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Franco-Nevada Corp

FNV

159.095USD

+0.145+0.09%
Horário de mercado ETCotações atrasadas em 15 min
30.65BValor de mercado
49.64P/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
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-16.56%1.13B
2.07%1.45B
1.56%1.32B
11.11%1.44B
8.30%1.35B
18.84%1.42B
22.67%1.30B
42.22%1.30B
72.74%1.25B
121.86%1.20B
204.99%1.06B
360.60%910.60M
34.21%722.70M
0.95%539.30M
-25.73%346.70M
-47.77%197.70M
156.67%538.50M
304.39%534.20M
409.05%466.80M
-5.11%378.50M
188.98%209.80M
89.53%132.10M
19.25%91.70M
453.26%398.90M
-17.22%72.60M
-86.36%69.70M
-85.92%76.90M
-88.26%72.10M
-69.01%87.70M
102.02%511.10M
96.69%546.00M
172.05%614.30M
51.42%283.00M
50.60%253.00M
-54.78%277.60M
-63.03%225.80M
-68.77%186.90M
-71.65%168.00M
-49.76%613.90M
-14.69%610.80M
-12.01%598.50M
-24.81%592.50M
45.19%1.22B
-10.16%716.00M
-17.63%680.20M
1.04%788.00M
-25.56%841.60M
-19.26%797.00M
-13.33%825.80M
--779.90M
--1.13B
--987.10M
--952.80M
- Caixa e Equivalentes de Caixa
-16.56%1.13B
2.07%1.45B
1.56%1.32B
11.11%1.44B
8.30%1.35B
18.84%1.42B
22.67%1.30B
42.22%1.30B
72.74%1.25B
121.86%1.20B
204.99%1.06B
360.60%910.60M
34.21%722.70M
0.95%539.30M
-25.73%346.70M
-47.77%197.70M
156.67%538.50M
304.39%534.20M
409.05%466.80M
-5.11%378.50M
188.98%209.80M
89.53%132.10M
19.25%91.70M
453.26%398.90M
-17.22%72.60M
-86.36%69.70M
-85.58%76.90M
-88.26%72.10M
-69.01%87.70M
102.02%511.10M
92.11%533.30M
172.05%614.30M
60.52%283.00M
69.57%253.00M
-54.15%277.60M
-63.03%225.80M
-70.54%176.30M
-74.82%149.20M
-50.45%605.40M
-12.30%610.80M
17.81%598.50M
-2.90%592.50M
115.12%1.22B
33.17%696.50M
5.20%508.00M
42.84%610.20M
-13.40%568.00M
-12.67%523.00M
-13.47%482.90M
--427.20M
--655.90M
--598.90M
--558.10M
-Investimentos de Curto Prazo
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--12.70M
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-100.00%0.00
-100.00%0.00
--0.00
--10.60M
--18.80M
--8.50M
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-100.00%0.00
-100.00%0.00
-92.88%19.50M
-49.78%172.20M
-49.59%177.80M
-42.36%273.60M
-29.42%274.00M
-13.12%342.90M
--352.70M
--474.70M
--388.20M
--394.70M
Contas a Receber
35.83%172.10M
42.07%157.70M
-0.67%133.90M
-9.21%131.10M
-16.53%126.70M
-18.20%111.00M
-10.13%134.80M
0.07%144.40M
-17.90%151.80M
-14.92%135.70M
-19.70%150.00M
24.72%144.30M
80.74%184.90M
70.77%159.50M
99.79%186.80M
23.88%115.70M
23.10%102.30M
-4.50%93.40M
-21.82%93.50M
-10.36%93.40M
21.14%83.10M
29.54%97.80M
97.03%119.60M
67.26%104.20M
11.73%68.60M
14.57%75.50M
-6.47%60.70M
13.07%62.30M
-11.14%61.40M
-7.31%65.90M
-10.36%64.90M
-2.30%55.10M
38.48%69.10M
9.22%71.10M
44.80%72.40M
10.16%56.40M
-10.73%49.90M
-9.71%65.10M
-27.64%50.00M
-30.53%51.20M
-23.00%55.90M
-7.56%72.10M
4.86%69.10M
15.34%73.70M
-4.60%72.60M
-6.47%78.00M
-15.30%65.90M
-12.23%63.90M
12.91%76.10M
--83.40M
--77.80M
--72.80M
--67.40M
-Contas e Títulos a Receber
26.44%160.20M
36.76%151.80M
-0.67%133.90M
-16.27%120.90M
-16.53%126.70M
-18.20%111.00M
-10.13%134.80M
0.07%144.40M
5.05%151.80M
13.27%135.70M
1.49%150.00M
24.72%144.30M
41.25%144.50M
28.27%119.80M
58.07%147.80M
47.58%115.70M
23.10%102.30M
-4.50%93.40M
9.23%93.50M
10.73%78.40M
21.14%83.10M
29.54%97.80M
41.02%85.60M
13.64%70.80M
11.73%68.60M
14.57%75.50M
-6.47%60.70M
13.07%62.30M
-11.14%61.40M
-7.31%65.90M
-10.36%64.90M
-2.30%55.10M
38.48%69.10M
9.22%71.10M
44.80%72.40M
10.16%56.40M
-10.73%49.90M
-9.71%65.10M
-27.64%50.00M
-30.53%51.20M
-23.00%55.90M
-7.56%72.10M
4.86%69.10M
15.34%73.70M
-4.60%72.60M
-6.47%78.00M
-15.30%65.90M
-12.23%63.90M
12.91%76.10M
--83.40M
--77.80M
--72.80M
--67.40M
-Empréstimos a Receber
--11.90M
--5.90M
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--10.20M
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-100.00%0.00
-100.00%0.00
--0.00
--40.40M
--39.70M
--39.00M
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-55.09%15.00M
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--34.00M
--33.40M
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Inventário
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--0.00
--1.40M
--3.40M
--5.10M
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Despesas Antecipadas
-82.44%4.90M
-64.67%10.60M
3.23%19.20M
4.98%27.40M
40.20%27.90M
35.75%30.00M
-17.33%18.60M
61.11%26.10M
47.41%19.90M
17.55%22.10M
17.19%22.50M
-20.59%16.20M
382.14%13.50M
14.63%18.80M
9500.00%19.20M
3980.00%20.40M
-86.41%2.80M
272.73%16.40M
-96.88%200.00K
--500.00K
--20.60M
--4.40M
--6.40M
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6.20%39.40M
49.43%52.00M
38.40%50.10M
10.77%36.00M
-10.82%37.10M
-37.18%34.80M
-28.46%36.20M
-25.46%32.50M
21.28%41.60M
25.06%55.40M
6.75%50.60M
12.37%43.60M
-25.92%34.30M
48.16%44.30M
156.22%47.40M
169.44%38.80M
191.19%46.30M
37.16%29.90M
9.47%18.50M
118.18%14.40M
--15.90M
--21.80M
--16.90M
--6.60M
Outros Ativos Circulantes
41.19%89.80M
85.50%97.20M
22.12%80.60M
87.80%70.80M
141.83%63.60M
81.94%52.40M
98.20%66.00M
18.93%37.70M
-7.72%26.30M
-14.79%28.80M
3.42%33.30M
26.29%31.70M
-14.67%28.50M
71.57%33.80M
-20.49%32.20M
-42.03%25.10M
25.56%33.40M
-55.63%19.70M
-6.47%40.50M
16.71%43.30M
-16.09%26.60M
33.33%44.40M
29.25%43.30M
-11.88%37.10M
-7.04%31.70M
--33.30M
--33.50M
--42.10M
--34.10M
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Total de Ativos Circulantes
-11.16%1.39B
6.28%1.72B
2.27%1.55B
10.98%1.67B
8.56%1.57B
16.79%1.62B
20.05%1.52B
36.32%1.50B
52.32%1.45B
84.07%1.38B
115.97%1.26B
207.27%1.10B
40.27%949.60M
13.21%751.40M
-2.68%584.90M
-30.41%358.90M
99.06%677.00M
138.14%663.70M
130.27%601.00M
-4.54%515.70M
96.70%340.10M
56.13%278.70M
51.30%261.00M
200.28%540.20M
-8.18%172.90M
-71.04%178.50M
-73.98%172.50M
-75.00%179.90M
-51.48%188.30M
70.65%616.40M
72.27%662.90M
125.97%719.50M
44.11%388.10M
31.49%361.20M
-46.50%384.80M
-55.32%318.40M
-61.42%269.30M
-60.70%274.70M
-46.13%719.30M
-14.87%712.60M
-11.82%698.00M
-23.39%698.90M
42.45%1.34B
-4.81%837.10M
-13.61%791.60M
3.76%912.30M
-23.80%937.40M
-18.33%879.40M
-10.76%916.30M
--879.20M
--1.23B
--1.08B
--1.03B
Ativos não Circulantes
Ativos Fixos Líquidos
11.38%4.55B
1.87%4.11B
-17.94%4.24B
-20.73%4.04B
-17.96%4.09B
-18.25%4.03B
6.00%5.16B
1.77%5.09B
-2.40%4.98B
-4.31%4.93B
-5.07%4.87B
-4.30%5.00B
7.28%5.10B
11.14%5.16B
13.54%5.13B
18.02%5.23B
6.73%4.76B
-3.54%4.64B
-6.97%4.52B
-3.86%4.43B
-3.50%4.46B
5.34%4.81B
9.23%4.86B
4.40%4.61B
5.02%4.62B
15.53%4.57B
14.29%4.45B
17.19%4.41B
19.50%4.40B
7.32%3.95B
5.15%3.89B
0.81%3.77B
-2.32%3.68B
21438.01%3.68B
51.16%3.70B
47.39%3.74B
48.44%3.77B
-99.35%17.10M
17.61%2.45B
18.72%2.54B
19.65%2.54B
28.62%2.64B
-3.51%2.08B
-1.53%2.14B
-2.35%2.12B
-7.80%2.05B
12.07%2.16B
12.16%2.17B
10.01%2.17B
--2.22B
--1.93B
--1.93B
--1.97B
-Ativos Fixos
7.18%9.85B
2.72%9.34B
5.36%9.45B
3.88%9.19B
6.32%9.19B
6.53%9.10B
6.84%8.97B
4.10%8.84B
1.18%8.64B
0.27%8.54B
-1.05%8.39B
--8.50B
--8.54B
--8.51B
--8.48B
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-Depreciação Acumulada
3.82%5.30B
3.40%5.23B
36.98%5.21B
37.31%5.15B
39.32%5.11B
40.45%5.06B
8.01%3.81B
7.44%3.75B
6.47%3.66B
7.30%3.60B
5.11%3.52B
--3.49B
--3.44B
--3.36B
--3.35B
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Dívida de longo prazo
50.15%98.20M
319.76%104.10M
--110.50M
--75.70M
--65.40M
--24.80M
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-100.00%0.00
-100.00%0.00
6.96%38.40M
7.10%37.70M
7.23%37.10M
--36.40M
--35.90M
7.32%35.20M
7.12%34.60M
-100.00%0.00
-100.00%0.00
7.19%32.80M
7.31%32.30M
7.09%31.70M
7.22%31.20M
6.99%30.60M
7.12%30.10M
7.25%29.60M
5.82%29.10M
5.93%28.60M
6.44%28.10M
6.56%27.60M
8.70%27.50M
--27.00M
--26.40M
--25.90M
--25.30M
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Despesas antecipadas de longo prazo
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-100.00%0.00
-79.55%1.80M
-66.98%3.50M
-57.26%5.30M
-49.65%7.10M
-44.65%8.80M
-40.11%10.60M
--12.40M
--14.10M
--15.90M
--17.70M
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Outros ativos não circulantes
-13.28%70.50M
13.53%74.70M
17.37%77.70M
4.60%81.80M
2.26%81.30M
-20.05%65.80M
-20.81%66.20M
-12.63%78.20M
-9.76%79.50M
24.32%82.30M
32.49%83.60M
53.52%89.50M
38.74%88.10M
29.04%66.20M
33.69%63.10M
5.05%58.30M
16.73%63.50M
489.66%51.30M
555.56%47.20M
226.47%55.50M
223.81%54.40M
-49.71%8.70M
-57.40%7.20M
97.67%17.00M
-0.59%16.80M
5.49%17.30M
-31.02%16.90M
-69.40%8.60M
-42.71%16.90M
-45.33%16.40M
-27.73%24.50M
-10.51%28.10M
-4.53%29.50M
-0.66%30.00M
5.28%33.90M
-7.10%31.40M
-49.26%30.90M
-52.81%30.20M
-51.21%32.20M
-50.15%33.80M
-11.22%60.90M
44.80%64.00M
76.00%66.00M
87.81%67.80M
84.41%68.60M
35.17%44.20M
18.30%37.50M
6.49%36.10M
6.90%37.20M
--32.70M
--31.70M
--33.90M
--34.80M
Total de ativos não circulantes
17.14%5.26B
5.36%4.61B
-13.18%4.75B
-17.23%4.47B
-15.21%4.49B
-16.49%4.38B
5.58%5.47B
1.81%5.40B
-2.87%5.29B
-3.94%5.24B
-4.06%5.18B
-5.16%5.31B
7.51%5.45B
10.74%5.46B
13.52%5.40B
19.92%5.60B
9.23%5.07B
-1.45%4.93B
-5.04%4.76B
-3.16%4.67B
-3.94%4.64B
5.23%5.00B
7.45%5.01B
4.70%4.82B
5.43%4.83B
13.93%4.75B
14.21%4.66B
16.92%4.60B
18.75%4.58B
8.07%4.17B
5.58%4.08B
1.14%3.94B
-1.33%3.86B
2616.68%3.86B
49.14%3.87B
45.27%3.89B
46.27%3.91B
-94.87%142.10M
18.33%2.59B
18.63%2.68B
19.63%2.67B
29.79%2.77B
-3.30%2.19B
-0.66%2.26B
-2.92%2.24B
-9.82%2.13B
8.99%2.27B
10.22%2.27B
9.11%2.30B
--2.36B
--2.08B
--2.06B
--2.11B
Total de ativos
9.80%6.65B
5.61%6.33B
-9.82%6.30B
-11.09%6.14B
-10.11%6.06B
-9.55%5.99B
8.41%6.99B
7.75%6.91B
5.32%6.74B
6.71%6.63B
7.67%6.44B
7.65%6.41B
11.37%6.40B
11.03%6.21B
11.71%5.98B
14.91%5.96B
15.37%5.75B
5.91%5.59B
1.66%5.36B
-3.30%5.18B
-0.47%4.98B
7.07%5.28B
9.01%5.27B
12.06%5.36B
4.89%5.01B
2.99%4.93B
1.89%4.83B
2.72%4.78B
12.34%4.77B
13.43%4.79B
11.62%4.74B
10.58%4.66B
1.59%4.25B
14.90%4.22B
28.36%4.25B
24.13%4.21B
23.98%4.18B
5.98%3.67B
-6.08%3.31B
9.57%3.39B
11.41%3.37B
13.86%3.47B
10.09%3.53B
-1.82%3.10B
-5.96%3.03B
-6.13%3.04B
-3.20%3.20B
0.42%3.15B
2.60%3.22B
--3.24B
--3.31B
--3.14B
--3.14B
Passivos
Passivos circulantes
-Dividendos a pagar
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--22.10M
--21.20M
--17.50M
-Outros a pagar
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Despesas acumuladas
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
7.14%40.50M
----
----
----
--37.80M
----
----
----
Dívidas e arrendamentos de curto prazo
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--160.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-Dívida de curto prazo
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--160.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Outros passivos circulantes
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Total de passivos circulantes
14.04%60.90M
72.19%67.50M
64.93%66.30M
1.78%57.30M
6.16%53.40M
-21.91%39.20M
-22.54%40.20M
32.78%56.30M
15.10%50.30M
16.20%50.20M
20.42%51.90M
16.48%42.40M
5.81%43.70M
-18.80%43.20M
3.11%43.10M
-4.46%36.40M
1.72%41.30M
-0.37%53.20M
1.95%41.80M
-81.14%38.10M
-2.87%40.60M
113.60%53.40M
81.42%41.00M
839.53%202.00M
81.74%41.80M
10.62%25.00M
-28.03%22.60M
-44.44%21.50M
-27.90%23.00M
-39.89%22.60M
15.44%31.40M
74.32%38.70M
60.30%31.90M
80.77%37.60M
28.30%27.20M
-8.64%22.20M
-25.47%19.90M
-1.42%20.80M
-7.83%21.20M
14.08%24.30M
25.94%26.70M
-58.71%21.10M
-50.32%23.00M
-51.15%21.30M
-57.00%21.20M
-10.04%51.10M
-4.73%46.30M
-16.95%43.60M
21.43%49.30M
--56.80M
--48.60M
--52.50M
--40.60M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-61.46%80.00M
--242.40M
--272.20M
--157.20M
--207.60M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
--0.00
--0.00
--0.00
--457.30M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Dívida de longo prazo
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
----
----
----
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-61.46%80.00M
--242.40M
--272.20M
--157.20M
--207.60M
----
----
----
----
----
----
----
-100.00%0.00
--0.00
--0.00
--0.00
--457.30M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Outros passivos não circulantes
627.08%34.90M
396.49%28.30M
-21.05%4.50M
-23.33%4.60M
-17.24%4.80M
-5.00%5.70M
7.55%5.70M
5.26%6.00M
-1.69%5.80M
-1.64%6.00M
32.50%5.30M
39.02%5.70M
34.09%5.90M
38.64%6.10M
-6.98%4.00M
-4.65%4.10M
2.33%4.40M
--4.40M
--4.30M
--4.30M
--4.30M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Total de passivos não circulantes
60.94%300.00M
43.33%266.30M
41.34%246.50M
39.26%238.70M
12.97%186.40M
16.86%185.80M
24.22%174.40M
21.22%171.40M
9.27%165.00M
12.37%159.00M
24.91%140.40M
18.62%141.40M
46.89%151.00M
47.55%141.50M
31.92%112.40M
61.74%119.20M
58.89%102.80M
-41.88%95.90M
-73.66%85.20M
-79.32%73.70M
-72.44%64.70M
-39.98%165.00M
382.84%323.50M
491.04%356.40M
280.55%234.80M
355.89%274.90M
35.35%67.00M
38.30%60.30M
50.49%61.70M
60.80%60.30M
38.66%49.50M
46.31%43.60M
51.29%41.00M
-92.35%37.50M
-18.12%35.70M
-32.58%29.80M
-30.87%27.10M
1117.12%490.50M
15.34%43.60M
13.33%44.20M
17.37%39.20M
34.33%40.30M
-16.56%37.80M
0.52%39.00M
-14.58%33.40M
-21.05%30.00M
15.86%45.30M
24.76%38.80M
36.71%39.10M
--38.00M
--39.10M
--31.10M
--28.60M
Total de passivos
50.50%360.90M
48.36%333.80M
45.76%312.80M
30.00%296.00M
11.38%239.80M
7.55%225.00M
11.60%214.60M
23.88%227.70M
10.58%215.30M
13.26%209.20M
23.67%192.30M
18.12%183.80M
35.11%194.70M
23.88%184.70M
22.44%155.50M
39.18%155.60M
36.85%144.10M
-31.73%149.10M
-65.16%127.00M
-79.98%111.80M
-61.93%105.30M
-27.18%218.40M
306.81%364.50M
582.64%558.40M
226.56%276.60M
261.76%299.90M
10.75%89.60M
-0.61%81.80M
16.19%84.70M
10.39%82.90M
28.62%80.90M
58.27%82.30M
55.11%72.90M
-85.31%75.10M
-2.93%62.90M
-24.09%52.00M
-28.68%47.00M
732.74%511.30M
6.58%64.80M
13.60%68.50M
20.70%65.90M
-24.29%61.40M
-33.62%60.80M
-26.82%60.30M
-38.24%54.60M
-14.45%81.10M
4.45%91.60M
-1.44%82.40M
27.75%88.40M
--94.80M
--87.70M
--83.60M
--69.20M
Patrimônio líquido dos acionistas
Capital ordinário
0.67%5.80B
0.75%5.79B
0.73%5.78B
0.74%5.77B
0.70%5.76B
0.66%5.75B
0.92%5.74B
1.00%5.73B
1.02%5.72B
1.17%5.71B
1.06%5.69B
1.03%5.67B
1.06%5.66B
0.90%5.64B
0.86%5.63B
1.26%5.62B
2.56%5.60B
3.50%5.59B
4.65%5.58B
6.09%5.55B
4.81%5.46B
4.46%5.40B
3.46%5.33B
1.68%5.23B
1.60%5.21B
1.01%5.17B
0.89%5.16B
0.93%5.14B
8.74%5.13B
8.80%5.12B
8.78%5.11B
8.73%5.09B
1.06%4.72B
25.43%4.71B
25.83%4.70B
25.89%4.69B
25.82%4.67B
1.38%3.75B
1.20%3.73B
16.54%3.72B
16.56%3.71B
16.46%3.70B
16.24%3.69B
0.75%3.19B
0.59%3.18B
0.47%3.18B
0.40%3.17B
2.75%3.17B
2.62%3.17B
--3.16B
--3.16B
--3.09B
--3.08B
Lucros retidos
120.80%626.40M
129.16%486.50M
-69.83%380.30M
-74.45%294.00M
-72.50%283.70M
-77.42%212.30M
50.64%1.26B
55.36%1.15B
70.41%1.03B
93.94%940.40M
160.47%836.90M
247.96%740.80M
545.31%605.30M
1509.59%484.90M
300.19%321.30M
180.10%212.90M
130.23%93.80M
79.08%-34.40M
30.67%-160.50M
7.10%-265.80M
-1.87%-310.30M
48.90%-164.40M
5.70%-231.50M
-13.26%-286.10M
-16.44%-304.60M
-3.77%-321.70M
20.88%-245.50M
22.87%-252.60M
20.87%-261.60M
7.96%-310.00M
-6.05%-310.30M
-6.43%-327.50M
-6.40%-330.60M
-11.45%-336.80M
-22.68%-292.60M
-39.48%-307.70M
-48.16%-310.70M
-52.78%-302.20M
-42.90%-238.50M
-30.22%-220.60M
-18.88%-209.70M
6.92%-197.80M
-58.20%-166.90M
-47.30%-169.40M
-59.78%-176.40M
-76.20%-212.50M
-73.52%-105.50M
-27.35%-115.00M
-3.47%-110.40M
---120.60M
---60.80M
---90.30M
---106.70M
Reservas de capital
-7.25%17.90M
11.65%23.00M
10.05%21.90M
11.54%20.30M
13.53%19.30M
32.05%20.60M
1.53%19.90M
1.68%18.20M
4.94%17.00M
-3.11%15.60M
4.81%19.60M
4.68%17.90M
3.85%16.20M
15.00%16.10M
15.43%18.70M
13.25%17.10M
2.63%15.60M
-1.41%14.00M
-6.36%16.20M
-15.17%15.10M
-9.52%15.20M
-8.97%14.20M
-7.49%17.30M
4.09%17.80M
7.01%16.80M
9.86%15.60M
16.88%18.70M
6.21%17.10M
-63.66%15.70M
-65.87%14.20M
-62.96%16.00M
-61.67%16.10M
1.65%43.20M
-6.09%41.60M
-12.02%43.20M
-11.95%42.00M
-8.41%42.50M
-2.64%44.30M
4.25%49.10M
3.02%47.70M
1.09%46.40M
-0.66%45.50M
2.17%47.10M
-3.34%46.30M
-4.38%45.90M
-2.97%45.80M
-5.73%46.10M
-38.75%47.90M
-38.22%48.00M
--47.20M
--48.90M
--78.20M
--77.70M
Ganhos (perdas) fora do lucro retido
40.63%-134.00M
-46.88%-282.00M
23.29%-177.50M
-9.74%-223.00M
0.70%-225.70M
17.84%-192.00M
15.82%-231.40M
-7.51%-203.20M
-260.79%-227.30M
-124.07%-233.70M
-125.51%-274.90M
-519.67%-189.00M
33.33%-63.00M
10.01%-104.30M
36.04%-121.90M
85.53%-30.50M
65.91%-94.50M
35.00%-115.90M
2.95%-190.60M
-48.24%-210.80M
-53.83%-277.20M
19.06%-178.30M
-19.32%-196.40M
24.92%-142.20M
1.26%-180.20M
-106.85%-220.30M
-21.75%-164.60M
2.52%-189.40M
14.44%-182.50M
52.56%-106.50M
37.55%-135.20M
11.80%-194.30M
4.90%-213.30M
22.08%-224.50M
12.60%-216.50M
-23.35%-220.30M
-15.20%-224.30M
-191.60%-288.10M
-336.09%-247.70M
-1800.95%-178.60M
-461.10%-194.70M
-3852.00%-98.80M
-231.79%-56.80M
-30.46%10.50M
-145.60%-34.70M
-102.36%-2.50M
-64.32%43.10M
-75.08%15.10M
-16.00%76.10M
--105.80M
--120.80M
--60.60M
--90.60M
Patrimônio total
8.13%6.29B
3.94%6.00B
-11.59%5.99B
-12.49%5.85B
-10.82%5.82B
-10.11%5.77B
8.32%6.77B
7.27%6.68B
5.15%6.53B
6.51%6.42B
7.24%6.25B
7.37%6.23B
10.75%6.21B
10.68%6.03B
11.45%5.83B
14.38%5.80B
14.90%5.60B
7.54%5.44B
6.62%5.23B
5.62%5.07B
3.13%4.88B
9.29%5.06B
3.39%4.91B
2.13%4.80B
0.88%4.73B
-1.56%4.63B
1.74%4.74B
2.78%4.70B
12.27%4.69B
13.48%4.71B
11.36%4.66B
9.99%4.57B
0.98%4.17B
31.09%4.15B
28.99%4.19B
25.13%4.16B
25.03%4.13B
-7.12%3.16B
-6.30%3.25B
9.49%3.32B
11.24%3.31B
14.90%3.41B
11.38%3.47B
-1.15%3.03B
-5.05%2.97B
-5.88%2.96B
-3.41%3.11B
0.47%3.07B
2.04%3.13B
--3.15B
--3.22B
--3.06B
--3.07B
Moeda
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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USD
USD
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USD
USD
USD
USD
USD
USD
USD
USD
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USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opinião da Auditoria
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KeyAI