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First Advantage Corp

FA

16.480USD

-0.340-2.02%
Fechamento 08/15, 16:00ETCotações atrasadas em 15 min
2.86BValor de mercado
PerdaP/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-31.64%184.26M
-30.09%171.99M
-21.09%168.69M
84.02%307.39M
-32.81%269.56M
-38.81%246.04M
-45.69%213.77M
-57.20%167.04M
13.61%401.20M
30.30%402.11M
34.07%393.61M
41.15%390.26M
36.63%353.15M
170.29%308.60M
--293.58M
--276.50M
--258.47M
--114.17M
- Caixa e Equivalentes de Caixa
-31.64%184.26M
-29.92%171.99M
-21.09%168.69M
86.44%307.39M
-32.45%269.56M
-38.66%245.44M
-45.42%213.77M
-57.75%164.87M
13.29%399.05M
30.06%400.16M
33.83%391.65M
41.64%390.26M
37.00%352.25M
171.49%307.67M
--292.64M
--275.54M
--257.12M
--113.33M
-Investimentos de Curto Prazo
----
----
----
----
----
-69.29%600.00K
-100.00%0.00
--2.17M
138.16%2.15M
110.79%1.95M
107.86%1.96M
-100.00%0.00
-33.14%904.00K
9.83%927.00K
--941.00K
--958.00K
--1.35M
--844.00K
Contas a Receber
112.55%293.04M
105.18%269.98M
88.16%275.47M
-10.43%145.83M
-7.43%137.87M
0.87%131.58M
-0.43%146.40M
5.89%162.81M
2.02%148.93M
-12.88%130.44M
-6.98%147.04M
2.80%153.75M
11.29%145.98M
40.14%149.74M
--158.06M
--149.56M
--131.18M
--106.84M
-Contas e Títulos a Receber
116.47%283.08M
106.22%266.05M
86.98%266.80M
-8.85%143.02M
-6.57%130.77M
0.82%129.01M
-0.78%142.69M
3.78%156.91M
-3.05%139.97M
-13.63%127.96M
-7.68%143.81M
2.76%151.20M
12.00%144.38M
41.52%148.16M
--155.77M
--147.14M
--128.91M
--104.69M
Despesas Antecipadas
29.20%25.46M
33.20%29.03M
131.20%31.04M
-29.31%13.67M
-8.22%19.71M
-4.32%21.80M
-47.16%13.43M
-29.22%19.34M
-8.12%21.47M
19.34%22.78M
76.87%25.41M
57.96%27.32M
106.10%23.37M
37.68%19.09M
--14.37M
--17.29M
--11.34M
--13.87M
Outros Ativos Circulantes
-2.33%84.00K
490.37%797.00K
476.09%795.00K
-33.83%88.00K
-36.76%86.00K
-3.57%135.00K
-2.13%138.00K
-3.62%133.00K
-40.61%136.00K
-43.55%140.00K
-4.73%141.00K
-8.00%138.00K
46.79%229.00K
58.97%248.00K
--148.00K
--150.00K
--156.00K
--156.00K
Total de Ativos Circulantes
17.70%502.85M
18.09%471.80M
27.36%475.99M
33.68%466.98M
-25.28%427.23M
-28.07%399.55M
-33.99%373.74M
-38.87%349.31M
9.37%571.74M
16.29%555.47M
21.46%566.20M
28.85%571.47M
30.31%522.74M
103.23%477.67M
--466.16M
--443.50M
--401.15M
--235.04M
Ativos não Circulantes
Ativos Fixos Líquidos
334.32%275.63M
308.91%291.76M
304.32%321.20M
-38.22%55.40M
-31.95%63.46M
-30.93%71.35M
-36.04%79.44M
-35.80%89.67M
-38.86%93.27M
-36.41%103.30M
-19.51%124.20M
-13.42%139.68M
-11.43%152.54M
-10.05%162.45M
--154.31M
--161.33M
--172.24M
--180.60M
-Ativos Fixos
84.51%669.92M
85.36%658.71M
91.07%665.04M
8.77%370.86M
11.33%363.07M
11.13%355.37M
7.21%348.06M
5.83%340.96M
2.67%326.13M
2.98%319.76M
13.59%324.64M
17.20%322.19M
18.34%317.66M
19.75%310.52M
--285.79M
--274.92M
--268.42M
--259.32M
-Depreciação Acumulada
31.60%394.28M
29.20%366.95M
28.00%343.84M
25.53%315.46M
28.66%299.61M
31.21%284.02M
34.01%268.62M
37.69%251.29M
41.03%232.86M
46.19%216.46M
52.44%200.44M
60.68%182.51M
71.67%165.11M
88.11%148.07M
--131.49M
--113.59M
--96.18M
--78.71M
Goodwill e outros Ativos Intangíveis
170.58%3.07B
168.35%3.08B
167.24%3.11B
-4.60%1.12B
-2.24%1.13B
-2.23%1.15B
-2.15%1.16B
-2.23%1.18B
-5.64%1.16B
-6.41%1.18B
-5.40%1.19B
-3.10%1.21B
-2.79%1.23B
-2.21%1.26B
--1.26B
--1.24B
--1.26B
--1.28B
Outros ativos não circulantes
115.84%24.05M
106.26%24.75M
3.27%13.23M
-12.02%10.77M
-14.07%11.14M
-12.03%12.00M
147.67%12.81M
114.53%12.24M
102.28%12.96M
82.72%13.64M
-34.29%5.17M
-31.11%5.71M
60.67%6.41M
124.65%7.46M
--7.87M
--8.28M
--3.99M
--3.32M
Total de ativos não circulantes
178.67%3.37B
175.88%3.40B
174.23%3.45B
-7.03%1.19B
-4.55%1.21B
-4.63%1.23B
-4.75%1.26B
-5.21%1.28B
-8.79%1.27B
-9.36%1.29B
-7.10%1.32B
-4.44%1.35B
-3.65%1.39B
-2.88%1.43B
--1.42B
--1.41B
--1.44B
--1.47B
Total de ativos
136.63%3.87B
137.25%3.87B
140.57%3.92B
1.70%1.66B
-11.00%1.64B
-11.68%1.63B
-13.53%1.63B
-15.22%1.63B
-3.82%1.84B
-2.92%1.85B
-0.04%1.89B
3.51%1.92B
3.75%1.91B
11.76%1.90B
--1.89B
--1.86B
--1.84B
--1.70B
Passivos
Passivos circulantes
-Outros a pagar
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
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Despesas acumuladas
188.43%109.79M
144.55%90.10M
199.60%97.49M
28.32%41.65M
23.21%38.06M
23.75%36.84M
-16.56%32.54M
-20.91%32.46M
-26.49%30.89M
-21.67%29.77M
-24.83%39.00M
-18.16%41.03M
-15.25%42.03M
-22.79%38.01M
--51.88M
--50.14M
--49.59M
--49.23M
Dívidas e arrendamentos de curto prazo
--21.85M
--21.85M
--21.86M
----
----
----
-100.00%0.00
----
----
----
--104.00K
--308.00K
--502.00K
-91.12%684.00K
--0.00
--0.00
--0.00
--7.71M
-Passivos de arrendamento de curto prazo
----
----
--13.00K
----
----
----
-100.00%0.00
----
----
----
--104.00K
--308.00K
--502.00K
--684.00K
----
----
----
----
Passivos diferidos
115.94%4.82M
133.68%4.77M
130.28%4.27M
115.27%2.50M
70.53%2.23M
62.66%2.04M
75.76%1.86M
36.84%1.16M
87.95%1.31M
73.24%1.26M
20.96%1.06M
68.06%847.00K
29.07%697.00K
56.93%725.00K
--873.00K
--504.00K
--540.00K
--462.00K
Outros passivos circulantes
115.94%4.82M
133.68%4.77M
130.28%4.27M
115.27%2.50M
70.53%2.23M
62.66%2.04M
75.76%1.86M
36.84%1.16M
87.95%1.31M
73.24%1.26M
20.96%1.06M
68.06%847.00K
29.07%697.00K
56.93%725.00K
--873.00K
--504.00K
--540.00K
--462.00K
Total de passivos circulantes
155.70%253.39M
158.59%241.00M
194.79%250.69M
28.03%121.35M
9.98%99.10M
9.70%93.20M
-15.62%85.04M
-6.74%94.78M
-11.17%90.11M
-15.40%84.96M
-7.79%100.79M
2.35%101.64M
2.09%101.44M
4.45%100.42M
--109.31M
--99.30M
--99.37M
--96.14M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
274.18%2.11B
276.47%2.13B
277.48%2.13B
0.41%564.18M
0.18%564.34M
0.13%564.54M
-0.02%564.39M
-0.76%561.86M
-0.70%563.31M
-0.54%563.78M
1.75%564.53M
2.12%566.14M
2.40%567.25M
-23.59%566.87M
--554.85M
--554.40M
--553.97M
--741.91M
-Dívida de longo prazo
276.19%2.10B
278.85%2.12B
279.85%2.12B
0.33%559.84M
0.32%559.37M
0.32%558.91M
0.32%558.46M
0.33%558.01M
0.33%557.58M
0.33%557.11M
0.33%556.65M
0.32%556.19M
0.32%555.74M
-25.15%555.29M
--554.85M
--554.40M
--553.97M
--741.91M
-Passivos de arrendamento de longo prazo
47.84%7.34M
40.59%7.92M
54.26%9.15M
12.82%4.34M
-13.37%4.96M
-15.60%5.63M
-24.72%5.93M
-61.33%3.85M
-50.23%5.73M
-42.39%6.67M
--7.88M
--9.95M
--11.51M
--11.58M
----
----
----
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Outros passivos não circulantes
346.27%12.04M
322.40%11.94M
271.69%11.97M
4.32%2.70M
-10.46%2.70M
-10.85%2.83M
-3.48%3.22M
-21.70%2.59M
-2.02%3.01M
-5.06%3.17M
-39.75%3.34M
-49.92%3.31M
-57.92%3.07M
-42.68%3.34M
--5.54M
--6.61M
--7.31M
--5.83M
Total de passivos não circulantes
271.85%2.32B
272.75%2.35B
270.20%2.37B
-4.89%615.07M
-4.64%623.54M
-3.72%630.97M
-2.97%638.88M
-2.06%646.66M
-0.64%653.90M
-0.21%655.38M
2.07%658.42M
2.66%660.30M
2.35%658.11M
-20.75%656.77M
--645.04M
--643.17M
--643.02M
--828.70M
Total de passivos
255.92%2.57B
258.06%2.59B
261.35%2.62B
-0.68%736.42M
-2.87%722.64M
-2.18%724.17M
-4.65%723.92M
-2.69%741.45M
-2.05%744.00M
-2.23%740.34M
0.64%759.21M
2.62%761.93M
2.31%759.55M
-18.13%757.19M
--754.34M
--742.47M
--742.38M
--924.85M
Patrimônio líquido dos acionistas
Capital ordinário
53.56%1.52B
53.76%1.51B
53.89%1.50B
2.74%998.85M
-16.53%988.13M
-16.67%983.13M
-16.91%977.43M
-17.18%972.21M
1.16%1.18B
1.03%1.18B
0.94%1.18B
1.19%1.17B
0.98%1.17B
39.04%1.17B
--1.17B
--1.16B
--1.16B
--839.84M
Lucros retidos
-296.69%-200.69M
-283.20%-201.00M
-222.55%-159.81M
3.12%-59.44M
26.15%-50.59M
-2.94%-52.45M
-81.07%-49.55M
-669.73%-61.35M
-1534.26%-68.51M
-176.50%-50.95M
12.97%-27.36M
123.00%10.77M
93.36%-4.19M
72.45%-18.43M
---31.44M
---46.83M
---63.11M
---66.88M
Reservas de capital
53.56%1.52B
53.76%1.51B
53.90%1.50B
2.74%998.71M
-16.54%987.99M
-16.67%982.98M
-16.91%977.29M
-17.19%972.06M
1.16%1.18B
1.03%1.18B
0.94%1.18B
1.19%1.17B
0.98%1.17B
39.04%1.17B
--1.17B
--1.16B
--1.16B
--839.71M
Ganhos (perdas) fora do lucro retido
27.79%-17.50M
-39.03%-31.88M
-76.46%-37.33M
18.19%-18.70M
-14.05%-24.23M
-6.84%-22.93M
5.26%-21.16M
7.57%-22.85M
-46.78%-21.24M
-580.47%-21.46M
-1264.14%-22.33M
-2878.20%-24.73M
-466.50%-14.47M
-160.14%-3.15M
---1.64M
--890.00K
--3.95M
--5.24M
Patrimônio total
42.25%1.30B
40.87%1.28B
44.15%1.31B
3.68%920.71M
-16.52%913.31M
-18.02%907.74M
-19.52%906.73M
-23.45%888.00M
-4.99%1.09B
-3.39%1.11B
-0.50%1.13B
4.11%1.16B
4.71%1.15B
47.28%1.15B
--1.13B
--1.11B
--1.10B
--778.20M
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Opinião da Auditoria
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