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Hf Foods Group Inc

HFFG

3.100USD

-0.180-5.49%
Fechamento 07/18, 16:00ETCotações atrasadas em 15 min
163.49MValor de mercado
PerdaP/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
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-11.62%16.10M
-5.02%14.47M
-19.97%11.45M
-6.54%13.97M
4.22%18.21M
-37.29%15.23M
-19.69%14.30M
-20.58%14.95M
6.40%17.48M
64.20%24.29M
14.56%17.81M
40.16%18.82M
45.96%16.43M
54.39%14.79M
69.31%15.54M
56.75%13.43M
-11.32%11.25M
-34.10%9.58M
34.94%9.18M
23.38%8.57M
83.99%12.69M
164.84%14.54M
-12.68%6.80M
1832.15%6.94M
1451.24%6.90M
879.89%5.49M
1021.33%7.79M
821.61%359.29K
--444.63K
--560.20K
--694.80K
--38.98K
- Caixa e Equivalentes de Caixa
-11.62%16.10M
-5.02%14.47M
-19.97%11.45M
-6.54%13.97M
4.22%18.21M
-37.29%15.23M
-19.69%14.30M
-20.58%14.95M
6.40%17.48M
64.20%24.29M
14.56%17.81M
40.16%18.82M
45.96%16.43M
54.39%14.79M
69.31%15.54M
56.75%13.43M
-11.32%11.25M
-34.10%9.58M
34.94%9.18M
23.38%8.57M
83.99%12.69M
164.84%14.54M
-12.68%6.80M
1832.15%6.94M
1451.24%6.90M
879.89%5.49M
1021.33%7.79M
821.61%359.29K
--444.63K
--560.20K
--694.80K
--38.98K
Contas a Receber
16.27%58.14M
13.62%54.35M
19.54%51.95M
11.30%51.41M
14.35%50.00M
7.73%47.83M
-2.78%43.46M
6.00%46.19M
-1.16%43.72M
21.54%44.40M
27.51%44.70M
35.21%43.58M
40.75%44.24M
39.86%36.53M
38.05%35.06M
33.09%32.23M
-2.39%31.43M
-51.84%26.12M
56.60%25.39M
29.41%24.22M
67.63%32.20M
89.48%54.23M
-8.75%16.22M
--18.71M
--19.21M
--28.62M
--17.77M
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-Contas e Títulos a Receber
16.27%58.14M
13.62%54.35M
19.54%51.95M
11.30%51.41M
14.35%50.00M
7.73%47.83M
-2.78%43.46M
6.00%46.19M
-1.16%43.72M
21.54%44.40M
27.51%44.70M
35.21%43.58M
40.75%44.24M
39.86%36.53M
38.05%35.06M
33.09%32.23M
-2.39%31.43M
-51.84%26.12M
61.06%25.39M
47.86%24.22M
83.76%32.20M
224.76%54.23M
9.43%15.77M
--16.38M
--17.52M
--16.70M
--14.41M
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-Empréstimos a Receber
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-100.00%0.00
-100.00%0.00
--1.70M
--1.69M
--11.92M
--3.36M
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Inventário
-2.24%109.40M
-5.11%103.39M
-6.07%123.21M
12.86%125.34M
1.30%111.91M
-9.42%108.96M
-1.02%131.17M
-14.69%111.07M
-3.74%110.47M
17.14%120.29M
71.58%132.52M
103.24%130.20M
105.40%114.76M
75.43%102.69M
25.20%77.24M
-4.08%64.06M
-26.20%55.87M
-24.50%58.54M
106.84%61.69M
155.65%66.78M
219.74%75.70M
249.62%77.53M
23.64%29.83M
--26.12M
--23.68M
--22.18M
--24.12M
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Despesas Antecipadas
-18.38%3.35M
-3.22%4.44M
36.60%4.53M
--2.09M
--4.11M
--4.59M
--3.32M
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-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-73.59%196.80K
-81.81%297.85K
-92.03%129.63K
-37.28%864.82K
-58.76%745.13K
-15.30%1.64M
5692.07%1.63M
2204.59%1.38M
3543.89%1.81M
18312.07%1.93M
--28.08K
--59.83K
--49.58K
--10.50K
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Outros Ativos Circulantes
-9.58%1.13M
-34.15%1.46M
-64.79%1.78M
-93.66%791.00K
-83.73%1.25M
-75.23%2.21M
-48.80%5.06M
24.37%12.48M
-8.21%7.70M
60.77%8.94M
274.59%9.89M
162.76%10.04M
55.69%8.39M
20.48%5.56M
-43.88%2.64M
1.52%3.82M
39.13%5.39M
5.48%4.61M
282.69%4.70M
295.84%3.76M
467.99%3.87M
360.12%4.37M
6.84%1.23M
-97.92%950.47K
--681.76K
--950.70K
--1.15M
28270.53%45.59M
----
--0.00
--0.00
--160.71K
Total de Ativos Circulantes
1.42%188.13M
-0.40%178.10M
-2.23%192.92M
4.83%193.61M
3.41%185.49M
-9.65%178.83M
-3.71%197.31M
-8.86%184.69M
-2.42%179.37M
24.03%197.92M
57.05%204.92M
78.47%202.63M
76.84%183.81M
61.11%159.57M
28.85%130.48M
9.74%113.54M
-17.07%103.94M
-34.59%99.05M
81.77%101.27M
90.33%103.46M
141.75%125.33M
156.46%151.42M
5.58%55.71M
18.21%54.36M
10176.75%51.84M
9582.52%59.04M
7381.90%52.77M
22925.89%45.98M
--504.47K
--609.79K
--705.30K
--199.69K
Ativos não Circulantes
Ativos Fixos Líquidos
26.62%189.68M
12.11%163.52M
8.92%161.05M
7.03%159.54M
-1.61%149.80M
-5.60%145.85M
-5.95%147.87M
-4.45%149.06M
-4.63%152.26M
-1.95%154.49M
8.96%157.22M
3.26%156.00M
5.01%159.65M
14.35%157.57M
3.96%144.29M
7.87%151.08M
7.96%152.04M
151.95%137.80M
410.84%138.80M
405.56%140.06M
470.64%140.82M
141.47%54.69M
21.71%27.17M
--27.70M
--24.68M
--22.65M
--22.32M
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-Ativos Fixos
24.00%253.02M
13.02%224.18M
9.79%220.12M
8.19%216.13M
1.65%204.05M
-0.98%198.35M
-0.51%200.50M
0.85%199.76M
0.00%200.74M
1.70%200.32M
11.03%201.53M
5.47%198.09M
6.68%200.73M
14.25%196.98M
5.45%181.51M
9.30%187.80M
10.04%188.16M
106.92%172.42M
280.69%172.12M
280.48%171.83M
310.27%170.99M
--83.32M
--45.21M
--45.16M
--41.68M
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-Depreciação Acumulada
16.77%63.34M
15.53%60.66M
12.25%59.07M
11.60%56.59M
11.90%54.24M
14.57%52.51M
18.77%52.63M
20.49%50.70M
18.01%48.47M
16.29%45.83M
19.07%44.31M
14.59%42.08M
13.72%41.08M
13.85%39.41M
11.68%37.21M
15.58%36.72M
19.76%36.12M
20.90%34.62M
84.68%33.32M
81.99%31.77M
77.44%30.16M
--28.63M
--18.04M
--17.46M
--17.00M
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Goodwill e outros Ativos Intangíveis
-24.10%196.47M
-23.80%200.34M
-6.10%250.71M
-6.01%254.78M
-5.92%258.85M
-5.83%262.92M
-5.75%267.00M
-5.67%271.07M
1.10%275.14M
1.42%279.21M
19.96%283.28M
20.30%287.35M
12.65%272.15M
12.69%275.31M
-4.41%236.14M
-4.36%238.86M
-4.31%241.59M
-58.83%244.31M
--247.03M
--249.75M
--252.48M
--593.39M
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Dívida de longo prazo
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-100.00%0.00
-100.00%0.00
--10.50M
--10.87M
--423.26K
--8.49M
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Outros ativos não circulantes
-19.66%5.25M
-13.01%5.68M
-30.65%5.69M
34.53%6.54M
65.62%6.53M
102.14%6.53M
212.73%8.20M
92.55%4.86M
123.96%3.94M
59.01%3.23M
129.05%2.62M
92.34%2.52M
112.62%1.76M
192.59%2.03M
169.40%1.15M
98.22%1.31M
84.53%828.25K
-33.41%694.49K
90.33%425.07K
126.63%662.03K
55.74%448.83K
189.40%1.04M
30.36%223.34K
--292.11K
-99.37%288.19K
-99.20%360.36K
-99.62%171.32K
--0.00
--45.42M
--45.32M
--45.19M
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Total de ativos não circulantes
-5.71%393.72M
-10.97%371.89M
-1.33%419.83M
-0.97%423.26M
-3.79%417.58M
-4.99%417.69M
-4.55%425.47M
-4.73%427.40M
-0.51%434.01M
0.51%439.61M
16.07%445.75M
13.95%448.61M
9.93%436.25M
13.55%437.38M
-1.18%384.02M
0.22%393.68M
0.20%396.86M
-40.87%385.18M
1318.60%388.62M
920.48%392.82M
1005.19%396.08M
2679.87%651.42M
-11.60%27.39M
--38.49M
-21.09%35.84M
-48.29%23.43M
-31.42%30.99M
--0.00
--45.42M
--45.32M
--45.19M
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Total de ativos
-3.52%581.85M
-7.80%549.99M
-1.61%612.75M
0.78%616.87M
-1.68%603.07M
-6.43%596.52M
-4.29%622.78M
-6.01%612.09M
-1.08%613.38M
6.80%637.53M
26.47%650.68M
28.39%651.24M
23.81%620.07M
23.28%596.95M
5.02%514.50M
2.21%507.22M
-3.95%500.80M
-39.69%484.23M
489.47%489.89M
434.50%496.28M
494.67%521.41M
873.42%802.84M
-0.78%83.11M
101.93%92.85M
90.93%87.68M
79.58%82.48M
82.52%83.76M
22925.89%45.98M
--45.92M
--45.93M
--45.89M
--199.69K
Passivos
Passivos circulantes
-Dividendos a pagar
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--0.00
--0.00
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-Outros a pagar
-11.61%1.50M
-3.02%1.67M
29.32%3.00M
72.61%2.44M
--1.70M
--1.72M
--2.32M
--1.41M
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--59.18K
--21.26K
--34.37K
--21.02K
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Despesas acumuladas
-20.66%19.37M
9.77%22.02M
32.11%28.70M
-50.11%19.57M
-19.94%24.42M
-51.78%20.06M
-36.54%21.73M
20.21%39.22M
-9.95%30.50M
38.78%41.59M
791.20%34.23M
536.87%32.63M
359.99%33.87M
385.13%29.97M
-26.30%3.84M
45.18%5.12M
148.76%7.36M
130.21%6.18M
425.80%5.21M
56.48%3.53M
30.23%2.96M
24.90%2.68M
-65.60%991.30K
103.87%2.26M
105.47%2.27M
--2.15M
--2.88M
--1.11M
--1.11M
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Dívidas e arrendamentos de curto prazo
10.96%69.81M
1.41%66.69M
36.63%75.62M
49.31%74.79M
19.61%62.92M
6.80%65.76M
-30.83%55.35M
-27.43%50.09M
-30.94%52.60M
-2.45%61.58M
65.36%80.02M
71.68%69.03M
130.84%76.17M
61.66%63.12M
24.76%48.39M
-15.59%40.21M
-48.29%33.00M
-34.07%39.05M
181.51%38.79M
255.90%47.63M
603.96%63.81M
503.48%59.23M
-2.05%13.78M
--13.38M
--9.06M
--9.81M
--14.07M
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--0.00
--0.00
--175.00K
-Dívida de curto prazo
6.16%58.59M
-1.85%57.48M
40.43%66.91M
57.33%66.35M
24.15%55.19M
10.38%58.56M
-33.20%47.65M
-29.73%42.17M
-35.05%44.46M
-4.05%53.06M
68.06%71.33M
75.85%60.02M
155.21%68.45M
66.95%55.29M
37.99%42.44M
-13.68%34.13M
-52.59%26.82M
-41.09%33.12M
159.24%30.76M
247.91%39.54M
697.50%56.58M
586.11%56.22M
-5.04%11.86M
--11.36M
--7.09M
--8.19M
--12.49M
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--0.00
--0.00
--175.00K
-Passivos de arrendamento de curto prazo
152.63%5.81M
117.10%3.80M
80.19%3.30M
52.78%3.02M
8.65%2.30M
-22.40%1.75M
-18.43%1.83M
-16.49%1.98M
-11.17%2.12M
-0.88%2.25M
731.36%2.25M
769.62%2.37M
758.89%2.38M
692.60%2.27M
-7.77%270.16K
-7.07%272.65K
-3.74%277.34K
2.38%286.90K
11.42%292.92K
11.60%293.40K
9.58%288.10K
69.95%280.24K
12.88%262.90K
--262.90K
--262.90K
--164.89K
--232.90K
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Outros passivos circulantes
-11.61%1.50M
-3.02%1.67M
29.32%3.00M
72.61%2.44M
--1.70M
--1.72M
--2.32M
--1.41M
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-99.19%6.15K
----
27.15%213.35K
----
-1.96%758.30K
589.58%408.08K
689.16%167.79K
563.07%227.90K
3579.51%773.47K
--59.18K
--21.26K
--34.37K
--21.02K
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Total de passivos circulantes
4.63%157.61M
1.35%145.20M
0.92%163.11M
9.39%164.06M
3.68%150.63M
-12.59%143.26M
-4.33%161.63M
-8.75%149.98M
-15.45%145.29M
5.56%163.89M
72.73%168.94M
82.70%164.36M
116.83%171.85M
102.43%155.26M
19.31%97.80M
5.14%89.96M
-23.43%79.26M
-30.55%76.70M
112.43%81.98M
118.43%85.56M
200.85%103.51M
228.82%110.45M
0.91%38.59M
3252.53%39.17M
2872.19%34.40M
89768.37%33.59M
67948.98%38.24M
565.87%1.17M
--1.16M
--37.38K
--56.20K
--175.47K
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
10.17%127.60M
-3.96%113.45M
-3.78%115.84M
-2.84%118.22M
-6.47%115.82M
-6.28%118.13M
-6.73%120.39M
-5.76%121.67M
31.34%123.84M
31.89%126.03M
42.28%129.07M
21.15%129.11M
-13.10%94.29M
-0.07%95.56M
-4.31%90.72M
10.77%106.57M
11.05%108.50M
204.87%95.63M
513.82%94.80M
578.63%96.21M
575.45%97.70M
139.27%31.37M
15.42%15.44M
--14.18M
--14.46M
--13.11M
--13.38M
--0.00
--0.00
--0.00
--0.00
--0.00
-Dívida de longo prazo
-5.00%101.97M
-4.96%103.32M
-5.90%104.66M
-5.88%106.00M
-5.89%107.33M
-5.83%108.71M
-4.93%111.22M
-4.97%112.62M
34.56%114.05M
33.75%115.44M
31.88%116.99M
30.75%118.51M
-8.90%84.75M
-9.15%86.31M
-6.00%88.71M
-5.31%90.64M
-4.23%93.04M
412.59%95.01M
512.43%94.37M
577.38%95.73M
574.29%97.15M
41.38%18.54M
15.15%15.41M
--14.13M
--14.41M
--13.11M
--13.38M
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-Passivos de arrendamento de longo prazo
201.86%25.64M
7.55%10.13M
21.91%11.18M
34.99%12.22M
-13.27%8.49M
-11.11%9.41M
-24.11%9.17M
-14.62%9.05M
2.73%9.79M
14.48%10.59M
501.05%12.09M
-33.45%10.60M
-38.34%9.53M
1383.76%9.25M
367.98%2.01M
3180.43%15.93M
2708.95%15.46M
-95.14%623.48K
1127.07%429.65K
964.35%485.63K
869.99%550.37K
--12.83M
--35.01K
--45.63K
--56.74K
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Passivos diferidos
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--0.00
--0.00
--1.11M
--1.11M
----
Outros passivos não circulantes
-69.58%1.58M
-89.44%728.00K
-50.36%2.61M
-97.00%160.00K
-35.33%5.20M
25.93%6.89M
-5.17%5.26M
-5.12%5.34M
41.09%8.04M
--5.47M
--5.55M
--5.63M
--5.70M
----
----
----
----
----
----
----
----
----
----
----
--1.00
----
----
--0.00
--0.00
--1.11M
--1.11M
----
Total de passivos não circulantes
12.07%184.10M
-1.07%163.50M
-2.83%164.03M
-4.37%164.02M
-6.97%164.27M
-6.83%165.27M
-7.19%168.80M
-6.35%171.51M
18.44%176.57M
20.93%177.39M
26.86%181.88M
20.26%183.13M
-3.82%149.08M
2.78%146.69M
-0.98%143.37M
3.47%152.28M
3.29%154.99M
68.42%142.72M
709.22%144.78M
794.66%147.18M
781.58%150.06M
487.40%84.74M
31.08%17.89M
--16.45M
--17.02M
1204.10%14.43M
1133.80%13.65M
--0.00
--0.00
--1.11M
--1.11M
----
Total de passivos
8.51%341.71M
0.05%308.70M
-1.00%327.14M
2.05%328.08M
-2.16%314.90M
-9.59%308.54M
-5.81%330.43M
-7.48%321.49M
0.29%321.87M
13.02%341.28M
45.46%350.82M
43.45%347.49M
37.00%320.93M
37.61%301.96M
6.36%241.17M
4.08%242.24M
-7.62%234.25M
12.42%219.43M
301.48%226.75M
318.43%232.75M
393.07%253.57M
306.51%195.19M
8.85%56.48M
4660.52%55.62M
4342.68%51.43M
4098.49%48.01M
4363.84%51.89M
565.87%1.17M
--1.16M
--1.14M
--1.16M
--175.47K
Patrimônio líquido dos acionistas
Capital ordinário
0.13%604.61M
0.19%604.24M
0.57%604.12M
0.57%603.46M
0.74%603.84M
0.80%603.10M
0.49%600.70M
0.38%600.03M
0.31%599.39M
0.18%598.33M
2.36%597.74M
2.40%597.74M
1.69%597.52M
1.64%597.23M
-2.62%583.93M
-2.65%583.73M
-2.01%587.58M
-2.01%587.58M
5408.76%599.62M
2515.83%599.62M
2515.83%599.62M
2515.83%599.62M
-52.52%10.88M
366.15%22.92M
361.69%22.92M
363.48%22.92M
358.29%22.92M
19569.90%4.92M
--4.96M
--4.95M
--5.00M
--25.00K
Lucros retidos
-15.99%-358.84M
-15.72%-357.20M
-0.61%-313.31M
1.26%-309.37M
0.98%-309.38M
-0.71%-308.69M
-2.96%-311.41M
-4.92%-313.30M
-3.06%-312.45M
-0.08%-306.51M
3.73%-302.47M
7.27%-298.61M
6.90%-303.17M
6.38%-306.28M
4.43%-314.18M
1.86%-322.03M
-0.48%-325.63M
-2167.48%-327.15M
-2370.75%-328.74M
-2599.06%-328.12M
-2776.68%-324.06M
51.66%15.82M
76.82%14.48M
15809.96%13.13M
34448.40%12.11M
19145.92%10.43M
450225.84%8.19M
10653.07%82.53K
--35.04K
--54.21K
---1.82K
---782.00
Reservas de capital
0.13%604.61M
0.19%604.24M
0.57%604.11M
0.57%603.45M
0.74%603.83M
0.80%603.09M
0.49%600.70M
0.38%600.03M
0.31%599.38M
0.18%598.32M
2.36%597.74M
2.40%597.74M
1.69%597.52M
1.64%597.23M
-2.62%583.93M
-2.65%583.72M
-2.01%587.58M
-2.01%587.58M
5409.85%599.62M
2516.06%599.62M
2516.06%599.62M
2516.06%599.62M
-52.52%10.88M
366.12%22.92M
361.67%22.92M
363.46%22.92M
358.26%22.92M
19660.00%4.92M
--4.96M
--4.95M
--5.00M
--24.89K
(-) Ações em tesouraria
0.00%7.75M
0.00%7.75M
--7.75M
--7.75M
--7.75M
--7.75M
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----
----
----
----
----
----
----
----
----
----
13228504.40%12.04M
--12.04M
--12.04M
--12.04M
--91.00
----
----
----
----
----
----
----
----
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Minoritários
45.37%2.12M
51.51%2.00M
-16.88%2.55M
-36.64%2.45M
-68.13%1.46M
-70.20%1.32M
-33.12%3.07M
-16.35%3.86M
-4.43%4.57M
9.77%4.44M
28.23%4.59M
40.69%4.62M
4.12%4.78M
-7.48%4.04M
-16.67%3.58M
-19.29%3.28M
6.33%4.59M
2.80%4.37M
239.52%4.29M
246.55%4.07M
252.62%4.32M
284.62%4.25M
66.45%1.26M
--1.17M
--1.23M
--1.10M
--759.58K
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----
----
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Patrimônio total
-16.67%240.14M
-16.21%241.29M
-2.31%285.61M
-0.62%288.79M
-1.15%288.16M
-2.79%287.98M
-2.50%292.36M
-4.33%290.60M
-2.55%291.51M
0.43%296.25M
9.71%299.86M
14.63%303.75M
12.22%299.14M
11.40%294.99M
3.88%273.33M
0.55%264.98M
-0.48%266.55M
-56.42%264.80M
888.24%263.13M
607.93%263.53M
638.78%267.85M
1663.29%607.66M
-16.45%26.63M
-16.93%37.23M
-19.01%36.26M
-23.05%34.46M
-28.75%31.87M
184938.64%44.81M
--44.77M
--44.78M
--44.73M
--24.22K
Moeda
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KeyAI