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MINISO Group Holding Ltd

MNSO
22.460USD
+0.200+0.90%
Fechamento 09/29, 16:00ETCotações atrasadas em 15 min
27.50BValor de mercado
11.69P/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
FY2020Q4
FY2020Q3
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
7.50%1.04B
0.61%1.01B
-7.40%923.91M
-22.73%782.23M
9.50%968.55M
18.32%1.00B
17.88%997.70M
24.56%1.01B
4.29%884.50M
-11.70%848.59M
-20.04%846.40M
-25.56%812.76M
-21.14%848.13M
112.09%961.01M
149.38%1.06B
196.78%1.09B
--1.08B
--453.11M
--424.49M
--367.92M
- Caixa e Equivalentes de Caixa
12.96%993.03M
2.26%952.59M
-1.89%873.01M
-74.08%236.96M
17.51%879.14M
21.78%931.55M
13.92%889.79M
16.90%914.30M
-8.22%748.16M
-17.65%764.93M
-25.09%781.06M
-27.33%782.11M
-23.09%815.17M
105.00%928.86M
145.64%1.04B
208.99%1.08B
--1.06B
--453.11M
--424.49M
--348.30M
-Investimentos de Curto Prazo
-46.09%48.20M
-20.51%57.65M
-52.83%50.90M
455.83%545.27M
-34.42%89.41M
-13.32%72.52M
65.17%107.92M
220.05%98.10M
313.66%136.34M
160.21%83.66M
312.07%65.34M
95.11%30.65M
111.80%32.96M
--32.15M
--15.86M
-19.94%15.71M
--15.56M
----
--0.00
--19.62M
Contas a Receber
63.04%309.82M
66.14%330.81M
89.94%271.44M
69.17%242.94M
27.62%190.03M
26.87%199.12M
-7.35%142.91M
-8.76%143.61M
-15.50%148.90M
-1.29%156.94M
29.34%154.24M
26.89%157.40M
48.39%176.20M
47.08%158.99M
20.68%119.25M
-25.91%124.04M
--118.74M
--108.10M
--98.82M
--167.43M
-Contas e Títulos a Receber
48.78%109.59M
66.14%330.81M
132.62%99.38M
69.17%242.94M
81.30%73.66M
26.87%199.12M
-72.30%42.72M
-8.76%143.61M
-76.94%40.63M
-1.29%156.94M
216.19%154.24M
26.89%157.40M
48.39%176.20M
47.08%158.99M
9.05%48.78M
14.12%124.04M
--118.74M
--108.10M
--44.73M
--108.69M
-Outros Recebíveis
86.44%167.57M
----
127.08%143.34M
----
27.17%89.88M
----
--63.12M
----
--70.68M
----
----
----
----
----
24.68%58.22M
----
----
----
--46.69M
--51.32M
Inventário
43.94%395.86M
52.32%394.63M
90.78%379.44M
58.97%317.17M
29.27%275.01M
38.63%259.07M
14.63%198.89M
15.59%199.52M
-1.22%212.74M
-23.47%186.88M
-24.68%173.50M
-16.19%172.61M
-1.65%215.36M
20.44%244.18M
10.97%230.37M
4.18%205.95M
--218.98M
--202.75M
--207.59M
--197.69M
Despesas Antecipadas
-15.59%29.36M
----
123.19%33.03M
----
216.12%34.78M
----
--14.80M
----
--11.00M
----
----
----
----
----
-20.56%7.74M
----
----
----
--9.74M
--8.05M
Outros Ativos Circulantes
-75.40%771.38K
-23.71%272.85K
-96.19%141.54K
2387.47%85.46M
-24.01%3.14M
-91.51%357.67K
-21.49%3.71M
133.24%3.44M
254.96%4.13M
1074.72%4.21M
734.37%4.73M
494.57%1.47M
1294.70%1.16M
-39.84%358.65K
-46.01%566.66K
-4.36%247.74K
--83.36K
--596.19K
--1.05M
--259.04K
Total de Ativos Circulantes
20.76%1.78B
18.69%1.74B
18.41%1.61B
5.07%1.43B
16.67%1.47B
22.23%1.46B
15.20%1.36B
18.77%1.36B
1.64%1.26B
-12.31%1.20B
-16.78%1.18B
-19.54%1.14B
-12.20%1.24B
78.48%1.36B
90.98%1.42B
91.33%1.42B
--1.41B
--764.55M
--741.69M
--743.31M
Ativos não Circulantes
Ativos Fixos Líquidos
32.50%884.45M
55.14%815.54M
82.80%773.81M
75.04%707.03M
64.98%667.49M
33.64%525.68M
4.93%423.31M
-0.95%403.93M
-7.62%404.59M
159.38%393.36M
241.93%403.42M
379.21%407.81M
398.74%437.98M
84.62%151.66M
34.23%117.98M
-1.76%85.10M
--87.82M
--82.15M
--87.89M
--86.63M
Goodwill e outros Ativos Intangíveis
57.87%7.48M
-17.39%4.17M
-34.40%4.17M
-37.81%4.45M
-39.47%4.74M
-38.34%5.05M
-30.32%6.35M
-27.90%7.15M
-32.23%7.82M
-31.29%8.19M
-26.55%9.12M
-25.64%9.92M
5.77%11.55M
7.27%11.92M
20.84%12.42M
45.44%13.34M
--10.91M
--11.12M
--10.28M
--9.17M
Despesas antecipadas de longo prazo
----
----
----
--9.94M
----
----
-100.00%0.00
-100.00%0.00
-10.24%28.89M
-53.25%28.59M
38.12%29.45M
4072.48%29.97M
2953.84%32.18M
5349.13%61.16M
2245.65%21.32M
--718.35K
--1.05M
--1.12M
--909.08K
----
Outros ativos não circulantes
85.01%30.42M
103.76%28.19M
13.27%25.10M
0.86%25.84M
-68.85%16.44M
-72.58%13.84M
-57.38%22.16M
-52.64%25.62M
-8.47%52.78M
-42.30%50.47M
9.97%51.99M
87.08%54.10M
93.30%57.66M
202.64%87.47M
67.62%47.28M
19.05%28.92M
--29.83M
--28.90M
--28.21M
--24.29M
Total de ativos não circulantes
160.78%1.94B
219.51%1.91B
83.54%891.84M
81.40%800.05M
58.67%744.71M
31.37%598.18M
3.68%485.91M
-6.82%441.05M
-7.46%469.34M
49.32%455.34M
102.10%468.66M
159.26%473.31M
176.06%507.19M
149.63%304.95M
83.50%231.89M
52.02%182.56M
--183.72M
--122.16M
--126.37M
--120.09M
Total de ativos
67.81%3.72B
76.98%3.65B
35.57%2.50B
23.77%2.23B
28.06%2.22B
24.75%2.06B
11.92%1.84B
11.28%1.80B
-1.00%1.73B
-1.05%1.65B
-0.05%1.65B
0.80%1.62B
9.46%1.75B
88.28%1.67B
89.89%1.65B
85.86%1.60B
--1.60B
--886.71M
--868.06M
--863.40M
Passivos
Passivos circulantes
-Dividendos a pagar
----
14.07%101.42M
----
----
----
--88.91M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-Outros a pagar
-1.73%289.97M
----
5.46%287.31M
----
1.63%295.07M
----
--272.43M
----
--290.32M
----
----
----
----
----
15.05%299.43M
----
----
----
--260.27M
--250.72M
Despesas acumuladas
5.93%72.07M
----
54.84%80.41M
----
46.07%68.04M
----
--51.93M
----
--46.58M
----
----
----
----
----
33.09%36.95M
----
----
----
--27.76M
--25.28M
Dívidas e arrendamentos de curto prazo
461.95%361.56M
213.68%191.09M
267.76%165.87M
70.28%66.69M
67.37%64.34M
60.97%60.92M
19.50%45.10M
-0.70%39.17M
-11.21%38.44M
-9.44%37.85M
-26.82%37.74M
-2.55%39.44M
17.89%43.30M
25.49%41.79M
-44.54%51.57M
-54.21%40.47M
--36.73M
--33.30M
--93.00M
--88.38M
-Passivos de arrendamento de curto prazo
91.93%123.30M
65.48%100.64M
94.34%87.65M
70.02%66.59M
67.11%64.24M
60.98%60.82M
19.71%45.10M
1.26%39.17M
-9.50%38.44M
-7.93%37.78M
-23.84%37.68M
-4.44%38.68M
15.66%42.48M
23.22%41.03M
48.43%49.47M
33.16%40.47M
--36.73M
--33.30M
--33.33M
--30.39M
Passivos diferidos
-17.50%40.85M
12.83%48.52M
10.35%45.34M
20.37%53.56M
-0.13%49.52M
-14.28%43.00M
-23.50%41.09M
-10.23%44.49M
10.91%49.58M
25.49%50.17M
27.79%53.71M
14.78%49.56M
-3.99%44.71M
7.72%39.98M
29.47%42.03M
11.95%43.18M
--46.57M
--37.11M
--32.47M
--38.57M
Outros passivos circulantes
-4.00%330.82M
12.83%48.52M
6.10%332.65M
20.37%53.56M
1.38%344.59M
-14.28%43.00M
483.69%313.52M
-10.23%44.49M
660.33%339.91M
25.49%50.17M
-84.27%53.71M
14.78%49.56M
-3.99%44.71M
7.72%39.98M
16.64%341.46M
-85.07%43.18M
--46.57M
--37.11M
--292.74M
--289.29M
Total de passivos circulantes
49.10%923.28M
30.46%873.65M
48.30%790.11M
23.01%668.09M
15.66%619.24M
28.79%669.66M
-3.70%532.78M
0.23%543.10M
-11.59%535.39M
-7.50%519.97M
3.17%553.28M
2.33%541.85M
11.27%605.59M
12.94%562.13M
8.95%536.30M
3.60%529.50M
--544.27M
--497.72M
--492.26M
--511.08M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
86130.56%780.09M
90667.69%804.52M
-39.90%594.60K
-18.49%816.18K
-10.37%904.65K
-6.98%886.35K
4.17%989.30K
6.49%1.00M
0.15%1.01M
-11.37%952.87K
-10.94%949.66K
-71.10%940.34K
-53.85%1.01M
-51.29%1.08M
-52.86%1.07M
372.80%3.25M
--2.18M
--2.21M
--2.26M
--688.21K
-Dívida de longo prazo
86130.56%780.09M
90667.69%804.52M
-39.90%594.60K
-18.49%816.18K
-10.37%904.65K
-6.98%886.35K
4.17%989.30K
6.49%1.00M
0.15%1.01M
-11.37%952.87K
-10.94%949.66K
-71.10%940.34K
-53.85%1.01M
-51.29%1.08M
-52.86%1.07M
372.80%3.25M
--2.18M
--2.21M
--2.26M
--688.21K
Passivos diferidos
-19.76%8.69M
-13.51%9.49M
-11.62%9.67M
-15.32%9.84M
21.80%10.83M
19.33%10.97M
13.32%10.95M
17.76%11.62M
-20.08%8.89M
-22.10%9.19M
-21.54%9.66M
-25.41%9.87M
-19.53%11.12M
16.60%11.80M
11.51%12.31M
14.78%13.23M
--13.83M
--10.12M
--11.04M
--11.53M
Responsabilidades com derivativos
--171.79M
--174.00M
----
----
----
----
----
----
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----
----
----
----
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----
----
----
----
----
----
Outros passivos não circulantes
-19.76%8.69M
-13.51%9.49M
-11.62%9.67M
-15.32%9.84M
21.80%10.83M
19.33%10.97M
13.32%10.95M
17.76%11.62M
-20.08%8.89M
-22.10%9.19M
-21.54%9.66M
-25.41%9.87M
-19.53%11.12M
16.60%11.80M
11.51%12.31M
14.78%13.23M
--13.83M
--10.12M
--11.04M
--11.53M
Total de passivos não circulantes
465.63%1.27B
865.31%1.29B
218.38%281.08M
242.37%239.06M
227.67%225.36M
99.48%133.25M
29.81%88.28M
2.56%69.82M
-10.93%68.78M
-19.92%66.80M
-22.52%68.01M
1.50%68.08M
8.28%77.22M
-87.68%83.42M
-79.29%87.77M
-83.60%67.07M
--71.32M
--676.83M
--423.85M
--408.97M
Total de passivos
160.24%2.20B
169.01%2.16B
72.48%1.07B
48.00%907.15M
39.80%844.60M
36.84%802.91M
-0.04%621.07M
0.49%612.92M
-11.52%604.16M
-9.11%586.77M
-0.45%621.29M
2.24%609.93M
10.92%682.81M
-45.04%645.54M
-31.88%624.08M
-35.16%596.58M
--615.58M
--1.17B
--916.11M
--920.04M
Patrimônio líquido dos acionistas
Capital ordinário
-29.37%552.25M
-29.96%550.85M
-35.05%646.15M
-40.36%682.51M
-32.38%781.94M
-30.88%786.49M
-14.67%994.78M
-3.41%1.14B
-8.46%1.16B
-8.98%1.14B
-8.67%1.17B
-8.04%1.18B
-1.65%1.26B
4876.70%1.25B
5182.92%1.28B
6218.88%1.29B
--1.28B
--25.12M
--24.16M
--20.39M
Lucros retidos
64.30%962.33M
98.87%930.12M
244.21%776.88M
1423.82%632.66M
2047.01%585.73M
750.98%467.71M
262.47%225.70M
123.58%41.52M
84.75%-30.08M
68.15%-71.85M
44.66%-138.92M
37.07%-176.07M
35.21%-197.21M
28.23%-225.57M
-238.19%-251.04M
-259.43%-279.78M
---304.39M
---314.28M
---74.23M
---77.84M
Reservas de capital
-29.38%552.23M
-29.96%550.83M
-35.05%646.14M
-40.36%682.50M
-32.38%781.92M
-30.88%786.47M
-14.67%994.77M
-3.41%1.14B
-8.46%1.16B
-8.98%1.14B
-8.67%1.17B
-8.04%1.18B
-1.65%1.26B
4878.77%1.25B
5185.10%1.28B
6221.91%1.29B
--1.28B
--25.11M
--24.15M
--20.38M
Minoritários
65.40%6.53M
71.56%6.32M
136.46%5.59M
345.97%5.54M
1609.35%3.95M
545.50%3.69M
481.88%2.37M
219.63%1.24M
132.01%231.09K
-23.89%-827.51K
40.94%-619.48K
-159.80%-1.04M
-150.65%-721.89K
-150.40%-667.96K
-151.92%-1.05M
-149.41%-399.43K
--1.43M
--1.33M
--2.02M
--808.34K
Patrimônio total
10.90%1.52B
18.24%1.49B
16.83%1.43B
11.26%1.32B
21.77%1.37B
18.09%1.26B
19.16%1.22B
17.81%1.19B
5.75%1.13B
4.03%1.07B
0.19%1.03B
-0.05%1.01B
8.55%1.07B
455.74%1.02B
2231.84%1.02B
1879.79%1.01B
--981.37M
---287.84M
---48.05M
---56.64M
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Opinião da Auditoria
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