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Upstart Holdings Inc

UPST
38.770USD
+0.170+0.44%
Fechamento 11/10, 16:00ETCotações atrasadas em 15 min
3.77BValor de mercado
117.09P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
Ativos Circulantes
- Caixa e Equivalentes de Caixa
10.00%489.78M
5.64%395.94M
99.57%599.78M
114.01%788.42M
-13.80%445.27M
-15.53%374.79M
-22.33%300.53M
-12.79%368.40M
-24.47%516.58M
-43.87%443.67M
-48.94%386.94M
-57.19%422.41M
-34.33%683.97M
56.12%790.43M
194.86%757.83M
293.35%986.61M
1856.38%1.04B
--506.29M
--257.02M
--250.82M
--53.23M
Caixa Restrito
64.91%347.12M
64.41%305.52M
72.95%239.75M
89.01%187.84M
113.81%210.49M
180.62%185.83M
113.54%138.62M
-9.70%99.38M
-32.55%98.45M
-46.59%66.22M
-74.53%64.92M
-46.22%110.06M
12.01%145.96M
11.46%123.99M
222.42%254.87M
238.16%204.63M
126.95%130.30M
--111.25M
--79.05M
--60.51M
--57.41M
Total de Ativos Circulantes
64.20%2.30B
33.29%1.93B
13.90%1.80B
13.38%1.91B
-14.58%1.40B
2.74%1.45B
6.61%1.58B
5.63%1.69B
3.63%1.64B
-11.41%1.41B
-11.02%1.48B
5.85%1.60B
18.02%1.58B
113.41%1.59B
289.70%1.67B
258.49%1.51B
407.24%1.34B
--744.58M
--427.42M
--420.52M
--264.54M
Ativos não Circulantes
Ativos Fixos Líquidos
-6.78%78.91M
-8.23%81.56M
-10.30%82.96M
-15.29%82.47M
-32.47%84.65M
-30.22%88.87M
-29.05%92.49M
-25.40%97.35M
-2.43%125.35M
0.75%127.36M
5.95%130.36M
8.41%130.50M
44.47%128.47M
324.79%126.41M
349.64%123.03M
324.73%120.38M
287.23%88.92M
--29.76M
--27.36M
--28.34M
--22.96M
-Ativos Fixos
11.43%151.32M
9.78%148.30M
7.43%144.31M
2.28%137.87M
-12.38%135.80M
-11.81%135.09M
-12.10%134.34M
-8.71%134.80M
8.35%154.99M
10.75%153.19M
15.20%152.83M
15.09%147.66M
50.00%143.04M
293.33%138.32M
316.27%132.67M
300.51%128.30M
266.65%95.36M
--35.17M
--31.87M
--32.03M
--26.01M
-Depreciação Acumulada
41.56%72.41M
44.39%66.74M
46.61%61.35M
47.94%55.40M
72.60%51.16M
78.95%46.22M
86.19%41.84M
118.25%37.45M
103.36%29.64M
116.72%25.83M
133.30%22.47M
116.63%17.16M
126.34%14.57M
120.30%11.92M
113.69%9.63M
114.54%7.92M
111.46%6.44M
--5.41M
--4.51M
--3.69M
--3.04M
Goodwill e outros Ativos Intangíveis
-1.49%75.64M
-1.48%75.92M
-1.48%76.21M
-2.45%76.49M
-3.41%76.78M
-4.33%77.06M
-5.24%77.35M
-5.17%78.42M
-5.10%79.49M
-5.04%80.56M
-4.98%81.62M
-4.92%82.69M
-4.64%83.76M
-4.68%84.83M
--85.90M
--86.97M
--87.84M
--89.00M
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Total de ativos
60.58%2.90B
36.13%2.48B
19.12%2.30B
17.34%2.37B
-9.63%1.81B
3.20%1.82B
5.82%1.93B
4.19%2.02B
4.51%2.00B
-8.00%1.76B
-8.35%1.82B
6.35%1.94B
19.25%1.92B
111.92%1.92B
306.80%1.99B
281.44%1.82B
418.43%1.61B
--904.58M
--488.59M
--477.25M
--309.80M
Passivos
Passivos circulantes
Dívidas e arrendamentos de curto prazo
--0.00
--0.00
--622.00K
--23.23M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
--20.50M
--20.50M
--6.05M
-Dívida de curto prazo
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--0.00
Total de passivos circulantes
-5.27%237.24M
9.87%260.06M
-4.04%224.15M
7.35%285.40M
-1.18%250.43M
168.00%236.70M
191.90%233.59M
71.72%265.87M
63.99%253.41M
-51.62%88.32M
-63.61%80.02M
-22.46%154.82M
2.87%154.53M
27.21%182.57M
97.76%219.88M
90.91%199.66M
126.46%150.22M
--143.53M
--111.19M
--104.58M
--66.33M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
109.13%1.86B
56.51%1.43B
32.72%1.33B
32.54%1.38B
-11.56%887.37M
-1.93%912.73M
0.44%1.01B
5.48%1.04B
9.19%1.00B
8.65%930.65M
30.11%1.00B
41.84%986.39M
41.54%918.92M
14041.57%856.55M
3496.01%769.22M
1550.84%695.43M
586.73%649.22M
--6.06M
--21.39M
--42.13M
--94.54M
-Dívida de longo prazo
109.13%1.86B
56.51%1.43B
32.72%1.33B
32.54%1.38B
-11.56%887.37M
-1.93%912.73M
0.44%1.01B
5.48%1.04B
9.19%1.00B
8.65%930.65M
30.11%1.00B
41.84%986.39M
41.54%918.92M
14041.57%856.55M
3496.01%769.22M
1550.84%695.43M
586.73%649.22M
--6.06M
--21.39M
--42.13M
--94.54M
Total de passivos
78.10%2.16B
43.28%1.76B
23.18%1.62B
25.47%1.73B
-10.84%1.21B
8.88%1.23B
10.08%1.31B
9.35%1.38B
13.73%1.36B
-2.96%1.13B
7.51%1.19B
24.69%1.26B
34.91%1.20B
515.40%1.16B
561.37%1.11B
472.52%1.01B
355.85%887.04M
--188.49M
--168.00M
--177.00M
--194.59M
Patrimônio líquido dos acionistas
Capital ordinário
11.55%1.12B
13.41%1.13B
13.57%1.09B
13.78%1.04B
13.96%1.00B
18.90%996.35M
20.16%959.97M
28.40%917.88M
24.82%880.94M
21.80%838.01M
2.74%798.91M
-3.51%714.88M
-0.85%705.75M
-6.76%688.03M
104.79%777.59M
100.52%740.86M
3006.18%711.81M
--737.93M
--379.71M
--369.47M
--22.92M
Capital preferencial
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--162.55M
Lucros retidos
7.89%-376.19M
-1.58%-408.00M
-19.13%-413.60M
-45.50%-411.16M
-70.04%-408.40M
-100.96%-401.64M
-102.20%-347.17M
-565.76%-282.58M
-1973.61%-240.18M
-389.48%-199.86M
-273.58%-171.70M
-164.09%-42.44M
76.16%12.82M
416.18%69.04M
267.31%98.91M
195.66%66.22M
110.36%7.28M
---21.84M
---59.12M
---69.22M
---70.25M
Reservas de capital
11.55%1.12B
13.41%1.13B
13.57%1.09B
13.78%1.04B
13.96%1.00B
18.90%996.35M
20.16%959.96M
28.40%917.87M
24.82%880.93M
21.80%838.00M
2.74%798.90M
-3.51%714.87M
-0.85%705.74M
-6.76%688.02M
104.79%777.58M
100.52%740.85M
3006.42%711.80M
--737.92M
--379.70M
--369.47M
--22.91M
Minoritários
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--0.00
--0.00
Patrimônio total
24.88%743.72M
21.41%722.01M
10.42%676.64M
-0.33%633.22M
-7.06%595.54M
-6.81%594.71M
-2.30%612.80M
-5.52%635.30M
-10.83%640.76M
-15.71%638.14M
-28.44%627.21M
-16.68%672.43M
-0.07%718.57M
5.72%757.07M
173.40%876.50M
168.80%807.08M
524.14%719.09M
--716.10M
--320.59M
--300.25M
--115.21M
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