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Porch Group Inc

PRCH

12.300USD

-0.320-2.54%
Fechamento 08/01, 16:00ETCotações atrasadas em 15 min
1.25BValor 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
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-77.31%70.41M
-34.78%191.74M
-35.81%238.57M
5.72%308.40M
45.11%310.25M
16.86%294.01M
39.00%371.69M
4.50%291.72M
-28.93%213.80M
-22.59%251.58M
-36.39%267.41M
74.10%279.17M
34.94%300.83M
65.77%324.99M
46246.39%420.36M
14929.99%160.35M
18000.06%222.95M
13775.42%196.05M
3527.98%906.99K
--1.07M
--1.23M
--1.41M
--25.00K
- Caixa e Equivalentes de Caixa
-76.39%65.90M
-35.13%167.64M
-39.73%206.73M
3.27%274.25M
55.60%279.07M
20.16%258.42M
31.83%343.01M
-2.00%265.57M
-38.65%179.36M
-31.89%215.06M
-36.57%260.20M
80.43%271.00M
31.14%292.37M
61.05%315.74M
45128.19%410.22M
13978.70%150.20M
18000.06%222.95M
13775.42%196.05M
3527.98%906.99K
--1.07M
--1.23M
--1.41M
--25.00K
-Investimentos de Curto Prazo
-85.53%4.51M
-32.28%24.10M
11.03%31.84M
30.60%34.15M
-9.48%31.18M
-2.56%35.59M
297.66%28.68M
220.28%26.15M
307.01%34.44M
294.80%36.52M
-28.89%7.21M
-19.55%8.16M
--8.46M
--9.25M
--10.14M
--10.15M
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Contas a Receber
-41.14%12.24M
-21.34%19.11M
-20.72%21.32M
-13.26%21.44M
-11.86%20.80M
-8.13%24.29M
-27.39%26.89M
-35.76%24.71M
-21.32%23.60M
-8.10%26.44M
10.08%37.03M
67.41%38.47M
211.52%30.00M
574.02%28.77M
--33.64M
--22.98M
--9.63M
--4.27M
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-Contas e Títulos a Receber
-41.14%12.24M
-21.34%19.11M
-20.72%21.32M
-13.26%21.44M
-11.86%20.80M
-8.13%24.29M
-27.39%26.89M
-35.76%24.71M
-21.32%23.60M
-8.10%26.44M
10.08%37.03M
67.41%38.47M
211.52%30.00M
574.02%28.77M
--33.64M
--22.98M
--9.63M
--4.27M
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Despesas Antecipadas
-30.98%11.50M
15.75%15.29M
-62.97%17.03M
-38.76%18.17M
-45.95%16.67M
-33.96%13.21M
117.30%45.98M
31.14%29.66M
46.22%30.83M
39.55%20.01M
145.02%21.16M
230.52%22.62M
167.98%21.09M
251.42%14.34M
2539.54%8.64M
1811.86%6.84M
3640.61%7.87M
1775.29%4.08M
--327.18K
--357.98K
--210.37K
--217.57K
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Outros Ativos Circulantes
-87.02%17.21M
-7.08%138.98M
10.89%129.95M
-57.62%132.13M
-56.87%132.66M
-52.15%149.57M
-63.41%117.20M
9.56%311.74M
23.08%307.57M
31.92%312.61M
27.71%320.28M
-8.26%284.55M
2294.83%249.90M
1977.38%236.97M
--250.78M
--310.18M
--10.44M
--11.41M
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Total de Ativos Circulantes
-76.82%111.37M
-24.10%365.13M
-27.57%406.87M
-27.01%480.13M
-16.57%480.38M
-21.22%481.08M
-13.03%561.75M
5.29%657.85M
-4.32%575.80M
0.92%610.63M
-9.47%645.88M
24.87%624.81M
139.88%601.82M
180.38%605.06M
57705.56%713.42M
35016.43%500.35M
17296.68%250.88M
13135.53%215.80M
4836.69%1.23M
--1.42M
--1.44M
--1.63M
--25.00K
Ativos não Circulantes
Ativos Fixos Líquidos
38.16%24.30M
23.33%24.75M
35.00%21.14M
4.40%19.28M
-1.62%17.59M
22.07%20.07M
-1.71%15.66M
15.15%18.47M
45.80%17.88M
47.19%16.44M
108.11%15.93M
103.30%16.04M
130.14%12.26M
143.20%11.17M
--7.66M
--7.89M
--5.33M
--4.59M
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-Ativos Fixos
35.15%49.18M
23.01%47.76M
27.53%42.36M
13.51%39.58M
2.43%36.39M
17.82%38.82M
3.43%33.22M
6.48%34.87M
15.59%35.52M
13.27%32.95M
36.79%32.12M
45.68%32.74M
97.48%30.73M
--29.09M
--23.48M
--22.48M
--15.56M
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-Depreciação Acumulada
32.34%24.88M
22.66%23.00M
20.87%21.22M
23.77%20.30M
6.54%18.80M
13.59%18.75M
8.49%17.56M
-1.84%16.40M
-4.47%17.65M
-7.87%16.51M
2.28%16.18M
14.53%16.71M
80.48%18.47M
--17.92M
--15.82M
--14.59M
--10.23M
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Goodwill e outros Ativos Intangíveis
-6.61%256.27M
-6.62%260.65M
-6.58%265.18M
-6.59%269.71M
-21.34%274.41M
-20.92%279.12M
-16.47%283.86M
-29.65%288.73M
-0.57%348.87M
-0.71%352.95M
29.66%339.82M
99.58%410.41M
381.75%350.88M
703.35%355.48M
--262.08M
--205.63M
--72.83M
--44.25M
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Outros ativos não circulantes
26.64%7.09M
127.22%4.78M
41.58%8.14M
176.97%5.58M
138.70%5.60M
27.89%2.10M
61.60%5.75M
-0.20%2.02M
-60.05%2.35M
39.02%1.65M
160.01%3.56M
448.64%2.02M
1222.75%5.87M
213.23%1.18M
--1.37M
--368.00K
--444.00K
--378.00K
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--113.00K
Total de ativos não circulantes
72.41%690.91M
7.30%448.84M
13.50%460.39M
1.72%395.98M
-9.11%400.74M
-4.59%418.31M
-4.91%405.63M
-21.38%389.30M
1.37%440.91M
1.09%438.42M
26.62%426.60M
78.58%495.15M
421.80%434.94M
724.71%433.68M
94.52%336.91M
60.08%277.27M
-51.98%83.36M
-69.56%52.59M
153172.36%173.20M
--173.21M
--173.60M
--172.74M
--113.00K
Total de ativos
-8.95%802.28M
-9.50%813.97M
-10.35%867.26M
-16.33%876.11M
-13.34%881.11M
-14.27%899.39M
-9.80%967.38M
-6.50%1.05B
-1.93%1.02B
0.99%1.05B
2.11%1.07B
44.02%1.12B
210.19%1.04B
287.03%1.04B
502.14%1.05B
345.29%777.62M
90.95%334.24M
53.92%268.39M
126299.96%174.43M
--174.64M
--175.04M
--174.37M
--138.00K
Passivos
Passivos circulantes
-Outros a pagar
-100.00%0.00
-15.87%106.92M
-5.22%174.36M
-28.05%200.42M
-20.96%153.30M
-21.72%127.09M
17.74%183.96M
85.20%278.56M
58.12%193.95M
59.20%162.34M
27.49%156.24M
-32.16%150.41M
--122.66M
--101.97M
--122.56M
--221.71M
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Despesas acumuladas
-12.80%46.62M
-30.56%41.24M
11.10%46.95M
34.43%45.54M
37.60%53.47M
49.45%59.40M
14.68%42.26M
-29.38%33.87M
10.93%38.86M
5.49%39.74M
-35.67%36.85M
86.86%47.97M
129.43%35.03M
280.36%37.67M
1842.40%57.27M
38648.92%25.67M
30436.00%15.27M
8859.99%9.90M
16281.22%2.95M
--66.25K
--50.00K
--110.55K
--18.00K
Dívidas e arrendamentos de curto prazo
-100.00%0.00
-38.52%150.00K
-90.89%150.00K
-97.24%150.00K
-98.56%150.00K
-98.52%244.00K
-73.75%1.65M
3526.00%5.44M
6828.00%10.39M
10870.00%16.45M
5764.49%6.28M
44.23%150.00K
-97.99%150.00K
-96.84%150.00K
--107.00K
--104.00K
--7.48M
--4.75M
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--75.00K
-Dívida de curto prazo
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--75.00K
Passivos diferidos
-91.04%20.77M
-2.01%261.30M
-7.02%264.90M
-14.05%237.68M
-13.34%231.81M
-8.31%266.66M
-4.23%284.91M
5.28%276.55M
24.10%267.49M
34.42%290.83M
55.23%297.48M
59.27%262.67M
3282.66%215.54M
2648.46%216.36M
--191.65M
--164.93M
--6.37M
--7.87M
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Outros passivos circulantes
-94.61%20.77M
-6.48%368.22M
-6.31%439.27M
-21.08%438.10M
-16.54%385.11M
-13.11%393.75M
3.34%468.87M
34.38%555.10M
36.44%461.44M
42.36%453.17M
44.41%453.73M
6.84%413.08M
5207.60%338.20M
3943.85%318.33M
--314.20M
--386.63M
--6.37M
--7.87M
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Total de passivos circulantes
-83.54%73.07M
-10.39%414.16M
-5.81%491.51M
-19.35%486.92M
-14.10%443.98M
-10.37%462.15M
3.63%521.82M
28.75%603.75M
35.52%516.88M
42.00%515.64M
33.53%503.56M
12.45%468.94M
974.23%381.39M
1044.56%363.12M
12439.01%377.11M
586504.68%417.03M
11803.51%35.50M
18472.77%31.73M
2385.52%3.01M
--71.09K
--298.26K
--170.82K
--121.00K
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-5.31%409.16M
-7.30%405.20M
-7.90%398.88M
1.76%436.63M
0.96%432.08M
2.17%437.13M
1.19%433.08M
2.12%429.10M
2.56%427.97M
2.53%427.85M
2.39%427.98M
858.59%420.19M
878.95%417.27M
865.10%417.28M
--417.98M
--43.83M
--42.62M
--43.24M
--0.00
--0.00
--0.00
--0.00
--0.00
-Dívida de longo prazo
-5.31%409.16M
-7.28%403.79M
-7.49%398.88M
2.26%436.63M
1.57%432.08M
2.39%435.50M
1.45%431.19M
2.50%426.96M
2.50%425.38M
2.59%425.31M
1.68%425.01M
850.33%416.57M
873.63%415.00M
858.87%414.58M
--417.98M
--43.83M
--42.62M
--43.24M
--0.00
--0.00
--0.00
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-Passivos de arrendamento de longo prazo
----
-13.37%1.41M
----
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-35.73%1.63M
-36.08%1.90M
-41.00%2.14M
14.03%2.58M
-5.86%2.54M
--2.97M
--3.62M
--2.27M
--2.69M
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Passivos diferidos
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-100.00%0.00
--0.00
--378.00K
--396.00K
--529.00K
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Responsabilidades com derivativos
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--26.31M
--26.82M
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Outros passivos não circulantes
619.90%352.10M
5.69%37.84M
130.93%53.92M
124.88%54.46M
83.95%48.91M
36.54%35.80M
-9.54%23.35M
-23.97%24.22M
14.51%26.59M
-36.52%26.22M
-59.01%25.81M
-63.80%31.85M
-75.33%23.22M
-52.03%41.30M
942.92%62.97M
1357.41%87.99M
1458.61%94.10M
1326.07%86.10M
--6.04M
--6.04M
--6.04M
--6.04M
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Total de passivos não circulantes
58.27%761.26M
-6.32%443.04M
-6.20%452.80M
2.28%491.09M
5.82%480.99M
4.15%472.92M
6.38%482.74M
6.22%480.14M
3.19%454.56M
-0.98%454.06M
-5.65%453.79M
242.91%452.04M
222.17%440.49M
254.56%458.58M
7865.91%480.94M
2083.44%131.82M
2164.60%136.72M
2042.21%129.34M
--6.04M
--6.04M
--6.04M
--6.04M
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Total de passivos
-9.80%834.33M
-8.33%857.19M
-6.00%944.31M
-9.77%978.01M
-4.78%924.97M
-3.57%935.08M
4.93%1.00B
17.69%1.08B
18.20%971.44M
18.01%969.70M
11.57%957.36M
67.80%920.98M
377.20%821.88M
410.18%821.70M
9386.48%858.05M
8884.95%548.85M
2618.36%172.23M
2494.29%161.06M
7375.19%9.04M
--6.11M
--6.34M
--6.21M
--121.00K
Patrimônio líquido dos acionistas
Capital ordinário
-16.15%583.81M
3.89%717.08M
2.80%709.37M
2.86%702.73M
2.78%696.25M
2.94%690.23M
3.86%690.03M
3.54%683.16M
4.61%677.44M
4.54%670.55M
11.44%664.37M
5.17%659.82M
18.90%647.56M
50.98%641.42M
254.59%596.17M
273.17%627.41M
223.93%544.61M
152.68%424.83M
672414.97%168.13M
--168.13M
--168.13M
--168.13M
--25.00K
Lucros retidos
13.45%-636.51M
-4.54%-754.86M
-9.14%-785.36M
-12.04%-799.74M
-17.32%-735.42M
-23.42%-722.06M
-32.60%-719.57M
-56.44%-713.83M
-45.81%-626.86M
-37.94%-585.02M
-34.32%-542.68M
-14.38%-456.29M
-12.36%-429.91M
-33.58%-424.11M
-14635.05%-404.00M
-100381.06%-398.90M
-66312.85%-382.61M
-988907.23%-317.51M
-34172.28%-2.74M
--397.79K
--577.84K
--32.11K
---8.00K
Reservas de capital
-16.15%583.80M
3.89%717.07M
2.80%709.36M
2.86%702.72M
2.78%696.24M
2.94%690.22M
3.86%690.02M
3.54%683.15M
4.61%677.43M
4.54%670.54M
11.44%664.36M
5.17%659.81M
18.90%647.55M
50.98%641.41M
7601.04%596.16M
13534.00%627.40M
12216.80%544.61M
8452.28%424.82M
30864.96%7.74M
--4.60M
--4.42M
--4.97M
--25.00K
Ganhos (perdas) fora do lucro retido
106.06%284.00K
-41.09%-5.45M
86.16%-1.06M
19.39%-4.90M
11.44%-4.69M
37.45%-3.86M
-16.31%-7.64M
-33.27%-6.08M
-90.92%-5.30M
-2282.63%-6.17M
-5915.04%-6.57M
-1807.49%-4.56M
---2.77M
---259.00K
--113.00K
--267.00K
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Minoritários
--20.37M
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Patrimônio total
26.93%-32.05M
-21.14%-43.23M
-107.22%-77.04M
-177.36%-101.91M
-196.87%-43.86M
-144.97%-35.68M
-132.30%-37.18M
-118.47%-36.74M
-78.93%45.28M
-63.44%79.35M
-40.13%115.13M
-13.02%198.98M
32.64%214.88M
102.23%217.04M
16.26%192.28M
35.75%228.77M
-3.97%162.01M
-36.18%107.33M
972764.47%165.39M
--168.53M
--168.71M
--168.16M
--17.00K
Moeda
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