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Diversified Energy Company PLC

DEC

14.465USD

+0.165+1.15%
Fechamento 08/04, 16:00ETCotações atrasadas em 15 min
732.65MValor de mercado
--P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
59.61%5.99M
-17.23%3.48M
-48.79%3.75M
-97.75%4.21M
-41.64%7.33M
4999.13%187.34M
810.66%12.56M
-45.29%3.67M
-16.98%1.38M
--6.71M
21.06%1.66M
-100.00%0.00
-90.95%1.37M
108.50%9.54M
6671.43%15.17M
22770.00%4.57M
148.89%224.00K
-97.50%20.00K
164.71%90.00K
128.94%799.00K
--34.00K
--349.00K
- Caixa e Equivalentes de Caixa
59.61%5.99M
-17.23%3.48M
-48.79%3.75M
-97.75%4.21M
-41.64%7.33M
4999.13%187.34M
810.66%12.56M
-45.29%3.67M
-16.98%1.38M
--6.71M
21.06%1.66M
-100.00%0.00
-90.95%1.37M
108.50%9.54M
6671.43%15.17M
22770.00%4.57M
148.89%224.00K
-97.50%20.00K
164.71%90.00K
128.94%799.00K
--34.00K
--349.00K
Contas a Receber
23.25%234.42M
-7.70%180.02M
-35.91%190.21M
-49.16%195.04M
4.90%296.78M
347.27%383.64M
322.33%282.92M
19.56%85.77M
-9.85%66.99M
-6.92%71.74M
-10.06%74.31M
118.10%77.08M
493.68%82.62M
18.00%35.34M
351.26%13.92M
797.75%29.95M
129.29%3.08M
203.00%3.34M
16.85%1.34M
-3.00%1.10M
--1.15M
--1.14M
-Contas e Títulos a Receber
23.25%234.42M
-7.70%180.02M
-35.91%190.21M
-49.16%195.04M
4.90%296.78M
347.27%383.64M
322.33%282.92M
23.16%85.77M
-9.38%66.99M
-7.32%69.64M
-5.77%73.92M
114.90%75.14M
463.71%78.45M
587.65%34.97M
351.26%13.92M
52.43%5.08M
129.29%3.08M
203.00%3.34M
16.85%1.34M
-3.00%1.10M
--1.15M
--1.14M
-Outros Recebíveis
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-100.00%0.00
8.65%2.10M
-90.82%383.00K
418.82%1.93M
--4.17M
-98.50%372.00K
--0.00
--24.86M
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Inventário
22.51%9.59M
----
-15.15%7.83M
----
-2.30%9.23M
38.27%8.42M
49.55%9.44M
21.54%6.09M
22.31%6.32M
-2.96%5.01M
-2.64%5.16M
--5.16M
--5.30M
--0.00
--0.00
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Despesas Antecipadas
129.51%9.08M
----
-24.74%3.96M
----
2.52%5.25M
50.52%7.54M
204.94%5.13M
61.83%5.01M
-61.06%1.68M
-4.41%3.10M
44.09%4.32M
50.14%3.24M
484.02%3.00M
--2.16M
--513.00K
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Outros Ativos Circulantes
2.06%11.43M
41.91%35.15M
41.87%11.20M
1907.13%24.77M
-69.69%7.89M
294.25%1.23M
10314.80%26.04M
-74.09%313.00K
-79.29%250.00K
-28.14%1.21M
-30.23%1.21M
-37.09%1.68M
132.53%1.73M
540.77%2.67M
-43.25%744.00K
253.39%417.00K
2948.84%1.31M
280.65%118.00K
95.45%43.00K
--31.00K
--22.00K
--0.00
Total de Ativos Circulantes
-0.11%304.26M
-14.69%288.96M
-14.01%304.60M
-45.06%338.71M
5.07%354.22M
511.28%616.54M
256.86%337.14M
-34.21%100.86M
-41.09%94.47M
14.14%153.30M
43.70%160.36M
170.20%134.31M
267.79%111.60M
42.26%49.71M
556.90%30.34M
905.76%34.94M
208.96%4.62M
39.41%3.47M
-28.23%1.50M
67.92%2.49M
--2.08M
--1.48M
Ativos não Circulantes
Ativos Fixos Líquidos
13.87%3.36B
0.58%3.17B
-2.39%2.95B
9.97%3.16B
2.53%3.02B
19.78%2.87B
37.75%2.94B
17.47%2.40B
16.61%2.14B
14.40%2.04B
29.00%1.83B
261.11%1.78B
539.17%1.42B
137.69%493.62M
177.35%222.27M
151.24%207.68M
80.24%80.14M
137.35%82.66M
37.80%44.46M
27.70%34.83M
--32.27M
--27.27M
-Ativos Fixos
16.88%4.49B
----
4.80%3.84B
----
8.48%3.66B
24.85%3.42B
43.70%3.38B
21.25%2.74B
17.60%2.35B
19.05%2.26B
34.27%2.00B
255.46%1.90B
496.67%1.49B
132.28%533.33M
--249.49M
--229.61M
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-Depreciação Acumulada
26.83%1.13B
----
38.39%893.24M
----
48.81%645.46M
60.46%547.24M
103.18%433.74M
56.67%341.04M
28.55%213.47M
92.18%217.68M
144.48%166.07M
185.24%113.27M
149.57%67.93M
81.09%39.71M
--27.22M
--21.93M
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Goodwill e outros Ativos Intangíveis
-21.55%15.18M
-24.69%15.66M
-8.28%19.35M
41.04%20.80M
49.27%21.10M
-9.59%14.75M
-26.44%14.13M
23.91%16.31M
--19.21M
--13.16M
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Outros ativos não circulantes
67.74%300.40M
40.46%298.88M
-57.66%179.09M
-59.85%212.79M
112.93%423.00M
76.12%529.92M
433.27%198.66M
1477.47%300.89M
248.29%37.25M
36.24%19.07M
-52.55%10.70M
-75.77%14.00M
2075.97%22.54M
5021.37%57.77M
-7.09%1.04M
864.10%1.13M
110.78%1.11M
30.00%117.00K
487.78%529.00K
0.00%90.00K
--90.00K
--90.00K
Total de ativos não circulantes
16.72%3.70B
3.01%3.53B
-8.84%3.17B
0.22%3.42B
10.12%3.48B
25.96%3.42B
43.75%3.16B
30.69%2.71B
19.00%2.20B
15.40%2.08B
27.69%1.85B
224.94%1.80B
547.26%1.45B
165.09%553.52M
174.82%223.31M
152.25%208.81M
80.60%81.26M
137.07%82.78M
39.05%44.99M
27.61%34.92M
--32.36M
--27.36M
Total de ativos
15.24%4.00B
1.42%3.82B
-9.32%3.47B
-6.70%3.76B
9.64%3.83B
43.35%4.03B
52.54%3.49B
26.23%2.81B
14.19%2.29B
15.32%2.23B
28.84%2.01B
220.43%1.93B
513.83%1.56B
147.48%603.23M
195.37%253.65M
182.59%243.75M
84.73%85.88M
130.57%86.25M
34.98%46.49M
29.68%37.41M
--34.44M
--28.85M
Passivos
Passivos circulantes
-Dividendos a pagar
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--2.89M
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-Outros a pagar
2.44%180.68M
-24.08%229.81M
-37.11%176.38M
-9.85%302.70M
43.70%280.47M
440.79%335.78M
355.80%195.18M
61.20%62.09M
-49.79%42.82M
-23.52%38.52M
15.31%85.28M
120.11%50.36M
490.88%73.96M
111.12%22.88M
124.20%12.52M
8570.40%10.84M
329.46%5.58M
-86.47%125.00K
345.21%1.30M
511.92%924.00K
--292.00K
--151.00K
Despesas acumuladas
20.78%126.97M
----
-27.29%105.13M
----
1.08%144.59M
288.63%182.53M
369.56%143.05M
42.67%46.97M
--30.46M
--32.92M
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Dívidas e arrendamentos de curto prazo
5.61%223.24M
-7.08%225.29M
-24.61%211.38M
-11.50%242.46M
309.64%280.39M
285.86%273.98M
-2.18%68.45M
17.27%71.01M
185.36%69.97M
6495.53%60.55M
2073.85%24.52M
33.82%918.00K
61.84%1.13M
23.60%686.00K
-97.45%697.00K
-98.11%555.00K
19.24%27.35M
29.84%29.31M
10.24%22.94M
37.20%22.57M
--20.81M
--16.45M
-Passivos de arrendamento de curto prazo
30.42%13.78M
28.81%13.71M
13.67%10.56M
6.04%10.64M
-3.47%9.29M
64.93%10.04M
92.04%9.63M
164.42%6.09M
528.20%5.01M
189.20%2.30M
-5.23%798.00K
37.48%796.00K
159.88%842.00K
131.60%579.00K
91.72%324.00K
121.24%250.00K
46.96%169.00K
--113.00K
--115.00K
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--0.00
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Outros passivos circulantes
2.44%180.68M
-24.08%229.81M
-37.11%176.38M
-9.85%302.70M
43.70%280.47M
440.79%335.78M
355.80%195.18M
61.20%62.09M
-49.79%42.82M
-23.52%38.52M
15.31%85.28M
120.11%50.36M
490.88%73.96M
111.12%22.88M
124.20%12.52M
8570.40%10.84M
329.46%5.58M
-86.47%125.00K
345.21%1.30M
511.92%924.00K
--292.00K
--151.00K
Total de passivos circulantes
19.03%759.96M
-7.73%657.99M
-43.58%638.44M
-54.44%713.08M
46.28%1.13B
263.28%1.57B
293.68%773.60M
144.31%430.81M
54.91%196.51M
199.64%176.34M
50.18%126.86M
96.89%58.85M
450.44%84.47M
72.65%29.89M
-60.14%15.35M
-48.55%17.31M
48.16%38.50M
23.48%33.65M
6.28%25.98M
44.57%27.25M
--24.45M
--18.85M
Passivos não circulantes
Provisões de longo prazo
28.11%642.14M
13.93%510.94M
10.76%501.25M
-2.96%448.46M
-13.34%452.55M
-9.52%462.17M
51.69%522.19M
121.49%510.77M
74.86%344.24M
58.86%230.61M
40.43%196.87M
100.53%145.17M
295.48%140.19M
128.87%72.39M
189.02%35.45M
113.75%31.63M
38.29%12.27M
219.54%14.80M
155.89%8.87M
69.63%4.63M
--3.47M
--2.73M
Dívidas e arrendamentos de longo prazo
37.92%1.48B
13.37%1.44B
-7.99%1.08B
19.24%1.27B
22.88%1.17B
88.78%1.07B
45.88%951.53M
-16.98%565.40M
8.94%652.28M
11.61%681.05M
24.09%598.78M
336.85%610.23M
583.28%482.53M
127.82%139.69M
598.30%70.62M
539.24%61.32M
-49.72%10.11M
-33.53%9.59M
48.35%20.11M
6.05%14.43M
--13.56M
--13.61M
-Dívida de longo prazo
37.92%1.48B
13.37%1.44B
-7.99%1.08B
19.24%1.27B
22.88%1.17B
88.78%1.07B
45.88%951.53M
-16.98%565.40M
8.94%652.28M
11.61%681.05M
24.09%598.78M
336.85%610.23M
583.28%482.53M
127.82%139.69M
598.30%70.62M
539.24%61.32M
-49.72%10.11M
-33.53%9.59M
48.35%20.11M
6.05%14.43M
--13.56M
--13.61M
Benefícios trabalhistas
28.11%642.14M
13.93%510.94M
10.76%501.25M
-2.96%448.46M
-13.34%452.55M
-9.52%462.17M
51.69%522.19M
121.49%510.77M
74.86%344.24M
58.86%230.61M
40.43%196.87M
100.53%145.17M
295.48%140.19M
128.87%72.39M
189.02%35.45M
113.75%31.63M
38.29%12.27M
219.54%14.80M
155.89%8.87M
69.63%4.63M
--3.47M
--2.73M
Responsabilidades com derivativos
-2.38%608.87M
-16.35%611.58M
-47.05%623.68M
-42.21%731.09M
111.46%1.18B
292.90%1.27B
230.51%556.98M
209.28%321.97M
--168.52M
--104.10M
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Outros passivos não circulantes
28.61%647.53M
14.25%515.43M
9.94%503.47M
-4.25%451.15M
-13.59%457.93M
-9.40%471.15M
48.41%529.97M
114.30%520.01M
64.53%357.10M
42.58%242.66M
51.37%217.04M
78.31%170.19M
247.92%143.38M
160.30%95.45M
225.04%41.21M
141.94%36.67M
38.63%12.68M
206.74%15.16M
142.73%9.15M
68.75%4.94M
--3.77M
--2.93M
Total de passivos não circulantes
24.22%2.78B
4.87%2.61B
-21.14%2.24B
-11.82%2.49B
37.94%2.84B
97.58%2.82B
70.32%2.06B
32.78%1.43B
28.33%1.21B
20.03%1.08B
30.03%940.95M
229.91%896.33M
456.36%723.64M
125.75%271.69M
240.36%130.07M
384.05%120.35M
30.34%38.21M
28.35%24.86M
69.21%29.32M
17.15%19.37M
--17.33M
--16.54M
Total de passivos
23.07%3.54B
2.07%3.27B
-27.54%2.88B
-27.02%3.20B
40.22%3.97B
135.98%4.39B
101.58%2.83B
48.48%1.86B
31.49%1.40B
31.09%1.25B
32.14%1.07B
216.72%955.18M
455.74%808.11M
119.07%301.58M
89.55%145.41M
135.26%137.66M
38.71%76.71M
25.50%58.51M
32.38%55.30M
31.76%46.63M
--41.78M
--35.39M
Patrimônio líquido dos acionistas
Capital ordinário
4.95%1.30B
0.49%1.24B
14.18%1.24B
14.78%1.23B
0.32%1.08B
-0.25%1.07B
25.52%1.08B
25.55%1.08B
11.14%859.36M
11.04%856.28M
40.89%773.25M
198.16%771.11M
603.42%548.84M
231.76%258.63M
7845.52%78.03M
12273.81%77.95M
55.87%982.00K
1.29%630.00K
3.11%630.00K
--622.00K
--611.00K
--0.00
Lucros retidos
-32.47%-724.96M
-0.26%-591.62M
51.74%-547.25M
59.09%-590.11M
-162.93%-1.13B
-1094.59%-1.44B
-1680.00%-431.28M
-200.17%-120.74M
-83.45%27.30M
-41.67%120.54M
-17.57%164.88M
380.36%206.65M
562.03%200.02M
52.93%43.02M
269.35%30.21M
3.76%28.13M
186.59%8.18M
375.55%27.11M
-18.86%-9.45M
-50.43%-9.84M
---7.95M
---6.54M
Reservas de capital
4.93%1.28B
0.51%1.22B
14.20%1.22B
14.81%1.22B
0.33%1.07B
-0.26%1.06B
25.57%1.07B
25.59%1.06B
11.17%849.84M
11.15%846.76M
41.17%764.45M
199.53%761.79M
611.70%541.50M
234.57%254.33M
24208.31%76.08M
--76.02M
--313.00K
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Plano de ações (passivo)
16.14%119.01M
17.79%109.32M
1.63%102.47M
--92.81M
--100.83M
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Minoritários
-5.75%11.88M
-5.21%12.37M
-15.77%12.60M
-18.06%13.05M
-9.53%14.96M
--15.93M
--16.54M
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Patrimônio total
-22.37%464.56M
-2.26%548.30M
534.50%598.41M
258.44%561.00M
-120.74%-137.72M
-137.10%-354.08M
-25.12%663.95M
-2.30%954.31M
-5.49%886.66M
-0.10%976.81M
25.27%938.13M
224.14%977.76M
591.87%748.86M
184.35%301.64M
1081.38%108.24M
282.44%106.08M
203.91%9.16M
400.99%27.74M
-20.17%-8.82M
-40.92%-9.22M
---7.34M
---6.54M
Moeda
USD
USD
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Opinião da Auditoria
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