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Rocket Companies Inc

RKT

16.540USD

+1.770+11.98%
Fechamento 08/01, 16:00ETCotações atrasadas em 15 min
2.48BValor de mercado
895.92P/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
FY2020Q2
FY2020Q1
Ativos Circulantes
- Caixa e Equivalentes de Caixa
288.75%5.09B
63.55%1.41B
14.83%1.27B
28.31%1.23B
48.34%1.31B
-3.58%861.41M
53.46%1.11B
15.90%957.25M
-3.56%882.78M
-61.34%893.38M
-66.11%722.29M
-63.02%825.93M
-53.65%915.36M
-19.35%2.31B
8.12%2.13B
-35.91%2.23B
14.56%1.97B
27.29%2.86B
--1.97B
--3.49B
--1.72B
--2.25B
Caixa Restrito
-18.27%22.69M
-38.05%19.81M
-41.94%16.47M
-41.26%20.36M
-20.68%27.76M
-50.28%31.98M
-57.54%28.37M
-47.25%34.67M
-49.06%35.00M
-16.51%64.31M
-16.93%66.81M
-54.98%65.72M
-11.28%68.72M
1.82%77.03M
-3.13%80.42M
71.03%145.98M
-1.17%77.45M
16.42%75.65M
--83.02M
--85.35M
--78.37M
--64.98M
Ativos não Circulantes
Ativos Fixos Líquidos
-17.35%452.87M
-14.36%476.90M
-17.20%495.62M
-14.03%526.01M
-13.67%547.94M
-15.52%556.88M
-6.53%598.55M
-6.69%611.82M
-5.59%634.68M
-2.23%659.22M
-6.14%640.38M
12.62%655.71M
22.86%672.29M
46.82%674.24M
51.71%682.27M
29.52%582.25M
22.04%547.19M
2.36%459.23M
--449.71M
--449.54M
--448.36M
--448.65M
-Ativos Fixos
----
-1.23%1.10B
-1.66%1.12B
-0.72%1.12B
-0.95%1.12B
-2.84%1.11B
2.82%1.13B
-10.93%1.13B
-10.80%1.14B
-8.74%1.15B
-11.69%1.10B
12.38%1.27B
17.99%1.27B
29.31%1.26B
31.89%1.25B
22.67%1.13B
18.80%1.08B
--971.17M
--947.52M
--922.76M
--907.83M
----
-Depreciação Acumulada
----
11.91%623.05M
15.68%620.25M
14.89%598.77M
15.18%576.35M
14.33%556.73M
15.74%536.20M
-15.44%521.17M
-16.62%500.40M
-16.28%486.94M
-18.35%463.26M
12.13%616.33M
12.97%600.17M
13.61%581.62M
13.98%567.41M
16.15%549.66M
15.63%531.28M
--511.93M
--497.81M
--473.22M
--459.47M
----
Goodwill e outros Ativos Intangíveis
4.59%8.79B
8.03%8.57B
15.43%8.86B
1.57%8.04B
9.24%8.40B
0.18%7.94B
-6.45%7.68B
9.10%7.92B
15.53%7.69B
2.95%7.92B
22.80%8.21B
53.00%7.26B
41.96%6.66B
76.88%7.70B
129.65%6.68B
79.60%4.75B
104.88%4.69B
100.46%4.35B
--2.91B
--2.64B
--2.29B
--2.17B
Total de ativos
28.38%30.36B
13.64%25.25B
27.45%24.51B
21.64%25.12B
13.39%23.65B
4.80%22.22B
-4.23%19.23B
-8.64%20.65B
-16.83%20.86B
-16.02%21.20B
-38.73%20.08B
-36.89%22.60B
-29.60%25.08B
-27.31%25.25B
-12.68%32.77B
-5.15%35.81B
23.44%35.62B
62.92%34.73B
--37.53B
--37.75B
--28.86B
--21.32B
Passivos
Passivos circulantes
Dívidas e arrendamentos de curto prazo
32.29%12.04B
31.95%10.45B
87.82%9.59B
72.61%10.89B
35.31%9.10B
8.68%7.92B
-12.96%5.10B
-12.33%6.31B
-33.91%6.73B
-24.56%7.29B
-64.60%5.86B
-65.98%7.20B
-54.03%10.18B
-51.85%9.66B
-30.30%16.57B
-14.92%21.15B
13.93%22.14B
57.12%20.06B
--23.77B
--24.86B
--19.43B
--12.77B
-Dívida de curto prazo
32.29%12.04B
31.95%10.45B
87.82%9.59B
72.61%10.89B
35.31%9.10B
8.68%7.92B
-12.96%5.10B
-12.33%6.31B
-33.91%6.73B
-24.56%7.29B
-64.60%5.86B
-65.98%7.20B
-54.03%10.18B
-51.85%9.66B
-30.30%16.57B
-14.92%21.15B
13.93%22.14B
61.87%20.06B
--23.77B
--24.86B
--19.43B
--12.39B
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
96.74%8.00B
-0.55%4.04B
0.14%4.07B
0.13%4.07B
0.03%4.07B
0.16%4.07B
0.37%4.06B
0.36%4.06B
0.50%4.07B
0.36%4.06B
-1.69%4.05B
31.73%4.05B
31.74%4.05B
20.02%4.05B
22.24%4.12B
-33.39%3.07B
28.22%3.07B
18.91%3.37B
--3.37B
--4.61B
--2.40B
--2.83B
-Dívida de longo prazo
96.74%8.00B
-0.55%4.04B
0.14%4.07B
0.13%4.07B
0.03%4.07B
0.16%4.07B
0.37%4.06B
0.36%4.06B
0.50%4.07B
0.36%4.06B
-1.69%4.05B
31.73%4.05B
31.74%4.05B
20.02%4.05B
22.24%4.12B
-33.39%3.07B
28.22%3.07B
18.91%3.37B
--3.37B
--4.61B
--2.40B
--2.83B
Total de passivos
54.44%22.91B
22.47%16.67B
41.51%15.47B
38.08%16.77B
18.77%14.83B
3.95%13.61B
-5.83%10.93B
-11.30%12.14B
-23.39%12.49B
-20.87%13.09B
-49.57%11.61B
-48.58%13.69B
-40.57%16.30B
-37.39%16.55B
-22.38%23.02B
-15.19%26.62B
17.64%27.43B
49.56%26.43B
--29.65B
--31.39B
--23.32B
--17.67B
Patrimônio líquido dos acionistas
Capital ordinário
1933.28%7.27B
15.10%403.80M
14.44%389.71M
17.78%373.38M
18.36%357.63M
19.03%350.83M
23.28%340.55M
30.95%317.02M
33.86%302.16M
22.06%294.74M
-3.94%276.24M
-34.19%242.09M
-37.98%225.72M
-34.78%241.48M
1.70%287.58M
34.84%367.88M
-93.42%363.94M
-89.85%370.23M
--282.76M
--272.83M
--5.53B
--3.65B
Lucros retidos
-40.69%178.51M
-40.02%180.22M
10.04%312.83M
-5.37%278.95M
4.31%300.96M
6.94%300.49M
-5.36%284.30M
-6.83%294.77M
-6.60%288.52M
-8.11%281.00M
-20.53%300.39M
-6.01%316.38M
18.20%308.90M
65.35%305.79M
82.24%378.00M
484.69%336.59M
--261.35M
--184.94M
--207.42M
--57.57M
----
----
Reservas de capital
1933.39%7.27B
15.10%403.78M
14.44%389.69M
17.78%373.36M
18.36%357.61M
19.03%350.81M
23.28%340.53M
30.95%317.00M
33.87%302.14M
22.06%294.72M
-3.94%276.22M
-34.19%242.07M
-37.98%225.70M
-34.78%241.46M
1.70%287.56M
34.84%367.86M
--363.92M
--370.21M
--282.74M
--272.81M
----
----
Ganhos (perdas) fora do lucro retido
-1525.88%-1.21M
-175.00%-54.00K
-192.31%-48.00K
-11.76%60.00K
41.67%85.00K
325.00%72.00K
-24.64%52.00K
17.24%68.00K
330.77%60.00K
-245.45%-32.00K
-14.81%69.00K
-53.23%58.00K
-106.03%-26.00K
-93.97%22.00K
-74.45%81.00K
-56.94%124.00K
-92.73%431.00K
122.96%365.00K
--317.00K
--288.00K
--5.93M
---1.59M
Minoritários
-100.00%0.00
0.52%8.00B
8.65%8.34B
-2.46%7.70B
4.90%8.16B
5.63%7.96B
-2.81%7.68B
-5.49%7.89B
-5.63%7.77B
-7.61%7.53B
-13.14%7.90B
-1.51%8.35B
8.96%8.24B
5.21%8.15B
23.03%9.09B
40.65%8.48B
245756.59%7.56B
182002.80%7.75B
--7.39B
--6.03B
--3.08M
--4.26M
Patrimônio total
-15.49%7.45B
-0.30%8.58B
8.93%9.04B
-1.81%8.35B
5.37%8.81B
6.17%8.61B
-2.05%8.30B
-4.54%8.51B
-4.64%8.36B
-6.80%8.11B
-13.16%8.48B
-2.99%8.91B
7.16%8.77B
4.76%8.70B
23.82%9.76B
44.41%9.19B
47.86%8.19B
127.59%8.31B
--7.88B
--6.36B
--5.54B
--3.65B
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