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XBP Europe Holdings Inc

XBP

1.140USD

+0.090+8.57%
Fechamento 09/19, 16:00ETCotações atrasadas em 15 min
40.94MValor de mercado
PerdaP/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
Fluxos de caixa operacionais (método indireto)
Fluxo operacional contínuo
-59.53%-3.08M
74.27%-929.00K
280.81%5.93M
-274.78%-5.61M
-158.88%-1.93M
23.95%-3.61M
-130.12%-3.28M
144.93%3.21M
-16.95%3.28M
-314.99%-4.75M
357.99%10.88M
---7.15M
--3.95M
--2.21M
---4.22M
Lucro operacional contínuo
-45.86%-6.89M
-97.01%-4.35M
47.68%-2.67M
4.09%-2.77M
-746.42%-4.72M
11.89%-2.21M
-349.78%-5.10M
45.54%-2.89M
78.67%-558.00K
-323.55%-2.51M
-129.08%-1.13M
---5.30M
---2.62M
--1.12M
--3.90M
Ganho/perda operacional
-30.55%641.00K
-31.14%659.00K
-0.44%896.00K
-17.79%1.03M
-2.53%923.00K
1.38%957.00K
-32.89%900.00K
11.53%1.25M
-11.74%947.00K
-17.70%944.00K
-19.75%1.34M
--1.12M
--1.07M
--1.15M
--1.67M
Imposto de renda diferido
496.77%492.00K
254.55%156.00K
890.77%514.00K
-108.26%-681.00K
-65.33%-124.00K
-2.22%44.00K
-110.43%-65.00K
-117.58%-327.00K
83.30%-75.00K
112.30%45.00K
-14.42%623.00K
--1.86M
---449.00K
---366.00K
--728.00K
Itens não monetários
-159.08%-309.00K
-173.26%-715.00K
157.31%435.00K
229.64%726.00K
120.68%523.00K
57.17%976.00K
71.59%-759.00K
-145.75%-560.00K
-88.85%237.00K
-18.93%621.00K
-482.81%-2.67M
--1.22M
--2.13M
--766.00K
--698.00K
Capital de giro (var.)
94.98%2.56M
91.98%-268.00K
157.37%6.02M
-180.79%-4.64M
-51.82%1.31M
13.22%-3.34M
-81.64%2.34M
194.87%5.74M
-28.54%2.73M
-584.01%-3.85M
239.30%12.74M
---6.05M
--3.82M
---563.00K
---9.14M
-Recebíveis (var.)
-252.28%-4.51M
-401.38%-5.82M
22.82%3.83M
836.82%3.94M
128.49%2.96M
-154.87%-1.16M
302.73%3.12M
-476.76%-535.00K
-74.83%1.29M
129.69%2.11M
55.40%-1.54M
--142.00K
--5.15M
---7.12M
---3.45M
-Estoque (var.)
584.21%130.00K
379.41%285.00K
120.05%77.00K
28.80%246.00K
110.11%19.00K
-131.58%-102.00K
-156.22%-384.00K
126.20%191.00K
67.92%-188.00K
676.79%323.00K
-32.51%683.00K
---729.00K
---586.00K
---56.00K
--1.01M
-Antecipadas (var.)
154.39%620.00K
-15.28%-1.55M
215.83%3.15M
2442.19%1.63M
-160.54%-1.14M
-63.26%-1.34M
-59.97%998.00K
-87.97%64.00K
0.48%1.88M
-27.24%-822.00K
471.79%2.49M
--532.00K
--1.87M
---646.00K
--436.00K
-Outros passivos (CP) (var.)
234.06%1.77M
120.00%282.00K
-65.11%194.00K
-185.32%-5.00M
-398.87%-1.32M
-150.89%-1.41M
-94.50%556.00K
35.20%-1.75M
16.89%443.00K
-109.61%-562.00K
3216.39%10.12M
---2.70M
--379.00K
--5.85M
--305.00K
Investimentos não recorrentes
Fluxo de caixa operacional
-59.53%-3.08M
74.27%-929.00K
280.81%5.93M
-274.78%-5.61M
-158.88%-1.93M
23.95%-3.61M
-130.12%-3.28M
144.93%3.21M
-16.95%3.28M
-314.99%-4.75M
357.99%10.88M
---7.15M
--3.95M
--2.21M
---4.22M
Caixa (Investimentos)
Invest. contínuos (líquido)
206.45%1.04M
183.38%1.09M
253.95%269.00K
173.95%715.00K
-75.13%341.00K
-38.10%385.00K
-96.55%76.00K
118.80%261.00K
212.30%1.37M
-87.83%622.00K
220.29%2.21M
---1.39M
--439.00K
--5.11M
---1.83M
Despesas de capital (CapEx)
206.45%1.04M
183.38%1.09M
253.95%269.00K
173.95%715.00K
-75.13%341.00K
-38.10%385.00K
-96.55%76.00K
--261.00K
212.30%1.37M
-87.83%622.00K
78.54%2.21M
----
--439.00K
--5.11M
--1.23M
Venda de ativos fixos
441.67%910.00K
151.43%968.00K
82.89%139.00K
118.77%571.00K
-87.75%168.00K
-38.10%385.00K
-96.55%76.00K
118.80%261.00K
212.30%1.37M
-87.83%622.00K
220.29%2.21M
---1.39M
--439.00K
--5.11M
---1.83M
Ativos intangíveis (líquido)
-21.97%135.00K
--123.00K
--130.00K
--144.00K
--173.00K
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Outros investimentos
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---339.00K
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Investimentos (LP)
Caixa (Invest. líquido)
-206.45%-1.04M
-183.38%-1.09M
35.18%-269.00K
-173.95%-715.00K
75.13%-341.00K
38.10%-385.00K
81.18%-415.00K
-118.80%-261.00K
-212.30%-1.37M
87.83%-622.00K
-220.29%-2.21M
--1.39M
---439.00K
---5.11M
--1.83M
Caixa (Financiamento)
Financiamento contínuo
-99.47%79.00K
-166.37%-450.00K
-149.19%-1.79M
44.42%-1.39M
939.33%14.94M
102.99%678.00K
323.84%3.63M
-80.32%-2.49M
-1475.22%-1.78M
-81.33%334.00K
-41.13%-1.62M
---1.38M
---113.00K
--1.79M
---1.15M
Dívidas (líquido)
-99.28%107.00K
-57.08%291.00K
36.77%-994.00K
73.88%-651.00K
939.33%14.94M
102.99%678.00K
53.16%-1.57M
-80.32%-2.49M
-1475.22%-1.78M
-81.33%334.00K
-191.83%-3.36M
---1.38M
---113.00K
--1.79M
---1.15M
Outros financiamentos
---28.00K
---741.00K
-115.24%-793.00K
---734.00K
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200.35%5.21M
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--1.73M
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Financiamento não recorrente
Financiamento (líquido)
-99.47%79.00K
-166.37%-450.00K
-149.19%-1.79M
44.42%-1.39M
939.33%14.94M
102.99%678.00K
323.84%3.63M
-80.32%-2.49M
-1475.22%-1.78M
-81.33%334.00K
-41.13%-1.62M
---1.38M
---113.00K
--1.79M
---1.15M
Caixa líquido
Caixa inicial
177.81%9.73M
75.32%12.11M
182.37%7.96M
527.75%15.56M
53.55%3.50M
-7.60%6.91M
87.06%2.82M
-66.62%2.48M
-28.30%2.28M
156.80%7.47M
-56.71%1.51M
--7.43M
--3.18M
--2.91M
--3.48M
Variação do caixa
-129.19%-3.52M
30.08%-2.38M
1.47%4.15M
-2335.88%-7.60M
5960.80%12.06M
34.45%-3.40M
-31.51%4.09M
105.74%340.00K
-95.31%199.00K
-2023.33%-5.19M
1144.83%5.97M
---5.92M
--4.25M
--270.00K
---571.00K
Variação cambial
186.18%524.00K
203.45%90.00K
-93.37%275.00K
194.12%112.00K
-944.44%-608.00K
44.94%-87.00K
481.07%4.15M
-109.73%-119.00K
-91.54%72.00K
-111.42%-158.00K
-136.71%-1.09M
--1.22M
--851.00K
--1.38M
--2.96M
Caixa final
-60.13%6.21M
177.81%9.73M
75.32%12.11M
182.37%7.96M
527.75%15.56M
53.55%3.50M
-7.60%6.91M
87.18%2.82M
-66.62%2.48M
-28.30%2.28M
156.80%7.47M
--1.51M
--7.43M
--3.18M
--2.91M
Fluxo de caixa livre
-81.59%-4.12M
49.44%-2.02M
268.69%5.66M
-314.47%-6.33M
-219.09%-2.27M
25.59%-4.00M
-138.65%-3.35M
141.28%2.95M
-45.64%1.91M
-85.01%-5.37M
259.12%8.68M
---7.15M
--3.51M
---2.90M
---5.45M
Moeda
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Opinião da Auditoria
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