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Dream Finders Homes Inc

DFH

25.410USD

-0.070-0.27%
Fechamento 07/21, 16:00ETCotações atrasadas em 15 min
2.38BValor de mercado
7.39P/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
FY2020Q3
Ativos Circulantes
- Caixa e Equivalentes de Caixa
24.24%297.47M
-44.47%274.38M
-37.93%204.91M
-6.06%274.80M
-10.18%239.43M
35.56%494.14M
166.90%330.13M
247.82%292.51M
166.20%266.57M
60.43%364.53M
44.60%123.69M
1266.47%84.10M
136.72%100.14M
540.16%227.23M
103.27%85.54M
--6.15M
--42.30M
--35.50M
--42.08M
Inventário
6.87%1.85B
19.10%1.72B
39.78%2.06B
33.89%1.90B
20.81%1.73B
4.50%1.44B
-2.57%1.47B
4.52%1.42B
16.46%1.43B
29.21%1.38B
126.98%1.51B
114.90%1.36B
123.86%1.23B
120.22%1.07B
63.17%666.49M
--630.99M
--550.37M
--484.37M
--408.47M
Caixa Restrito
78.34%50.63M
20.49%65.44M
-15.77%27.94M
-34.00%21.83M
-8.06%28.39M
77.49%54.31M
-12.80%33.17M
-26.97%33.08M
-49.27%30.88M
-43.43%30.60M
-79.08%38.04M
-3.50%45.30M
23.15%60.88M
8.81%54.09M
447.02%181.85M
--46.94M
--49.43M
--49.72M
--33.24M
Total de Ativos Circulantes
9.96%2.23B
3.45%2.09B
24.20%2.32B
25.52%2.23B
14.93%2.03B
10.88%2.02B
8.84%1.87B
16.68%1.77B
23.32%1.77B
31.44%1.82B
77.23%1.72B
105.93%1.52B
122.81%1.43B
143.28%1.39B
100.43%969.67M
--738.42M
--642.68M
--569.58M
--483.80M
Ativos não Circulantes
Ativos Fixos Líquidos
74.38%49.28M
59.17%43.49M
48.94%43.49M
-8.62%27.02M
-8.13%28.26M
-13.04%27.32M
-7.75%29.20M
-6.47%29.57M
-7.34%30.76M
19.52%31.42M
89.26%31.65M
83.04%31.62M
80.19%33.20M
39.36%26.29M
-1.52%16.72M
--17.27M
--18.43M
--18.86M
--16.98M
-Ativos Fixos
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--31.90M
--27.83M
-Depreciação Acumulada
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--13.04M
--10.85M
Goodwill e outros Ativos Intangíveis
13.41%345.99M
74.39%300.31M
74.39%300.31M
74.39%300.31M
77.15%305.07M
-2.82%172.21M
-3.40%172.21M
-3.80%172.21M
-4.35%172.21M
-2.13%177.21M
450.95%178.27M
450.43%179.01M
450.77%180.04M
479.86%181.07M
165.02%32.36M
--32.52M
--32.69M
--31.23M
--12.21M
Total de ativos
28.38%3.49B
29.90%3.33B
39.45%3.32B
30.46%2.99B
17.68%2.72B
8.07%2.56B
4.23%2.38B
8.30%2.29B
15.88%2.31B
25.18%2.37B
85.57%2.29B
126.63%2.11B
129.89%1.99B
158.18%1.89B
115.31%1.23B
--932.28M
--866.72M
--733.68M
--572.48M
Passivos
Passivos circulantes
Dívidas e arrendamentos de curto prazo
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-83.54%3.29M
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--20.00M
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Total de passivos circulantes
5.01%448.98M
4.28%536.06M
14.69%485.85M
30.29%491.57M
5.69%427.56M
10.70%514.08M
-6.20%423.61M
-15.76%377.28M
-13.86%404.56M
7.05%464.41M
82.23%451.62M
131.60%447.88M
129.86%469.64M
135.51%433.84M
117.97%247.83M
--193.39M
--204.32M
--184.21M
--113.70M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
46.98%1.48B
56.02%1.29B
71.48%1.46B
35.37%1.19B
9.67%1.00B
-14.69%824.30M
-13.04%849.12M
-0.10%875.67M
18.69%915.99M
27.14%966.25M
119.96%976.44M
137.52%876.57M
138.27%771.73M
153.73%760.00M
69.31%443.91M
--369.05M
--323.88M
--299.53M
--262.19M
-Dívida de longo prazo
46.98%1.48B
56.02%1.29B
71.48%1.46B
35.37%1.19B
9.67%1.00B
-14.69%824.30M
-13.04%849.12M
-0.10%875.67M
18.69%915.99M
27.14%966.25M
119.96%976.44M
137.52%876.57M
138.27%771.73M
153.73%760.00M
69.31%443.91M
--369.05M
--323.88M
--299.53M
--262.19M
Total de passivos
28.30%2.05B
30.72%1.93B
47.10%2.06B
30.42%1.79B
9.33%1.59B
-6.00%1.48B
-11.01%1.40B
-6.61%1.37B
4.41%1.46B
17.38%1.57B
114.40%1.57B
143.11%1.47B
146.53%1.40B
156.46%1.34B
85.42%732.68M
--602.88M
--566.52M
--521.66M
--395.15M
Patrimônio líquido dos acionistas
Capital ordinário
5.92%285.10M
2.29%282.50M
1.84%277.37M
0.15%272.23M
0.40%269.18M
3.95%276.17M
3.28%272.36M
3.70%271.84M
3.02%268.11M
2.62%265.68M
2.34%263.71M
2.31%262.13M
2.15%260.25M
108.03%258.89M
172.37%257.69M
--256.22M
--254.76M
--124.45M
--94.61M
Capital preferencial
0.00%148.50M
0.00%148.50M
0.00%148.50M
-5.10%148.50M
-4.97%148.50M
-4.84%148.50M
-4.70%148.50M
0.55%156.48M
0.54%156.26M
0.53%156.04M
0.61%155.83M
2221.50%155.62M
2285.37%155.42M
178.98%155.22M
207.58%154.89M
--6.70M
--6.52M
--55.64M
--50.36M
Lucros retidos
46.07%1.02B
49.64%970.25M
53.57%844.38M
63.03%777.10M
70.00%699.53M
77.16%648.41M
94.07%549.84M
119.31%476.66M
159.44%411.49M
209.66%365.99M
338.91%283.33M
376.52%217.35M
820.82%158.61M
--118.19M
--64.55M
--45.61M
--17.22M
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Reservas de capital
5.93%284.16M
2.30%281.56M
1.84%276.43M
0.14%271.30M
0.40%268.24M
3.96%275.24M
3.29%271.43M
3.71%270.90M
3.03%267.19M
2.63%264.76M
2.35%262.78M
2.32%261.21M
2.16%259.33M
--257.96M
--256.76M
--255.29M
--253.84M
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(-) Ações em tesouraria
--14.79M
--7.83M
--6.67M
--1.85M
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Minoritários
-66.84%1.75M
-58.01%5.49M
-69.51%4.69M
-71.76%4.09M
-63.77%5.29M
0.74%13.07M
13.82%15.38M
20.28%14.50M
-32.09%14.61M
-46.14%12.97M
-40.68%13.51M
-42.24%12.06M
-0.85%21.51M
-24.60%24.08M
-29.63%22.77M
--20.87M
--21.70M
--31.94M
--32.36M
Patrimônio total
28.49%1.44B
28.80%1.40B
28.62%1.27B
30.52%1.20B
31.99%1.12B
35.65%1.09B
37.65%986.07M
42.08%919.48M
42.75%850.48M
43.91%800.69M
43.30%716.37M
96.46%647.15M
98.47%595.79M
162.42%556.38M
181.91%499.90M
--329.40M
--300.20M
--212.02M
--177.33M
Moeda
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Opinião da Auditoria
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