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Coinbase Global Inc

COIN

399.499USD

+11.479+2.96%
Horário de mercado ETCotações atrasadas em 15 min
101.71BValor de mercado
67.33P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q2
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
19.96%8.05B
66.24%8.54B
51.42%7.72B
39.85%7.23B
33.74%6.71B
16.14%5.14B
1.88%5.10B
-9.07%5.17B
-17.95%5.02B
-37.88%4.43B
-21.19%5.01B
30.14%5.68B
208.39%6.12B
570.86%7.12B
--6.35B
535.14%4.37B
--1.98B
--1.06B
--687.41M
- Caixa e Equivalentes de Caixa
19.96%8.05B
66.24%8.54B
51.42%7.72B
39.85%7.23B
33.74%6.71B
16.14%5.14B
1.88%5.10B
-9.07%5.17B
-17.95%5.02B
-37.88%4.43B
-21.19%5.01B
30.14%5.68B
208.39%6.12B
570.86%7.12B
--6.35B
535.14%4.37B
--1.98B
--1.06B
--687.41M
Contas a Receber
-12.87%705.35M
75.38%746.15M
28.87%602.07M
38.95%683.61M
47.62%809.50M
-8.47%425.44M
55.28%467.19M
59.72%491.97M
36.13%548.35M
1.65%464.82M
-9.33%300.88M
-50.29%308.02M
92.89%402.81M
141.33%457.26M
--331.82M
487.59%619.67M
--208.83M
--189.47M
--105.46M
-Contas e Títulos a Receber
-12.57%245.11M
57.62%265.25M
-52.95%187.00M
-44.65%236.44M
-41.64%280.36M
-58.38%168.29M
65.37%397.47M
73.93%427.21M
38.83%480.40M
2.11%404.38M
1.36%240.35M
33.07%245.62M
65.71%346.05M
109.02%396.02M
--237.13M
619.13%184.58M
--208.83M
--189.47M
--25.67M
-Empréstimos a Receber
-14.11%454.47M
145.76%475.37M
--398.24M
--440.35M
--529.14M
--193.43M
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Despesas Antecipadas
--109.56M
11.25%88.50M
-33.59%58.51M
-3.03%78.28M
----
-18.99%79.55M
-3.57%88.10M
-37.81%80.72M
-40.32%108.18M
-20.32%98.20M
-5.72%91.37M
45.30%129.80M
249.24%181.26M
240.29%123.25M
--96.91M
183.40%89.33M
--51.90M
--36.22M
--31.52M
Outros Ativos Circulantes
-97.45%8.59B
52.90%8.73B
135.10%278.04B
113.89%274.90B
158.37%336.32B
-92.99%5.71B
15.63%118.26B
33.82%128.52B
1171.16%130.17B
663.46%81.46B
1025.43%102.28B
948.15%96.04B
59.29%10.24B
177.40%10.67B
--9.09B
417.66%9.16B
--6.43B
--3.85B
--1.77B
Total de Ativos Circulantes
-94.92%17.45B
59.49%18.11B
131.14%286.43B
110.70%282.89B
153.11%343.84B
-86.86%11.36B
15.08%123.92B
31.42%134.26B
701.88%135.84B
370.50%86.45B
578.52%107.68B
617.53%102.16B
95.34%16.94B
257.89%18.37B
--15.87B
448.78%14.24B
--8.67B
--5.13B
--2.59B
Ativos não Circulantes
Ativos Fixos Líquidos
48.66%302.11M
36.99%281.23M
-11.34%193.00M
-7.21%189.53M
-4.01%203.22M
-14.89%205.29M
-12.01%217.69M
-10.49%204.26M
34.59%211.71M
53.04%241.21M
53.45%247.39M
44.90%228.18M
-2.38%157.29M
5.01%157.62M
--161.22M
-4.00%157.47M
--161.12M
--150.09M
--164.03M
-Ativos Fixos
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42.89%465.85M
----
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-0.06%326.01M
----
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----
63.23%326.23M
----
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----
14.48%199.86M
----
----
----
--174.58M
--180.97M
-Depreciação Acumulada
----
52.92%184.62M
----
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----
42.01%120.73M
----
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101.24%85.02M
----
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72.52%42.25M
----
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--24.49M
--16.94M
Goodwill e outros Ativos Intangíveis
-1.57%1.20B
-3.23%1.19B
-3.47%1.19B
-3.00%1.21B
-3.93%1.22B
1.39%1.23B
-0.08%1.23B
-1.24%1.25B
-2.30%1.27B
50.71%1.21B
74.12%1.24B
103.40%1.26B
126.20%1.30B
481.33%802.45M
--709.60M
430.94%621.15M
--574.41M
--138.04M
--116.99M
Outros ativos não circulantes
-5.31%2.30B
55.76%2.53B
47.96%2.33B
40.14%2.28B
45.93%2.43B
9.48%1.62B
-4.33%1.58B
10.98%1.62B
-20.71%1.66B
-5.90%1.48B
15.04%1.65B
107.31%1.46B
176.97%2.10B
288.73%1.58B
--1.43B
802.39%705.93M
--757.06M
--405.19M
--78.23M
Total de ativos não circulantes
1.95%4.28B
30.38%4.43B
22.05%4.13B
20.18%4.07B
21.33%4.20B
3.68%3.40B
-2.92%3.39B
2.50%3.39B
-12.56%3.46B
12.97%3.28B
34.97%3.49B
112.99%3.31B
158.71%3.95B
302.04%2.90B
--2.58B
309.01%1.55B
--1.53B
--721.47M
--379.49M
Total de ativos
-93.76%21.73B
52.79%22.54B
128.24%290.56B
108.47%286.96B
149.84%348.04B
-83.56%14.75B
14.52%127.31B
30.51%137.65B
566.67%139.30B
321.75%89.72B
502.40%111.17B
567.93%105.47B
104.83%20.90B
263.33%21.27B
--18.45B
430.95%15.79B
--10.20B
--5.86B
--2.97B
Passivos
Passivos circulantes
-Outros a pagar
-98.27%5.79B
39.99%6.66B
134.95%277.09B
113.36%273.74B
157.86%335.10B
-94.09%4.76B
15.91%117.94B
34.00%128.30B
1159.75%129.96B
631.87%80.51B
991.14%101.74B
916.24%95.74B
50.26%10.32B
165.30%11.00B
--9.32B
466.83%9.42B
--6.87B
--4.15B
--1.66B
Despesas acumuladas
31.74%321.65M
5.75%331.52M
24.24%331.89M
50.74%292.19M
20.77%244.15M
89.09%313.49M
18.57%267.14M
-46.81%193.84M
-50.33%202.16M
-51.54%165.79M
0.34%225.31M
96.44%364.45M
303.32%407.04M
496.14%342.12M
--224.54M
384.02%185.53M
--100.92M
--57.39M
--38.33M
Dívidas e arrendamentos de curto prazo
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-100.00%0.00
-100.00%0.00
-100.00%0.00
--20.52M
--512.00K
--504.00K
--149.43M
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-Dívida de curto prazo
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-100.00%0.00
-100.00%0.00
-100.00%0.00
--20.52M
--512.00K
--504.00K
--149.43M
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Outros passivos circulantes
-98.27%5.79B
39.99%6.66B
134.95%277.09B
113.36%273.74B
157.86%335.10B
-94.09%4.76B
15.91%117.94B
34.00%128.30B
1159.75%129.96B
631.87%80.51B
991.14%101.74B
916.24%95.74B
50.26%10.32B
165.30%11.00B
--9.32B
466.83%9.42B
--6.87B
--4.15B
--1.66B
Total de passivos circulantes
-97.93%6.93B
44.78%7.94B
134.65%277.59B
113.44%274.35B
157.86%335.73B
-93.21%5.49B
15.90%118.30B
33.62%128.54B
1092.13%130.20B
607.72%80.82B
961.59%102.07B
893.99%96.19B
50.52%10.92B
168.88%11.42B
--9.62B
459.00%9.68B
--7.26B
--4.25B
--1.73B
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
2.30%4.32B
44.78%4.32B
37.27%4.23B
26.48%4.23B
24.01%4.23B
-13.15%2.98B
-10.44%3.08B
-3.06%3.34B
-1.34%3.41B
-0.68%3.44B
-0.65%3.44B
131.55%3.45B
3801.19%3.45B
4092.17%3.46B
--3.46B
1468.97%1.49B
--88.52M
--82.51M
--94.92M
-Dívida de longo prazo
0.29%4.24B
42.09%4.23B
37.52%4.23B
26.81%4.23B
24.43%4.23B
-12.18%2.98B
-9.28%3.08B
-1.62%3.33B
0.26%3.40B
0.26%3.39B
0.27%3.39B
140.88%3.39B
--3.39B
--3.38B
--3.38B
--1.41B
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-Passivos de arrendamento de longo prazo
--85.05M
2145.20%85.79M
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-90.91%3.82M
-88.66%5.69M
-85.48%8.61M
-83.00%11.29M
-43.24%42.04M
-38.52%50.17M
-27.92%59.32M
-24.96%66.42M
-10.22%74.08M
--81.60M
-13.30%82.29M
--88.52M
--82.51M
--94.92M
Outros passivos não circulantes
23.63%7.26M
15.43%3.92M
224.04%11.00M
-53.23%6.67M
-65.85%5.87M
-82.62%3.40M
-87.67%3.40M
16.74%14.25M
-28.35%17.19M
31.72%19.53M
85.76%27.55M
1220700.00%12.21M
--23.99M
--14.83M
--14.83M
--1.00K
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Total de passivos não circulantes
2.33%4.33B
44.75%4.32B
37.48%4.24B
26.14%4.23B
23.56%4.23B
-13.54%2.99B
-11.05%3.09B
-2.99%3.36B
-1.53%3.42B
-0.54%3.46B
-0.28%3.47B
132.37%3.46B
3828.28%3.48B
4110.14%3.47B
--3.48B
1468.97%1.49B
--88.52M
--82.51M
--94.92M
Total de passivos
-96.69%11.26B
44.77%12.27B
132.18%281.83B
111.22%278.59B
154.41%339.97B
-89.95%8.47B
15.01%121.38B
32.35%131.90B
828.02%133.63B
465.85%84.27B
706.05%105.54B
792.42%99.65B
96.05%14.40B
243.99%14.89B
--13.09B
511.49%11.17B
--7.34B
--4.33B
--1.83B
Patrimônio líquido dos acionistas
Capital ordinário
20.51%5.48B
19.47%5.37B
15.14%5.09B
13.62%4.82B
12.17%4.55B
19.21%4.49B
30.71%4.42B
41.10%4.24B
57.29%4.06B
85.18%3.77B
82.65%3.38B
98.11%3.00B
220.59%2.58B
780.71%2.03B
--1.85B
1217.11%1.52B
--804.52M
--231.02M
--115.14M
Capital preferencial
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--552.04M
--562.47M
--564.70M
Lucros retidos
41.27%5.03B
172.53%4.96B
137.23%3.67B
132.01%3.59B
116.09%3.56B
5.50%1.82B
-32.23%1.55B
-45.20%1.55B
-58.00%1.65B
-60.34%1.73B
-34.98%2.28B
-8.92%2.83B
161.77%3.92B
498.98%4.35B
--3.51B
562.96%3.10B
--1.50B
--726.30M
--468.22M
Reservas de capital
20.51%5.48B
19.47%5.37B
15.14%5.09B
13.62%4.82B
12.17%4.55B
19.21%4.49B
30.71%4.42B
41.10%4.24B
57.29%4.06B
85.18%3.77B
82.65%3.38B
98.11%3.00B
220.59%2.58B
780.71%2.03B
--1.85B
1217.11%1.52B
--804.52M
--231.02M
--115.14M
Ganhos (perdas) fora do lucro retido
-12.26%-42.09M
-65.35%-50.05M
34.62%-28.84M
-19.17%-40.27M
-31.99%-37.50M
21.59%-30.27M
-20.88%-44.11M
-85.84%-33.79M
-630.31%-28.41M
-1037.14%-38.61M
-8347.45%-36.49M
-755.48%-18.18M
-283.66%-3.89M
-154.27%-3.40M
---432.00K
1232.24%2.77M
--2.12M
--6.26M
---245.00K
Patrimônio total
29.70%10.47B
63.60%10.28B
47.41%8.73B
45.46%8.37B
42.22%8.07B
15.16%6.28B
5.24%5.92B
-1.01%5.75B
-12.64%5.67B
-14.53%5.45B
4.96%5.63B
25.74%5.81B
127.42%6.50B
318.18%6.38B
--5.36B
302.80%4.62B
--2.86B
--1.53B
--1.15B
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Opinião da Auditoria
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