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Sportradar Group AG

SRAD

29.685USD

+0.115+0.39%
Horário de mercado ETCotações atrasadas em 15 min
8.89BValor de mercado
150.85P/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
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
30.29%357.82M
25.68%348.36M
27.16%368.38M
22.17%322.22M
14.60%274.63M
13.71%277.17M
-43.47%289.70M
-63.14%263.75M
-66.51%239.63M
-67.18%243.76M
-33.30%512.49M
275.27%715.56M
87.70%715.53M
--742.77M
--768.40M
--190.68M
--381.21M
- Caixa e Equivalentes de Caixa
30.29%357.82M
25.68%348.36M
27.16%368.38M
22.17%322.22M
14.60%274.63M
13.71%277.17M
-43.47%289.70M
-63.14%263.75M
-66.51%239.63M
-67.18%243.76M
-33.30%512.49M
275.27%715.56M
87.70%715.53M
--742.77M
--768.40M
--190.68M
--381.21M
Contas a Receber
8.55%197.69M
28.60%178.29M
33.06%167.66M
61.10%199.40M
42.66%182.12M
20.01%138.64M
25.31%126.00M
24.48%123.77M
42.17%127.66M
51.79%115.53M
46.75%100.55M
41.79%99.44M
62.29%89.79M
--76.11M
--68.52M
--70.13M
--55.33M
-Contas e Títulos a Receber
10.81%91.72M
8.23%77.11M
7.82%66.24M
53.88%97.98M
22.10%82.78M
12.35%71.25M
15.30%61.44M
25.00%63.67M
32.33%67.79M
86.82%63.41M
69.47%53.29M
72.85%50.94M
168.58%51.23M
--33.94M
--31.44M
--29.47M
--19.07M
-Outros Recebíveis
3.26%97.02M
53.71%93.56M
51.96%94.95M
59.90%93.81M
61.35%93.96M
20.58%60.87M
36.87%62.48M
25.31%58.67M
54.92%58.23M
24.29%50.48M
27.03%45.65M
18.36%46.82M
6.94%37.59M
--40.62M
--35.94M
--39.56M
--35.15M
Despesas Antecipadas
1.63%33.00M
40.14%46.60M
-13.77%27.19M
-6.75%32.53M
-18.13%32.47M
-22.51%33.25M
-5.43%31.53M
8.43%34.88M
26.66%39.67M
37.71%42.91M
71.76%33.34M
104.60%32.17M
200.38%31.32M
--31.16M
--19.41M
--15.72M
--10.43M
Total de Ativos Circulantes
20.30%588.52M
27.65%573.25M
25.94%563.23M
31.19%554.15M
20.21%489.23M
11.65%449.07M
-30.81%447.23M
-50.14%422.40M
-51.36%406.96M
-52.69%402.19M
-24.52%646.38M
206.36%847.17M
87.18%836.64M
--850.04M
--856.33M
--276.53M
--446.96M
Ativos não Circulantes
Ativos Fixos Líquidos
-2.01%69.73M
-8.96%66.24M
50.59%66.27M
83.11%70.21M
87.60%71.16M
92.05%72.76M
19.81%44.01M
3.38%38.34M
7.48%37.93M
5.47%37.89M
6.30%36.73M
6.17%37.09M
8.14%35.29M
--35.92M
--34.56M
--34.94M
--32.64M
Goodwill e outros Ativos Intangíveis
11.96%1.84B
-5.32%1.61B
95.43%1.62B
88.69%1.59B
93.79%1.64B
101.19%1.70B
-6.37%828.28M
-5.00%842.81M
3.22%848.50M
4.35%843.63M
13.55%884.61M
60.53%887.16M
135.33%822.07M
--808.47M
--779.06M
--552.64M
--349.33M
Outros ativos não circulantes
71.91%32.24M
122.04%36.38M
-27.72%17.57M
-16.90%20.55M
-25.51%18.75M
-39.35%16.38M
-25.64%24.30M
-22.73%24.73M
-6.48%25.18M
0.39%27.01M
30.51%32.68M
16.73%32.01M
16.61%26.92M
--26.91M
--25.04M
--27.42M
--23.09M
Total de ativos não circulantes
11.92%1.95B
-4.28%1.72B
81.20%1.71B
76.18%1.69B
76.19%1.75B
82.22%1.80B
-8.53%945.93M
-3.95%960.74M
6.07%990.98M
7.14%986.87M
20.91%1.03B
37.13%1.00B
80.35%934.23M
--921.08M
--855.33M
--729.40M
--518.00M
Total de ativos
13.76%2.54B
2.10%2.29B
63.46%2.28B
62.44%2.25B
59.89%2.24B
61.79%2.25B
-17.10%1.39B
-25.13%1.38B
-21.06%1.40B
-21.57%1.39B
-1.82%1.68B
83.65%1.85B
83.52%1.77B
--1.77B
--1.71B
--1.01B
--964.96M
Passivos
Passivos circulantes
-Outros a pagar
23.30%81.40M
22.52%68.27M
17.45%60.70M
-8.19%54.00M
13.21%66.02M
-14.62%55.72M
14.86%51.68M
31.38%58.82M
28.72%58.31M
8.79%65.27M
-30.53%44.99M
-30.48%44.77M
6.05%45.30M
--59.99M
--64.77M
--64.40M
--42.72M
Dívidas e arrendamentos de curto prazo
17.82%10.48M
4.55%10.02M
37.28%10.05M
17.17%9.24M
18.08%8.89M
30.23%9.59M
-96.83%7.32M
-98.16%7.89M
12.23%7.53M
20.95%7.36M
3335.63%230.63M
6126.04%429.22M
-7.63%6.71M
--6.09M
--6.71M
--6.89M
--7.26M
Passivos diferidos
26.63%39.68M
13.56%30.20M
19.97%42.59M
4.17%29.36M
-2.21%31.34M
14.77%26.59M
5.09%35.51M
36.41%28.19M
48.30%32.04M
0.94%23.17M
29.56%33.79M
3.01%20.66M
53.86%21.61M
--22.96M
--26.08M
--20.06M
--14.04M
Outros passivos circulantes
24.37%121.08M
19.62%98.47M
18.48%103.30M
-4.19%83.36M
7.74%97.35M
-6.92%82.32M
10.67%87.19M
32.97%87.00M
35.04%90.36M
6.62%88.44M
-13.28%78.78M
-22.52%65.43M
17.88%66.91M
--82.95M
--90.85M
--84.46M
--56.76M
Total de passivos circulantes
23.20%436.35M
4.98%373.83M
28.38%369.21M
26.18%359.75M
13.78%354.17M
15.07%356.11M
-53.55%287.60M
-65.77%285.12M
17.23%311.28M
22.21%309.49M
124.10%619.17M
287.66%832.86M
40.50%265.53M
--253.24M
--276.30M
--214.84M
--188.98M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
3.45%40.92M
-9.52%36.70M
87.43%37.17M
178.14%40.01M
172.69%39.55M
161.94%40.56M
216.38%19.83M
117.30%14.38M
-96.62%14.51M
-96.39%15.48M
-98.54%6.27M
-98.46%6.62M
-0.36%428.58M
--429.26M
--429.86M
--429.20M
--430.14M
-Dívida de longo prazo
3.45%40.92M
-9.52%36.70M
87.43%37.17M
178.14%40.01M
172.69%39.55M
161.94%40.56M
216.38%19.83M
117.30%14.38M
-96.62%14.51M
-96.39%15.48M
-98.54%6.27M
-98.46%6.62M
-0.36%428.58M
--429.26M
--429.86M
--429.20M
--430.14M
Passivos diferidos
-9.48%39.80M
-4.59%37.71M
--41.20M
--43.23M
--43.97M
--39.53M
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Outros passivos não circulantes
-8.42%41.72M
-17.67%39.54M
501.99%42.62M
524.25%44.63M
642.99%45.55M
349.05%48.03M
-64.97%7.08M
-64.40%7.15M
33.63%6.13M
51.04%10.70M
125.98%20.21M
129.94%20.09M
-69.85%4.59M
--7.08M
--8.94M
--8.73M
--15.22M
Total de passivos não circulantes
11.76%1.13B
-2.69%990.96M
221.04%991.84M
214.27%1.01B
216.49%1.01B
216.13%1.02B
16.41%308.94M
29.03%320.98M
-59.39%318.63M
-58.82%322.14M
-65.75%265.40M
-57.46%248.77M
31.30%784.58M
--782.25M
--774.84M
--584.78M
--597.57M
Total de passivos
14.74%1.56B
-0.71%1.36B
128.16%1.36B
125.79%1.37B
116.32%1.36B
117.61%1.37B
-32.56%596.54M
-43.96%606.10M
-40.01%629.91M
-39.00%631.63M
-15.85%884.57M
35.27%1.08B
33.51%1.05B
--1.04B
--1.05B
--799.63M
--786.55M
Patrimônio líquido dos acionistas
Capital ordinário
5.37%734.42M
2.13%695.80M
10.95%697.35M
11.05%697.14M
11.03%696.97M
10.32%681.26M
3.29%628.50M
3.82%627.80M
3.97%627.71M
-2.50%617.51M
8.24%608.46M
418.19%604.73M
464.01%603.75M
--633.35M
--562.16M
--116.70M
--107.05M
Lucros retidos
47.48%235.03M
27.83%221.94M
48.36%214.77M
27.13%166.37M
30.42%159.36M
48.20%173.63M
-3.17%144.76M
0.12%130.87M
22.23%122.19M
30.62%117.16M
46.67%149.51M
42.46%130.71M
33.70%99.97M
--89.69M
--101.94M
--91.75M
--74.77M
Reservas de capital
5.59%706.84M
2.20%668.25M
11.42%669.79M
11.52%669.59M
11.51%669.42M
10.78%653.84M
3.44%601.13M
3.99%600.43M
4.15%600.34M
-2.62%590.19M
8.63%581.13M
396.06%577.40M
440.01%576.43M
--606.06M
--534.97M
--116.40M
--106.74M
(-) Ações em tesouraria
104.23%16.08M
710.21%18.81M
221.36%18.14M
64.53%11.81M
72.96%7.87M
-14.16%2.32M
754.16%5.65M
1016.64%7.18M
1067.18%4.55M
--2.71M
16.99%661.00K
3.04%643.00K
-37.50%390.00K
--0.00
--565.00K
--624.00K
--624.00K
Minoritários
-7.23%4.60M
-6.94%4.69M
-21.12%4.72M
-21.56%4.88M
-20.40%4.96M
-13.66%5.04M
-6.55%5.98M
1.20%6.22M
14921.43%6.22M
283.16%5.84M
292.86%6.40M
303.11%6.15M
98.67%-42.00K
---3.19M
---3.32M
---3.03M
---3.15M
Patrimônio total
12.22%979.27M
6.53%929.85M
15.02%916.23M
13.03%878.28M
13.62%872.60M
15.24%872.84M
0.08%796.62M
1.47%777.05M
6.56%768.03M
2.96%757.43M
20.51%795.98M
271.17%765.75M
303.98%720.76M
--735.63M
--660.53M
--206.31M
--178.41M
Moeda
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