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Nocera Inc

NCRA

1.031USD

-0.019-1.82%
Horário de mercado ETCotações atrasadas em 15 min
14.69MValor 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
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-54.66%531.77K
-66.32%484.37K
-74.95%372.48K
-55.55%586.42K
-29.41%1.17M
-50.51%1.44M
-32.51%1.49M
-17.54%1.32M
-15.31%1.66M
18.91%2.91M
226.10%2.20M
147.28%1.60M
222.95%1.96M
138.78%2.44M
168.29%675.74K
87.68%647.08K
22.35%607.45K
3486.43%1.02M
--251.87K
--344.78K
--496.50K
--28.54K
- Caixa e Equivalentes de Caixa
-44.71%531.77K
-60.62%484.16K
-70.94%372.27K
-47.46%586.42K
-34.15%961.78K
-57.69%1.23M
-41.86%1.28M
-30.24%1.12M
-25.55%1.46M
18.91%2.91M
226.10%2.20M
147.28%1.60M
222.95%1.96M
138.78%2.44M
168.29%675.74K
87.68%647.08K
22.35%607.45K
3486.43%1.02M
--251.87K
--344.78K
--496.50K
--28.54K
-Investimentos de Curto Prazo
-100.00%0.00
-99.90%210.00
-99.90%208.00
-100.00%0.00
5.05%211.11K
--208.70K
--205.90K
--203.20K
--200.95K
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Contas a Receber
1.79%690.68K
323.11%744.52K
84.13%727.32K
231.78%693.40K
216.79%678.57K
-25.83%175.97K
-83.90%395.01K
-91.70%208.99K
-91.85%214.20K
-90.21%237.25K
17.71%2.45M
19.18%2.52M
37.29%2.63M
81.80%2.42M
1521.64%2.08M
26.86%2.11M
9.94%1.91M
94.92%1.33M
--128.51K
--1.67M
--1.74M
--683.52K
-Contas e Títulos a Receber
-22.17%134.11K
-16.66%144.51K
-58.58%100.87K
-22.16%156.52K
-16.67%172.31K
-17.34%173.40K
-60.04%243.51K
-63.31%201.07K
-61.10%206.78K
-70.01%209.78K
1.10%609.40K
-38.28%548.03K
-27.33%531.52K
61.82%699.55K
452.72%602.76K
-43.23%887.89K
-56.13%731.46K
--432.31K
--109.06K
--1.56M
--1.67M
----
-Outros Recebíveis
9.94%556.58K
23246.73%600.01K
313.51%626.45K
6676.31%536.89K
6723.79%506.26K
-90.64%2.57K
-91.78%151.50K
-99.60%7.92K
-99.65%7.42K
-98.41%27.47K
24.47%1.84M
60.81%1.97M
77.26%2.10M
91.40%1.72M
7514.10%1.48M
1102.44%1.23M
1506.44%1.18M
31.68%900.04K
--19.45K
--101.93K
--73.62K
--683.52K
Inventário
-88.89%9.61K
-100.00%0.00
22.45%105.13K
-0.37%85.96K
-5.35%86.44K
-3.65%88.43K
-60.10%85.86K
-87.51%86.28K
-94.36%91.33K
-93.83%91.78K
-92.97%215.17K
-64.15%690.86K
-8.59%1.62M
-13.63%1.49M
2625.71%3.06M
397.10%1.93M
481.28%1.77M
499.73%1.72M
--112.30K
--387.68K
--304.57K
--287.41K
Despesas Antecipadas
2303.18%41.62K
441.22%51.56K
403.12%8.71K
386.32%8.42K
0.00%1.73K
450.06%9.53K
-93.91%1.73K
-90.00%1.73K
-90.33%1.73K
-95.97%1.73K
-79.41%28.43K
297.62%17.32K
-80.13%17.92K
2380.89%42.97K
7874.31%138.12K
-258.44%-8.77K
2274.87%90.15K
-91.16%1.73K
--1.73K
--5.53K
--3.80K
--19.59K
Outros Ativos Circulantes
--1.73K
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1896.22%28.51K
-100.00%0.00
--0.00
--0.00
-90.01%1.43K
413.27%203.45K
-100.00%0.00
--0.00
--14.30K
--39.64K
--8.01K
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Total de Ativos Circulantes
-34.24%1.28M
-25.22%1.28M
-38.39%1.21M
-14.98%1.37M
-1.48%1.94M
-47.10%1.71M
-60.04%1.97M
-66.52%1.62M
-68.38%1.97M
-49.41%3.24M
-17.31%4.93M
-1.13%4.83M
42.08%6.23M
56.76%6.40M
1071.65%5.96M
99.80%4.88M
71.59%4.38M
63.08%4.08M
--508.71K
--2.44M
--2.55M
--2.50M
Ativos não Circulantes
Ativos Fixos Líquidos
44.37%2.22M
-10.08%1.39M
-6.60%1.46M
-8.57%1.49M
-8.82%1.54M
83.26%1.55M
70.82%1.56M
2377.15%1.63M
2363.98%1.69M
1085.50%844.61K
1162.94%912.29K
-10.64%65.62K
-6.98%68.44K
39.90%71.25K
18004.01%72.23K
-71.08%73.44K
-73.56%73.58K
-83.46%50.93K
--399.00
--253.92K
--278.26K
--307.98K
-Ativos Fixos
47.09%2.66M
0.33%1.79M
4.59%1.82M
1.45%1.80M
0.88%1.81M
97.30%1.78M
88.73%1.74M
2259.24%1.77M
2224.66%1.79M
1047.01%903.87K
1075.21%922.20K
-4.24%75.06K
2.49%77.03K
53.65%78.80K
11272.61%78.47K
-75.42%78.39K
-77.31%75.16K
--51.29K
--690.00
--318.95K
--331.17K
----
-Depreciação Acumulada
62.65%437.17K
68.71%397.31K
100.33%364.95K
113.55%310.40K
157.79%268.78K
297.44%235.50K
1737.34%182.17K
1439.58%145.35K
1114.22%104.27K
684.09%59.25K
59.00%9.91K
90.65%9.44K
443.83%8.59K
1993.35%7.56K
2042.96%6.24K
-92.39%4.95K
-97.02%1.58K
--361.00
--291.00
--65.03K
--52.91K
----
Goodwill e outros Ativos Intangíveis
-30.33%2.17M
22.96%2.18M
-17.03%3.34M
-17.01%3.34M
-22.70%3.12M
-56.16%1.77M
-7.98%4.02M
1113.11%4.03M
1114.34%4.03M
1115.57%4.04M
1217.04%4.37M
0.00%332.04K
-1.45%332.04K
0.00%332.04K
--332.04K
-20.03%332.04K
-23.32%336.92K
-29.94%332.04K
--0.00
--415.20K
--439.40K
--473.94K
Outros ativos não circulantes
-98.84%4.37K
58.67%7.50K
3815.39%1.02M
2569.67%723.21K
1265.01%378.16K
-79.17%4.73K
--26.14K
--27.09K
--27.70K
--22.70K
----
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-100.00%0.00
----
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-96.92%2.30K
--2.20K
--117.79K
--94.56K
--74.64K
Total de ativos não circulantes
-29.56%3.55M
8.44%3.60M
4.24%5.85M
-1.78%5.58M
-12.42%5.03M
-32.26%3.32M
6.11%5.61M
1243.28%5.68M
1181.41%5.75M
937.17%4.90M
744.02%5.29M
-34.84%422.90K
-47.98%448.43K
-43.96%472.77K
23966.64%626.21K
-17.52%649.01K
6.14%862.09K
--843.66K
--2.60K
--786.91K
--812.22K
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Total de ativos
-30.86%4.82M
-3.01%4.88M
-6.84%7.06M
-4.70%6.95M
-9.62%6.97M
-38.16%5.03M
-25.81%7.58M
38.99%7.30M
15.59%7.71M
18.48%8.14M
55.08%10.21M
-5.09%5.25M
27.27%6.67M
39.51%6.87M
1188.16%6.59M
71.22%5.53M
55.80%5.24M
46.61%4.92M
--511.31K
--3.23M
--3.37M
--3.36M
Passivos
Passivos circulantes
-Dividendos a pagar
41.76%54.31K
41.76%54.31K
71.71%38.31K
71.71%38.31K
71.71%38.31K
71.71%38.31K
253.49%22.31K
253.49%22.31K
253.49%22.31K
253.49%22.31K
--6.31K
--6.31K
--6.31K
--6.31K
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-Outros a pagar
-75.15%308.16K
-88.48%103.96K
1.56%1.27M
3.96%1.28M
0.69%1.24M
-26.99%902.60K
-69.28%1.25M
244.17%1.23M
243.95%1.23M
239.35%1.24M
1161.90%4.06M
69.06%356.95K
2813.77%358.04K
609.26%364.29K
4084.73%321.43K
-50.48%211.13K
-97.36%12.29K
-87.34%51.36K
--7.68K
--426.37K
--465.92K
--405.77K
Despesas acumuladas
25589.67%211.43K
87.13%262.16K
4.40%854.00
-0.36%819.00
-5.40%823.00
16170.62%140.09K
-89.61%818.00
-96.16%822.00
-97.77%870.00
-99.34%861.00
-86.62%7.87K
-78.78%21.41K
-50.01%39.00K
886.68%129.80K
6577.30%58.83K
-60.22%100.88K
-68.72%78.00K
--13.15K
--881.00
--253.62K
--249.38K
----
Dívidas e arrendamentos de curto prazo
-93.23%28.87K
-98.64%6.63K
-100.00%0.00
-100.00%0.00
96.37%426.32K
126.98%487.80K
--167.13K
316.52%169.43K
329.36%217.10K
48.83%214.91K
-100.00%0.00
-91.96%40.68K
-90.41%50.56K
-79.95%144.40K
--482.78K
--506.10K
--527.03K
4587.13%720.27K
--0.00
--0.00
--0.00
--15.37K
-Dívida de curto prazo
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-100.00%0.00
-100.00%0.00
-100.00%0.00
-91.96%40.68K
-90.41%50.56K
-79.95%144.40K
--482.78K
--506.10K
--527.03K
4587.13%720.27K
--0.00
--0.00
--0.00
--15.37K
Passivos diferidos
--78.88K
--72.50K
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--0.00
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-100.00%0.00
--0.00
--0.00
--259.12K
--620.33K
Outros passivos circulantes
-69.68%387.03K
-80.45%176.47K
4.18%1.30M
7.96%1.33M
2.75%1.28M
-29.43%902.60K
-69.28%1.25M
41.28%1.23M
-29.66%1.24M
-9.63%1.28M
22.66%4.06M
-56.70%869.87K
12.70%1.77M
5.85%1.42M
42952.09%3.31M
94.60%2.01M
26.37%1.57M
30.31%1.34M
--7.68K
--1.03M
--1.24M
--1.03M
Total de passivos circulantes
-68.35%706.38K
-59.69%639.20K
66.19%2.39M
48.68%2.12M
50.12%2.23M
4.20%1.59M
-69.21%1.44M
45.29%1.42M
-24.70%1.49M
-27.56%1.52M
12.02%4.67M
-66.80%979.62K
-22.34%1.97M
-11.53%2.10M
10213.90%4.17M
36.70%2.95M
7.11%2.54M
-8.56%2.37M
--40.42K
--2.16M
--2.37M
--2.60M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-100.00%0.00
--23.79K
-90.01%33.70K
-91.36%34.09K
-90.99%36.09K
-100.00%0.00
--337.45K
--394.40K
--400.46K
--436.34K
--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
-100.00%0.00
--23.79K
-90.01%33.70K
-91.36%34.09K
-90.99%36.09K
-100.00%0.00
--337.45K
--394.40K
--400.46K
--436.34K
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Outros passivos não circulantes
--0.00
----
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--0.00
Total de passivos não circulantes
-100.00%0.00
--23.79K
-90.01%33.70K
-91.36%34.09K
-90.99%36.09K
-100.00%0.00
--337.45K
--394.40K
--400.46K
--436.34K
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Total de passivos
-68.86%706.38K
-58.19%662.98K
36.50%2.42M
18.29%2.15M
20.18%2.27M
-19.02%1.59M
-61.99%1.78M
85.55%1.82M
-4.42%1.89M
-6.79%1.96M
12.02%4.67M
-66.80%979.62K
-22.34%1.97M
-11.53%2.10M
10213.90%4.17M
36.70%2.95M
7.11%2.54M
-8.56%2.37M
--40.42K
--2.16M
--2.37M
--2.60M
Patrimônio líquido dos acionistas
Capital ordinário
5.96%25.36M
14.91%25.21M
13.22%24.67M
16.30%24.59M
13.35%23.94M
7.07%21.94M
26.19%21.79M
39.20%21.15M
39.95%21.12M
41.50%20.49M
471.86%17.27M
422.34%15.19M
437.90%15.09M
436.00%14.48M
575.03%3.02M
745.96%2.91M
837.37%2.81M
850.55%2.70M
--447.34K
--343.82K
--299.27K
--284.27K
Lucros retidos
-10.07%-21.30M
-12.69%-21.05M
-24.00%-19.99M
-24.27%-19.70M
-24.48%-19.35M
-28.31%-18.68M
-36.81%-16.12M
-45.23%-15.86M
-47.57%-15.54M
-49.64%-14.56M
-1864.71%-11.78M
-3263.37%-10.92M
-19980.94%-10.53M
-9441.93%-9.73M
-986.70%-599.71K
-141.44%-324.59K
-107.00%-52.45K
-119.22%-101.94K
--67.63K
--783.22K
--749.74K
--530.42K
Reservas de capital
5.96%25.35M
14.91%25.20M
13.20%24.66M
16.29%24.58M
13.34%23.92M
7.06%21.93M
26.19%21.78M
39.23%21.14M
39.99%21.11M
41.54%20.48M
473.32%17.26M
423.62%15.18M
439.27%15.08M
437.42%14.47M
593.39%3.01M
776.93%2.90M
874.55%2.80M
890.37%2.69M
--434.15K
--330.64K
--286.91K
--271.92K
Ganhos (perdas) fora do lucro retido
-63.33%15.25K
-87.45%12.41K
-320.04%-91.36K
-273.85%-146.03K
-67.30%41.60K
-4.53%98.91K
455.98%41.52K
1678.95%84.00K
-11.12%127.22K
644.96%103.59K
-330.21%-11.66K
-71.89%-5.32K
378.27%143.14K
127.94%13.91K
95.89%-2.71K
95.97%-3.10K
37.44%-51.44K
38.82%-49.77K
---65.95K
---76.73K
---82.22K
---81.35K
Minoritários
-58.65%30.41K
-52.05%40.43K
-49.18%45.94K
-43.86%57.69K
-41.72%73.54K
-40.22%84.33K
30.05%90.39K
--102.76K
--126.17K
--141.05K
--69.50K
----
----
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
--21.87K
--21.87K
--25.32K
--29.07K
Patrimônio total
-12.54%4.11M
22.36%4.22M
-20.10%4.64M
-12.33%4.80M
-19.28%4.70M
-44.22%3.45M
4.68%5.80M
28.31%5.48M
24.00%5.83M
29.61%6.18M
129.33%5.54M
65.47%4.27M
73.97%4.70M
87.03%4.77M
413.36%2.42M
140.72%2.58M
172.29%2.70M
234.52%2.55M
--470.89K
--1.07M
--992.11K
--762.41K
Moeda
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Opinião da Auditoria
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