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Doximity Inc

DOCS

57.895USD

+0.565+0.99%
Horário de mercado ETCotações atrasadas em 15 min
10.93BValor de mercado
48.99P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
20.02%915.66M
18.97%844.94M
10.37%805.56M
-14.05%750.49M
-9.29%762.90M
-11.33%710.24M
-2.68%729.85M
12.49%873.17M
5.37%841.00M
4.62%800.97M
0.99%749.99M
6.86%776.25M
459.95%798.11M
632.85%765.58M
--742.66M
--726.45M
--142.53M
--104.47M
- Caixa e Equivalentes de Caixa
116.58%209.61M
34.27%165.27M
69.97%184.25M
-63.67%111.44M
-38.75%96.78M
-9.79%123.09M
47.14%108.40M
178.61%306.73M
40.08%158.03M
60.39%136.45M
-7.35%73.67M
-81.48%110.09M
69.91%112.81M
21.58%85.08M
--79.52M
--594.32M
--66.39M
--69.97M
-Investimentos de Curto Prazo
6.00%706.05M
15.76%679.67M
-0.02%621.31M
12.82%639.05M
-2.47%666.12M
-11.64%587.15M
-8.11%621.45M
-14.97%566.44M
-0.34%682.97M
-2.35%664.51M
1.99%676.32M
404.16%666.16M
800.05%685.30M
1872.98%680.50M
--663.14M
--132.13M
--76.14M
--34.49M
Contas a Receber
26.46%135.85M
41.75%144.70M
29.04%130.99M
30.86%128.01M
-4.12%107.43M
27.83%102.08M
22.26%101.52M
22.40%97.82M
38.21%112.05M
14.38%79.86M
49.13%83.04M
73.78%79.92M
61.12%81.07M
54.43%69.82M
--55.68M
--45.99M
--50.32M
--45.21M
-Contas e Títulos a Receber
26.67%128.35M
40.91%137.50M
28.37%124.79M
30.12%120.91M
-5.34%101.33M
30.35%97.58M
22.69%97.22M
22.23%92.92M
32.04%107.05M
7.22%74.86M
42.30%79.24M
65.30%76.02M
61.12%81.07M
54.43%69.82M
--55.68M
--45.99M
--50.32M
--45.21M
-Outros Recebíveis
22.95%7.50M
60.00%7.20M
44.19%6.20M
44.90%7.10M
22.00%6.10M
-10.00%4.50M
13.16%4.30M
25.64%4.90M
--5.00M
--5.00M
--3.80M
--3.90M
----
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Despesas Antecipadas
-12.92%37.10M
1.62%23.06M
-25.72%21.16M
100.70%29.97M
146.45%42.61M
87.22%22.69M
139.58%28.49M
4.00%14.93M
-11.06%17.29M
-32.35%12.12M
-57.77%11.89M
2.19%14.36M
81.81%19.44M
82.40%17.92M
--28.16M
--14.05M
--10.69M
--9.82M
Outros Ativos Circulantes
--0.00
----
----
----
----
5.64%5.89M
-1.30%2.96M
3.30%3.73M
-7.15%5.12M
10.12%5.57M
-3.48%3.00M
-12.02%3.61M
-5.87%5.51M
8.84%5.06M
--3.11M
--4.10M
--5.86M
--4.65M
Total de Ativos Circulantes
19.24%1.09B
20.43%1.01B
11.00%957.71M
-8.20%908.47M
-6.41%912.94M
-6.41%840.90M
1.76%862.82M
13.21%989.66M
7.89%975.45M
4.68%898.52M
2.21%847.92M
10.57%874.14M
331.77%904.14M
422.92%858.38M
--829.61M
--790.60M
--209.40M
--164.15M
Ativos não Circulantes
Ativos Fixos Líquidos
-8.55%22.54M
-7.46%22.81M
-7.87%22.59M
-0.80%24.72M
-1.79%24.65M
-4.75%24.65M
-7.60%24.52M
8.62%24.92M
162.12%25.10M
163.77%25.88M
202.50%26.54M
163.42%22.94M
7.14%9.57M
6.79%9.81M
--8.77M
--8.71M
--8.94M
--9.19M
-Ativos Fixos
8.60%47.49M
9.17%46.12M
8.92%44.31M
14.07%45.30M
13.07%43.73M
11.33%42.24M
9.36%40.68M
23.22%39.71M
114.31%38.67M
117.68%37.95M
142.54%37.20M
124.06%32.23M
30.77%18.05M
30.87%17.43M
--15.34M
--14.38M
--13.80M
--13.32M
-Depreciação Acumulada
30.76%24.95M
32.45%23.31M
34.40%21.72M
39.12%20.57M
40.55%19.08M
45.80%17.60M
51.61%16.16M
59.33%14.79M
60.27%13.57M
58.36%12.07M
62.40%10.66M
63.62%9.28M
74.21%8.47M
84.37%7.62M
--6.56M
--5.67M
--4.86M
--4.13M
Goodwill e outros Ativos Intangíveis
-4.46%91.01M
-4.41%92.07M
-4.36%93.14M
-4.45%94.20M
-4.53%95.26M
-4.61%96.32M
-4.69%97.38M
-4.64%98.58M
271.97%99.78M
264.30%100.97M
265.13%102.17M
265.95%103.37M
-5.92%26.82M
-3.64%27.72M
--27.98M
--28.25M
--28.51M
--28.76M
Outros ativos não circulantes
33.55%62.13M
14.92%44.57M
10.35%45.08M
14.18%46.08M
27.26%46.53M
-7.03%38.78M
-21.01%40.85M
-20.05%40.35M
-28.06%36.56M
15.03%41.72M
1688.76%51.71M
1820.62%50.47M
943.55%50.82M
748.15%36.27M
--2.89M
--2.63M
--4.87M
--4.28M
Total de ativos não circulantes
5.56%175.69M
-0.19%159.45M
-1.20%160.80M
0.70%164.99M
3.10%166.43M
-5.23%159.75M
-9.80%162.75M
-7.32%163.85M
85.09%161.44M
128.43%168.57M
355.08%180.43M
346.60%176.79M
106.11%87.22M
74.76%73.79M
--39.65M
--39.59M
--42.32M
--42.23M
Total de ativos
17.13%1.26B
17.14%1.17B
9.06%1.12B
-6.94%1.07B
-5.06%1.08B
-6.23%1.00B
-0.27%1.03B
9.76%1.15B
14.68%1.14B
14.47%1.07B
18.30%1.03B
26.59%1.05B
293.83%991.36M
351.68%932.17M
--869.25M
--830.18M
--251.72M
--206.38M
Passivos
Passivos circulantes
-Outros a pagar
-32.33%11.47M
90.12%8.10M
-23.25%10.83M
-49.62%5.67M
49.65%16.96M
-59.84%4.26M
56.03%14.11M
14.10%11.25M
--11.33M
--10.61M
--9.04M
--9.86M
----
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--0.00
--0.00
Despesas acumuladas
7.60%25.57M
25.22%33.75M
0.21%15.01M
31.17%19.78M
19.35%23.77M
19.56%26.95M
-13.76%14.97M
-2.04%15.08M
-21.20%19.91M
-5.99%22.54M
10.85%17.36M
7.81%15.40M
55.17%25.27M
45.66%23.98M
--15.66M
--14.28M
--16.29M
--16.46M
Passivos diferidos
15.27%114.28M
3.75%69.20M
2.52%93.75M
4.70%102.94M
-5.79%99.14M
-4.27%66.69M
2.04%91.45M
4.70%98.32M
23.95%105.24M
6.24%69.67M
13.90%89.62M
13.72%93.91M
1.96%84.91M
1.53%65.58M
--78.68M
--82.58M
--83.27M
--64.59M
Outros passivos circulantes
8.32%125.76M
8.94%77.30M
-0.92%104.58M
-0.88%108.61M
-0.40%116.10M
-11.61%70.95M
6.99%105.56M
5.60%109.57M
37.29%116.57M
22.42%80.28M
25.39%98.66M
25.65%103.76M
1.96%84.91M
1.53%65.58M
--78.68M
--82.58M
--83.27M
--64.59M
Total de passivos circulantes
6.12%156.26M
10.61%115.88M
7.39%132.28M
1.95%135.28M
5.55%147.25M
-1.06%104.76M
4.26%123.18M
9.89%132.69M
25.36%139.51M
15.45%105.88M
23.55%118.14M
20.53%120.75M
9.06%111.28M
10.16%91.71M
--95.62M
--100.18M
--102.04M
--83.25M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-17.84%10.19M
-17.42%10.69M
-14.10%11.27M
-12.84%11.84M
-10.72%12.40M
-8.70%12.95M
-10.30%13.12M
22.48%13.59M
3006.26%13.88M
2022.90%14.18M
12294.07%14.63M
6746.91%11.09M
57.39%447.00K
60.58%668.00K
--118.00K
--162.00K
--284.00K
--416.00K
-Passivos de arrendamento de longo prazo
-17.84%10.19M
-17.42%10.69M
-14.10%11.27M
-12.84%11.84M
-10.72%12.40M
-8.70%12.95M
-10.30%13.12M
22.48%13.59M
3006.26%13.88M
2022.90%14.18M
12294.07%14.63M
6746.91%11.09M
57.39%447.00K
60.58%668.00K
--118.00K
--162.00K
--284.00K
--416.00K
Passivos diferidos
32.70%280.00K
-56.02%73.00K
-37.55%148.00K
-39.27%116.00K
6.57%211.00K
18.57%166.00K
42.77%237.00K
-5.91%191.00K
153.85%198.00K
268.42%140.00K
238.78%166.00K
-41.83%203.00K
-64.55%78.00K
-94.29%38.00K
--49.00K
--349.00K
--220.00K
--666.00K
Outros passivos não circulantes
-16.85%15.24M
-21.07%14.46M
-22.67%13.77M
-22.40%12.76M
5.47%18.33M
8.77%18.33M
7.18%17.80M
-2.82%16.44M
1580.85%17.38M
1686.64%16.85M
1643.02%16.61M
1120.78%16.92M
-13.26%1.03M
-37.59%943.00K
--953.00K
--1.39M
--1.19M
--1.51M
Total de passivos não circulantes
-17.25%25.43M
-19.56%25.16M
-19.03%25.04M
-18.07%24.60M
-1.72%30.73M
0.79%31.27M
-1.00%30.92M
7.20%30.03M
2011.07%31.27M
1826.07%31.03M
2816.53%31.24M
1709.56%28.01M
0.34%1.48M
-16.40%1.61M
--1.07M
--1.55M
--1.48M
--1.93M
Total de passivos
2.08%181.68M
3.68%141.04M
2.09%157.32M
-1.75%159.88M
4.22%177.98M
-0.64%136.03M
3.16%154.10M
9.38%162.72M
51.44%170.77M
46.71%136.91M
54.48%149.38M
46.24%148.76M
8.93%112.76M
9.56%93.32M
--96.69M
--101.73M
--103.52M
--85.18M
Patrimônio líquido dos acionistas
Capital ordinário
8.54%894.41M
8.74%878.89M
8.59%863.30M
8.19%841.66M
8.10%824.07M
8.39%808.26M
8.79%794.99M
8.73%777.97M
8.48%762.34M
8.31%745.70M
8.33%730.77M
7.45%715.48M
2208.74%702.78M
2665.09%688.48M
--674.60M
--665.88M
--30.44M
--24.90M
Capital preferencial
----
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--0.00
--81.46M
--81.46M
Lucros retidos
133.64%186.89M
147.88%151.22M
11.49%95.22M
-67.61%72.93M
-63.28%79.99M
-69.98%61.00M
-49.69%85.40M
10.04%225.16M
14.00%217.85M
31.63%203.22M
71.93%169.75M
226.62%204.62M
426.12%191.11M
940.23%154.38M
--98.73M
--62.65M
--36.32M
--14.84M
Reservas de capital
8.54%894.23M
8.74%878.70M
8.59%863.11M
8.19%841.47M
8.10%823.88M
8.39%808.08M
8.79%794.80M
8.74%777.77M
8.48%762.15M
8.31%745.51M
8.33%730.58M
7.45%715.28M
2214.42%702.59M
2668.66%688.29M
--674.41M
--665.69M
--30.36M
--24.86M
Ganhos (perdas) fora do lucro retido
149.66%1.32M
121.81%1.01M
129.97%2.68M
91.83%-1.01M
81.08%-2.66M
75.17%-4.65M
58.59%-8.93M
31.18%-12.34M
7.92%-14.08M
-367.03%-18.74M
-2681.81%-21.56M
-25878.26%-17.93M
-72728.57%-15.29M
-200550.00%-4.01M
---775.00K
---69.00K
---21.00K
---2.00K
Patrimônio total
20.11%1.08B
19.26%1.03B
10.30%961.20M
-7.79%913.58M
-6.70%901.40M
-7.05%864.61M
-0.85%871.47M
9.82%990.79M
9.96%966.12M
10.89%930.17M
13.77%878.96M
23.85%902.17M
492.84%878.59M
592.14%838.85M
--772.56M
--728.45M
--148.20M
--121.20M
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Opinião da Auditoria
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