Você pode acessar aqui as demonstrações de fluxo de caixa anuais e trimestrais da Femasys Inc para avaliar sua solidez e estabilidade financeira.
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q1
Fluxos de caixa operacionais (método indireto)
Fluxo operacional contínuo
13.05%-4.14M
17.53%-4.19M
1.59%-5.39M
-0.60%-4.35M
-4.31%-4.77M
-67.15%-5.07M
-91.71%-5.47M
-57.84%-4.33M
-72.54%-4.57M
-5.86%-3.04M
-4.60%-2.86M
-15.18%-2.74M
3.86%-2.65M
-27.58%-2.87M
-51.55%-2.73M
12.53%-2.38M
-137.28%-2.75M
---2.25M
---1.80M
---2.72M
35.63%-1.16M
---1.80M
Lucro operacional contínuo
114.35%846.10K
22.90%-3.95M
22.45%-4.19M
2.11%-4.59M
-63.82%-5.90M
-16.17%-5.12M
-35.33%-5.41M
-61.90%-4.68M
-22.17%-3.60M
-52.39%-4.41M
-34.00%-4.00M
-9.85%-2.89M
-2.19%-2.95M
-22.38%-2.89M
-32.00%-2.98M
-143.21%-2.63M
-57.52%-2.88M
---2.36M
---2.26M
---1.08M
16.87%-1.83M
---2.20M
Ganho/perda operacional
-62.10%82.27K
-60.96%85.20K
-60.27%85.70K
-59.71%86.28K
-3.05%217.06K
-9.87%218.25K
-14.03%215.72K
3.85%214.13K
7.28%223.89K
13.85%242.14K
14.12%250.94K
-8.81%206.21K
-9.43%208.70K
-7.75%212.69K
-6.68%219.89K
-8.22%226.13K
-8.45%230.43K
--230.56K
--235.63K
--246.39K
-9.83%251.71K
--279.15K
Itens não monetários
-16.18%294.79K
40.71%473.99K
74.36%551.92K
82.95%523.52K
34.73%351.70K
209.38%336.84K
9785.67%316.54K
19366.05%286.15K
86914.00%261.04K
36192.33%108.88K
255.78%3.20K
635.00%1.47K
-88.89%300.00
-44.44%300.00
--900.00
100.02%200.00
--2.70K
--540.00
--0.00
---821.51K
100.00%0.00
---1.19K
Capital de giro (var.)
-311.58%-321.86K
156.80%363.98K
-175.95%-2.00M
-130.64%-568.26K
109.94%152.12K
-165.97%-640.80K
-289.84%-726.46K
-49.22%-246.38K
-4787.38%-1.53M
479.98%971.28K
2023.14%382.67K
-381.76%-165.11K
122.00%32.66K
-77.71%-255.61K
-110.68%-19.90K
96.94%-34.27K
-142.99%-148.48K
---143.84K
--186.33K
---1.12M
725.68%345.35K
--41.83K
-Recebíveis (var.)
71.05%444.34K
60.39%-44.40K
-8.86%-317.62K
-189.63%-25.99K
1248.28%259.77K
-2510.39%-112.08K
-659.02%-291.75K
191.20%28.99K
51.33%-22.62K
-95.60%4.65K
175.45%52.19K
-156.43%-31.79K
45.98%-46.48K
78.48%105.66K
-549.80%-69.17K
189.30%56.34K
-386.40%-86.04K
--59.20K
--15.38K
---63.09K
926.49%30.04K
---3.63K
-Estoque (var.)
55.26%-365.02K
103.95%43.73K
11.39%-551.24K
-296.26%-1.37M
-167.13%-815.87K
-1591.79%-1.11M
-2449.97%-622.09K
-320.75%-345.87K
-374.86%-305.42K
30.38%-65.36K
75.57%-24.40K
-284.61%-82.20K
-268.84%-64.32K
-60.56%-93.89K
-2788.49%-99.86K
-657.37%-21.37K
-37.53%-17.44K
---58.47K
---3.46K
---2.82K
-143.31%-12.68K
--29.28K
-Outros ativos (CP) (var.)
415.23%168.72K
67.62%213.52K
227.66%118.33K
1515.39%218.58K
71.43%-53.52K
511.11%127.38K
-158.26%-92.69K
296.69%13.53K
-224.36%-187.36K
51.16%-30.98K
52.92%159.09K
-98.56%3.41K
712.02%150.65K
-177.23%-63.45K
-38.59%104.04K
-11.14%236.72K
-70.59%18.55K
---22.89K
--169.42K
--266.38K
315.99%63.08K
--15.16K
-Outros passivos (CP) (var.)
113.54%2.04K
974.58%516.00
-94.92%160.00
-753.81%-8.75K
63.15%-15.11K
-100.15%-59.00
116.67%3.15K
64.58%1.34K
-1877.75%-40.99K
220.02%38.67K
-157.52%-18.89K
-87.75%813.00
107.69%2.31K
10.32%-32.22K
-283.28%-7.33K
447.61%6.64K
-735.42%-30.00K
---35.92K
--4.00K
--1.21K
40.05%4.72K
--3.37K
Investimentos não recorrentes
Fluxo de caixa operacional
13.05%-4.14M
17.53%-4.19M
1.59%-5.39M
-0.60%-4.35M
-4.31%-4.77M
-67.15%-5.07M
-91.71%-5.47M
-57.84%-4.33M
-72.54%-4.57M
-5.86%-3.04M
-4.60%-2.86M
-15.18%-2.74M
3.86%-2.65M
-27.58%-2.87M
-51.55%-2.73M
12.53%-2.38M
-137.28%-2.75M
---2.25M
---1.80M
---2.72M
35.63%-1.16M
---1.80M
Caixa (Investimentos)
Invest. contínuos (líquido)
-18.08%79.14K
77.84%196.72K
-45.50%239.82K
-53.15%96.96K
7.15%96.61K
146.36%110.61K
1519.60%440.03K
228.78%206.96K
912.92%90.16K
-52.17%44.90K
46.54%27.17K
-63.97%62.95K
-92.61%8.90K
-20.86%93.88K
-89.45%18.54K
1296.18%174.69K
--120.37K
--118.62K
--175.73K
--12.51K
----
--15.96K
Despesas de capital (CapEx)
-18.08%79.14K
77.84%196.72K
-45.50%239.82K
-53.15%96.96K
7.15%96.61K
146.36%110.61K
1519.60%440.03K
228.78%206.96K
912.92%90.16K
-52.17%44.90K
46.54%27.17K
-63.97%62.95K
-92.61%8.90K
-20.86%93.88K
-89.45%18.54K
1296.18%174.69K
--120.37K
--118.62K
--175.73K
--12.51K
----
--15.96K
Venda de ativos fixos
-18.08%79.14K
30.95%139.84K
-52.36%194.33K
-48.35%94.23K
49.64%96.61K
137.85%106.79K
1401.48%407.94K
189.80%182.42K
625.28%64.56K
-52.17%44.90K
46.54%27.17K
-63.97%62.95K
-92.61%8.90K
-20.86%93.88K
-89.45%18.54K
1296.18%174.69K
--120.37K
--118.62K
--175.73K
--12.51K
----
----
Ativos intangíveis (líquido)
----
1388.48%56.88K
41.73%45.48K
-88.86%2.73K
-100.00%0.00
--3.82K
--32.09K
--24.54K
--25.60K
----
----
----
----
----
----
----
----
--0.00
--0.00
----
----
--15.96K
Produtos de investimento
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----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
----
----
--1.00M
Outros investimentos
--0.00
--0.00
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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Investimentos (LP)
Caixa (Invest. líquido)
18.08%-79.14K
-77.84%-196.72K
45.50%-239.82K
53.15%-96.96K
-7.15%-96.61K
-146.36%-110.61K
-1519.60%-440.03K
-228.78%-206.96K
-912.92%-90.16K
52.17%-44.90K
-46.54%-27.17K
63.97%-62.95K
92.61%-8.90K
20.86%-93.88K
89.45%-18.54K
-1296.18%-174.69K
---120.37K
---118.62K
---175.73K
---12.51K
----
--984.04K
Caixa (Financiamento)
Financiamento contínuo
-93.45%342.33K
785.15%9.08M
--6.98M
1621.12%3.85M
572.12%5.23M
-93.63%1.03M
-100.00%0.00
-93.32%223.55K
640.17%778.17K
19751.64%16.10M
340.40%870.33K
3563.85%3.35M
-2.17%-144.06K
37.33%-81.95K
39.79%-362.04K
-100.32%-96.65K
2.75%-141.01K
---130.76K
---601.32K
--30.58M
-399.72%-144.99K
--48.38K
Dívidas (líquido)
----
--11.72M
---90.96K
----
----
-100.00%0.00
100.00%0.00
100.00%0.00
100.00%0.00
4620.57%6.57M
-32.53%-189.65K
93.81%-6.12K
-4.56%-147.43K
-0.07%-145.26K
46.33%-143.10K
-339.81%-98.90K
-391.93%-141.01K
---145.16K
---266.64K
---22.49K
-547.92%-28.66K
---4.42K
Ações ON (líquido)
-93.45%352.92K
805.89%9.56M
--0.00
1922.94%4.66M
572.12%5.39M
-86.23%1.06M
--0.00
-94.10%230.14K
23684.23%802.24K
12006.63%7.66M
--0.00
24056.46%3.90M
--3.37K
339.64%63.31K
--0.00
-99.95%16.15K
-100.00%0.00
--14.40K
--0.00
--31.72M
-80.97%10.05K
--52.80K
Emissão de garantias
----
---4.68M
--8.00M
----
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
----
--2.63M
--1.06M
--188.00
----
----
----
----
----
----
----
----
----
----
Outros financiamentos
93.45%-10.59K
-24919.17%-7.53M
---930.13K
-12156.68%-808.08K
-572.13%-161.76K
96.01%-30.09K
--0.00
98.80%-6.59K
---24.07K
---755.10K
100.00%0.00
-3839.33%-547.76K
----
--0.00
34.58%-218.94K
98.76%-13.90K
100.00%0.00
--0.00
---334.68K
---1.12M
---126.38K
----
Financiamento não recorrente
Financiamento (líquido)
-93.45%342.33K
785.15%9.08M
--6.98M
1621.12%3.85M
572.12%5.23M
-93.63%1.03M
-100.00%0.00
-93.32%223.55K
640.17%778.17K
19751.64%16.10M
340.40%870.33K
3563.85%3.35M
-2.17%-144.06K
37.33%-81.95K
39.79%-362.04K
-100.32%-96.65K
2.75%-141.01K
---130.76K
---601.32K
--30.58M
-399.72%-144.99K
--48.38K
Caixa líquido
Caixa inicial
168.45%9.27M
-39.97%4.57M
-76.21%3.22M
-78.58%3.82M
-84.11%3.45M
-12.44%7.61M
26.35%13.53M
75.53%17.84M
67.54%21.72M
-45.69%8.69M
-44.00%10.71M
-53.32%10.16M
-47.70%12.96M
-41.33%16.01M
-35.98%19.12M
979.45%21.77M
645.98%24.78M
--27.28M
--29.86M
--2.02M
-48.21%3.32M
--6.42M
Variação do caixa
-1153.15%-3.88M
212.93%4.70M
122.84%1.35M
86.03%-602.14K
109.50%368.45K
-131.94%-4.16M
-193.89%-5.91M
-892.76%-4.31M
-38.55%-3.88M
527.89%13.02M
35.30%-2.01M
120.51%543.68K
7.12%-2.80M
-21.88%-3.04M
-20.64%-3.11M
-109.52%-2.65M
-130.95%-3.02M
---2.50M
---2.58M
--27.84M
-69.41%-1.31M
---770.70K
Caixa final
40.99%5.39M
168.45%9.27M
-39.97%4.57M
-76.21%3.22M
-78.58%3.82M
-84.11%3.45M
-12.44%7.61M
26.35%13.53M
75.53%17.84M
67.54%21.72M
-45.69%8.69M
-44.00%10.71M
-53.32%10.16M
-47.70%12.96M
-41.33%16.01M
-35.98%19.12M
979.45%21.77M
--24.78M
--27.28M
--29.86M
-64.27%2.02M
--5.64M
Fluxo de caixa livre
13.15%-4.22M
15.49%-4.38M
4.86%-5.63M
1.85%-4.45M
-4.37%-4.86M
-68.30%-5.19M
-105.16%-5.91M
-61.68%-4.53M
-75.35%-4.66M
-4.02%-3.08M
-4.88%-2.88M
-9.77%-2.80M
7.58%-2.66M
-25.15%-2.96M
-39.02%-2.75M
6.54%-2.55M
---2.87M
---2.37M
---1.98M
---2.73M
----
---1.82M
Moeda
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Opinião da Auditoria
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Perguntas frequentes
O que é o fluxo de caixa?
Este relatório registra as entradas e saídas de dinheiro da empresa, cobrindo atividades operacionais, de investimento e de financiamento. Ele destaca como a empresa administra o dinheiro para dar suporte ao crescimento e cumprir suas obrigações.