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nasdaq-vnt
/
Vontier Corp
VNT
39.770
USD
+0.790
+2.03%
Fechamento 07/25, 16:00(ET)
Cotações atrasadas em 15 min
USD
0.000
Após o expediente (ET)
5.90B
Valor de mercado
15.80
P/L TTM
Vontier Corp
39.770
+0.790
+2.03%
Visão Geral
Empresa
Serviços Financeiros
Declarações
Declaração de Renda
Balanço Patrimonial
Demonstrativo de Fluxo de Caixa
Visão Geral
Empresa
Serviços Financeiros
Declarações
Declaração de Renda
Balanço Patrimonial
Demonstrativo de Fluxo de Caixa
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
FY2020Q4
FY2020Q3
FY2020Q2
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-17.83%
333.60M
4.55%
356.40M
25.53%
330.90M
35.78%
331.30M
95.00%
406.00M
50.97%
340.90M
39.62%
263.60M
-7.05%
244.00M
-42.20%
208.20M
-60.57%
225.80M
-58.86%
188.80M
-62.68%
262.50M
-46.26%
360.20M
50.49%
572.60M
--
458.90M
--
703.40M
--
670.30M
--
380.50M
--
--
--
--
- Caixa e Equivalentes de Caixa
-17.83%
333.60M
4.55%
356.40M
25.53%
330.90M
35.78%
331.30M
95.00%
406.00M
66.70%
340.90M
116.60%
263.60M
91.52%
244.00M
43.49%
208.20M
-64.29%
204.50M
-73.48%
121.70M
-81.89%
127.40M
-78.35%
145.10M
50.49%
572.60M
--
458.90M
--
703.40M
--
670.30M
--
380.50M
--
--
--
--
-Investimentos de Curto Prazo
--
--
--
--
--
--
--
--
--
--
--
--
-100.00%
0.00
-100.00%
0.00
-100.00%
0.00
--
21.30M
--
67.10M
--
135.10M
--
215.10M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Contas a Receber
2.81%
533.60M
5.75%
526.10M
1.43%
531.40M
1.20%
496.80M
10.10%
519.00M
-3.36%
497.50M
2.48%
523.90M
1.76%
490.90M
8.57%
471.40M
6.96%
514.80M
7.89%
511.20M
21.24%
482.40M
12.34%
434.20M
7.65%
481.30M
9.90%
473.80M
2.10%
397.90M
--
386.50M
--
447.10M
--
431.10M
--
389.70M
-Contas e Títulos a Receber
2.81%
533.60M
5.75%
526.10M
1.43%
531.40M
1.20%
496.80M
10.10%
519.00M
-3.36%
497.50M
2.48%
523.90M
1.76%
490.90M
8.57%
471.40M
6.96%
514.80M
7.89%
511.20M
21.24%
482.40M
12.34%
434.20M
7.65%
481.30M
9.90%
473.80M
2.10%
397.90M
--
386.50M
--
447.10M
--
431.10M
--
389.70M
Inventário
20.79%
356.10M
13.89%
337.80M
5.95%
333.00M
-1.85%
323.10M
-15.96%
294.80M
-14.28%
296.60M
-16.74%
314.30M
0.86%
329.20M
7.81%
350.80M
20.56%
346.00M
43.10%
377.50M
30.40%
326.40M
34.07%
325.40M
22.81%
287.00M
21.23%
263.80M
12.29%
250.30M
--
242.70M
--
233.70M
--
217.60M
--
222.90M
Despesas Antecipadas
3.32%
146.30M
5.87%
149.70M
-1.14%
147.70M
-10.84%
141.40M
-14.08%
141.60M
-7.46%
141.40M
20.68%
149.40M
27.59%
158.60M
20.03%
164.80M
11.29%
152.80M
-0.64%
123.80M
5.25%
124.30M
22.92%
137.30M
13.66%
137.30M
15.80%
124.60M
13.67%
118.10M
--
111.70M
--
120.80M
--
107.60M
--
103.90M
Outros Ativos Circulantes
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Total de Ativos Circulantes
0.60%
1.37B
2.81%
1.37B
3.05%
1.34B
1.29%
1.29B
1.63%
1.36B
-3.79%
1.33B
-2.75%
1.30B
-5.18%
1.28B
6.55%
1.34B
-6.30%
1.39B
1.43%
1.34B
-8.42%
1.35B
-10.92%
1.26B
25.05%
1.48B
74.68%
1.32B
105.12%
1.47B
--
1.41B
--
1.18B
--
756.30M
--
716.50M
Ativos não Circulantes
Ativos Fixos Líquidos
6.32%
164.90M
11.86%
167.00M
28.00%
173.70M
18.39%
161.60M
14.72%
155.10M
9.30%
149.30M
0.74%
135.70M
6.89%
136.50M
-7.46%
135.20M
-6.44%
136.60M
-7.74%
134.70M
-4.42%
127.70M
9.11%
146.10M
6.65%
146.00M
8.47%
146.00M
4.29%
133.60M
--
133.90M
--
136.90M
--
134.60M
--
128.10M
-Ativos Fixos
--
--
--
--
--
--
--
--
--
--
9.13%
402.80M
--
--
--
--
--
--
-8.25%
369.10M
-6.42%
371.50M
-8.61%
349.40M
6.74%
402.50M
6.63%
402.30M
7.50%
397.00M
7.57%
382.30M
--
377.10M
--
377.30M
--
369.30M
--
355.40M
-Depreciação Acumulada
--
--
--
--
--
--
--
--
--
--
9.03%
253.50M
--
--
--
--
--
--
-9.29%
232.50M
-5.66%
236.80M
-10.86%
221.70M
5.43%
256.40M
6.61%
256.30M
6.95%
251.00M
9.41%
248.70M
--
243.20M
--
240.40M
--
234.70M
--
227.30M
Goodwill e outros Ativos Intangíveis
-3.74%
2.19B
-4.25%
2.21B
-2.35%
2.25B
-3.64%
2.26B
-3.69%
2.28B
-3.25%
2.31B
-3.21%
2.31B
-0.43%
2.34B
-5.60%
2.37B
4.61%
2.39B
3.78%
2.38B
78.88%
2.35B
89.30%
2.51B
70.05%
2.28B
75.34%
2.30B
-0.02%
1.31B
--
1.32B
--
1.34B
--
1.31B
--
1.31B
Dívida de longo prazo
1.83%
317.20M
4.52%
323.90M
5.12%
320.10M
7.31%
320.10M
7.16%
311.50M
7.79%
309.90M
6.28%
304.50M
4.30%
298.30M
2.32%
290.70M
1.16%
287.50M
0.53%
286.50M
1.38%
286.00M
1.39%
284.10M
2.27%
284.20M
1.97%
285.00M
-0.28%
282.10M
--
280.20M
--
277.90M
--
279.50M
--
282.90M
Outros ativos não circulantes
20.68%
280.10M
19.53%
269.30M
22.12%
249.50M
27.59%
239.10M
26.07%
232.10M
22.78%
225.30M
30.46%
204.30M
24.68%
187.40M
24.98%
184.10M
29.32%
183.50M
46.90%
156.60M
20.53%
150.30M
21.33%
147.30M
10.09%
141.90M
-3.70%
106.60M
11.94%
124.70M
--
121.40M
--
128.90M
--
110.70M
--
111.40M
Total de ativos não circulantes
-0.70%
2.92B
-0.71%
2.94B
1.56%
2.96B
0.47%
2.94B
0.18%
2.94B
0.11%
2.96B
-0.17%
2.92B
1.95%
2.93B
-3.42%
2.94B
3.02%
2.96B
2.57%
2.92B
53.65%
2.87B
62.48%
3.04B
51.86%
2.87B
54.30%
2.85B
1.13%
1.87B
--
1.87B
--
1.89B
--
1.85B
--
1.85B
Total de ativos
-0.29%
4.29B
0.38%
4.31B
2.02%
4.31B
0.72%
4.24B
0.64%
4.31B
-1.14%
4.29B
-0.98%
4.22B
-0.32%
4.21B
-0.50%
4.28B
-0.15%
4.34B
2.21%
4.26B
26.33%
4.22B
30.94%
4.30B
41.55%
4.35B
60.22%
4.17B
30.17%
3.34B
--
3.28B
--
3.07B
--
2.60B
--
2.57B
Passivos
Passivos circulantes
-Outros a pagar
--
0.00
--
--
--
0.00
--
0.00
--
--
--
--
--
0.00
--
0.00
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Despesas acumuladas
6.61%
316.00M
6.56%
323.30M
-7.26%
303.80M
-11.50%
270.10M
0.88%
296.40M
0.33%
303.40M
25.71%
327.60M
18.43%
305.20M
3.96%
293.80M
-15.60%
302.40M
-24.18%
260.60M
-13.99%
257.70M
-8.10%
282.60M
-20.04%
358.30M
5.72%
343.70M
1.49%
299.60M
--
307.50M
--
448.10M
--
325.10M
--
295.20M
Dívidas e arrendamentos de curto prazo
-95.51%
2.50M
-50.94%
52.30M
-14.29%
5.40M
-32.18%
5.90M
555.29%
55.70M
2217.39%
106.60M
-18.18%
6.30M
-4.40%
8.70M
102.38%
8.50M
24.32%
4.60M
71.11%
7.70M
65.45%
9.10M
-39.13%
4.20M
-66.06%
3.70M
-65.12%
4.50M
-58.33%
5.50M
--
6.90M
--
10.90M
--
12.90M
--
13.20M
-Dívida de curto prazo
-56.14%
2.50M
-65.15%
2.30M
-14.29%
5.40M
-32.18%
5.90M
-32.94%
5.70M
43.48%
6.60M
-18.18%
6.30M
-4.40%
8.70M
102.38%
8.50M
24.32%
4.60M
71.11%
7.70M
65.45%
9.10M
-39.13%
4.20M
-66.06%
3.70M
-65.12%
4.50M
-58.33%
5.50M
--
6.90M
--
10.90M
--
12.90M
--
13.20M
Passivos diferidos
19.28%
135.50M
5.14%
139.20M
-12.36%
122.70M
-20.73%
108.20M
-21.49%
113.60M
-2.07%
132.40M
-1.27%
140.00M
2.94%
136.50M
2.99%
144.70M
1.12%
135.20M
17.38%
141.80M
35.72%
132.60M
45.14%
140.50M
--
133.70M
--
120.80M
--
97.70M
--
96.80M
--
--
--
--
--
--
Outros passivos circulantes
19.28%
135.50M
5.14%
139.20M
-12.36%
122.70M
-20.73%
108.20M
-21.49%
113.60M
-2.07%
132.40M
-1.27%
140.00M
2.94%
136.50M
2.99%
144.70M
1.12%
135.20M
17.38%
141.80M
35.72%
132.60M
45.14%
140.50M
--
133.70M
--
120.80M
--
97.70M
--
96.80M
--
--
--
--
--
--
Total de passivos circulantes
-2.54%
843.10M
-4.83%
909.20M
-5.70%
818.20M
-9.41%
766.60M
-2.04%
865.10M
2.73%
955.30M
-0.87%
867.70M
-0.46%
846.20M
4.10%
883.10M
-0.37%
929.90M
0.34%
875.30M
9.17%
850.10M
6.28%
848.30M
11.34%
933.40M
23.66%
872.30M
28.29%
778.70M
--
798.20M
--
838.30M
--
705.40M
--
607.00M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-4.60%
2.12B
-4.38%
2.13B
-6.12%
2.23B
-9.25%
2.23B
-12.78%
2.23B
-15.02%
2.23B
-10.95%
2.38B
-6.78%
2.45B
-2.52%
2.55B
0.01%
2.62B
1.88%
2.67B
30.96%
2.63B
30.42%
2.62B
43.47%
2.62B
8778.98%
2.62B
8564.66%
2.01B
--
2.01B
--
1.83B
--
29.50M
--
23.20M
-Dívida de longo prazo
-4.46%
2.09B
-4.43%
2.09B
-6.69%
2.19B
-9.58%
2.19B
-13.16%
2.19B
-15.34%
2.19B
-10.91%
2.35B
-6.80%
2.42B
-2.43%
2.52B
0.07%
2.59B
2.04%
2.64B
31.11%
2.60B
30.41%
2.58B
43.92%
2.58B
--
2.58B
--
1.98B
--
1.98B
--
1.80B
--
0.00
--
0.00
-Passivos de arrendamento de longo prazo
-12.73%
32.90M
-1.35%
36.60M
41.49%
39.90M
16.04%
36.90M
17.45%
37.70M
9.12%
37.10M
-13.76%
28.20M
-4.79%
31.80M
-9.07%
32.10M
-4.49%
34.00M
-9.67%
32.70M
20.58%
33.40M
31.23%
35.30M
16.72%
35.60M
22.71%
36.20M
19.40%
27.70M
--
26.90M
--
30.50M
--
29.50M
--
23.20M
Passivos diferidos
-0.86%
57.40M
9.89%
58.90M
20.53%
59.30M
27.47%
59.40M
20.63%
57.90M
10.06%
53.60M
1.65%
49.20M
-7.91%
46.60M
-17.81%
48.00M
-13.50%
48.70M
-18.52%
48.40M
-10.60%
50.60M
2.28%
58.40M
-3.43%
56.30M
2.59%
59.40M
-3.41%
56.60M
--
57.10M
--
58.30M
--
57.90M
--
58.60M
Outros passivos não circulantes
-0.72%
219.10M
-1.94%
212.80M
0.80%
214.50M
6.82%
217.70M
9.42%
220.70M
1.31%
217.00M
-3.18%
212.80M
-12.83%
203.80M
-27.99%
201.70M
-4.08%
214.20M
7.01%
219.80M
16.03%
233.80M
33.89%
280.10M
2.81%
223.30M
-27.01%
205.40M
-26.14%
201.50M
--
209.20M
--
217.20M
--
281.40M
--
272.80M
Total de passivos não circulantes
-4.25%
2.34B
-4.16%
2.34B
-5.55%
2.45B
-8.01%
2.44B
-11.15%
2.45B
-13.79%
2.44B
-10.36%
2.59B
-7.27%
2.66B
-4.98%
2.76B
-0.31%
2.83B
2.26%
2.89B
29.60%
2.87B
30.75%
2.90B
39.14%
2.84B
808.56%
2.82B
647.20%
2.21B
--
2.22B
--
2.04B
--
310.90M
--
296.00M
Total de passivos
-3.81%
3.19B
-4.35%
3.25B
-5.59%
3.26B
-8.35%
3.21B
-8.94%
3.31B
-9.71%
3.40B
-8.15%
3.46B
-5.71%
3.50B
-2.93%
3.64B
-0.33%
3.76B
1.80%
3.76B
24.28%
3.72B
24.27%
3.75B
31.06%
3.78B
263.77%
3.70B
231.16%
2.99B
--
3.02B
--
2.88B
--
1.02B
--
903.00M
Patrimônio líquido dos acionistas
Capital ordinário
34.20%
83.90M
46.11%
83.02M
58.22%
75.82M
86.73%
70.62M
104.19%
62.52M
105.73%
56.82M
146.78%
47.92M
195.05%
37.82M
445.08%
30.62M
1720.50%
27.62M
-14.15%
19.42M
-7.24%
12.82M
-35.56%
5.62M
-80.08%
1.52M
132935.29%
22.62M
--
13.82M
--
8.72M
--
7.62M
--
17.00K
--
--
Lucros retidos
28.32%
1.62B
35.95%
1.54B
37.82%
1.42B
41.16%
1.33B
48.88%
1.26B
46.87%
1.13B
45.68%
1.03B
42.72%
943.10M
45.77%
849.70M
99.33%
770.80M
153.73%
706.90M
324.95%
660.80M
653.10%
582.90M
2943.38%
386.70M
-80.73%
278.60M
-89.87%
155.50M
--
77.40M
--
-13.60M
--
1.45B
--
1.54B
Reservas de capital
34.24%
83.90M
46.13%
83.00M
58.25%
75.80M
86.77%
70.60M
104.25%
62.50M
105.80%
56.80M
146.91%
47.90M
195.31%
37.80M
446.43%
30.60M
1740.00%
27.60M
-14.16%
19.40M
-7.25%
12.80M
-35.63%
5.60M
-80.26%
1.50M
--
22.60M
--
13.80M
--
8.70M
--
7.60M
--
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(-) Ações em tesouraria
60.45%
682.40M
55.43%
627.00M
45.46%
567.60M
22.54%
463.80M
22.78%
425.30M
22.99%
403.40M
35.49%
390.20M
36.15%
378.50M
67.34%
346.40M
--
328.00M
--
288.00M
--
278.00M
--
207.00M
--
--
--
--
--
--
--
--
--
--
--
--
--
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Ganhos (perdas) fora do lucro retido
-14.15%
71.00M
-46.62%
56.00M
48.75%
107.10M
-17.11%
78.00M
-19.24%
82.70M
-1.13%
104.90M
22.03%
72.00M
-9.26%
94.10M
-38.57%
102.40M
-41.61%
106.10M
-65.17%
59.00M
-41.15%
103.70M
-6.45%
166.70M
-6.24%
181.70M
23.38%
169.40M
43.37%
176.20M
--
178.20M
--
193.80M
--
137.30M
--
122.90M
Minoritários
35.06%
10.40M
69.23%
8.80M
60.00%
8.80M
67.35%
8.20M
108.11%
7.70M
73.33%
5.20M
103.70%
5.50M
44.12%
4.90M
0.00%
3.70M
-21.05%
3.00M
-32.50%
2.70M
-10.53%
3.40M
0.00%
3.70M
-2.56%
3.80M
-6.98%
4.00M
-11.63%
3.80M
--
3.70M
--
3.90M
--
4.30M
--
4.30M
Patrimônio total
11.44%
1.11B
18.35%
1.06B
36.39%
1.04B
46.04%
1.02B
55.09%
992.60M
54.55%
895.60M
53.00%
765.00M
39.53%
701.40M
15.96%
640.00M
1.01%
579.50M
5.35%
500.00M
43.92%
502.70M
105.93%
551.90M
199.27%
573.70M
-70.10%
474.60M
-78.99%
349.30M
--
268.00M
--
191.70M
--
1.59B
--
1.66B
Moeda
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Opinião da Auditoria
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