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nasdaq-xpev
/
Xpeng Inc
XPEV
18.050
USD
-0.160
-0.88%
Fechamento 08/01, 16:00(ET)
Cotações atrasadas em 15 min
18.050
USD
+18.050
Após o expediente 08/01, 20:00 (ET)
34.28B
Valor de mercado
Perda
P/L TTM
Xpeng Inc
18.050
-0.160
-0.88%
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
20.38%
4.48B
-0.91%
4.42B
2.45%
3.44B
11.56%
3.49B
7.81%
3.72B
-0.07%
4.46B
-24.27%
3.36B
-35.13%
3.13B
-38.00%
3.45B
-28.60%
4.46B
-31.89%
4.44B
5.56%
4.82B
8.82%
5.57B
23.59%
6.25B
145.88%
6.51B
2413.92%
4.57B
--
5.12B
--
5.06B
--
2.65B
--
181.79M
- Caixa e Equivalentes de Caixa
18.46%
4.30B
-0.76%
4.32B
2.06%
3.40B
12.76%
3.46B
12.66%
3.63B
1.63%
4.35B
-19.70%
3.34B
-31.24%
3.07B
-38.41%
3.22B
-26.26%
4.28B
-30.64%
4.15B
0.64%
4.46B
6.84%
5.23B
25.50%
5.81B
232.68%
5.99B
2849.50%
4.43B
--
4.89B
--
4.63B
--
1.80B
--
150.20M
-Investimentos de Curto Prazo
94.00%
183.79M
-6.49%
102.93M
55.28%
38.50M
-45.87%
34.53M
-59.30%
94.74M
-39.85%
110.06M
-91.26%
24.79M
-82.56%
63.80M
-31.69%
232.77M
-58.98%
182.99M
-46.09%
283.82M
161.54%
365.72M
52.07%
340.77M
3.20%
446.11M
-38.03%
526.48M
342.67%
139.83M
--
224.08M
--
432.29M
--
849.59M
--
31.59M
Contas a Receber
14.47%
636.54M
53.46%
1.00B
-3.86%
654.47M
-5.45%
853.05M
-26.42%
556.07M
-14.02%
654.83M
-2.74%
680.71M
13.06%
902.20M
14.90%
755.76M
18.64%
761.59M
68.99%
699.88M
147.31%
798.00M
164.52%
657.76M
131.77%
641.95M
90.55%
414.15M
75.42%
322.67M
--
248.66M
--
276.98M
--
217.35M
--
183.94M
-Contas e Títulos a Receber
--
--
--
--
--
--
-40.26%
293.81M
--
--
--
--
--
--
-2.72%
491.83M
--
--
--
--
--
--
--
505.61M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-Empréstimos a Receber
--
--
--
--
--
--
-100.00%
0.00
--
--
--
--
--
--
--
3.72M
--
--
--
--
--
--
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-Outros Recebíveis
14.47%
636.54M
6.99%
700.60M
-3.86%
654.47M
30.25%
291.69M
-26.42%
556.07M
-14.02%
654.83M
-2.74%
680.71M
5.42%
223.94M
14.90%
755.76M
34.62%
761.59M
68.99%
699.88M
-34.17%
212.43M
164.52%
657.76M
187.12%
565.72M
191.80%
414.15M
203.12%
322.67M
--
248.66M
--
197.03M
--
141.93M
--
106.45M
Inventário
-3.28%
822.54M
-2.11%
762.12M
20.86%
875.29M
55.47%
765.88M
35.06%
850.47M
18.77%
778.58M
17.67%
724.22M
-22.17%
492.61M
8.76%
629.72M
56.43%
655.54M
71.94%
615.45M
92.67%
632.96M
96.23%
579.01M
103.60%
419.06M
182.29%
357.94M
199.84%
328.51M
--
295.06M
--
205.83M
--
126.80M
--
109.56M
Despesas Antecipadas
5.30%
435.82M
--
52.58M
51.72%
463.93M
-15.64%
60.84M
11.57%
413.87M
--
--
-10.18%
305.79M
-52.86%
72.13M
-1.92%
370.96M
--
--
-11.09%
340.45M
-48.91%
153.01M
38.59%
378.23M
46.95%
204.78M
210.10%
382.90M
409.22%
299.46M
--
272.91M
--
139.36M
--
123.48M
--
58.81M
Outros Ativos Circulantes
-44.23%
792.95M
-67.91%
573.35M
-8.71%
829.86M
1.60%
984.23M
325.82%
1.42B
316.12%
1.79B
982.54%
909.03M
739.46%
968.69M
328.28%
333.90M
154.06%
429.39M
-34.77%
83.97M
-35.06%
115.39M
-71.29%
77.96M
-55.97%
169.01M
-58.33%
128.72M
40.24%
177.68M
--
271.57M
--
383.83M
--
308.88M
--
126.70M
Total de Ativos Circulantes
2.93%
7.17B
-11.30%
6.81B
4.78%
6.27B
10.61%
6.16B
25.65%
6.96B
21.72%
7.68B
-3.19%
5.98B
-14.69%
5.57B
-23.66%
5.54B
-17.91%
6.31B
-20.80%
6.18B
14.47%
6.52B
17.02%
7.26B
26.41%
7.69B
127.64%
7.80B
762.44%
5.70B
--
6.20B
--
6.08B
--
3.43B
--
660.80M
Ativos não Circulantes
Ativos Fixos Líquidos
27.24%
2.11B
0.16%
1.75B
5.61%
1.80B
-10.87%
1.62B
-10.81%
1.66B
-3.99%
1.75B
6.27%
1.71B
30.97%
1.81B
48.76%
1.86B
65.60%
1.82B
78.56%
1.61B
95.85%
1.38B
113.90%
1.25B
102.56%
1.10B
74.13%
900.26M
37.87%
706.54M
--
585.58M
--
542.94M
--
517.00M
--
512.45M
-Ativos Fixos
--
--
--
2.39B
--
--
1.27%
2.16B
--
--
--
--
--
--
33.28%
2.14B
--
--
--
--
--
--
--
1.60B
--
--
100.80%
1.27B
--
--
--
--
--
--
--
633.64M
--
580.98M
--
561.82M
-Depreciação Acumulada
--
--
--
635.47M
--
--
69.38%
547.33M
--
--
--
--
--
--
47.91%
323.13M
--
--
--
--
--
--
--
218.47M
--
--
90.25%
172.55M
--
--
--
--
--
--
--
90.70M
--
63.98M
--
49.37M
Goodwill e outros Ativos Intangíveis
-7.90%
616.43M
-9.37%
636.30M
23.80%
651.52M
20.46%
647.45M
19.36%
669.31M
27.74%
702.06M
3.30%
526.25M
11.77%
537.48M
15.27%
560.74M
136.82%
549.62M
125.60%
509.46M
150.72%
480.87M
223.14%
486.46M
76.55%
232.08M
78.58%
225.83M
56.46%
191.79M
--
150.54M
--
131.45M
--
126.46M
--
122.58M
Dívida de longo prazo
37.53%
589.08M
42.86%
609.43M
77.27%
635.26M
40.56%
438.56M
34.47%
428.32M
34.43%
426.58M
15.15%
358.35M
-2.02%
312.02M
-0.20%
318.52M
8.17%
317.32M
50.38%
311.20M
99.26%
318.44M
205.69%
319.16M
381.60%
293.37M
1248.98%
206.94M
910.58%
159.81M
--
104.41M
--
60.91M
--
15.34M
--
15.81M
Despesas antecipadas de longo prazo
--
--
--
5.82M
--
--
2947.03%
26.14M
--
--
--
--
--
--
-88.52%
857.78K
--
--
--
--
--
--
--
7.47M
--
--
837.26%
240.56M
--
--
--
--
--
--
--
25.67M
--
--
--
1.18M
Outros ativos não circulantes
31.53%
753.42M
5.25%
607.85M
490.62%
726.20M
587.75%
612.15M
448.94%
572.79M
1879.15%
577.55M
290.67%
122.95M
165.58%
89.01M
94.65%
104.35M
-89.29%
29.18M
33.07%
31.47M
-46.74%
33.51M
304.61%
53.61M
677.49%
272.43M
163.67%
23.65M
679.57%
62.93M
--
13.25M
--
35.04M
--
8.97M
--
8.07M
Total de ativos não circulantes
23.89%
5.08B
8.16%
4.52B
25.63%
4.63B
14.70%
4.16B
-4.18%
4.10B
3.00%
4.18B
-5.94%
3.68B
-4.94%
3.63B
29.46%
4.28B
53.11%
4.05B
122.74%
3.92B
159.61%
3.82B
232.11%
3.31B
243.68%
2.65B
163.16%
1.76B
123.25%
1.47B
--
995.62M
--
770.50M
--
667.91M
--
659.05M
Total de ativos
10.70%
12.25B
-4.44%
11.33B
12.73%
10.89B
12.22%
10.32B
12.65%
11.07B
14.40%
11.86B
-4.26%
9.66B
-11.09%
9.20B
-7.04%
9.82B
0.29%
10.37B
5.60%
10.09B
44.25%
10.34B
46.76%
10.57B
50.85%
10.34B
133.44%
9.56B
443.26%
7.17B
--
7.20B
--
6.85B
--
4.09B
--
1.32B
Passivos
Passivos circulantes
-Outros a pagar
--
878.36K
-25.56%
682.35M
-100.00%
0.00
3.17%
540.72M
--
--
20.16%
916.66M
77.51%
7.14M
11.22%
524.09M
24.18%
4.33M
42.37%
762.88M
33.74%
4.02M
18233.95%
471.23M
65.36%
3.49M
95.16%
535.85M
-98.68%
3.01M
-98.88%
2.57M
--
2.11M
--
274.56M
--
227.70M
--
229.95M
Despesas acumuladas
29.06%
1.14B
--
293.81M
14.39%
1.05B
-1.27%
166.13M
3.62%
880.77M
--
--
23.37%
913.73M
0.48%
168.28M
12.48%
850.00M
--
--
35.77%
740.65M
-58.60%
167.47M
74.41%
755.70M
156.20%
185.04M
751.97%
545.53M
808.80%
404.51M
--
433.29M
--
72.22M
--
64.03M
--
44.51M
Dívidas e arrendamentos de curto prazo
-1.69%
846.53M
140.35%
1.97B
35.92%
945.44M
38.82%
1.99B
34.48%
861.12M
71.17%
821.27M
136.40%
695.59M
32.16%
1.43B
750.22%
640.32M
--
479.81M
3227.04%
294.24M
--
1.08B
6145.93%
75.31M
-100.00%
0.00
-78.59%
8.84M
-100.00%
0.00
--
1.21M
--
26.50M
--
41.30M
--
47.77M
-Dívida de curto prazo
-15.22%
495.97M
212.74%
1.71B
8.55%
628.42M
35.92%
1.71B
11.32%
585.04M
56.22%
547.93M
157.39%
578.94M
23.06%
1.26B
--
525.54M
--
350.75M
2443.30%
224.92M
--
1.02B
--
--
-100.00%
0.00
-73.65%
8.84M
-100.00%
0.00
--
1.21M
--
19.60M
--
33.57M
--
39.27M
-Passivos de arrendamento de curto prazo
-64.59%
1.70M
18.62%
5.75M
-51.20%
5.01M
-64.85%
4.80M
-66.75%
4.80M
-73.95%
4.84M
-55.70%
10.26M
--
13.65M
--
14.42M
--
18.60M
--
23.16M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Passivos diferidos
109.72%
161.52M
96.59%
174.77M
67.37%
123.02M
106.75%
122.42M
27.61%
77.02M
57.53%
88.90M
65.25%
73.50M
9.14%
59.21M
-19.52%
60.35M
-14.29%
56.43M
28.28%
44.48M
73.12%
54.25M
288.26%
74.99M
162.57%
65.84M
226.81%
34.67M
415.89%
31.34M
--
19.32M
--
25.08M
--
10.61M
--
6.07M
Outros passivos circulantes
110.86%
162.40M
-7.11%
1.01B
52.56%
123.02M
12.08%
753.89M
19.06%
77.02M
23.39%
1.08B
66.27%
80.64M
14.06%
672.62M
-17.58%
64.69M
38.57%
879.22M
28.72%
48.50M
1639.28%
589.73M
266.30%
78.48M
111.16%
634.48M
-84.26%
37.68M
-86.77%
33.91M
--
21.43M
--
300.47M
--
239.36M
--
256.36M
Total de passivos circulantes
27.52%
5.92B
7.35%
5.46B
10.00%
4.56B
26.88%
4.10B
40.77%
4.64B
45.52%
5.09B
26.76%
4.15B
-2.24%
3.23B
4.12%
3.30B
23.30%
3.50B
62.45%
3.27B
124.52%
3.31B
128.75%
3.17B
136.09%
2.84B
130.58%
2.01B
151.48%
1.47B
--
1.38B
--
1.20B
--
873.76M
--
585.46M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
52.30%
1.44B
-3.81%
1.14B
0.27%
1.10B
-4.43%
1.10B
-6.51%
944.52M
-0.62%
1.19B
50.84%
1.09B
32.48%
1.15B
76.95%
1.01B
164.59%
1.19B
107.79%
724.16M
158.31%
871.58M
78.94%
570.98M
47.33%
451.01M
19.71%
348.50M
18.15%
337.41M
--
319.08M
--
306.13M
--
291.12M
--
285.59M
-Dívida de longo prazo
7.03%
805.33M
-2.01%
956.36M
3.33%
908.80M
-0.06%
915.33M
1.07%
752.45M
5.57%
975.93M
96.08%
879.49M
41.27%
915.89M
109.13%
744.49M
250.56%
924.45M
118.40%
448.53M
162.28%
648.33M
45.77%
355.99M
4.60%
263.71M
-16.38%
205.37M
3.34%
247.19M
--
244.21M
--
252.11M
--
245.59M
--
239.20M
-Passivos de arrendamento de longo prazo
229.65%
633.17M
-12.22%
184.38M
-12.39%
186.48M
-21.19%
188.17M
-27.75%
192.07M
-21.88%
210.05M
-22.78%
212.85M
6.96%
238.77M
23.65%
265.84M
43.56%
268.89M
92.57%
275.63M
147.44%
223.24M
187.13%
214.99M
246.70%
187.30M
214.44%
143.13M
94.49%
90.22M
--
74.87M
--
54.02M
--
45.52M
--
46.39M
Passivos diferidos
28.94%
120.83M
19.59%
112.71M
5.53%
98.14M
-4.65%
91.80M
-7.68%
93.71M
-6.34%
94.25M
-0.48%
93.00M
-0.49%
96.29M
13.96%
101.51M
33.42%
100.62M
57.22%
93.45M
117.52%
96.76M
182.04%
89.08M
239.93%
75.42M
373.90%
59.44M
338.73%
44.48M
--
31.58M
--
22.19M
--
12.54M
--
10.14M
Despesas acumuladas de longo prazo
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
942.51%
41.89M
--
--
--
--
--
--
--
4.02M
--
7.74M
--
4.71M
Responsabilidades com derivativos
26.26%
39.33M
-58.50%
23.01M
--
50.61M
--
28.76M
--
31.15M
--
55.44M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
2.59M
--
55.12M
Outros passivos não circulantes
12.17%
472.81M
9.77%
267.46M
23.14%
455.71M
28.49%
248.74M
9.62%
421.53M
16.95%
243.66M
-15.84%
370.06M
-2.05%
193.59M
-12.29%
384.53M
102.66%
208.35M
15.62%
439.71M
-44.44%
197.64M
31.78%
438.40M
61.26%
102.81M
2786.69%
380.30M
3294.76%
355.73M
--
332.68M
--
63.75M
--
13.17M
--
10.48M
Total de passivos não circulantes
34.59%
2.10B
-4.05%
1.58B
12.43%
1.76B
5.61%
1.54B
3.43%
1.56B
8.84%
1.65B
23.12%
1.57B
36.45%
1.46B
49.63%
1.51B
75.50%
1.52B
74.90%
1.27B
54.26%
1.07B
54.87%
1.01B
131.24%
864.61M
131.65%
728.80M
94.76%
693.14M
--
651.77M
--
373.90M
--
314.62M
--
355.90M
Total de passivos
29.30%
8.02B
4.55%
7.05B
10.66%
6.33B
20.26%
5.64B
29.03%
6.20B
34.42%
6.74B
25.74%
5.72B
7.21%
4.69B
15.12%
4.81B
35.49%
5.01B
65.76%
4.55B
102.03%
4.37B
105.09%
4.17B
134.94%
3.70B
130.86%
2.74B
130.03%
2.17B
--
2.04B
--
1.58B
--
1.19B
--
941.36M
Patrimônio líquido dos acionistas
Capital ordinário
0.15%
9.76B
-2.10%
9.68B
20.14%
10.05B
15.27%
9.69B
10.00%
9.74B
12.40%
9.89B
-1.71%
8.37B
-6.77%
8.41B
-6.68%
8.86B
-6.81%
8.80B
-8.41%
8.51B
24.73%
9.02B
33.49%
9.49B
32.55%
9.44B
107.35%
9.29B
243188175.96%
7.23B
--
7.11B
--
7.12B
--
4.48B
--
2.97K
Capital preferencial
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--
--
--
--
--
--
--
--
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--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
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0.00
--
1.64B
Lucros retidos
-13.15%
-5.81B
-13.01%
-5.68B
-21.69%
-5.72B
-25.66%
-5.28B
-27.46%
-5.13B
-36.99%
-5.03B
-45.68%
-4.70B
-36.64%
-4.20B
-42.75%
-4.03B
-44.10%
-3.67B
-39.65%
-3.23B
-49.17%
-3.07B
-52.66%
-2.82B
-46.84%
-2.55B
-48.97%
-2.31B
-63.51%
-2.06B
--
-1.85B
--
-1.74B
--
-1.55B
--
-1.26B
Reservas de capital
0.15%
9.76B
-2.10%
9.68B
20.14%
10.05B
15.27%
9.69B
10.00%
9.74B
12.40%
9.89B
-1.71%
8.37B
-6.77%
8.41B
-6.68%
8.86B
-6.81%
8.80B
-8.41%
8.51B
24.73%
9.02B
33.49%
9.49B
32.55%
9.44B
107.35%
9.29B
--
7.23B
--
7.11B
--
7.12B
--
4.48B
--
0.00
Ganhos (perdas) fora do lucro retido
10.77%
284.95M
11.20%
286.81M
-15.90%
236.50M
-10.87%
267.51M
35.88%
257.24M
15.21%
257.92M
7.43%
281.23M
1042.61%
300.13M
168.70%
189.30M
186.26%
223.86M
256.23%
261.77M
116.10%
26.27M
-186.90%
-275.56M
-131.85%
-259.53M
-591.26%
-167.55M
-5299.78%
-163.15M
--
-96.05M
--
-111.94M
--
-24.24M
--
-3.02M
Patrimônio total
-13.01%
4.23B
-16.29%
4.28B
15.72%
4.56B
3.85%
4.68B
-3.04%
4.86B
-4.36%
5.12B
-28.87%
3.94B
-24.51%
4.51B
-21.51%
5.02B
-19.34%
5.35B
-18.62%
5.54B
19.26%
5.97B
23.77%
6.39B
25.75%
6.64B
134.49%
6.81B
1222.32%
5.00B
--
5.16B
--
5.28B
--
2.91B
--
378.49M
Moeda
USD
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Opinião da Auditoria
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