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-10.34%213.40M
-18.99%182.20M
-19.00%179.90M
-15.82%201.60M
-3.45%238.00M
2.88%224.90M
10.61%222.10M
11.97%239.50M
24.18%246.50M
12.39%218.60M
1.62%200.80M
33.94%213.90M
22.53%198.50M
18.31%194.50M
18.54%197.60M
-5.19%159.70M
-6.96%162.00M
-4.32%164.40M
--166.70M
--168.44M
--174.13M
--171.81M
-Dívida de longo prazo
-14.09%145.10M
-25.10%115.80M
-25.55%112.50M
-20.14%133.20M
-2.71%168.90M
5.89%154.60M
10.37%151.10M
12.32%166.80M
15.20%173.60M
-4.51%146.00M
-11.73%136.90M
-7.01%148.50M
-6.98%150.70M
-7.00%152.90M
-6.96%155.10M
-5.19%159.70M
-6.96%162.00M
-4.32%164.40M
--166.70M
--168.44M
--174.13M
--171.81M
-Passivos de arrendamento de longo prazo
-1.16%68.30M
-5.55%66.40M
-5.07%67.40M
-5.91%68.40M
-5.21%69.10M
-3.17%70.30M
11.11%71.00M
11.16%72.70M
52.51%72.90M
74.52%72.60M
50.35%63.90M
--65.40M
--47.80M
--41.60M
--42.50M
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Despesas acumuladas de longo prazo
--2.30M
--2.20M
--2.20M
--2.00M
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Responsabilidades com derivativos
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--200.00K
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Outros passivos não circulantes
-15.85%20.70M
-30.00%21.00M
-24.74%21.60M
-19.23%21.00M
0.82%24.60M
22.45%30.00M
23.18%28.70M
15.56%26.00M
20.79%24.40M
14.49%24.50M
-0.85%23.30M
-15.41%22.50M
-24.91%20.20M
-21.61%21.40M
-16.37%23.50M
3.29%26.60M
9.21%26.90M
4.74%27.30M
--28.10M
--25.75M
--24.63M
--26.06M
Total de passivos não circulantes
-9.47%276.30M
-17.66%245.20M
-15.12%245.30M
-11.93%272.30M
-3.08%305.20M
3.62%297.80M
13.38%289.00M
15.55%309.20M
27.39%314.90M
17.50%287.40M
1.92%254.90M
19.46%267.60M
8.95%247.20M
6.35%244.60M
10.71%250.10M
-0.32%224.00M
-1.18%226.90M
0.35%230.00M
--225.90M
--224.71M
--229.62M
--229.21M
Total de passivos
-0.16%426.20M
2.27%414.90M
2.04%394.40M
-4.20%406.20M
1.84%426.90M
5.95%405.70M
8.38%386.50M
8.41%424.00M
11.49%419.20M
6.45%382.90M
5.10%356.60M
23.10%391.10M
16.09%376.00M
14.23%359.70M
11.69%339.30M
-0.45%317.70M
4.85%323.90M
2.59%314.90M
--303.80M
--319.13M
--308.92M
--306.96M
Patrimônio líquido dos acionistas
Capital ordinário
2.89%242.50M
2.82%240.80M
2.70%239.80M
2.11%237.20M
2.03%235.70M
1.96%234.20M
1.79%233.50M
1.75%232.30M
1.58%231.00M
1.41%229.70M
1.64%229.40M
1.51%228.30M
1.34%227.40M
1.25%226.50M
1.26%225.70M
59.57%224.90M
59.73%224.40M
59.86%223.70M
--222.90M
--140.94M
--140.49M
--139.94M
Lucros retidos
11.22%309.20M
14.87%311.30M
13.54%307.70M
8.52%290.40M
6.51%278.00M
2.03%271.00M
-1.24%271.00M
-15.42%267.60M
-12.42%261.00M
-10.15%265.60M
-11.20%274.40M
13.32%316.40M
14.26%298.00M
16.65%295.60M
23.01%309.00M
17.32%279.20M
21.53%260.80M
8.65%253.40M
--251.20M
--237.98M
--214.60M
--233.22M
Reservas de capital
2.89%242.40M
2.82%240.70M
2.70%239.70M
2.11%237.10M
2.04%235.60M
1.96%234.10M
1.79%233.40M
1.75%232.20M
1.58%230.90M
1.41%229.60M
1.64%229.30M
1.51%228.20M
1.34%227.30M
1.25%226.40M
1.26%225.60M
59.57%224.80M
--224.30M
--223.60M
--222.80M
--140.88M
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Ganhos (perdas) fora do lucro retido
250.00%600.00K
-1200.00%-1.30M
77.78%-200.00K
-50.00%-300.00K
55.56%-400.00K
91.67%-100.00K
47.06%-900.00K
81.82%-200.00K
-50.00%-900.00K
-50.00%-1.20M
-240.00%-1.70M
-175.00%-1.10M
-200.00%-600.00K
---800.00K
0.00%-500.00K
-55.04%-400.00K
-44.93%-200.00K
100.00%0.00
---500.00K
---258.00K
---138.00K
---49.00K
Minoritários
19.85%32.00M
20.22%32.10M
20.65%29.80M
27.54%26.40M
31.53%26.70M
33.50%26.70M
18.75%24.70M
5.08%20.70M
--20.30M
--20.00M
--20.80M
--19.70M
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Patrimônio total
8.20%584.30M
9.61%582.90M
9.24%577.10M
6.40%553.70M
5.59%540.00M
3.44%531.80M
1.03%528.30M
-7.62%520.40M
-2.55%511.40M
-1.38%514.10M
-2.12%522.90M
11.83%563.30M
8.21%524.80M
9.26%521.30M
12.82%534.20M
33.04%503.70M
36.66%485.00M
27.89%477.10M
--473.50M
--378.61M
--354.90M
--373.06M
Moeda
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Opinião da Auditoria
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