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Prologis Inc

PLD

108.555USD

-0.795-0.73%
Fechamento 07/15, 16:00ETCotações atrasadas em 15 min
100.73BValor de mercado
26.98P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
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FY2022Q1
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FY2021Q2
FY2021Q1
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FY2019Q3
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FY2019Q1
FY2018Q4
FY2018Q3
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FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
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FY2016Q4
FY2016Q3
FY2016Q2
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FY2015Q4
FY2015Q3
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FY2014Q3
FY2014Q2
FY2014Q1
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FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
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--271.35M
--395.83M
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- Caixa e Equivalentes de Caixa
34.07%671.12M
148.61%1.32B
5.40%780.87M
12.66%598.35M
-4.19%500.59M
90.46%530.39M
16.43%740.84M
21.39%531.11M
-72.68%522.50M
-49.92%278.48M
8.75%636.28M
-27.26%437.51M
182.92%1.91B
-7.02%556.12M
-37.77%585.07M
9.53%601.45M
-16.31%676.07M
-45.07%598.09M
-8.27%940.19M
36.88%549.13M
221.82%807.87M
216.66%1.09B
271.96%1.02B
-23.99%401.19M
-45.20%251.03M
-23.08%343.86M
-51.55%275.56M
94.52%527.83M
15.73%458.10M
-44.63%447.05M
51.61%568.73M
-18.32%271.35M
7.06%395.83M
205.71%807.32M
20.84%375.12M
-5.36%332.22M
92.56%369.74M
-24.70%264.08M
-0.46%310.43M
31.26%351.02M
1.66%192.01M
-28.59%350.69M
156.28%311.88M
-30.61%267.43M
-75.95%188.89M
387.18%491.13M
-23.07%121.69M
31.26%385.42M
128.48%785.36M
--100.81M
--158.19M
--293.63M
--343.74M
Contas a Receber
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--19.54M
--17.01M
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-Outros Recebíveis
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--19.54M
--17.01M
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Caixa Restrito
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-79.94%9.75M
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-75.37%42.49M
-82.38%26.64M
-47.14%48.60M
--176.93M
--172.51M
--151.18M
--91.96M
Total de Ativos Circulantes
34.07%671.12M
148.61%1.32B
5.40%780.87M
12.66%598.35M
-4.19%500.59M
-33.68%530.39M
16.43%740.84M
21.39%531.11M
-72.68%522.50M
-28.17%799.80M
8.75%636.28M
-27.26%437.51M
182.92%1.91B
19.24%1.11B
-37.77%585.07M
9.53%601.45M
-16.31%676.07M
-14.25%933.71M
-8.27%940.19M
36.88%549.13M
221.82%807.87M
216.66%1.09B
271.96%1.02B
-23.99%401.19M
-45.20%251.03M
-28.56%343.86M
-51.55%275.56M
81.45%527.83M
10.96%458.10M
-42.66%481.31M
39.08%568.73M
-20.53%290.89M
1.36%412.83M
68.18%839.42M
-19.49%408.92M
-33.27%366.02M
4.56%407.29M
9.91%499.13M
14.31%507.93M
40.15%548.52M
-22.90%389.51M
-42.30%454.14M
-9.64%444.34M
-46.14%391.39M
-56.51%505.22M
23.60%787.08M
-35.00%491.72M
-15.35%726.68M
37.21%1.16B
--636.82M
--756.54M
--858.48M
--846.61M
Ativos não Circulantes
Ativos Fixos Líquidos
-0.06%677.60M
3.53%707.81M
6.40%720.30M
-2.26%709.70M
-7.77%678.00M
-20.06%683.71M
--677.00M
--726.10M
--735.10M
48.13%855.33M
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-5.42%577.41M
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25.53%610.50M
4.27%455.70M
26.15%497.80M
32.96%510.19M
--486.33M
--437.04M
--394.60M
--383.70M
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-Depreciação Acumulada
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7.39%2.42B
1.60%2.29B
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--2.39B
--2.26B
--2.26B
Goodwill e outros Ativos Intangíveis
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114.11%1.18B
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-23.98%552.52M
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--726.82M
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Outros ativos não circulantes
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--1.42B
--1.44B
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Total de ativos não circulantes
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--29.86B
--29.40B
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Total de ativos
2.88%95.99B
2.48%95.33B
4.30%95.91B
1.24%93.54B
5.41%93.31B
5.83%93.02B
50.87%91.95B
54.60%92.39B
48.08%88.52B
50.29%87.90B
6.89%60.95B
5.89%59.76B
7.26%59.78B
4.32%58.49B
2.25%57.02B
2.21%56.44B
1.32%55.73B
40.05%56.07B
41.35%55.76B
42.67%55.22B
43.28%55.01B
4.20%40.03B
3.08%39.45B
31.20%38.71B
29.39%38.39B
30.31%38.42B
29.05%38.27B
-2.15%29.50B
-0.48%29.67B
-2.54%29.48B
-4.00%29.65B
-1.94%30.15B
-4.97%29.81B
-3.65%30.25B
-1.69%30.89B
-2.71%30.75B
23.23%31.38B
21.60%31.39B
30.52%31.42B
30.96%31.60B
3.27%25.46B
5.07%25.82B
-2.89%24.07B
0.39%24.13B
2.41%24.66B
-10.02%24.57B
-13.25%24.79B
-15.41%24.04B
-16.60%24.08B
--27.31B
--28.58B
--28.42B
--28.87B
Passivos
Passivos circulantes
Dívidas e arrendamentos de curto prazo
317.36%445.88M
-3.07%514.22M
16.51%1.96M
3189.53%112.14M
237.87%106.83M
1510.56%530.52M
-99.43%1.68M
-98.95%3.41M
-96.01%31.62M
-96.66%32.94M
210.29%294.16M
679.30%324.54M
181.42%792.17M
162.12%985.74M
4382.36%94.80M
174.94%41.65M
841.63%281.49M
-29.81%376.06M
-84.23%2.12M
-3.07%15.15M
-88.17%29.89M
96.21%535.75M
359.37%13.41M
-85.61%15.63M
53.62%252.69M
61.67%273.06M
-19.65%2.92M
22024.03%108.63M
-79.51%164.49M
-72.86%168.89M
-76.42%3.63M
-97.66%491.00K
138.22%802.81M
-33.37%622.35M
-14.40%15.41M
-12.50%21.00M
155.30%337.00M
55.93%934.00M
-5.26%18.00M
-4.00%24.00M
-55.25%132.00M
--599.00M
24258.97%19.00M
-85.71%25.00M
-63.13%295.00M
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-99.82%78.00K
161.19%175.00M
19.58%800.00M
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--43.00M
--67.00M
--669.00M
-Dívida de curto prazo
--0.00
--0.00
--0.00
--7.00M
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Total de passivos circulantes
11.13%2.07B
-0.57%2.28B
5.07%1.81B
11.00%1.76B
20.78%1.86B
-49.55%2.30B
6.84%1.72B
16.02%1.59B
-22.97%1.54B
55.17%4.55B
4.94%1.61B
1.52%1.37B
40.69%2.00B
35.20%2.93B
37.04%1.54B
16.48%1.35B
54.69%1.42B
74.90%2.17B
36.35%1.12B
52.76%1.16B
-3.19%918.24M
20.04%1.24B
-6.16%822.31M
-8.66%756.57M
10.63%948.45M
18.57%1.03B
23.31%876.33M
49.17%828.31M
-36.62%857.34M
-26.03%871.70M
3.37%710.68M
-14.37%555.27M
30.60%1.35B
-28.43%1.18B
-3.96%687.52M
15.50%648.44M
74.99%1.04B
34.21%1.65B
24.29%715.86M
-12.39%561.43M
-31.80%591.85M
117.56%1.23B
-48.23%575.97M
-46.07%640.85M
-51.74%867.75M
-57.71%563.99M
-26.20%1.11B
-22.62%1.19B
-20.95%1.80B
--1.33B
--1.51B
--1.54B
--2.27B
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
8.03%31.82B
6.66%30.37B
17.08%32.29B
5.92%29.79B
17.23%29.45B
19.41%28.47B
54.53%27.58B
58.76%28.13B
42.93%25.12B
42.52%23.84B
4.72%17.85B
4.56%17.72B
8.35%17.58B
1.56%16.73B
3.18%17.04B
8.25%16.94B
3.68%16.22B
44.88%16.47B
44.30%16.52B
42.90%15.65B
49.68%15.65B
5.12%11.37B
1.93%11.45B
17.54%10.95B
12.45%10.45B
17.02%10.82B
15.56%11.23B
-15.91%9.32B
-8.54%9.30B
-7.43%9.24B
-13.56%9.72B
-0.33%11.08B
-10.45%10.16B
-6.61%9.99B
-5.66%11.24B
-8.09%11.12B
33.38%11.35B
21.77%10.69B
35.35%11.92B
42.25%12.10B
-0.77%8.51B
-2.55%8.78B
-3.46%8.80B
3.18%8.50B
3.64%8.58B
-23.57%9.01B
-27.25%9.12B
-33.35%8.24B
-29.35%8.27B
--11.79B
--12.54B
--12.37B
--11.71B
-Dívida de longo prazo
8.03%31.82B
6.66%30.37B
17.08%32.29B
5.92%29.79B
17.23%29.45B
19.41%28.47B
54.53%27.58B
58.76%28.13B
42.93%25.12B
42.52%23.84B
4.72%17.85B
4.56%17.72B
8.35%17.58B
1.56%16.73B
3.18%17.04B
8.25%16.94B
3.68%16.22B
44.88%16.47B
44.30%16.52B
42.90%15.65B
49.68%15.65B
5.12%11.37B
1.93%11.45B
17.54%10.95B
12.45%10.45B
17.02%10.82B
15.56%11.23B
-15.91%9.32B
-8.54%9.30B
-7.43%9.24B
-13.56%9.72B
-0.33%11.08B
-10.45%10.16B
-6.61%9.99B
-5.66%11.24B
-8.09%11.12B
33.38%11.35B
21.77%10.69B
35.35%11.92B
42.25%12.10B
-0.77%8.51B
-2.55%8.78B
-3.46%8.80B
3.18%8.50B
3.64%8.58B
-23.57%9.01B
-27.25%9.12B
-33.35%8.24B
-29.35%8.27B
--11.79B
--12.54B
--12.37B
--11.71B
Outros passivos não circulantes
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--653.46M
--629.77M
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Total de passivos não circulantes
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--11.73B
--10.79B
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Total de passivos
6.77%37.92B
4.30%36.71B
13.51%38.24B
3.79%35.61B
14.35%35.51B
17.19%35.20B
57.87%33.69B
64.26%34.31B
45.68%31.06B
44.79%30.03B
5.33%21.34B
4.66%20.89B
10.18%21.32B
5.08%20.74B
5.13%20.26B
8.04%19.96B
6.12%19.35B
41.41%19.74B
42.61%19.27B
42.90%18.48B
45.06%18.23B
10.65%13.96B
5.32%13.51B
19.98%12.93B
15.48%12.57B
17.09%12.62B
15.64%12.83B
-12.32%10.78B
-10.40%10.88B
-8.62%10.78B
-11.98%11.09B
-1.39%12.29B
-6.82%12.15B
-9.11%11.79B
-4.76%12.60B
-5.93%12.46B
34.83%13.04B
22.00%12.97B
33.20%13.23B
34.44%13.25B
-4.86%9.67B
2.30%10.63B
-5.61%9.94B
1.44%9.85B
-6.47%10.16B
-23.20%10.40B
-27.72%10.53B
-32.56%9.72B
-24.96%10.86B
--13.54B
--14.56B
--14.41B
--14.48B
Patrimônio líquido dos acionistas
Capital ordinário
0.41%54.57B
0.39%54.47B
0.41%54.43B
0.51%54.40B
0.51%54.35B
0.34%54.26B
52.21%54.21B
52.12%54.12B
52.07%54.07B
52.03%54.07B
0.22%35.61B
0.40%35.58B
0.26%35.55B
0.21%35.57B
0.20%35.53B
0.02%35.44B
0.11%35.46B
37.98%35.50B
37.99%35.46B
38.09%35.43B
38.05%35.42B
0.13%25.73B
0.07%25.70B
32.75%25.66B
32.89%25.66B
32.65%25.69B
32.68%25.68B
0.09%19.33B
0.30%19.31B
-0.47%19.37B
-0.42%19.36B
-0.29%19.31B
-0.29%19.25B
0.79%19.46B
1.48%19.44B
1.21%19.37B
1.31%19.31B
4.52%19.31B
5.91%19.16B
5.91%19.13B
5.82%19.06B
2.74%18.47B
0.72%18.09B
0.68%18.07B
9.38%18.01B
9.52%17.98B
9.49%17.96B
9.57%17.94B
0.56%16.47B
--16.42B
--16.40B
--16.38B
--16.37B
Capital preferencial
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
0.00%63.95M
-7.25%63.95M
-7.25%63.95M
-7.25%63.95M
-7.25%63.95M
0.00%68.95M
0.00%68.95M
0.00%68.95M
0.00%68.95M
0.00%68.95M
0.00%68.95M
0.00%68.95M
-11.87%68.95M
-11.87%68.95M
-11.87%68.95M
--68.95M
--78.23M
--78.23M
--78.23M
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--78.23M
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Lucros retidos
12.89%-812.88M
25.70%-465.91M
-358.47%-851.76M
-146.85%-964.62M
-16.71%-933.16M
-37.01%-627.07M
40.63%-185.78M
47.25%-390.78M
-4.60%-799.58M
65.53%-457.69M
85.15%-312.94M
68.66%-740.76M
69.37%-764.42M
44.55%-1.33B
6.14%-2.11B
-11.71%-2.36B
-19.34%-2.50B
-11.32%-2.39B
-2.02%-2.25B
8.69%-2.12B
11.63%-2.09B
9.56%-2.15B
17.63%-2.20B
14.70%-2.32B
15.34%-2.37B
18.11%-2.38B
9.88%-2.67B
24.70%-2.72B
23.22%-2.79B
19.54%-2.90B
22.53%-2.97B
7.15%-3.61B
7.59%-3.64B
8.06%-3.61B
-0.06%-3.83B
-0.37%-3.89B
-3.14%-3.94B
1.21%-3.93B
9.22%-3.83B
7.59%-3.87B
6.72%-3.82B
-1.06%-3.97B
-9.38%-4.21B
-13.08%-4.19B
-14.97%-4.09B
-6.40%-3.93B
-15.50%-3.85B
-17.24%-3.70B
-17.93%-3.56B
---3.70B
---3.34B
---3.16B
---3.02B
Reservas de capital
0.41%54.56B
0.39%54.46B
0.41%54.42B
0.51%54.39B
0.51%54.34B
0.34%54.25B
52.21%54.20B
52.12%54.12B
52.08%54.06B
52.03%54.07B
0.22%35.61B
0.40%35.57B
0.26%35.55B
0.21%35.56B
0.20%35.53B
0.02%35.43B
0.11%35.45B
37.98%35.49B
38.00%35.46B
38.10%35.42B
38.05%35.42B
0.13%25.72B
0.07%25.69B
32.76%25.65B
32.90%25.65B
32.65%25.69B
32.68%25.67B
0.09%19.32B
0.30%19.30B
-0.47%19.36B
-0.42%19.35B
-0.29%19.31B
-0.29%19.25B
0.79%19.46B
1.48%19.43B
1.22%19.36B
1.31%19.30B
4.52%19.30B
5.91%19.15B
5.91%19.13B
5.82%19.05B
2.74%18.47B
0.72%18.08B
0.68%18.06B
9.38%18.01B
9.52%17.97B
9.50%17.95B
9.57%17.94B
0.56%16.46B
--16.41B
--16.40B
--16.37B
--16.37B
Ganhos (perdas) fora do lucro retido
-22.49%-349.59M
76.62%-120.22M
-27.33%-572.25M
53.05%-156.05M
42.51%-285.39M
-15.91%-514.20M
-527.48%-449.44M
-1.10%-332.37M
27.12%-496.42M
49.49%-443.61M
92.72%-71.63M
68.24%-328.76M
33.32%-681.12M
26.43%-878.25M
16.93%-983.91M
9.37%-1.04B
10.57%-1.02B
-20.53%-1.19B
-12.78%-1.18B
-5.84%-1.14B
-10.99%-1.14B
8.69%-990.40M
-0.35%-1.05B
-3.61%-1.08B
-13.93%-1.03B
-20.30%-1.08B
-13.19%-1.05B
-11.48%-1.04B
4.23%-903.34M
3.82%-901.66M
-3.98%-924.62M
-10.15%-934.20M
-15.90%-943.28M
-18.45%-937.47M
-14.51%-889.22M
-34.35%-848.08M
-15.99%-813.90M
-31.83%-791.43M
-52.07%-776.57M
-63.86%-631.26M
-57.83%-701.71M
-37.79%-600.34M
-13.06%-510.66M
28.84%-385.25M
11.75%-444.59M
-86.53%-435.68M
-173.57%-451.66M
-62.17%-541.36M
-129.44%-503.79M
---233.56M
---165.10M
---333.81M
---219.57M
Minoritários
0.04%4.61B
0.51%4.67B
-0.71%4.59B
-0.74%4.58B
-0.51%4.61B
0.35%4.64B
7.23%4.63B
7.31%4.61B
7.92%4.63B
7.19%4.63B
1.46%4.31B
-1.76%4.30B
-1.98%4.29B
-0.87%4.32B
-3.21%4.25B
-2.85%4.38B
-3.09%4.38B
27.33%4.35B
28.49%4.39B
30.66%4.50B
29.43%4.52B
-2.40%3.42B
0.33%3.42B
11.62%3.45B
12.28%3.49B
13.93%3.50B
12.98%3.41B
2.49%3.09B
6.38%3.11B
-11.32%3.07B
-13.45%3.02B
-15.62%3.01B
-21.21%2.92B
-7.62%3.47B
-1.95%3.48B
-1.99%3.57B
214.81%3.71B
210.65%3.75B
410.07%3.55B
416.70%3.64B
27.72%1.18B
159.64%1.21B
36.48%696.65M
34.80%705.11M
29.95%922.21M
-33.94%465.30M
-3.97%510.43M
-3.57%523.08M
5.73%709.64M
--704.32M
--531.56M
--542.42M
--671.18M
Patrimônio total
0.48%58.08B
1.37%58.62B
-1.02%57.66B
-0.27%57.92B
0.58%57.80B
-0.07%57.82B
47.10%58.26B
49.40%58.08B
49.41%57.47B
53.31%57.86B
7.75%39.61B
6.56%38.87B
5.71%38.46B
3.90%37.74B
0.73%36.76B
-0.72%36.48B
-1.06%36.39B
39.33%36.32B
40.69%36.49B
42.55%36.75B
42.41%36.78B
1.05%26.07B
1.96%25.94B
37.65%25.78B
37.45%25.82B
37.93%25.80B
37.06%25.44B
4.85%18.73B
6.34%18.79B
1.34%18.71B
1.51%18.56B
-2.31%17.86B
-3.67%17.67B
0.20%18.46B
0.54%18.28B
-0.39%18.28B
16.13%18.34B
21.32%18.42B
28.64%18.18B
28.56%18.35B
8.97%15.79B
7.10%15.18B
-0.89%14.14B
-0.32%14.28B
9.71%14.49B
2.93%14.18B
1.79%14.26B
2.24%14.32B
-8.19%13.21B
--13.77B
--14.01B
--14.01B
--14.39B
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KeyAI