FLEX Flex Ltd. - Ordinary Shares

NASDAQ · Electrical Equipment · Ver en SEC EDGAR ↗
$136,86
Precio · Jul 2, 2026
Fundamentales a fecha de May 20, 2026

FLEX Instantánea de la Acción Precio, capitalización bursátil, P/E, BPA, ROE, deuda/capital, rango de 52 semanas

Precio
$136.86
Capitalización Bursátil
$23.94B
P/E (TTM)
28.1
BPA (TTM)
$2.33
Ingresos (TTM)
$27.91B
Rendimiento div.
ROE
17.3%
Deuda/Capital
0.7
Rango 52S
$48 – $167

FLEX Gráfico del Precio de la Acción OHLCV diario con indicadores técnicos — desplace, amplíe y personalice su vista

Rendimiento a 10 años Tendencias de ingresos, beneficio neto, márgenes y BPA

Ingresos y Beneficio Neto $27.91B
10-point trend, +17.0%
2017-03-31 2026-03-31
BPA $2.33
10-point trend, +294.9%
2017-03-31 2026-03-31
Flujo de caja libre $1.05B
9-point trend, +68.4%
2017-03-31 2026-03-31
Márgenes 3.1%
9-point trend, +44.4%
2017-03-31 2026-03-31

Valoración Ratios P/E, P/S, P/B, EV/EBITDA: ¿está la acción cara o barata?

Métrica
Tendencia a 5 años
FLEX
Mediana de Pares
P/E (TTM)
5-point trend, +289.9%
28.1
26.9
P/S (TTM) (P/V (TTM))
5-point trend, +228.1%
0.9
1.3
P/B (P/C)
5-point trend, +198.5%
4.7
1.9
EV / EBITDA
5-point trend, +134.3%
18.5
Price / FCF (Precio / FCF)
5-point trend, +105.3%
22.8

Rentabilidad Márgenes brutos, operativos y netos; ROE, ROA, ROIC

Métrica
Tendencia a 5 años
FLEX
Mediana de Pares
Gross Margin (Margen Bruto)
5-point trend, +24.0%
9.2%
18.0%
Operating Margin (Margen Operativo)
5-point trend, +31.4%
4.9%
Net Profit Margin (Margen de Beneficio Neto)
5-point trend, -12.3%
3.1%
-2.5%
ROA
5-point trend, -18.2%
4.3%
-3.6%
ROE
5-point trend, -28.1%
17.3%
-8.6%
ROIC
5-point trend, +12.8%
11.8%

Salud financiera Deuda, liquidez, solvencia — solidez del balance general

Métrica
Tendencia a 5 años
FLEX
Mediana de Pares
Debt / Equity (Deuda / Patrimonio)
5-point trend, -28.3%
0.7
73.8
Current Ratio (Ratio corriente)
5-point trend, +1.5%
1.4
2.0
Quick Ratio (Ratio Rápido)
5-point trend, -0.5%
0.6

Crecimiento Crecimiento de ingresos, BPA y beneficio neto: interanual, CAGR a 3 años, CAGR a 5 años

Métrica
Tendencia a 5 años
FLEX
Mediana de Pares
Revenue YoY (Ingresos interanuales)
5-point trend, +13.3%
8.1%
Revenue CAGR 3Y (Ingresos CAGR 3A)
5-point trend, +13.3%
-0.69%
Revenue CAGR 5Y (Ingresos CAGR 5A)
5-point trend, +13.3%
3.0%
EPS YoY (EPS interanual)
5-point trend, +20.1%
10.4%
Net Income YoY (Beneficio Neto interanual)
5-point trend, -6.0%
5.0%

Métricas por acción BPA, valor contable por acción, flujo de caja por acción, dividendo por acción

Métrica
Tendencia a 5 años
FLEX
Mediana de Pares
EPS (Diluted) (BPA (Diluido))
5-point trend, +20.1%
$2.33

Eficiencia de capital Rotación de activos, rotación de inventario, rotación de cuentas por cobrar

Métrica
Tendencia a 5 años
FLEX
Mediana de Pares

FLEX Consenso de analistas Opiniones de analistas alcistas y bajistas, precio objetivo a 12 meses, potencial alcista

COMPRA 19 analistas
  • Compra fuerte 7 36,8%
  • Compra 11 57,9%
  • Mantener 1 5,3%
  • Venta 0 0,0%
  • Venta fuerte 0 0,0%

Precio objetivo a 12 meses

10 analistas · 2026-06-29
Objetivo mediano $165.00 +20,6%
Objetivo medio $160.40 +17,2%

Historial de Ganancias EPS real vs estimado, sorpresa %, tasa de aciertos, próxima fecha de resultados

Sorpresa Media
0.05%
Próximo informe
Jul 22, 2026
Período EPS Actual EPS est. Sorpresa
31 de marzo de 2026 $0.93 $0.89 0.04%
31 de diciembre de 2025 $0.87 $0.80 0.07%
30 de septiembre de 2025 $0.79 $0.77 0.02%
30 de junio de 2025 $0.72 $0.64 0.08%
31 de marzo de 2025 $0.73 $0.71 0.02%

Comparación con pares Métricas clave frente a competidores del sector

Ticker Capitalización Bursátil P/E Ingresos interanuales Margen Neto ROE Margen Bruto
FLEX $23.94B 28.1 8.1% 3.1% 17.3% 9.2%
JBL $22.02B 34.6 3.2% 2.2% 40.4% 8.9%
TTMI $7.36B 42.4 19.0% 6.1% 10.4% 20.7%
SANM $6.09B 25.6 7.4% 3.0% 9.9% 8.8%
PLXS $3.84B 22.9 1.8% 4.3% 12.3% 10.1%
IPGP 98.1 2.7%
BHE $1.53B 62.9 0.11% 0.93% 2.2% 10.2%
CTS $1.23B 19.6 5.2% 12.1% 11.8% 38.4%
MEI -8.5 -2.8% -3.5% -5.3% 19.8%
KE $466M 28.3 -13.3% 1.1% 3.1% 7.0%

Fundamentales Completos Todas las métricas por año — estado de resultados, balance general, flujo de caja

Estado de resultados 17
Datos anuales de Estado de resultados para FLEX
Métrica Tendencia 202620252024202320222021202020192018201720162015
Revenue 12-point trend, +6.8% $27.91B $25.81B $26.41B $28.50B $24.63B $24.12B $24.21B $26.21B $25.44B $23.86B $24.42B $26.15B
Cost of Revenue 12-point trend, +2.8% $25.29B $23.58B $24.39B $26.50B $22.84B $22.35B $22.68B $24.59B $23.78B $22.30B $22.81B $24.60B
Gross Profit 12-point trend, +66.1% $2.57B $2.16B $1.86B $1.98B $1.78B $1.69B $1.34B $1.52B $1.60B $1.52B $1.61B $1.55B
R&D Expense 4-point trend, +197.3% · · · · · · · · $78M $66M $61M $26M
SG&A Expense 12-point trend, +24.6% $1.05B $904M $922M $874M $830M $817M $834M $953M $1.02B $937M $955M $844M
Operating Income 7-point trend, +229.6% $1.37B $1.17B $853M $1.02B $890M $795M $415M · · · · ·
Interest Expense 8-point trend, +170.9% · · $207M $230M $166M · $7M · $123M $108M $98M $76M
Interest Income 12-point trend, +172.7% $51M $61M $56M $30M $14M $14M $19M $19M $19M $12M $12M $19M
Other Non-op 12-point trend, +41.6% $-30M $14M $-44M $-6M $165M $-16M $-82M $-120M $170M $-21M $-85M $-51M
Pretax Income 12-point trend, +70.4% $1.14B $1.02B $666M $807M $964M $714M $159M $182M $521M $371M $455M $671M
Income Tax 12-point trend, +276.5% $263M $185M $-206M $124M $92M $101M $71M $89M $92M $51M $11M $70M
Net Income 12-point trend, +46.5% $880M $838M $1.01B $793M $936M $613M $88M $93M $429M $320M $444M $601M
EPS (Basic) 12-point trend, +127.9% $2.37 $2.14 $2.31 $1.75 $1.97 $1.23 $0.17 $0.18 $0.81 $0.59 $0.80 $1.04
EPS (Diluted) 12-point trend, +128.4% $2.33 $2.11 $2.28 $1.72 $1.94 $1.21 $0.17 $0.18 $0.80 $0.59 $0.79 $1.02
Shares (Basic) 12-point trend, -36.0% 371,000,000 391,000,000 435,000,000 454,000,000 476,000,000 499,000,000 509,000,000 527,000,000 529,782,000 540,503,000 557,667,000 579,981,000
Shares (Diluted) 12-point trend, -36.1% 378,000,000 398,000,000 441,000,000 462,000,000 483,000,000 506,000,000 512,000,000 530,000,000 536,598,000 546,220,000 564,869,000 591,556,000
EBITDA 9-point trend, +153.1% $1.37B $1.17B $853M $1.18B $972M · · $433M · $610M $515M $540M
Balance general 27
Datos anuales de Balance general para FLEX
Métrica Tendencia 202620252024202320222021202020192018201720162015
Cash & Equivalents 12-point trend, +46.7% $2.39B $2.29B $2.47B $3.16B $2.96B $2.64B $1.92B $1.70B $1.47B $1.83B $1.83B $1.63B
Receivables 12-point trend, +100.2% $4.68B $3.67B $3.03B $3.48B $3.37B $3.96B $2.44B $2.61B $2.52B $2.19B $2.04B $2.34B
Inventory 12-point trend, +67.5% $5.84B $5.07B $6.21B $7.39B $6.58B $3.90B $3.79B $3.72B $3.80B $3.40B $3.49B $3.49B
Other Current Assets 12-point trend, +83.2% $2.36B $1.19B $1.03B $875M $903M $590M $660M $855M $1.38B $968M $1.17B $1.29B
Current Assets 12-point trend, +86.8% $16.33B $12.84B $12.99B $16.03B $14.34B $11.36B $9.09B $9.10B $9.17B $8.39B $8.32B $8.74B
PP&E (Net) 12-point trend, +19.7% $2.50B $2.33B $2.27B $2.34B $2.12B $2.10B $2.22B $2.34B $2.24B $2.32B $2.26B $2.09B
PP&E (Gross) 12-point trend, +41.5% $7.30B $6.95B $6.71B $6.54B $6.10B $5.84B $5.74B $5.79B $5.50B $5.73B $5.51B $5.16B
Accum. Depreciation 12-point trend, +56.3% $4.80B $4.62B $4.44B $4.20B $3.98B $3.75B $3.52B $3.45B $3.26B $3.41B $3.26B $3.07B
Goodwill 12-point trend, +310.3% $1.37B $1.34B $1.14B $1.14B $1.14B $1.09B $1.06B $1.07B $1.12B $985M $942M $334M
Intangibles 12-point trend, +247.1% $283M $343M $245M $315M $411M $213M $262M $331M $424M $362M $404M $82M
Other Non-current Assets 12-point trend, +125.4% $912M $964M $1.01B $490M $473M $431M $456M $656M $760M $542M $466M $405M
Total Assets 12-point trend, +89.3% $22.06B $18.38B $18.26B $21.41B $19.32B $15.84B $13.69B $13.50B $13.72B $12.59B $12.38B $11.65B
Accounts Payable 12-point trend, +76.6% $8.05B $5.15B $4.47B $5.72B $6.25B $5.25B $5.11B $5.15B $5.12B $4.48B $4.25B $4.56B
Current Liabilities 12-point trend, +77.9% $12.02B $9.85B $8.54B $10.87B $10.71B $7.83B $7.21B $7.60B $7.27B $6.50B $6.57B $6.76B
Capital Leases 11-point trend, +22500.0% $565M $456M $490M $504M $551M $562M $529M $0 · $14M $18M $2M
Deferred Tax 8-point trend, +65.9% $111M $149M $178M $71M $86M $60M $71M $67M · · · ·
Other Non-current Liabilities 12-point trend, +22.8% $584M $590M $642M $554M $608M $489M $430M $508M $532M $520M $498M $476M
Total Liabilities 6-point trend, +36.4% $16.92B $13.38B $12.93B $15.70B $15.12B $12.40B · · · · · ·
Long-term Debt 12-point trend, +80.0% $3.75B $3.69B $3.26B $3.69B $4.20B $3.80B $2.85B $3.07B $2.95B $2.97B $2.79B $2.08B
Total Debt 11-point trend, +80.0% $3.75B $3.69B $3.26B $3.84B $4.20B $3.78B $2.84B $3.05B · $2.95B $2.77B $2.08B
Common Stock 4-point trend, -8.7% · · · · · · · · $6.64B $6.73B $6.99B $7.27B
Retained Earnings 12-point trend, +149.9% $2.16B $1.28B $446M $-560M $-1.35B $-2.29B $-2.90B $-3.01B $-3.14B $-3.57B $-3.89B $-4.34B
Treasury Stock 12-point trend, -48.5% $200M $200M $0 $388M $388M $388M $388M $388M $388M $388M $388M $388M
AOCI 12-point trend, +7.5% $-167M $-224M $-195M $-194M $-182M $-119M $-215M $-151M $-86M $-128M $-136M $-181M
Stockholders' Equity 12-point trend, +117.9% $5.14B $5.00B $5.33B $5.35B $4.13B $3.44B $2.83B $2.97B $3.02B $2.68B $2.61B $2.36B
Liabilities + Equity 12-point trend, +89.3% $22.06B $18.38B $18.26B $21.41B $19.32B $15.84B $13.69B $13.50B $13.72B $12.59B $12.38B $11.65B
Shares Outstanding 12-point trend, -35.1% 365,690,291 377,817,433 408,000,000 450,000,000 461,000,000 492,000,000 497,000,000 517,000,000 528,000,000 531,294,000 544,823,000 563,323,000
Flujo de Efectivo 17
Datos anuales de Flujo de Efectivo para FLEX
Métrica Tendencia 202620252024202320222021202020192018201720162015
D&A 5-point trend, -19.8% · · · · · · · $433M $434M $432M $515M $540M
Stock-based Comp 12-point trend, +182.5% $142M $125M $152M $133M $91M $79M $71M $76M $81M $77M $78M $50M
Deferred Tax 12-point trend, +163.2% $38M $55M $-370M $1M $-44M $-5M $7M $-12M $39M $-22M $-64M $-60M
Amort. of Intangibles 12-point trend, +112.3% $68M $70M $70M $81M $60M $62M $64M $74M $79M $81M $66M $32M
Restructuring 12-point trend, +87000000.00 $87M $86M $175M $27M $15M $101M $216M $113M $91M $39M $0 $0
Other Non-cash 4-point trend, -968.9% · · · · · · · $-3.56B · $165M $164M $-333M
Operating Cash Flow 12-point trend, +112.2% $1.69B $1.50B $1.33B $950M $1.02B $144M $-1.53B $-2.97B $-3.87B $-3.82B $1.14B $794M
CapEx 12-point trend, +82.2% $633M $438M $530M $635M $443M $351M $462M $726M $562M $525M $511M $347M
Investing Cash Flow 12-point trend, -177.4% $-672M $-838M $-492M $-604M $-951M $-202M $2.28B $3.25B $3.71B $4.27B $-1.40B $-242M
Stock Issued 6-point trend, +0.00 $0 $0 $552M $694M $0 $0 · · · · · ·
Stock Repurchased 12-point trend, +127.0% $944M $1.26B $1.30B $337M $686M $183M $260M $189M $180M $350M $420M $416M
Net Stock Activity 11-point trend, -127.0% $-944M $-1.26B $-746M $357M $-686M $-183M $-260M $-189M · $-350M $-420M $-416M
Financing Cash Flow 12-point trend, -79.1% $-924M $-821M $-1.66B $2M $280M $743M $-508M $-30M $-188M $-242M $250M $-516M
Net Change in Cash 12-point trend, +188.4% $100M $-185M $-820M $330M $327M $714M $226M $225M $-358M $223M $-21M $35M
Taxes Paid 12-point trend, +357.4% $323M $184M $243M $124M $122M $105M $99M $134M $92M $87M $105M $71M
Free Cash Flow 11-point trend, +135.5% $1.05B $1.07B $796M $315M $581M $-207M $-2.00B $-3.70B · $625M $626M $447M
Levered FCF 5-point trend, +38.8% · · $525M · · · $-2.00B · · $532M $530M $378M
Rentabilidad 8
Datos anuales de Rentabilidad para FLEX
Métrica Tendencia 202620252024202320222021202020192018201720162015
Gross Margin 11-point trend, +55.7% 9.2% 8.4% 7.1% 7.5% 7.4% 7.0% 5.5% 5.8% · 6.4% 6.6% 5.9%
Operating Margin 5-point trend, +31.4% 4.9% 4.5% 3.2% 3.9% 3.7% · · · · · · ·
Net Margin 11-point trend, +38.2% 3.1% 3.2% 3.8% 2.6% 3.6% 2.5% 0.36% 0.36% · 1.3% 1.8% 2.3%
Pretax Margin 11-point trend, +59.8% 4.1% 4.0% 2.5% 3.2% 4.0% 3.0% 0.65% 0.69% · 1.6% 1.9% 2.6%
EBITDA Margin 9-point trend, +136.7% 4.9% 4.5% 3.2% 3.9% 3.7% · · 1.7% · 2.5% 2.1% 2.1%
ROA 11-point trend, -11.9% 4.3% 4.6% 5.1% 3.9% 5.3% 4.2% 0.64% 0.69% · 2.6% 3.7% 4.9%
ROE 11-point trend, -34.4% 17.3% 16.8% 18.9% 16.6% 24.1% 18.0% 3.1% 3.1% · 12.2% 18.0% 26.4%
ROIC 5-point trend, +12.8% 11.8% 11.0% 13.0% 13.7% 10.5% · · · · · · ·
Liquidez y Solvencia 5
Datos anuales de Liquidez y Solvencia para FLEX
Métrica Tendencia 202620252024202320222021202020192018201720162015
Current Ratio 11-point trend, +5.1% 1.4 1.3 1.5 1.5 1.3 1.5 1.3 1.2 · 1.3 1.3 1.3
Quick Ratio 11-point trend, +0.2% 0.6 0.6 0.6 0.6 0.6 0.9 0.6 0.6 · 0.6 0.6 0.6
Debt / Equity 11-point trend, -17.4% 0.7 0.7 0.6 0.7 1.0 1.1 1.0 1.0 · 1.1 1.1 0.9
LT Debt / Equity 11-point trend, -15.5% 0.7 0.5 0.6 0.7 0.8 1.0 0.9 0.8 · 1.1 1.1 0.9
Interest Coverage · · 4.1 · · · · · · · · ·
Eficiencia 3
Datos anuales de Eficiencia para FLEX
Métrica Tendencia 202620252024202320222021202020192018201720162015
Asset Turnover 11-point trend, -36.2% 1.4 1.4 1.3 1.5 1.5 1.6 1.8 1.9 · 1.9 2.0 2.2
Inventory Turnover 11-point trend, -33.3% 4.6 4.2 3.6 4.0 4.6 5.8 6.0 6.5 · 6.5 6.5 6.9
Receivables Turnover 11-point trend, -35.6% 6.7 7.7 8.1 8.5 7.1 7.4 9.6 10.2 · 11.3 11.1 10.4
Por Acción 5
Datos anuales de Por Acción para FLEX
Métrica Tendencia 202620252024202320222021202020192018201720162015
Book Value / Share 11-point trend, +235.6% $14.07 $13.24 $13.05 $11.89 $8.97 $6.98 $5.69 $5.75 · $4.98 $4.72 $4.19
Revenue / Share 11-point trend, +67.1% $73.85 $64.86 $59.90 $65.68 $53.92 $47.68 $47.24 $49.45 · $43.69 $43.23 $44.20
Cash Flow / Share 11-point trend, +232.1% $4.46 $3.78 $3.01 $2.06 $2.12 $0.28 $-2.99 $-5.61 · $2.11 $2.01 $1.34
Cash / Share 11-point trend, +126.0% $6.53 $6.06 $6.06 $7.32 $6.44 $5.35 $3.87 $3.28 · $3.45 $2.95 $2.89
EPS (TTM) 12-point trend, +128.4% $2.33 $2.11 $2.28 $1.72 $1.94 $1.21 $0.17 $0.18 $0.80 $0.59 $0.79 $1.02
Tasas de Crecimiento 9
Datos anuales de Tasas de Crecimiento para FLEX
Métrica Tendencia 202620252024202320222021202020192018201720162015
Revenue YoY 5-point trend, +285.8% 8.1% -2.3% -7.3% 15.7% 2.1% · · · · · · ·
Revenue CAGR 3Y 3-point trend, -122.5% -0.69% 1.6% 3.1% · · · · · · · · ·
Revenue CAGR 5Y 3.0% · · · · · · · · · · ·
EPS YoY 5-point trend, -82.7% 10.4% -7.5% 32.6% -11.3% 60.3% · · · · · · ·
EPS CAGR 3Y 3-point trend, -54.7% 10.7% 2.8% 23.5% · · · · · · · · ·
EPS CAGR 5Y 14.0% · · · · · · · · · · ·
Net Income YoY 5-point trend, -90.5% 5.0% -16.7% 26.9% -15.3% 52.7% · · · · · · ·
Net Income CAGR 3Y 3-point trend, -80.3% 3.5% -3.6% 17.9% · · · · · · · · ·
Net Income CAGR 5Y 7.5% · · · · · · · · · · ·
Valoración (TTM) 14
Datos anuales de Valoración (TTM) para FLEX
Métrica Tendencia 202620252024202320222021202020192018201720162015
Revenue TTM 12-point trend, +6.8% $27.91B $25.81B $26.41B $28.50B $24.63B $24.12B $24.21B $26.21B $25.44B $23.86B $24.42B $26.15B
Net Income TTM 12-point trend, +46.5% $880M $838M $1.01B $793M $936M $613M $88M $93M $429M $320M $444M $601M
Market Cap 11-point trend, +344.7% $23.94B $12.50B $11.68B $7.81B $6.44B $6.80B $3.14B $3.89B · $6.73B $4.95B $5.38B
Enterprise Value 11-point trend, +333.4% $25.30B $13.90B $12.46B $8.35B $7.67B $7.94B $4.06B $5.25B · $7.85B $6.12B $5.84B
P/E 12-point trend, +199.9% 28.1 15.7 12.5 10.1 7.2 11.4 37.1 41.9 15.4 21.5 11.5 9.4
P/S 11-point trend, +316.5% 0.9 0.5 0.4 0.3 0.3 0.3 0.1 0.1 · 0.3 0.2 0.2
P/B 11-point trend, +104.1% 4.7 2.5 2.2 1.5 1.6 2.0 1.1 1.3 · 2.5 1.9 2.3
P / Tangible Book 6-point trend, +115.1% 6.9 3.8 3.0 2.0 2.5 3.2 · · · · · ·
P / Cash Flow 11-point trend, +109.6% 14.2 8.3 8.8 8.2 6.3 47.2 -2.0 -1.3 · 5.8 4.4 6.8
P / FCF 11-point trend, +88.8% 22.8 11.7 14.7 24.8 11.1 -32.8 -1.6 -1.1 · 10.8 7.9 12.1
EV / EBITDA 9-point trend, +71.2% 18.5 11.9 14.6 7.1 7.9 · · 12.1 · 12.9 11.9 10.8
EV / FCF 11-point trend, +84.0% 24.0 13.0 15.7 26.5 13.2 -38.4 -2.0 -1.4 · 12.6 9.8 13.1
EV / Revenue 11-point trend, +305.9% 0.9 0.5 0.5 0.3 0.3 0.3 0.2 0.2 · 0.3 0.3 0.2
Earnings Yield 12-point trend, -66.6% 3.6% 6.4% 8.0% 9.9% 13.9% 8.8% 2.7% 2.4% 6.5% 4.7% 8.7% 10.7%

Estados Financieros Estado de resultados, balance general, flujo de caja — anual, últimos 5 años

Estado de resultados
2026-03-312025-03-312024-03-312023-03-312022-03-31
Ingresos $27.91B$25.81B$26.41B$28.50B$24.63B
Margen Bruto % 9.2%8.4%7.1%7.5%7.4%
Margen Operativo % 4.9%4.5%3.2%3.9%3.7%
Beneficio neto $880M$838M$1.01B$793M$936M
EPS Diluido $2.33$2.11$2.28$1.72$1.94
Balance general
2026-03-312025-03-312024-03-312023-03-312022-03-31
Deuda / Patrimonio 0.70.70.60.71.0
Ratio corriente 1.41.31.51.51.3
Ratio Rápido 0.60.60.60.60.6
Flujo de Efectivo
2026-03-312025-03-312024-03-312023-03-312022-03-31
Flujo de caja libre $1.05B$1.07B$796M$315M$581M

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