tradingkey.logo
tradingkey.logo
Pesquisar

Rent the Runway Inc

RENT
Adicionar à lista de desejos
3.800USD
-0.330-7.99%
Fechamento 05/15, 16:00ETCotações atrasadas em 15 min
126.89MValor de mercado
2.01P/L TTM
Você pode consultar aqui os balanços anuais ou trimestrais da Rent the Runway Inc para avaliar sua saúde financeira, analisar fundamentos e calcular indicadores-chave de liquidez, alavancagem e retorno sobre o patrimônio.
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2026Q4
FY2026Q3
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-34.88%50.40M
-31.58%50.70M
-43.08%43.60M
-14.15%70.40M
-7.86%77.40M
-30.03%74.10M
-38.08%76.60M
-42.01%82.00M
-45.63%84.00M
-39.83%105.90M
-35.67%123.70M
-35.43%141.40M
-37.60%154.50M
-36.85%176.00M
84.90%192.30M
--219.00M
--247.60M
--278.70M
--104.00M
- Caixa e Equivalentes de Caixa
-34.88%50.40M
-31.58%50.70M
-43.08%43.60M
-14.15%70.40M
-7.86%77.40M
-30.03%74.10M
-38.08%76.60M
-42.01%82.00M
-45.63%84.00M
-39.83%105.90M
-35.67%123.70M
-35.43%141.40M
-37.60%154.50M
-36.85%176.00M
84.90%192.30M
--219.00M
--247.60M
--278.70M
--104.00M
Despesas Antecipadas
0.00%11.80M
19.79%11.50M
38.89%15.00M
-4.13%11.60M
-9.23%11.80M
-9.43%9.60M
12.50%10.80M
-6.20%12.10M
-10.34%13.00M
-28.38%10.60M
-11.11%9.60M
19.44%12.90M
23.93%14.50M
174.07%14.80M
107.69%10.80M
--10.80M
--11.70M
--5.40M
--5.20M
Outros Ativos Circulantes
-4.26%4.50M
-2.17%4.50M
-9.62%4.70M
-1.92%5.10M
-9.62%4.70M
-4.17%4.60M
23.81%5.20M
23.81%5.20M
67.74%5.20M
17.07%4.80M
-8.70%4.20M
-16.00%4.20M
-42.59%3.10M
-26.79%4.10M
155.56%4.60M
--5.00M
--5.40M
--5.60M
--1.80M
Total de Ativos Circulantes
-28.97%66.70M
-24.46%66.70M
-31.64%63.30M
-12.29%87.10M
-8.12%93.90M
-27.21%88.30M
-32.65%92.60M
-37.35%99.30M
-40.62%102.20M
-37.76%121.30M
-33.80%137.50M
-32.50%158.50M
-34.98%172.10M
-32.72%194.90M
87.12%207.70M
--234.80M
--264.70M
--289.70M
--111.00M
Ativos não Circulantes
Ativos Fixos Líquidos
4.19%139.30M
-1.06%148.90M
-5.06%142.60M
-12.51%145.50M
-18.28%133.70M
-14.59%150.50M
-2.02%150.20M
6.88%166.30M
8.99%163.60M
12.16%176.20M
-2.67%153.30M
-5.53%155.60M
-9.03%150.10M
-7.48%157.10M
-7.62%157.50M
--164.70M
--165.00M
--169.80M
--170.50M
-Ativos Fixos
5.28%213.50M
-2.12%222.10M
-4.90%215.30M
-10.85%216.00M
-16.02%202.80M
-10.98%226.90M
-2.96%226.40M
2.50%242.30M
-20.32%241.50M
4.72%254.90M
-7.09%233.30M
-9.29%236.40M
-6.22%303.10M
-7.56%243.40M
-23.21%251.10M
--260.60M
--323.20M
--263.30M
--327.00M
-Depreciação Acumulada
7.38%74.20M
-4.19%73.20M
-4.59%72.70M
-7.24%70.50M
-11.30%69.10M
-2.92%76.40M
-4.75%76.20M
-5.94%76.00M
-49.08%77.90M
-8.81%78.70M
-14.53%80.00M
-15.75%80.80M
-3.29%153.00M
-7.70%86.30M
-40.19%93.60M
--95.90M
--158.20M
--93.50M
--156.50M
Goodwill e outros Ativos Intangíveis
-16.67%2.00M
-17.86%2.30M
-20.00%2.40M
-22.58%2.40M
-29.41%2.40M
-26.32%2.80M
-23.08%3.00M
-20.51%3.10M
-17.07%3.40M
-29.63%3.80M
-35.00%3.90M
-37.10%3.90M
-35.94%4.10M
-20.59%5.40M
-13.04%6.00M
--6.20M
--6.40M
--6.80M
--6.90M
Outros ativos não circulantes
30.00%13.00M
31.00%13.10M
-7.76%10.70M
6.19%10.30M
7.53%10.00M
11.11%10.00M
19.59%11.60M
3.19%9.70M
-6.06%9.30M
-8.16%9.00M
-9.35%9.70M
-8.74%9.40M
-13.16%9.90M
-19.01%9.80M
-26.21%10.70M
--10.30M
--11.40M
--12.10M
--14.50M
Total de ativos não circulantes
5.61%154.30M
0.61%164.30M
-5.52%155.70M
-11.67%158.20M
-17.13%146.10M
-13.60%163.30M
-1.26%164.80M
6.04%179.10M
7.43%176.30M
9.69%189.00M
-4.19%166.90M
-6.79%168.90M
-10.23%164.10M
-8.69%172.30M
-9.22%174.20M
--181.20M
--182.80M
--188.70M
--191.90M
Total de ativos
-7.92%221.00M
-8.19%231.00M
-14.92%219.00M
-11.89%245.30M
-13.82%240.00M
-18.92%251.60M
-15.44%257.40M
-14.97%278.40M
-17.16%278.50M
-15.50%310.30M
-20.29%304.40M
-21.30%327.40M
-24.87%336.20M
-23.24%367.20M
26.08%381.90M
--416.00M
--447.50M
--478.40M
--302.90M
Passivos
Passivos circulantes
-Outros a pagar
-100.00%0.00
40.00%700.00K
820.00%4.60M
20.00%600.00K
40.00%700.00K
-76.19%500.00K
-75.00%500.00K
-73.68%500.00K
-91.23%500.00K
250.00%2.10M
233.33%2.00M
216.67%1.90M
850.00%5.70M
0.00%600.00K
-14.29%600.00K
--600.00K
--600.00K
--600.00K
--700.00K
Despesas acumuladas
55.21%14.90M
37.27%15.10M
126.14%19.90M
60.68%18.80M
-20.66%9.60M
-5.17%11.00M
-26.67%8.80M
0.86%11.70M
13.08%12.10M
-29.27%11.60M
-18.92%12.00M
-28.83%11.60M
-49.29%10.70M
16.31%16.40M
46.53%14.80M
--16.30M
--21.10M
--14.10M
--10.10M
Dívidas e arrendamentos de curto prazo
-71.43%400.00K
--800.00K
--200.00K
14.29%800.00K
16.67%1.40M
--0.00
----
--700.00K
--1.20M
----
----
----
----
----
----
----
--0.00
----
--800.00K
-Dívida de curto prazo
-71.43%400.00K
--800.00K
--200.00K
14.29%800.00K
16.67%1.40M
--0.00
----
--700.00K
--1.20M
----
----
----
----
----
----
----
----
----
----
Passivos diferidos
17.65%12.00M
8.40%12.90M
5.50%11.50M
-4.51%12.70M
-6.42%10.20M
0.85%11.90M
0.93%10.90M
-2.21%13.30M
-9.17%10.90M
-9.23%11.80M
-8.47%10.80M
0.00%13.60M
15.38%12.00M
18.18%13.00M
24.21%11.80M
--13.60M
--10.40M
--11.00M
--9.50M
Outros passivos circulantes
10.06%18.60M
6.52%19.60M
27.01%22.10M
-3.03%19.20M
-4.52%16.90M
-8.91%18.40M
-9.84%17.40M
-10.00%19.80M
-27.76%17.70M
-0.98%20.20M
0.52%19.30M
5.26%22.00M
36.87%24.50M
11.48%20.40M
14.97%19.20M
--20.90M
--17.90M
--18.30M
--16.70M
Total de passivos circulantes
33.33%63.20M
28.22%68.60M
41.41%68.30M
15.75%71.30M
-1.46%47.40M
-18.32%53.50M
-9.21%48.30M
-5.52%61.60M
-19.83%48.10M
-12.43%65.50M
-17.26%53.20M
-12.95%65.20M
-12.79%60.00M
7.78%74.80M
32.58%64.30M
--74.90M
--68.80M
--69.40M
--48.50M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-48.68%192.30M
-46.83%196.10M
5.29%382.20M
6.41%380.30M
6.45%374.70M
6.37%368.80M
11.18%363.00M
12.28%357.40M
13.26%352.00M
10.41%346.70M
5.25%326.50M
3.82%318.30M
1.17%310.80M
3.39%314.00M
-27.91%310.20M
--306.60M
--307.20M
--303.70M
--430.30M
-Dívida de longo prazo
-53.07%156.60M
-51.30%159.10M
7.54%343.90M
8.78%340.60M
8.80%333.70M
8.83%326.70M
10.05%319.80M
11.34%313.10M
12.55%306.70M
9.32%300.20M
7.71%290.60M
6.03%281.20M
4.49%272.50M
7.10%274.60M
-29.33%269.80M
--265.20M
--260.80M
--256.40M
--381.80M
-Passivos de arrendamento de longo prazo
-12.93%35.70M
-12.11%37.00M
-11.34%38.30M
-10.38%39.70M
-9.49%41.00M
-9.46%42.10M
20.33%43.20M
19.41%44.30M
18.28%45.30M
18.02%46.50M
-11.14%35.90M
-10.39%37.10M
-17.46%38.30M
-16.70%39.40M
-16.70%40.40M
--41.40M
--46.40M
--47.30M
--48.50M
Outros passivos não circulantes
300.00%1.60M
180.00%1.40M
0.00%600.00K
14.29%800.00K
-42.86%400.00K
-28.57%500.00K
-14.29%600.00K
40.00%700.00K
0.00%700.00K
-12.50%700.00K
133.33%700.00K
25.00%500.00K
75.00%700.00K
100.00%800.00K
-98.50%300.00K
--400.00K
--400.00K
--400.00K
--20.00M
Total de passivos não circulantes
-48.31%193.90M
-46.52%197.50M
5.28%382.80M
6.42%381.10M
6.35%375.10M
6.30%369.30M
11.12%363.60M
12.33%358.10M
13.23%352.70M
10.36%347.40M
5.38%327.20M
3.84%318.80M
1.27%311.50M
3.52%314.80M
-31.05%310.50M
--307.00M
--307.60M
--304.10M
--450.30M
Total de passivos
-39.15%257.10M
-37.06%266.10M
9.52%451.10M
7.79%452.40M
5.41%422.50M
2.40%422.80M
8.28%411.90M
9.30%419.70M
7.89%400.80M
5.98%412.90M
1.49%380.40M
0.55%384.00M
-1.30%371.50M
4.31%389.60M
-24.86%374.80M
--381.90M
--376.40M
--373.50M
--498.80M
Patrimônio líquido dos acionistas
Capital ordinário
13.17%1.06B
13.38%1.06B
0.77%943.40M
0.88%942.00M
1.04%940.50M
1.37%938.40M
1.67%936.20M
2.23%933.80M
2.90%930.80M
3.86%925.70M
4.08%920.80M
4.06%913.40M
3.70%904.60M
2.83%891.30M
1184.03%884.70M
--877.80M
--872.30M
--866.80M
--68.90M
Capital preferencial
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--409.30M
Lucros retidos
2.01%-1.10B
0.96%-1.10B
-7.77%-1.18B
-6.88%-1.15B
-6.64%-1.12B
-7.91%-1.11B
-9.42%-1.09B
-10.84%-1.08B
-12.04%-1.05B
-12.54%-1.03B
-13.58%-996.80M
-14.97%-970.00M
-17.31%-939.90M
-19.92%-913.70M
-30.19%-877.60M
---843.70M
---801.20M
---761.90M
---674.10M
Reservas de capital
13.16%1.06B
13.37%1.06B
0.77%943.40M
0.88%942.00M
1.04%940.50M
1.38%938.40M
1.68%936.20M
2.24%933.80M
2.91%930.80M
3.86%925.60M
4.08%920.70M
4.06%913.30M
3.70%904.50M
2.83%891.20M
1183.89%884.60M
--877.70M
--872.20M
--866.70M
--68.90M
Patrimônio total
80.22%-36.10M
79.50%-35.10M
-50.23%-232.10M
-46.57%-207.10M
-49.22%-182.50M
-66.86%-171.20M
-103.29%-154.50M
-149.65%-141.30M
-246.46%-122.30M
-358.04%-102.60M
-1170.42%-76.00M
-265.98%-56.60M
-149.65%-35.30M
-121.35%-22.40M
103.62%7.10M
--34.10M
--71.10M
--104.90M
---195.90M
Moeda
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opinião da Auditoria
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--

Perguntas frequentes

O que é o balanço patrimonial?

É o demonstrativo que resume os ativos, passivos e o patrimônio dos acionistas de uma empresa em um momento específico.
KeyAI