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Huize Holding Ltd

HUIZ
3.480USD
-0.120-3.33%
Fechamento 11/06, 16:00ETCotações atrasadas em 15 min
149.34MValor de mercado
8.26P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
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FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-1.17%33.93M
-27.91%28.53M
-8.02%32.84M
-7.41%34.41M
0.95%34.33M
21.57%39.57M
-11.32%35.71M
-14.09%37.16M
-17.68%34.00M
-42.12%32.55M
-32.80%40.27M
-29.91%43.26M
-38.37%41.31M
-27.43%56.24M
-3.66%59.92M
-8.98%61.72M
3.62%67.03M
10.54%77.50M
399.69%62.20M
853.60%67.80M
932.03%64.69M
--70.11M
--12.45M
--7.11M
--6.27M
- Caixa e Equivalentes de Caixa
-0.32%33.48M
-27.67%28.09M
-6.75%32.15M
-6.62%33.47M
-1.23%33.59M
19.33%38.84M
-14.37%34.48M
-17.15%35.84M
-17.68%34.00M
-42.12%32.55M
-32.80%40.27M
-29.71%43.26M
-38.13%41.31M
-27.43%56.24M
-3.66%59.92M
-9.24%61.54M
3.22%66.77M
10.54%77.50M
399.69%62.20M
853.60%67.80M
932.03%64.69M
--70.11M
--12.45M
--7.11M
--6.27M
-Investimentos de Curto Prazo
-39.45%449.59K
-40.31%436.90K
-43.87%689.36K
-28.88%942.48K
--742.52K
--731.97K
--1.23M
--1.33M
----
----
----
----
----
----
----
--176.68K
--264.90K
----
----
----
----
----
----
----
----
Contas a Receber
28.97%39.44M
4.06%35.56M
4.84%32.18M
46.60%34.76M
-28.88%30.58M
-24.79%34.17M
-30.79%30.70M
-57.22%23.71M
-4.14%43.00M
7.17%45.44M
-63.87%44.35M
118.00%55.43M
116.90%44.85M
29.81%42.40M
238.42%122.75M
-15.43%25.43M
3.12%20.68M
73.73%32.66M
38.54%36.27M
30.56%30.07M
13.98%20.05M
--18.80M
--26.18M
--23.03M
--17.59M
-Contas e Títulos a Receber
35.68%28.47M
-3.65%26.94M
-11.66%21.90M
36.77%25.97M
-46.60%20.98M
-31.98%27.96M
-32.41%24.79M
-60.67%18.99M
7.75%39.30M
19.94%41.11M
-70.03%36.68M
91.44%48.28M
77.69%36.47M
5.24%34.27M
239.40%122.39M
-16.06%25.22M
2.49%20.53M
73.70%32.57M
39.73%36.06M
32.22%30.04M
15.60%20.03M
--18.75M
--25.81M
--22.72M
--17.32M
-Outros Recebíveis
14.29%10.96M
38.79%8.62M
74.10%10.28M
86.09%8.79M
159.41%9.59M
43.40%6.21M
-23.05%5.91M
-33.94%4.73M
-55.88%3.70M
-46.70%4.33M
2018.56%7.68M
3309.38%7.15M
5378.68%8.38M
8387.47%8.12M
71.43%362.37K
716.80%209.82K
478.04%152.99K
85.08%95.72K
-43.56%211.38K
-91.67%25.69K
-90.19%26.47K
--51.72K
--374.53K
--308.20K
--269.85K
Despesas Antecipadas
-14.95%9.73M
-13.09%9.50M
-13.45%8.05M
-22.47%10.49M
-15.26%11.44M
-2.31%10.93M
11.40%9.30M
3.74%13.52M
-5.19%13.49M
-22.18%11.19M
-8.73%8.35M
22.60%13.04M
32.96%14.23M
38.01%14.38M
88.91%9.15M
78.65%10.63M
116.26%10.70M
128.99%10.42M
122.51%4.84M
123.60%5.95M
124.38%4.95M
--4.55M
--2.18M
--2.66M
--2.21M
Outros Ativos Circulantes
-6.75%6.16M
7.02%7.59M
16.23%9.51M
-39.69%6.43M
-53.15%6.60M
-55.88%7.10M
-49.17%8.18M
-36.50%10.67M
-20.89%14.09M
-14.98%16.08M
-48.95%16.09M
-28.60%16.80M
-33.58%17.81M
-43.10%18.92M
-39.02%31.53M
-39.48%23.53M
9.58%26.82M
137.96%33.24M
112.09%51.70M
21.82%38.88M
26.38%24.47M
--13.97M
--24.38M
--31.92M
--19.36M
Total de Ativos Circulantes
7.60%89.24M
-11.54%81.18M
-1.55%82.59M
1.20%86.09M
-20.70%82.94M
-12.82%91.77M
-23.08%83.89M
-33.81%85.07M
-11.52%104.59M
-20.22%105.26M
-51.17%109.07M
5.95%128.53M
-5.61%118.21M
-14.23%131.93M
44.08%223.35M
-14.99%121.31M
9.70%125.23M
43.18%153.83M
137.82%155.01M
120.50%142.71M
151.29%114.16M
--107.43M
--65.18M
--64.72M
--45.43M
Ativos não Circulantes
Ativos Fixos Líquidos
-65.13%8.21M
-63.29%8.60M
-60.26%9.35M
-7.32%22.35M
9.41%23.54M
3.29%23.42M
-19.32%23.52M
-17.85%24.11M
-44.64%21.52M
-47.34%22.67M
-37.40%29.16M
-37.85%29.35M
-8.87%38.87M
1.93%43.05M
9.15%46.58M
1533.09%47.23M
1293.10%42.65M
1451.61%42.24M
3674.36%42.68M
199.84%2.89M
252.48%3.06M
--2.72M
--1.13M
--964.61K
--868.65K
-Ativos Fixos
----
----
-45.26%16.06M
----
----
----
-12.39%29.34M
----
----
----
-33.28%33.49M
----
----
----
10.76%50.20M
----
----
----
1419.98%45.32M
----
----
----
--2.98M
--2.74M
--2.52M
-Depreciação Acumulada
----
----
15.40%6.71M
----
----
----
34.27%5.82M
----
----
----
19.74%4.33M
----
----
----
36.85%3.62M
----
----
----
42.85%2.64M
----
----
----
--1.85M
--1.78M
--1.65M
Goodwill e outros Ativos Intangíveis
56.82%11.35M
66.40%11.74M
62.30%11.50M
51.91%11.23M
5.95%7.24M
-7.06%7.06M
-9.65%7.08M
-3.16%7.39M
-10.76%6.83M
-14.47%7.59M
125.76%7.84M
241.95%7.63M
465.20%7.66M
1734.76%8.88M
806.76%3.47M
580.65%2.23M
537.07%1.35M
121.60%483.89K
64.13%382.94K
48.49%328.02K
-6.57%212.60K
--218.37K
--233.31K
--220.90K
--227.56K
Outros ativos não circulantes
5.39%4.55M
29.54%5.37M
28.67%5.36M
--4.19M
859.22%4.32M
10425.47%4.15M
10174.38%4.16M
-100.00%0.00
-87.37%450.31K
-99.41%39.41K
-99.43%40.53K
-83.52%124.39K
107.59%3.57M
4848.56%6.72M
3117.64%7.14M
141.52%754.79K
1026.76%1.72M
75.62%135.88K
-88.96%221.83K
-77.87%312.51K
-83.27%152.44K
--77.37K
--2.01M
--1.41M
--910.94K
Total de ativos não circulantes
-24.61%37.39M
-17.29%38.71M
-16.53%39.32M
20.94%52.61M
23.83%49.59M
11.77%46.80M
-4.32%47.11M
-10.32%43.50M
-34.91%40.05M
-39.78%41.87M
-28.30%49.23M
-19.34%48.50M
13.05%61.53M
34.11%69.54M
36.34%68.66M
714.02%60.13M
685.81%54.43M
717.99%51.85M
654.27%50.36M
23.85%7.39M
34.09%6.93M
--6.34M
--6.68M
--5.96M
--5.17M
Total de ativos
-4.45%126.63M
-13.48%119.89M
-6.94%121.91M
7.88%138.70M
-8.37%132.54M
-5.82%138.57M
-17.25%131.00M
-27.37%128.57M
-19.53%144.64M
-26.97%147.14M
-45.79%158.30M
-2.43%177.03M
0.04%179.74M
-2.04%201.47M
42.18%292.01M
20.88%181.44M
48.37%179.66M
80.78%205.68M
185.81%205.38M
112.34%150.09M
139.32%121.09M
--113.77M
--71.86M
--70.68M
--50.60M
Passivos
Passivos circulantes
-Outros a pagar
11.93%5.88M
-15.50%5.82M
-2.81%9.17M
-49.05%5.49M
-56.76%5.25M
-34.27%6.89M
20.03%9.43M
6.97%10.78M
68.20%12.15M
52.63%10.47M
-59.47%7.86M
-3.47%10.08M
-32.31%7.22M
-7.87%6.86M
82.46%19.39M
32.54%10.44M
55.46%10.67M
31.18%7.45M
44.77%10.63M
100.37%7.88M
107.25%6.86M
--5.68M
--7.34M
--3.93M
--3.31M
Despesas acumuladas
----
----
-8.91%2.22M
----
----
----
-35.01%2.44M
----
----
----
-48.62%3.76M
----
----
----
120.15%7.31M
----
----
----
31.53%3.32M
----
----
----
--2.52M
--1.96M
--1.62M
Provisões de curto prazo
----
----
----
----
----
----
----
----
----
----
----
--513.75K
--46.87K
----
----
----
----
----
----
----
----
----
----
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Dívidas e arrendamentos de curto prazo
74.37%7.44M
78.26%7.38M
66.12%6.89M
1.47%2.79M
2.87%4.27M
-61.93%4.14M
-80.96%4.15M
-90.53%2.75M
-88.24%4.15M
-66.39%10.88M
-36.04%21.79M
13.98%28.99M
95.24%35.25M
84.13%32.37M
602.66%34.07M
132.38%25.43M
60.62%18.06M
137.65%17.58M
-6.91%4.85M
334.77%10.94M
286.81%11.24M
--7.40M
--5.21M
--2.52M
--2.91M
-Dívida de curto prazo
----
----
66.12%6.89M
----
----
----
-78.03%4.15M
----
----
----
-29.33%18.89M
----
----
----
479.50%26.73M
----
----
----
8.85%4.61M
----
----
----
--4.24M
--860.10K
--945.25K
Passivos diferidos
----
----
-100.00%0.00
-98.51%8.14K
-77.64%141.22K
-42.56%354.74K
-38.43%575.02K
-31.87%545.69K
-13.07%631.58K
-41.11%617.58K
-17.90%933.99K
--800.95K
--726.57K
--1.05M
--1.14M
----
----
----
----
----
----
----
----
----
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Outros passivos circulantes
9.00%5.88M
-19.64%5.82M
-8.60%9.51M
-51.44%5.50M
-57.79%5.39M
-34.73%7.24M
12.34%10.41M
-0.58%11.33M
59.83%12.78M
40.20%11.09M
-55.95%9.26M
9.13%11.39M
-25.07%7.99M
6.21%7.91M
89.56%21.03M
32.54%10.44M
55.46%10.67M
31.18%7.45M
41.38%11.10M
75.67%7.88M
81.20%6.86M
--5.68M
--7.85M
--4.48M
--3.79M
Total de passivos circulantes
7.36%60.25M
-9.81%55.14M
4.79%57.26M
11.56%60.66M
-23.69%56.12M
-19.22%61.14M
-32.72%54.64M
-46.92%54.37M
-23.10%73.54M
-26.82%75.69M
-57.73%81.22M
20.82%102.45M
42.05%95.64M
32.87%103.42M
124.58%192.15M
28.47%84.79M
42.58%67.33M
78.27%77.84M
67.46%85.56M
30.56%66.00M
36.36%47.22M
--43.66M
--51.09M
--50.55M
--34.63M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-81.27%3.37M
-79.09%3.73M
-81.44%3.32M
-8.78%16.80M
-3.61%18.01M
-8.75%17.84M
-30.06%17.89M
-27.77%18.42M
-46.43%18.68M
-51.81%19.56M
-39.57%25.57M
-41.01%25.50M
-26.55%34.88M
-18.73%40.58M
-10.03%42.32M
565.20%43.22M
4978.21%47.49M
6462.64%49.93M
--47.04M
--6.50M
144.88%935.16K
--760.78K
--0.00
--0.00
--381.88K
-Dívida de longo prazo
--981.16K
--973.51K
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
-100.00%0.00
-71.09%2.99M
-62.03%3.14M
-48.34%3.14M
2021.68%7.08M
--10.34M
--8.28M
--6.08M
-12.59%333.80K
----
--0.00
----
--381.88K
-Passivos de arrendamento de longo prazo
-86.72%2.39M
-84.54%2.76M
-81.44%3.32M
-8.78%16.80M
-3.61%18.01M
-8.75%17.84M
-30.06%17.89M
-27.77%18.42M
-46.43%18.68M
-47.97%19.56M
-34.72%25.57M
-36.38%25.50M
-13.68%34.88M
-5.04%37.59M
1.08%39.17M
9515.50%40.08M
6619.30%40.41M
5102.99%39.58M
--38.76M
--416.79K
--601.36K
--760.78K
----
----
----
Outros passivos não circulantes
-66.93%70.89K
--42.48K
223.44%89.48K
286.80%217.24K
201.28%214.32K
--0.00
--27.67K
-51.74%56.16K
233.53%71.14K
----
-100.00%0.00
100.26%116.37K
-94.52%21.33K
-97.26%21.38K
-94.46%35.37K
-92.83%58.11K
-54.73%389.53K
-2.25%779.46K
773.33%638.89K
--810.93K
--860.54K
--797.36K
--73.16K
----
----
Total de passivos não circulantes
-69.37%6.11M
-68.11%6.22M
-72.11%5.46M
-4.70%19.20M
-1.89%19.94M
-8.50%19.51M
-28.51%19.58M
-26.63%20.14M
-44.69%20.32M
-50.10%21.32M
-36.49%27.39M
-36.70%27.45M
-23.42%36.74M
-15.89%42.73M
-9.72%43.12M
486.11%43.37M
2447.41%47.97M
2992.08%50.80M
32174.00%47.77M
9234.48%7.40M
307.76%1.88M
--1.64M
--148.01K
--79.27K
--461.84K
Total de passivos
-12.75%66.36M
-23.91%61.36M
-15.49%62.73M
7.16%79.85M
-18.97%76.06M
-16.87%80.65M
-31.66%74.22M
-42.64%74.52M
-29.09%93.87M
-33.62%97.01M
-53.84%108.61M
1.36%129.90M
14.81%132.38M
13.61%146.15M
76.46%235.27M
74.61%128.16M
134.81%115.30M
183.94%128.64M
160.19%133.33M
44.97%73.40M
39.93%49.10M
--45.31M
--51.24M
--50.63M
--35.09M
Patrimônio líquido dos acionistas
Capital ordinário
-0.87%127.73M
1.34%126.74M
0.11%125.46M
0.03%125.63M
3.66%128.85M
-2.21%125.06M
-4.68%125.33M
-1.10%125.59M
-1.68%124.30M
-4.87%127.88M
-6.75%131.48M
-9.59%126.99M
-8.49%126.43M
-2.84%134.43M
3.63%140.99M
5.08%140.46M
9.28%138.16M
14.81%138.37M
1383.98%136.05M
1424.21%133.67M
1527.39%126.42M
--120.51M
--9.17M
--8.77M
--7.77M
Lucros retidos
5.06%-64.09M
-4.51%-65.11M
0.19%-63.27M
5.29%-62.90M
1.51%-67.51M
14.07%-62.30M
17.85%-63.39M
12.48%-66.42M
7.62%-68.54M
0.93%-72.50M
1.83%-77.16M
7.05%-75.89M
-8.56%-74.20M
-29.25%-73.18M
-30.33%-78.60M
-47.03%-81.64M
-24.36%-68.35M
-7.35%-56.62M
-14.18%-60.30M
-5.71%-55.53M
-2.59%-54.96M
---52.74M
---52.82M
---52.53M
---53.57M
Reservas de capital
-0.87%127.72M
1.34%126.73M
0.11%125.45M
0.03%125.62M
3.66%128.84M
-2.21%125.05M
-4.68%125.32M
-1.10%125.58M
-1.68%124.29M
-4.87%127.87M
-6.75%131.47M
-9.59%126.97M
-8.49%126.42M
-2.84%134.42M
3.64%140.98M
5.08%140.45M
9.28%138.15M
14.81%138.36M
1384.62%136.04M
1424.90%133.66M
1528.17%126.41M
--120.50M
--9.16M
--8.76M
--7.76M
(-) Ações em tesouraria
-1.30%4.14M
0.90%4.11M
2.93%4.07M
-1.50%4.07M
25.08%4.20M
46.85%4.07M
77.79%3.95M
126.43%4.13M
87.02%3.36M
55.76%2.77M
48.18%2.22M
21.76%1.83M
21.27%1.79M
19.87%1.78M
373.16%1.50M
2991.60%1.50M
3106.86%1.48M
--1.49M
--317.14K
--48.49K
--46.14K
----
----
----
----
Ganhos (perdas) fora do lucro retido
-9.32%-1.87M
1.11%-1.71M
8.81%-1.77M
-66.58%-2.13M
-0.20%-1.71M
32.59%-1.73M
24.34%-1.94M
35.86%-1.28M
43.57%-1.71M
38.48%-2.57M
40.09%-2.57M
50.81%-1.99M
23.80%-3.03M
-29.44%-4.18M
-27.04%-4.29M
-189.06%-4.05M
-802.96%-3.97M
-566.71%-3.23M
-5877.03%-3.38M
-2603.50%-1.40M
1263.91%565.35K
--691.96K
--58.47K
--55.91K
--41.45K
Minoritários
154.06%2.65M
180.31%2.72M
288.38%2.83M
722.11%2.31M
1255.69%1.04M
977.00%972.15K
337.19%727.87K
282.77%281.09K
236.34%76.91K
229.87%90.26K
24.74%166.49K
---153.80K
---56.41K
--27.36K
--133.47K
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--0.00
--0.00
--89.06K
Patrimônio total
6.73%60.28M
1.04%58.53M
4.24%59.18M
8.87%58.84M
11.24%56.48M
15.56%57.93M
14.25%56.77M
14.69%54.05M
7.21%50.77M
-9.39%50.13M
-12.43%49.69M
-11.54%47.13M
-26.42%47.36M
-28.18%55.32M
-21.25%56.74M
-30.53%53.28M
-10.60%64.36M
12.52%77.04M
249.49%72.05M
282.47%76.69M
364.26%71.98M
--68.47M
--20.62M
--20.05M
--15.51M
Moeda
USD
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Opinião da Auditoria
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KeyAI