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TXO Partners LP

TXO

14.890USD

-0.080-0.53%
Fechamento 08/04, 16:00ETCotações atrasadas em 15 min
615.96MValor de mercado
39.37P/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
Fluxos de caixa operacionais (método indireto)
Fluxo operacional contínuo
21.48%30.61M
132.56%40.51M
-14.35%20.71M
24.35%22.89M
46.93%25.20M
-46.75%17.42M
-31.27%24.18M
-53.79%18.40M
-40.17%17.15M
22.40%32.71M
121.22%35.18M
331.08%39.82M
31.14%28.66M
--26.73M
--15.90M
--9.24M
--21.86M
Lucro operacional contínuo
-76.47%2.42M
105.27%10.22M
-97.61%203.00K
210.29%2.81M
-87.75%10.27M
-769.48%-193.73M
-84.78%8.48M
-110.40%-2.55M
227.79%83.81M
-181.93%-22.28M
467.22%55.72M
264.47%24.48M
-850.38%-65.58M
--27.20M
--9.82M
--6.72M
--8.74M
Ganho/perda operacional
103.76%21.43M
-92.33%17.99M
27.85%13.57M
-10.49%10.33M
-3.85%10.52M
2025.74%234.57M
0.04%10.62M
16.16%11.54M
11.84%10.94M
-6.76%11.04M
15.06%10.61M
3.66%9.94M
5.79%9.78M
--11.84M
--9.22M
--9.59M
--9.24M
Itens não monetários
-17.27%2.17M
450.86%6.11M
425.17%3.32M
24.18%5.69M
103.36%2.63M
106.15%1.11M
96.12%-1.02M
118.09%4.58M
-478.00%-78.14M
-848.13%-18.03M
-3958.55%-26.34M
-329.24%-25.34M
-1016.54%-13.52M
--2.41M
---649.00K
---5.90M
--1.48M
Capital de giro (var.)
-1609.98%-7.03M
159.86%3.30M
910.27%1.48M
186.47%2.55M
-102.75%-411.00K
27.15%-5.51M
103.53%146.00K
-200.48%-2.95M
275.37%14.96M
-31.89%-7.57M
-66.00%-4.14M
352.80%2.94M
-455.56%-8.53M
---5.74M
---2.49M
---1.16M
--2.40M
-Recebíveis (var.)
-43.10%1.20M
-1792.88%-4.99M
-170.85%-6.63M
16.91%1.53M
-89.77%2.10M
109.70%295.00K
-151.49%-2.45M
113.44%1.31M
239.28%20.53M
76.36%-3.04M
662.13%4.75M
-3958.33%-9.72M
-1842.08%-14.74M
---12.87M
---845.00K
--252.00K
--846.00K
-Outros ativos (CP) (var.)
-78.71%-1.91M
163.41%390.00K
263.31%1.36M
-75.41%947.00K
63.67%-1.07M
-258.10%-615.00K
79.21%-834.00K
610.74%3.85M
-170.71%-2.95M
328.82%389.00K
-287.63%-4.01M
-23.61%-754.00K
-1034.38%-1.09M
---170.00K
---1.03M
---610.00K
---96.00K
-Outros passivos (CP) (var.)
-338.13%-6.31M
252.20%7.90M
96.67%6.74M
100.93%75.00K
45.04%-1.44M
-5.66%-5.19M
170.23%3.43M
-160.45%-8.11M
-135.91%-2.62M
-170.62%-4.92M
-408.34%-4.88M
1770.24%13.41M
342.51%7.30M
--6.96M
--1.58M
---803.00K
--1.65M
Investimentos não recorrentes
Fluxo de caixa operacional
21.48%30.61M
132.56%40.51M
-14.35%20.71M
24.35%22.89M
46.93%25.20M
-46.75%17.42M
-31.27%24.18M
-53.79%18.40M
-40.17%17.15M
22.40%32.71M
121.22%35.18M
331.08%39.82M
31.14%28.66M
--26.73M
--15.90M
--9.24M
--21.86M
Caixa (Investimentos)
Invest. contínuos (líquido)
126.97%6.84M
168.62%15.27M
1862.27%234.53M
118.91%35.47M
-75.65%3.02M
-64.97%5.69M
-80.89%11.95M
668.96%16.20M
113.76%12.38M
-92.14%16.23M
298.14%62.54M
-50.00%2.11M
288.20%5.79M
--206.39M
--15.71M
--4.21M
--1.49M
Despesas de capital (CapEx)
185.17%8.60M
170.68%15.39M
1862.27%234.53M
118.94%35.47M
-75.65%3.02M
-65.64%5.69M
-80.89%11.95M
668.96%16.20M
113.76%12.38M
-91.98%16.55M
298.14%62.54M
-50.00%2.11M
288.20%5.79M
--206.39M
--15.71M
--4.21M
--1.49M
Venda de ativos fixos
126.97%6.84M
168.62%15.27M
1862.27%234.53M
118.91%35.47M
-75.65%3.02M
-64.97%5.69M
-80.89%11.95M
668.96%16.20M
113.76%12.38M
-92.14%16.23M
298.14%62.54M
-50.00%2.11M
288.20%5.79M
--206.39M
--15.71M
--4.21M
--1.49M
Investimentos (LP)
Caixa (Invest. líquido)
-126.97%-6.84M
-168.62%-15.27M
-1862.27%-234.53M
-118.91%-35.47M
75.65%-3.02M
64.97%-5.69M
80.89%-11.95M
-668.96%-16.20M
-113.76%-12.38M
92.14%-16.23M
-298.14%-62.54M
50.00%-2.11M
-288.20%-5.79M
---206.39M
---15.71M
---4.21M
---1.49M
Caixa (Financiamento)
Financiamento contínuo
8.53%-20.23M
-66.00%-21.78M
1414.65%141.67M
1776.87%84.01M
-228.93%-22.12M
28.81%-13.12M
-135.34%-10.78M
88.88%-5.01M
55.36%-6.72M
-110.54%-18.43M
352.45%30.49M
-1398.20%-45.05M
24.70%-15.06M
--174.78M
---12.08M
---3.01M
---20.00M
Dívidas (líquido)
350.00%5.00M
-33.33%2.00M
3600.00%148.00M
-235.71%-19.00M
98.23%-2.00M
125.00%3.00M
-87.88%4.00M
136.84%14.00M
-653.33%-113.00M
-126.67%-12.00M
375.00%33.00M
-1166.67%-38.00M
25.00%-15.00M
--45.00M
---12.00M
---3.00M
---20.00M
Ações ON (líquido)
549.73%1.22M
---12.00K
--18.75M
--123.24M
-99.82%187.00K
-100.00%0.00
--0.00
--0.00
--106.28M
-99.22%1.03M
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--132.66M
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Dividendos pagos
30.04%25.29M
47.61%23.77M
48.72%21.95M
6.80%20.19M
--19.45M
--16.10M
--14.76M
--18.90M
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Outros financiamentos
-34.94%-1.15M
100.00%0.00
-20733.33%-3.13M
57.80%-46.00K
-85200.00%-853.00K
99.75%-19.00K
99.40%-15.00K
98.45%-109.00K
98.44%-1.00K
-158.78%-7.46M
-3116.67%-2.51M
-100628.57%-7.05M
-1500.00%-64.00K
---2.88M
---78.00K
---7.00K
---4.00K
Financiamento não recorrente
Financiamento (líquido)
8.53%-20.23M
-66.00%-21.78M
1414.65%141.67M
1776.87%84.01M
-228.93%-22.12M
28.81%-13.12M
-135.34%-10.78M
88.88%-5.01M
55.36%-6.72M
-110.54%-18.43M
352.45%30.49M
-1398.20%-45.05M
24.70%-15.06M
--174.78M
---12.08M
---3.01M
---20.00M
Caixa líquido
Caixa inicial
62.15%7.30M
-34.71%3.85M
1611.69%76.00M
-36.95%4.57M
-51.05%4.50M
-47.16%5.89M
--4.44M
-52.80%7.25M
21.96%9.20M
--11.15M
--0.00
-31.13%15.36M
-65.59%7.55M
--0.00
--0.00
--22.30M
--21.93M
Variação do caixa
5341.54%3.54M
349.57%3.46M
-5072.64%-72.15M
2643.77%71.43M
103.32%65.00K
28.70%-1.39M
-53.60%1.45M
61.72%-2.81M
-125.05%-1.96M
60.18%-1.94M
126.31%3.13M
-463.66%-7.33M
2051.24%7.81M
---4.88M
---11.88M
--2.02M
--363.00K
Caixa final
137.24%10.84M
62.15%7.30M
-34.71%3.85M
1611.69%76.00M
-36.95%4.57M
-51.05%4.50M
88.39%5.89M
-44.65%4.44M
-52.80%7.25M
288.53%9.20M
126.31%3.13M
-67.01%8.02M
-31.13%15.36M
---4.88M
---11.88M
--24.31M
--22.30M
Fluxo de caixa livre
-0.77%22.01M
114.09%25.12M
-1848.75%-213.82M
-671.62%-12.59M
365.23%22.18M
-27.42%11.73M
144.68%12.23M
-94.16%2.20M
-79.15%4.77M
109.00%16.16M
-14205.15%-27.36M
650.72%37.72M
12.30%22.87M
---179.66M
--194.00K
--5.02M
--20.37M
Moeda
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Opinião da Auditoria
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