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Cango Inc

CANG

4.710USD

+0.270+6.08%
Fechamento 08/04, 16:00ETCotações atrasadas em 15 min
316.98MValor de mercado
130.30P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
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FY2025Q1
FY2024Q4
FY2024Q3
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FY2024Q1
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FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
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FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2016Q4
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-27.53%2.52B
52.25%2.52B
21.77%3.77B
39.33%3.69B
28.15%3.48B
-28.65%1.66B
-9.97%3.10B
-22.13%2.65B
-32.33%2.71B
-42.48%2.32B
-23.40%3.44B
-26.57%3.40B
-5.81%4.01B
-30.08%4.03B
75.33%4.49B
62.58%4.63B
22.28%4.26B
121.93%5.77B
10.84%2.56B
31.99%2.85B
52.10%3.48B
-18.22%2.60B
-39.84%2.31B
-32.86%2.16B
-10.65%2.29B
267.21%3.18B
433.97%3.84B
--3.21B
--2.56B
473.32%865.65M
--719.94M
--150.99M
- Caixa e Equivalentes de Caixa
117.62%2.52B
26.36%1.29B
3.94%691.82M
61.07%949.45M
65.96%1.16B
169.35%1.02B
-10.65%665.59M
-53.97%589.45M
-67.40%696.56M
-73.59%378.92M
-17.81%744.96M
-14.56%1.28B
31.02%2.14B
0.55%1.43B
-36.31%906.43M
-25.44%1.50B
-40.50%1.63B
-28.74%1.43B
-23.12%1.42B
24.89%2.01B
25.85%2.74B
-31.26%2.00B
-49.18%1.85B
-48.43%1.61B
10.97%2.18B
262.63%2.91B
477.71%3.64B
--3.12B
--1.96B
1685.47%803.27M
--630.55M
--44.99M
-Investimentos de Curto Prazo
-99.78%5.19M
93.86%1.23B
26.65%3.08B
33.09%2.74B
15.10%2.32B
-67.29%635.07M
-9.78%2.43B
-2.86%2.06B
7.66%2.02B
-25.30%1.94B
-24.81%2.70B
-32.33%2.12B
-28.68%1.87B
-40.15%2.60B
214.69%3.59B
274.49%3.13B
254.34%2.63B
627.04%4.34B
147.06%1.14B
52.89%835.05M
564.10%741.54M
124.65%597.27M
129.10%461.52M
511.95%546.17M
-81.38%111.66M
326.21%265.87M
125.37%201.45M
--89.25M
--599.72M
-41.15%62.38M
--89.39M
--106.00M
Contas a Receber
347.87%1.52B
50.44%700.14M
-78.55%137.12M
-80.80%198.60M
-75.26%340.14M
-71.63%465.40M
-63.46%639.21M
-50.36%1.03B
-40.40%1.37B
-35.16%1.64B
-31.82%1.75B
-20.85%2.08B
-16.28%2.31B
-1.24%2.53B
17.69%2.57B
50.25%2.63B
51.22%2.75B
38.27%2.56B
31.59%2.18B
6.34%1.75B
17.68%1.82B
52.41%1.85B
94.30%1.66B
1743.30%1.65B
1120.33%1.55B
682.98%1.22B
406.90%852.61M
--89.40M
--126.85M
11.67%155.26M
--168.20M
--139.03M
-Contas e Títulos a Receber
-85.11%15.80M
-64.51%22.99M
-79.38%25.53M
-87.27%40.07M
-75.04%106.15M
-75.72%64.79M
-5.27%123.82M
33.03%314.78M
104.75%425.23M
19.37%266.84M
-30.04%130.71M
50.66%236.62M
-15.69%207.68M
57.88%223.54M
79.65%186.85M
142.44%157.05M
133.51%246.35M
-4.69%141.59M
-40.19%104.00M
-54.12%64.78M
-20.89%105.50M
61.60%148.56M
72.73%173.89M
67.72%141.20M
11.67%133.35M
6.37%91.93M
-39.67%100.67M
--84.19M
--119.42M
18312.87%86.43M
--166.86M
--469.38K
-Empréstimos a Receber
-84.97%23.06M
-88.53%26.37M
-81.81%55.66M
-80.47%93.24M
-76.74%153.39M
-73.66%229.98M
-71.46%306.02M
-59.98%477.36M
-50.83%659.40M
-40.85%873.26M
-32.10%1.07B
-32.27%1.19B
-29.45%1.34B
-28.17%1.48B
-17.61%1.58B
7.62%1.76B
12.74%1.90B
22.10%2.06B
29.25%1.92B
8.61%1.64B
19.18%1.69B
49.82%1.68B
97.19%1.48B
41886.80%1.51B
--1.41B
1562.83%1.12B
--751.93M
--3.59M
----
--67.58M
----
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-Outros Recebíveis
1741.93%1.48B
281.41%650.78M
-73.29%55.92M
-73.06%65.30M
-72.22%80.60M
-65.90%170.62M
-61.68%209.37M
-62.96%242.35M
-61.71%290.10M
-39.71%500.39M
-31.67%546.43M
-8.43%654.38M
24.66%757.73M
127.62%829.94M
401.59%799.67M
1300.08%714.64M
1907.84%607.85M
1662.43%364.62M
--159.43M
--51.04M
--30.27M
--20.69M
----
----
----
-100.00%0.00
-100.00%0.00
--1.63M
--7.44M
-99.10%1.25M
--1.34M
--138.56M
Despesas Antecipadas
355.80%362.02M
187.95%226.35M
-88.92%29.96M
-91.17%62.52M
-93.57%79.42M
-94.21%78.61M
-68.59%270.28M
7.62%707.70M
103.42%1.24B
38.04%1.36B
24.52%860.44M
-25.93%657.59M
2.50%607.52M
76.04%982.95M
149.47%690.99M
997.40%887.77M
679.80%592.70M
375.42%558.36M
188.83%276.99M
3.71%80.90M
29.69%76.01M
91.68%117.45M
51.49%95.90M
-34.36%78.00M
-58.78%58.61M
3.75%61.27M
-7.07%63.30M
--118.83M
--142.19M
2348.27%59.06M
--68.12M
--2.41M
Outros Ativos Circulantes
-18.43%11.21M
-99.36%10.81M
-18.89%12.82M
-48.74%13.67M
-64.63%13.74M
1003.12%1.68B
-70.11%15.80M
102.39%26.68M
131.82%38.86M
149.11%152.69M
-48.45%52.87M
-62.09%13.18M
-73.46%16.76M
532.34%61.29M
288.81%102.55M
-92.82%34.77M
-90.85%63.16M
-99.00%9.69M
-95.68%26.38M
-17.46%484.33M
20.23%689.98M
224.86%970.99M
5927.51%610.54M
-42.43%586.79M
3080.72%573.87M
956.72%298.90M
-93.41%10.13M
--1.02B
--18.04M
193.93%28.29M
--153.71M
--9.62M
Total de Ativos Circulantes
12.93%4.42B
-10.97%3.46B
-1.75%3.95B
-10.28%3.96B
-27.07%3.91B
-29.00%3.88B
-34.08%4.03B
-28.25%4.41B
-22.73%5.36B
-28.10%5.47B
-22.26%6.11B
-24.81%6.15B
-9.49%6.94B
-14.51%7.61B
55.62%7.85B
58.47%8.18B
26.34%7.67B
60.61%8.90B
7.93%5.05B
15.54%5.16B
35.80%6.07B
16.54%5.54B
-1.98%4.68B
0.68%4.47B
56.87%4.47B
329.02%4.75B
329.76%4.77B
--4.44B
--2.85B
266.91%1.11B
--1.11B
--302.05M
Ativos não Circulantes
Ativos Fixos Líquidos
2917.34%1.66B
3185.09%1.82B
-40.40%49.40M
-40.19%52.14M
-39.97%55.17M
-41.95%55.39M
417.40%82.89M
402.19%87.18M
385.66%91.90M
388.17%95.42M
-19.55%16.02M
-17.46%17.36M
-6.99%18.92M
89.55%19.55M
50.72%19.91M
61.86%21.03M
54.62%20.34M
-30.03%10.31M
-15.34%13.21M
-22.29%12.99M
-29.54%13.16M
-19.41%14.74M
-20.25%15.61M
-2.44%16.72M
49.45%18.67M
87.52%18.29M
160.07%19.57M
--17.14M
--12.50M
150.79%9.75M
--7.53M
--3.89M
-Ativos Fixos
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128.82%14.77M
--11.33M
--6.45M
-Depreciação Acumulada
----
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95.53%5.02M
--3.80M
--2.57M
Goodwill e outros Ativos Intangíveis
-1.76%47.26M
-1.96%47.43M
-0.47%47.63M
-75.66%47.87M
-75.55%48.11M
-75.44%48.37M
-75.54%47.86M
1.21%196.67M
1.16%196.78M
1.23%196.98M
0.65%195.63M
2.41%194.32M
2.46%194.52M
2.44%194.59M
2.39%194.36M
0.06%189.75M
0.06%189.84M
0.07%189.95M
5.91%189.82M
6.03%189.63M
6.02%189.73M
29.34%189.82M
22.06%179.23M
10970.61%178.84M
10456.18%178.96M
8523.80%146.76M
8150.71%146.84M
--1.62M
--1.70M
38.64%1.70M
--1.78M
--1.23M
Dívida de longo prazo
-83.61%3.65M
-74.44%9.31M
-84.85%9.76M
-91.04%9.94M
-87.36%22.25M
-85.99%36.43M
-83.30%64.43M
-81.04%110.85M
-78.36%176.10M
-74.73%260.05M
-62.91%385.74M
-50.75%584.49M
-35.16%813.72M
-29.24%1.03B
-19.80%1.04B
20.43%1.19B
0.21%1.25B
0.38%1.45B
-14.53%1.30B
-37.53%985.51M
-22.55%1.25B
12.98%1.45B
102.76%1.52B
--1.58B
--1.62B
23693.27%1.28B
13782.04%748.24M
----
----
-68.75%5.39M
--5.39M
--17.25M
Outros ativos não circulantes
-3.86%521.70M
4.95%617.19M
-37.10%465.47M
-34.70%493.88M
-34.17%542.65M
-28.28%588.09M
-48.55%739.99M
-49.99%756.33M
-47.73%824.34M
-48.76%820.01M
-12.36%1.44B
-8.22%1.51B
-6.47%1.58B
22.09%1.60B
35.89%1.64B
54.33%1.65B
61.57%1.69B
33.37%1.31B
32.97%1.21B
19.13%1.07B
15.70%1.04B
22.00%982.76M
33.68%908.15M
53.93%896.17M
68.09%902.10M
105.11%805.51M
274.50%679.33M
--582.18M
--536.66M
510.37%392.73M
--181.40M
--64.34M
Total de ativos não circulantes
294.41%2.64B
228.44%2.51B
-41.79%572.72M
-50.41%604.32M
-51.52%668.74M
-50.54%764.59M
-56.90%983.91M
-52.94%1.22B
-53.74%1.38B
-53.70%1.55B
-32.55%2.28B
-26.43%2.59B
-16.70%2.98B
2.84%3.34B
-34.14%3.38B
23.97%3.52B
16.62%3.58B
1.60%3.25B
60.93%5.14B
-8.73%2.84B
-4.38%3.07B
25.50%3.20B
69.25%3.19B
225.26%3.11B
254.59%3.21B
186.58%2.55B
202.74%1.89B
--956.41M
--905.29M
115.26%888.62M
--623.19M
--412.80M
Total de ativos
54.03%7.06B
28.41%5.97B
-9.62%4.53B
-18.96%4.56B
-32.07%4.58B
-33.75%4.65B
-40.29%5.01B
-35.56%5.63B
-32.05%6.74B
-35.91%7.02B
-25.36%8.39B
-25.30%8.74B
-11.78%9.92B
-9.87%10.95B
10.34%11.24B
46.23%11.70B
23.08%11.25B
39.02%12.15B
29.44%10.19B
5.58%8.00B
19.01%9.14B
19.66%8.74B
18.21%7.87B
40.50%7.58B
104.54%7.68B
265.63%7.30B
284.09%6.66B
--5.39B
--3.75B
179.34%2.00B
--1.73B
--714.86M
Passivos
Passivos circulantes
-Dividendos a pagar
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--442.23M
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-Outros a pagar
-74.24%20.98M
-75.08%31.19M
-77.76%33.69M
-75.05%51.97M
-71.31%81.43M
-68.89%125.14M
-68.72%151.47M
-65.98%208.32M
-59.34%283.83M
-42.45%402.30M
-28.66%484.17M
-4.73%612.25M
18.02%697.98M
51.69%699.02M
86.89%678.66M
98.63%642.66M
61.20%591.39M
77.27%460.83M
78.93%363.13M
64.75%323.55M
88.54%366.88M
50.08%259.95M
25.48%202.95M
14.77%196.39M
17.56%194.59M
-18.34%173.21M
18.81%161.74M
--171.11M
--165.52M
17.15%212.10M
--136.13M
--181.05M
Despesas acumuladas
1054.47%2.00B
551.74%1.35B
-47.73%130.81M
-67.20%154.49M
-80.90%173.24M
-76.78%206.88M
-41.61%250.24M
28.78%471.06M
207.81%906.81M
23.89%890.84M
-9.07%428.54M
3.80%365.79M
-18.25%294.60M
121.42%719.04M
109.00%471.27M
114.28%352.40M
106.73%360.36M
16.52%324.73M
27.20%225.49M
-23.52%164.46M
-20.05%174.31M
31.79%278.69M
13.28%177.27M
5.16%215.04M
-7.53%218.02M
51.44%211.46M
349.00%156.48M
--204.48M
--235.78M
163.19%139.63M
--34.85M
--53.05M
Dívidas e arrendamentos de curto prazo
2770.15%790.39M
211.48%124.58M
-99.24%649.30K
-99.79%715.34K
-96.25%27.54M
-95.63%40.00M
-90.86%85.86M
-68.66%348.08M
-35.33%733.59M
-39.75%914.44M
-53.01%939.18M
-41.59%1.11B
-27.34%1.13B
-4.22%1.52B
19.29%2.00B
0.93%1.90B
-38.56%1.56B
-31.20%1.58B
-9.25%1.68B
14.02%1.88B
58.91%2.54B
104.33%2.30B
288.78%1.85B
--1.65B
--1.60B
--1.13B
412.43%474.92M
----
--0.00
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--92.68M
--0.00
-Dívida de curto prazo
2865.83%790.39M
218.86%124.58M
-100.00%0.00
-100.00%0.00
-92.03%26.65M
-88.81%39.07M
-66.95%69.07M
-8.50%230.73M
73.30%334.33M
-39.75%349.30M
-78.93%208.99M
-67.63%252.17M
-65.58%192.93M
62.94%579.78M
129.43%991.93M
-3.53%779.10M
-53.01%560.50M
-75.29%355.82M
-61.05%432.34M
-27.24%807.65M
18.11%1.19B
118.14%1.44B
547.61%1.11B
--1.11B
--1.01B
--660.00M
144.86%171.40M
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--70.00M
--0.00
Passivos diferidos
-85.75%7.97M
-86.33%11.79M
-83.92%20.64M
-80.34%35.05M
-76.11%55.96M
--86.22M
--128.33M
--178.33M
--234.20M
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--62.34M
--28.67M
--0.00
Outros passivos circulantes
-78.92%28.95M
-79.67%42.98M
-80.58%54.33M
-77.49%87.03M
-73.48%137.39M
-47.46%211.36M
-42.21%279.80M
-36.85%386.65M
-25.78%518.03M
-42.45%402.30M
-28.66%484.17M
-4.73%612.25M
18.02%697.98M
51.69%699.02M
86.89%678.66M
98.63%642.66M
61.20%591.39M
77.27%460.83M
78.93%363.13M
64.75%323.55M
88.54%366.88M
50.08%259.95M
25.48%202.95M
14.77%196.39M
17.56%194.59M
-45.01%173.21M
-16.60%161.74M
--171.11M
--165.52M
72.93%314.99M
--193.95M
--182.15M
Total de passivos circulantes
368.73%3.14B
135.93%1.83B
-48.15%505.04M
-63.75%564.12M
-73.26%670.16M
-69.27%777.74M
-55.33%974.07M
-35.48%1.56B
-4.19%2.51B
-25.95%2.53B
-38.07%2.18B
-26.60%2.41B
-21.81%2.62B
39.08%3.42B
52.77%3.52B
36.51%3.29B
6.47%3.34B
-15.53%2.46B
1.68%2.30B
16.20%2.41B
51.07%3.14B
85.84%2.91B
167.06%2.27B
395.43%2.07B
370.83%2.08B
197.43%1.57B
131.96%848.66M
--418.08M
--441.70M
83.46%526.30M
--365.86M
--286.87M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-16.22%35.77M
-13.73%37.04M
-41.84%39.85M
-41.28%42.51M
-65.93%42.69M
-71.82%42.94M
-45.46%68.51M
-73.54%72.40M
-72.42%125.31M
-68.67%152.40M
-80.32%125.62M
-67.31%273.59M
-44.50%454.39M
-50.26%486.37M
-9.67%638.45M
177.36%836.81M
68.71%818.69M
224.13%977.79M
207.06%706.77M
-4.02%301.71M
61.58%485.25M
-36.19%301.67M
-60.44%230.17M
79.63%314.35M
71.61%300.32M
170.17%472.79M
476.33%581.88M
--175.00M
--175.00M
-7.69%175.00M
--100.96M
--189.57M
-Dívida de longo prazo
----
-100.00%0.00
-67.91%470.22K
-76.57%650.25K
-98.71%665.40K
-99.06%712.02K
-98.83%1.47M
-98.99%2.77M
-88.63%51.65M
-84.40%75.87M
-80.32%125.62M
-67.31%273.59M
-44.50%454.39M
-50.26%486.37M
-9.67%638.45M
177.36%836.81M
68.71%818.69M
224.13%977.79M
207.06%706.77M
-4.02%301.71M
61.58%485.25M
-36.19%301.67M
-60.44%230.17M
79.63%314.35M
71.61%300.32M
170.17%472.79M
476.33%581.88M
--175.00M
--175.00M
-7.69%175.00M
--100.96M
--189.57M
-Passivos de arrendamento de longo prazo
-14.89%35.77M
-12.28%37.04M
-41.27%39.38M
-39.87%41.86M
-42.94%42.03M
-44.82%42.23M
--67.05M
--69.62M
--73.66M
--76.53M
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Outros passivos não circulantes
-87.40%18.13K
-91.54%19.12K
-59.67%140.04K
-48.79%142.60K
-52.89%143.89K
-28.08%226.03K
-99.80%347.24K
-99.84%278.45K
-65.11%305.42K
-68.31%314.29K
11026.07%177.85M
7077.71%177.97M
-75.33%875.37K
-79.64%991.61K
-77.39%1.60M
-77.08%2.48M
-74.02%3.55M
-77.65%4.87M
--7.07M
--10.82M
4031.38%13.66M
186.82%21.80M
-100.00%0.00
-100.00%0.00
-99.06%330.60K
-78.63%7.60M
-8.05%32.87M
--34.71M
--35.13M
30.13%35.56M
--35.75M
--27.32M
Total de passivos não circulantes
-13.16%46.51M
-11.32%47.79M
-36.28%50.71M
-36.00%53.38M
-60.72%53.56M
-67.03%53.89M
-74.67%79.58M
-81.96%83.40M
-70.74%136.34M
-69.67%163.44M
-58.96%314.20M
-54.27%462.29M
-52.03%465.99M
-58.97%538.83M
-19.08%765.55M
203.01%1.01B
89.25%971.42M
291.14%1.31B
311.00%946.00M
6.14%333.65M
70.73%513.30M
-30.10%335.79M
-62.56%230.17M
49.90%314.35M
43.08%300.65M
128.15%480.39M
349.67%614.75M
--209.71M
--210.13M
-2.92%210.56M
--136.71M
--216.90M
Total de passivos
340.47%3.19B
126.39%1.88B
-47.26%555.75M
-62.34%617.50M
-72.61%723.72M
-69.13%831.63M
-57.76%1.05B
-42.95%1.64B
-14.26%2.64B
-31.90%2.69B
-41.80%2.49B
-33.11%2.87B
-28.61%3.08B
4.93%3.96B
31.86%4.29B
56.78%4.30B
18.09%4.32B
16.20%3.77B
30.20%3.25B
14.87%2.74B
53.55%3.65B
58.62%3.24B
70.60%2.50B
280.00%2.39B
265.17%2.38B
177.63%2.05B
191.18%1.46B
--627.79M
--651.83M
46.27%736.86M
--502.58M
--503.77M
Patrimônio líquido dos acionistas
Capital ordinário
-1.34%4.75B
-1.82%4.73B
-1.54%4.75B
-1.51%4.75B
0.00%4.81B
0.18%4.81B
0.38%4.82B
0.65%4.82B
2.55%4.81B
2.86%4.81B
3.32%4.80B
3.52%4.79B
1.92%4.69B
1.75%4.67B
1.56%4.65B
1.33%4.63B
1.39%4.61B
1.44%4.59B
1.59%4.58B
1.85%4.56B
1.87%4.54B
1.85%4.53B
22837.77%4.51B
80648.15%4.48B
106507.83%4.46B
106142.62%4.44B
369.58%19.64M
--5.55M
--4.18M
-10.90%4.18M
--4.18M
--4.70M
Lucros retidos
0.99%-243.17M
89.33%-35.81M
60.45%-91.70M
12.69%-159.58M
-12.15%-245.60M
-3784.31%-335.63M
-115.20%-231.85M
-111.04%-182.76M
-107.67%-218.99M
-99.70%9.11M
-46.79%1.53B
-49.57%1.66B
4.74%2.86B
-24.37%2.99B
20.13%2.87B
431.58%3.28B
234.82%2.73B
363.97%3.96B
227.23%2.39B
0.98%617.74M
5.16%814.18M
22.13%852.51M
-85.58%729.41M
190.74%611.77M
190.95%774.25M
125.74%698.04M
284.19%5.06B
---674.21M
---851.32M
27.71%-2.71B
---2.75B
---3.75B
Reservas de capital
-1.34%4.75B
-1.82%4.73B
-1.54%4.75B
-1.51%4.75B
0.00%4.81B
0.18%4.81B
0.38%4.82B
0.65%4.82B
2.55%4.81B
2.86%4.81B
3.32%4.80B
3.52%4.79B
1.92%4.69B
1.75%4.67B
1.56%4.65B
1.33%4.62B
1.39%4.61B
1.44%4.59B
1.59%4.58B
1.85%4.56B
1.87%4.54B
1.85%4.53B
23077.74%4.51B
81872.42%4.48B
108664.78%4.46B
108292.16%4.44B
374.12%19.44M
--5.47M
--4.10M
-11.10%4.10M
--4.10M
--4.61M
(-) Ações em tesouraria
-10.74%754.20M
-2.15%756.52M
0.30%782.80M
-0.17%780.06M
52.32%844.94M
38.30%773.13M
42.87%780.46M
43.05%781.37M
10.14%554.73M
15.20%559.01M
32.89%546.27M
53.04%546.22M
71.17%503.65M
760.10%485.26M
515.23%411.08M
461.75%356.91M
1325.65%294.24M
173.36%56.42M
223.74%66.82M
--63.54M
--20.64M
--20.64M
--20.64M
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Ganhos (perdas) fora do lucro retido
-13.69%114.57M
36.69%152.88M
-32.42%98.80M
1.58%140.58M
120.00%132.74M
68.55%111.85M
31.85%146.20M
550.40%138.39M
129.61%60.34M
135.39%66.36M
172.37%110.88M
79.13%-30.73M
-93.91%-203.80M
-62.51%-187.52M
-510.09%-153.21M
-203.21%-147.25M
-170.97%-105.10M
-196.61%-115.39M
-75.47%37.36M
44.99%142.66M
119.59%148.11M
9.12%119.43M
42.26%152.28M
125.42%98.39M
21129.87%67.45M
27552.61%109.45M
--107.05M
--43.65M
---320.71K
---398.70K
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Minoritários
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--0.00
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-100.00%0.00
-100.00%0.00
-100.00%0.00
-87.63%211.41K
115.02%211.41K
284.20%13.81M
-33.55%5.56M
-87.06%1.71M
-116.40%-1.41M
-86.06%3.59M
-72.88%8.36M
--13.21M
--8.58M
68.63%25.79M
--30.85M
--15.29M
Patrimônio total
0.28%3.87B
7.06%4.09B
0.41%3.97B
-1.16%3.95B
-5.96%3.86B
-11.68%3.82B
-32.89%3.96B
-31.94%3.99B
-40.06%4.10B
-38.18%4.32B
-15.22%5.89B
-20.77%5.87B
-1.31%6.84B
-16.53%6.99B
0.25%6.95B
40.73%7.40B
26.40%6.93B
52.51%8.38B
29.08%6.93B
1.31%5.26B
3.49%5.48B
4.50%5.49B
3.44%5.37B
8.96%5.19B
70.80%5.30B
317.09%5.26B
322.03%5.19B
--4.77B
--3.10B
496.91%1.26B
--1.23B
--211.09M
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KeyAI