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DOGZ

DOGZ

9.170USD

-0.030-0.33%
Fechamento 07/11, 16:00ETCotações atrasadas em 15 min
116.74MValor de mercado
--P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025H1
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
Fluxos de caixa operacionais (método indireto)
Fluxo operacional contínuo
157.09%942.05K
155.00%2.46M
62.68%-1.65M
-289.04%-4.48M
-216.66%-4.42M
-38.61%2.37M
3593.02%3.79M
197.07%3.86M
-106.15%-108.52K
-272.56%-3.98M
149.39%1.77M
466.82%2.30M
-186.27%-3.57M
---628.37K
--4.14M
Lucro operacional contínuo
43.21%-1.82M
35.72%-2.86M
-6.17%-3.20M
-329.45%-4.45M
-379.46%-3.01M
252.74%1.94M
43.79%1.08M
106.77%549.52K
276.56%749.51K
-1299.02%-8.11M
-158.42%-424.50K
-60.50%676.59K
-74.86%726.59K
--1.71M
--2.89M
Ganho/perda operacional
-1.27%1.98M
-18.16%1.94M
2.27%2.01M
30.83%2.38M
-4.31%1.96M
-10.39%1.82M
38.65%2.05M
46.69%2.03M
-4.11%1.48M
67.97%1.38M
139.55%1.54M
27.93%822.75K
11.62%643.78K
--643.14K
--576.75K
Imposto de renda diferido
60.57%-108.49K
0.11%-322.12K
18.15%-275.12K
-7.93%-322.46K
-286.38%-336.13K
35.69%-298.77K
1412.57%180.35K
-424.92%-464.58K
76.69%-13.74K
171.66%142.98K
-520.51%-58.94K
-787.65%-199.52K
-197.62%-9.50K
---22.48K
--9.73K
Itens não monetários
-166.38%-232.60K
5.28%164.82K
--350.41K
1033.17%156.55K
----
-102.22%-16.78K
100.00%0.00
-58.43%756.04K
-247.88%-667.78K
6681.24%1.82M
1709.44%451.58K
85.82%-27.64K
-65.09%24.96K
---194.88K
--71.50K
Capital de giro (var.)
158.64%541.94K
148.45%1.73M
68.75%-924.18K
-156.01%-3.58M
-725.33%-2.96M
-255.16%-1.40M
127.45%472.90K
420.02%901.47K
-1574.17%-1.72M
-140.73%-281.69K
98.06%-102.91K
122.25%691.67K
-992.33%-5.30M
---3.11M
--594.05K
-Recebíveis (var.)
-9.21%-551.57K
34.79%136.33K
-4.67%-505.07K
-94.94%101.14K
75.06%-482.54K
210.29%2.00M
-65.37%-1.93M
-50.06%643.67K
-452.16%-1.17M
38.10%1.29M
137.84%332.25K
261.92%933.24K
0.86%-878.05K
---576.34K
---885.68K
-Estoque (var.)
66.32%-121.26K
-109.75%-87.66K
42.90%-359.98K
143.02%899.02K
-270.24%-630.43K
230.33%369.94K
139.89%370.33K
-112.93%-283.85K
5.33%-928.38K
789.57%2.20M
5.50%-980.68K
-129.38%-318.36K
55.26%-1.04M
--1.08M
---2.32M
-Antecipadas (var.)
98.93%-10.18K
151.23%1.24M
-37.78%-953.63K
-746.74%-2.42M
-186.60%-692.12K
201.87%374.45K
550.53%799.21K
844.51%124.04K
159.20%122.86K
92.30%-16.66K
95.13%-207.51K
72.17%-216.33K
-15064.96%-4.26M
---777.29K
---28.08K
-Outros passivos (CP) (var.)
-137.79%-39.64K
119.49%39.35K
-42.65%104.89K
-124.57%-201.88K
387.32%182.89K
-396.52%-89.89K
182.05%37.53K
135.02%30.32K
-79.34%13.31K
-28005.52%-86.56K
222.90%64.41K
86.71%-308.00
73.33%-52.41K
---2.32K
---196.51K
Investimentos não recorrentes
Fluxo de caixa operacional
157.09%942.05K
155.00%2.46M
62.68%-1.65M
-289.04%-4.48M
-216.66%-4.42M
-38.61%2.37M
3593.02%3.79M
197.07%3.86M
-106.15%-108.52K
-272.56%-3.98M
149.39%1.77M
466.82%2.30M
-186.27%-3.57M
---628.37K
--4.14M
Caixa (Investimentos)
Invest. contínuos (líquido)
339.62%1.05M
660.31%3.21M
-77.97%238.83K
-93.09%421.68K
-88.14%1.08M
-11.72%6.10M
24.28%9.14M
279.32%6.91M
-3.06%7.35M
-80.71%1.82M
4.04%7.58M
-35.81%9.44M
789.81%7.29M
--14.70M
--819.31K
Despesas de capital (CapEx)
256.38%1.05M
639.87%3.23M
-72.80%294.83K
-92.86%436.55K
-88.15%1.08M
-13.79%6.11M
24.37%9.14M
278.79%7.09M
-3.13%7.35M
-86.20%1.87M
4.12%7.59M
-7.70%13.57M
789.81%7.29M
--14.70M
--819.31K
Venda de ativos fixos
339.62%1.05M
660.31%3.21M
-77.97%238.83K
-93.09%421.68K
-88.14%1.08M
-11.72%6.10M
24.28%9.14M
275.51%6.91M
-2.82%7.35M
-80.55%1.84M
4.10%7.57M
-25.06%9.46M
787.12%7.27M
--12.62M
--819.31K
Ativos intangíveis (líquido)
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----
----
----
----
----
----
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-100.00%0.00
15.99%-18.51K
-15.99%18.51K
-101.06%-22.03K
--22.03K
--2.08M
----
Transações de negócios
----
----
----
----
----
----
-100.00%0.00
---31.09K
--31.09K
----
----
----
----
----
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Produtos de investimento
----
----
100.00%0.00
543081.77%10.43M
-2184.99%-10.37M
-100.43%-1.92K
-82.29%497.60K
-87.73%447.82K
-21.64%2.81M
-47.91%3.65M
-63.10%3.59M
124.38%7.01M
--9.72M
---28.74M
----
Investimentos (LP)
Caixa (Invest. líquido)
-339.62%-1.05M
-132.05%-3.21M
97.92%-238.83K
263.97%10.00M
-32.62%-11.46M
6.10%-6.10M
-81.96%-8.64M
-463.75%-6.50M
-11.89%-4.75M
149.94%1.79M
-317.22%-4.24M
91.77%-3.58M
338.47%1.95M
---43.44M
---819.31K
Caixa (Financiamento)
Financiamento contínuo
-126.07%-772.46K
457.48%5.56M
-170.06%-341.68K
-110.91%-1.55M
-92.64%487.72K
132.59%14.24M
34.48%6.63M
259.77%6.12M
267.90%4.93M
1690.79%1.70M
176.86%1.34M
110.20%95.03K
-103.59%-1.74M
---931.95K
--48.54M
Dívidas (líquido)
-117.00%-772.46K
120.97%320.34K
-172.99%-355.97K
13.65%-1.53M
143.90%487.72K
-260.08%-1.77M
-123.01%-1.11M
-144.43%-491.37K
260.29%4.83M
2753.27%1.11M
176.86%1.34M
95.53%-41.68K
-5.29%-1.74M
---931.95K
---1.66M
Ações ON (líquido)
----
--4.92M
----
----
----
189.27%19.12M
----
--6.61M
----
----
----
--0.00
-100.00%0.00
--0.00
--50.20M
Outros financiamentos
-100.00%0.00
--314.38K
--14.29K
100.00%0.00
-100.00%0.00
---3.12M
--7.74M
----
----
----
----
--0.00
----
--0.00
--0.00
Financiamento não recorrente
Financiamento (líquido)
-126.07%-772.46K
457.48%5.56M
-170.06%-341.68K
-110.91%-1.55M
-92.64%487.72K
132.59%14.24M
34.48%6.63M
259.77%6.12M
267.90%4.93M
1690.79%1.70M
176.86%1.34M
110.20%95.03K
-103.59%-1.74M
---931.95K
--48.54M
Caixa líquido
Caixa inicial
55.16%6.96M
242.86%2.48M
-73.00%4.48M
-89.68%723.04K
236.44%16.61M
418.39%7.01M
289.60%4.94M
-3.22%1.35M
-50.32%1.27M
-56.39%1.40M
-64.01%2.55M
-94.00%3.20M
370.91%7.09M
--53.35M
--1.50M
Variação do caixa
55.16%-898.67K
19.07%4.48M
87.38%-2.00M
-60.83%3.76M
-867.10%-15.88M
167.83%9.60M
2345.69%2.07M
2864.60%3.58M
107.34%84.66K
80.13%-129.65K
70.29%-1.15M
98.59%-652.38K
-107.49%-3.88M
---46.27M
--51.85M
Variação cambial
-108.10%-18.34K
-60.73%-336.06K
146.25%226.39K
77.01%-209.08K
-267.85%-489.50K
-1026.50%-909.38K
2222.69%291.64K
-72.73%98.15K
186.07%12.56K
-31.32%359.92K
97.19%-14.59K
141.37%524.05K
-2653.94%-519.42K
---1.27M
---18.86K
Caixa final
144.36%6.06M
55.16%6.96M
242.86%2.48M
-73.00%4.48M
-89.68%723.04K
236.44%16.61M
418.39%7.01M
289.60%4.94M
-3.22%1.35M
-50.32%1.27M
-56.39%1.40M
-64.01%2.55M
-94.00%3.20M
--7.09M
--53.35M
Fluxo de caixa livre
94.41%-108.66K
84.42%-765.88K
64.68%-1.95M
-31.29%-4.92M
-2.84%-5.51M
-15.85%-3.74M
28.24%-5.35M
44.74%-3.23M
-28.08%-7.46M
48.08%-5.85M
46.38%-5.83M
26.51%-11.27M
-426.90%-10.86M
---15.33M
--3.32M
Moeda
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Opinião da Auditoria
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