CRGY Instantâneo da Ação
Preço, capitalização de mercado, P/E, EPS, ROE, dívida/patrimônio, intervalo de 52 semanas
03
Preço$13.39
Receita$3.58B
ROE2.8%
Dívida/Capital (MRQ)1.0
Intervalo 52 Semanas$8–$15
CRGY Gráfico de Preço da Ação
OHLCV diário com indicadores técnicos — panorâmica, zoom e personalize sua visualização
04
intervalo
barras
A granularidade da barra se adapta ao período selecionado — passe o mouse sobre o gráfico para ver a abertura/máxima/mínima/fechamento de uma barra.
Desempenho de 10 Anos
Tendências de receita, lucro líquido, margens e EPS
06
Receita$3.58B2019-12-31 → 2025-12-31
Margem líquida1.3%2021-12-31 → 2025-12-31
Avaliação e Proporções07–12
Avaliação
Rácios P/E, P/S, P/B, EV/EBITDA — a ação está cara ou barata?
Ainda não há dados para este grupo de rácios
Ainda não há dados fundamentais suficientes para calcular este grupo de proporções.
Lucratividade
Margens bruta, operacional e líquida; ROE, ROA, ROIC
Métrica
Tendência de 5 anos
CRGY
média 5A
Mediana de Pares
Veredito
Margem Operacional (TTM)
20.6%média 5A ≈20.4%
≈20.4%
40.5%
Em linha
Margem EBITDA (TTM)
50.7%média 5A ≈46.8%
≈46.8%
65.4%
Em linha
Margem de Impostos Pré-Tributação (TTM)
3.5%média 5A ≈0.40%
≈0.40%
36.0%
Primeira linha
Margem de Lucro Líquido (TTM)
1.3%média 5A ≈0.90%
≈0.90%
32.9%
Em linha
ROA
1.2%média 5A ≈0.43%
≈0.43%
6.2%
Fraco
ROE
2.8%média 5A ≈1.7%
≈1.7%
12.3%
Fraco
ROIC
1.8%média 5A ≈19.6%
≈19.6%
8.7%
Fraco
Saúde financeira
Dívida, liquidez, solvência — força do balanço patrimonial
Métrica
Tendência de 5 anos
CRGY
média 5A
Mediana de Pares
Veredito
Dívida / Patrimônio Líquido (MRQ)
1.0média 5A ≈1.2
≈1.2
0.5
Dívida alta
Índice de liquidez corrente (MRQ)
0.9média 5A ≈0.9
≈0.9
0.9
Em linha
Quick Ratio (Índice de Liquidez Seca)
0.0média 5A ≈0.3
≈0.3
0.4
Baixa liquidez
Dívida de Longo Prazo / Patrimônio Líquido (MRQ)
1.0média 5A ≈1.2
≈1.2
0.5
Dívida alta
Crescimento
Crescimento da receita, EPS e lucro líquido: YoY, CAGR 3 anos, CAGR 5 anos
Métrica
Tendência de 5 anos
CRGY
média 5A
Mediana de Pares
Veredito
Revenue YoY (Receita Ano a Ano)
22.1%média 5A ≈45.2%
≈45.2%
·
·
Revenue CAGR 3Y (CAGR Receita 3A)
5.4%média 5A ≈25.9%
≈25.9%
·
·
Revenue CAGR 5Y (CAGR Receita 5A)
36.5%
·
·
·
Net Income YoY (Lucro Líquido Ano a Ano)
-30.1%
·
·
·
Net Income CAGR 3Y (CAGR de Lucro Líquido 3A)
11.2%
·
·
·
Métricas por Ação
EPS, valor patrimonial por ação, fluxo de caixa por ação, dividendo por ação
Ainda não há dados para este grupo de rácios
Ainda não há dados fundamentais suficientes para calcular este grupo de proporções.
Eficiência de Capital
Giro de ativos, giro de estoques, giro de contas a receber
Métrica
Tendência de 5 anos
CRGY
média 5A
Mediana de Pares
Veredito
Asset Turnover (Giro do Ativo)
0.3média 5A ≈0.4
≈0.4
0.3
Em linha
Revenue / Employee (Receita anual ÷ funcionários (número de funcionários reportado, yfinance). Derivado — não é um conceito SEC-XBRL armazenado.)
≈$3.4M
·
·
·
valor · ≈ média 5A · mediana do setor · veredicto relativo à mediana
Dividendos
Rendimento, índice de pagamento, histórico de dividendos, CAGR de 5 anos
13
Índice de Pagamento86.6%
Pagamento Anualizado≈$0.48Pago trimestralmente
Data ex
Valor
Moeda
Rendimento
Ago 17, 2026
$0,12
USD
≈3.8%
Mai 18, 2026
$0,12
USD
≈3.6%
Mar 11, 2026
$0,12
USD
≈4.0%
Nov 17, 2025
$0,12
USD
≈5.4%
Ago 18, 2025
$0,12
USD
≈5.2%
Mai 19, 2025
$0,12
USD
≈5.4%
Mar 12, 2025
$0,12
USD
≈4.5%
Nov 18, 2024
$0,12
USD
≈3.4%
Ago 19, 2024
$0,12
USD
≈4.3%
Mai 20, 2024
$0,12
USD
≈3.8%
Mar 14, 2024
$0,12
USD
≈4.4%
Nov 17, 2023
$0,12
USD
≈4.6%
Ago 22, 2023
$0,12
USD
≈4.3%
Mai 23, 2023
$0,12
USD
≈6.2%
Mar 17, 2023
$0,17
USD
≈6.6%
Nov 22, 2022
$0,17
USD
≈4.3%
Ago 22, 2022
$0,17
USD
≈2.7%
Mai 23, 2022
$0,17
USD
≈1.7%
Mar 17, 2022
$0,12
USD
≈0.74%
Histórico de Lucros
EPS real vs. estimativa, surpresa %, taxa de acerto, próxima data de resultados
14
Surpresa Média28.7%
Próximo relatórioNov 02, 2026
Período
Relatório
EPS Actual
EPS est.
Surpresa
30 de Junho de 2026
Ago 3, 2026
$0.69
$0.59
17.8%
31 de Março de 2026
$0.53
$0.35
52.2%
31 de Dezembro de 2025
$0.49
$0.35
41.1%
30 de Setembro de 2025
$0.35
$0.36
-2.0%
30 de Junho de 2025
$0.43
$0.30
43.0%
31 de Março de 2025
$0.56
$0.46
20.5%
Fundamentos Completos
Todas as métricas por ano — demonstração de resultados, balanço patrimonial, fluxo de caixa
15
Demonstração de Resultados10
Métrica
Tendência
2025
2024
2023
2022
2021
2020
Revenue
$3.58B
$2.93B
$2.38B
$3.06B
$1.48B
$754M
SG&A Expense
$472M
$336M
$141M
$85M
$78M
$17M
Operating Expenses
$3.35B
$2.71B
$2.06B
$1.77B
$993M
$1.13B
Operating Income
$229M
$218M
$325M
$1.28B
$484M
$-374M
Interest Expense
·
·
$146M
$96M
$51M
$38M
Other Non-op
$-5M
$2M
$-282.0K
$949.0K
$120.0K
$341.0K
Pretax Income
$202M
$-169M
$345M
$517M
$-433M
$-216M
Income Tax
$35M
$-31M
$23M
$36M
$-306.0K
$14.0K
Net Income
$133M
$-115M
$68M
$97M
$-19M
$0
EBITDA
$1.40B
$1.17B
$1.00B
$1.82B
$797M
·
Balanço Patrimonial21
Métrica
Tendência
2025
2024
2023
2022
2021
2020
Cash & Equivalents
$10M
$133M
$3M
$0
$129M
$37M
Receivables
·
·
·
$457M
$322M
$112M
Prepaid Expense
$46M
$43M
$40M
$13M
$9M
$2M
Other Current Assets
$13M
$12M
$11M
$29M
·
·
Current Assets
$1.86B
$788M
$616M
$517M
$480M
$220M
Goodwill
·
·
$0
$0
$77M
$0
Other Non-current Assets
$151M
$207M
$58M
$50M
$30M
$22M
Total Assets
$12.44B
$9.16B
$6.80B
$6.02B
$5.16B
$3.91B
Accounts Payable
·
·
$125M
$104M
$87M
$15M
Current Liabilities
$1.26B
$827M
$750M
$894M
$616M
$121M
Capital Leases
·
·
·
·
$1M
·
Deferred Tax
$12M
$370M
$263M
$147M
$83M
$0
Other Non-current Liabilities
$83M
$56M
$35M
$14M
$14M
$12M
Total Liabilities
$7.28B
$4.79B
$3.17B
$2.72B
$2.14B
$1.01B
Long-term Debt
$5.52B
$3.05B
$1.69B
$1.25B
$1.03B
$751M
Total Debt
$5.52B
$3.05B
$1.69B
$1.25B
$1.03B
·
Paid-in Capital
$5.23B
$3.23B
$1.63B
$805M
$720M
·
Retained Earnings
$0
$-65M
$95M
$62M
$-19M
·
Treasury Stock
$71M
$32M
$17M
$18M
$18M
·
Stockholders' Equity
$5.17B
$3.14B
$1.73B
$862M
$695M
·
Liabilities + Equity
$12.44B
$9.16B
$6.80B
$6.02B
$5.16B
$3.91B
Fluxo de Caixa13
Métrica
Tendência
2025
2024
2023
2022
2021
2020
D&A
$1.17B
$949M
$676M
$533M
$313M
$372M
Stock-based Comp
$245M
$186M
$83M
$38M
$40M
$-797.0K
Deferred Tax
$36M
$-36M
$23M
$33M
$-935.0K
$0
Restructuring
$62M
$17M
·
·
·
·
Other Non-cash
$99M
$238M
$87M
$312M
$-99M
·
Operating Cash Flow
$1.68B
$1.22B
$936M
$1.01B
$233M
$411M
Investing Cash Flow
$-923M
$-1.20B
$-1.40B
$-1.12B
$-245M
$-125M
Stock Repurchased
$33M
$8M
$0
$0
$18M
$0
Net Stock Activity
$-33M
$-8M
$-72.0K
$0
$-18M
·
Dividends Paid
$115M
$65M
$34M
$28M
$0
$0
Financing Cash Flow
$-245M
$207M
$456M
$-8M
$105M
$-272M
Net Change in Cash
$512M
$232M
$-7M
$-120M
$94M
·
Taxes Paid
$10M
$2M
$-1M
$8M
·
·
Lucratividade7
Métrica
Tendência
2025
2024
2023
2022
2021
2020
Operating Margin
6.4%
7.4%
13.6%
42.0%
32.8%
·
Net Margin
3.7%
-3.9%
2.8%
3.2%
-1.3%
·
Pretax Margin
5.6%
-5.8%
14.5%
16.9%
-29.3%
·
EBITDA Margin
39.0%
39.9%
42.0%
59.4%
53.9%
·
ROA
1.2%
-1.4%
1.1%
1.7%
-0.43%
·
ROE
2.8%
-3.8%
4.0%
11.3%
-5.6%
·
ROIC
1.8%
2.9%
8.8%
56.6%
28.0%
·
Liquidez e Solvência5
Métrica
Tendência
2025
2024
2023
2022
2021
2020
Current Ratio
1.5
1.0
0.8
0.6
0.8
·
Quick Ratio
0.0
0.2
0.0
0.5
0.7
·
Debt / Equity
1.1
1.0
1.0
1.4
1.5
·
LT Debt / Equity
1.1
1.0
1.0
1.4
1.5
·
Interest Coverage
·
·
2.2
13.4
9.5
·
Eficiência2
Métrica
Tendência
2025
2024
2023
2022
2021
2020
Asset Turnover
0.3
0.4
0.4
0.5
0.3
·
Receivables Turnover
·
·
·
7.8
6.8
·
Taxas de Crescimento5
Métrica
Tendência
2025
2024
2023
2022
2021
2020
Revenue YoY
22.1%
23.0%
-22.1%
107.0%
95.8%
·
Revenue CAGR 3Y
5.4%
25.7%
46.7%
·
·
·
Revenue CAGR 5Y
36.5%
·
·
·
·
·
Net Income YoY
·
·
-30.1%
·
·
·
Net Income CAGR 3Y
11.2%
·
·
·
·
·
Avaliação (TTM)4
Métrica
Tendência
2025
2024
2023
2022
2021
2020
Revenue TTM
$3.58B
$2.93B
$2.38B
$3.06B
$1.48B
·
Net Income TTM
$133M
$-115M
$68M
$97M
$-19M
·
Payout Ratio
86.6%
-56.8%
50.5%
28.5%
·
·
Annual Payout
$115M
$65M
$34M
$28M
$0
·
Demonstração de Resultados10
Métrica
Tendência
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Revenue
$1.39B
$1.18B
$865M
$867M
$898M
$950M
$875M
$745M
$653M
$657M
$658M
$642M
$492M
$590M
$685M
$865M
SG&A Expense
$61M
$63M
$217M
$74M
$125M
$57M
$87M
$160M
$47M
$43M
$35M
$44M
$41M
$21M
$26M
$17M
Operating Expenses
$814M
$855M
$918M
$836M
$818M
$778M
$903M
$752M
$534M
$523M
$689M
$501M
$428M
$440M
$581M
$447M
Operating Income
$581M
$327M
$-53M
$31M
$80M
$172M
$-28M
$-7M
$119M
$134M
$-31M
$142M
$64M
$151M
$104M
$418M
Interest Expense
·
·
·
·
·
·
·
·
·
$43M
·
$42M
$31M
$29M
·
$27M
Other Non-op
$471.0K
$-327.0K
$-5M
$209.0K
$115.0K
$115.0K
$-645.0K
$2M
$624.0K
$150.0K
$-1M
$917.0K
$39.0K
$250.0K
$5M
$-3M
Pretax Income
$664M
$-501M
$4M
$-14M
$204M
$9M
$-207M
$-7M
$82M
$-37M
$158M
$-152M
$67M
$272M
$51M
$594M
Income Tax
$170M
$-82M
$-5M
$-4M
$41M
$3M
$-37M
$-2M
$12M
$-4M
$18M
$-21M
$9M
$16M
$2M
$38M
Net Income
$493M
$-420M
$-9M
$-10M
$153M
$-2M
$-118M
$-10M
$38M
$-24M
$56M
$-53M
$5M
$60M
$9M
$118M
EBITDA
$939M
$682M
·
$329M
$377M
$455M
·
$244M
$332M
$311M
·
$328M
$224M
$297M
·
$563M
Balanço Patrimonial20
Métrica
Tendência
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Cash & Equivalents
$265M
$10M
$10M
$4M
$3M
$6M
$133M
$136M
$778M
$5M
$3M
$229M
$2M
$3M
$0
$22M
Receivables
·
·
·
·
·
·
·
·
·
·
·
·
·
$468M
·
$519M
Prepaid Expense
$50M
$51M
$46M
$45M
$42M
$39M
$43M
$47M
$46M
$40M
·
$51M
$37M
$37M
·
$21M
Other Current Assets
$60M
$30M
$13M
$18M
$11M
$13M
$12M
$43M
$12M
$13M
·
$6M
$13M
·
·
·
Current Assets
$1.10B
$896M
$1.86B
$703M
$753M
$679M
$788M
$865M
$1.33B
$564M
·
$903M
$597M
$540M
·
$580M
Goodwill
·
·
·
·
·
·
·
·
·
·
·
·
·
·
·
$77M
Other Non-current Assets
$170M
$164M
$151M
$108M
$108M
$113M
$207M
$124M
$93M
$56M
·
$59M
$48M
$46M
·
$50M
Total Assets
$12.01B
$12.00B
$12.44B
$9.69B
$9.86B
$9.87B
$9.16B
$9.25B
$7.48B
$6.80B
·
$6.99B
$6.15B
$6.11B
·
$6.23B
Accounts Payable
·
·
·
·
·
·
·
·
·
$138M
·
·
·
$93M
·
$139M
Current Liabilities
$1.17B
$1.57B
$1.26B
$864M
$852M
$870M
$827M
$930M
$712M
$748M
·
$881M
$672M
$786M
·
$1.04B
Deferred Tax
$15M
$7M
$12M
$564M
$554M
$368M
$370M
$388M
$306M
$288M
·
$234M
$241M
$163M
·
$142M
Other Non-current Liabilities
$109M
$75M
$83M
$66M
$75M
$94M
$56M
$66M
$59M
$37M
·
$32M
$11M
$14M
·
$22M
Total Liabilities
$6.85B
$7.31B
$7.28B
$5.22B
$5.36B
$5.44B
$4.79B
$5.05B
$3.89B
$3.25B
·
$3.47B
$2.63B
$2.59B
·
$2.96B
Long-term Debt
$5.17B
$5.24B
$5.52B
$3.22B
$3.37B
$3.60B
$3.05B
$3.23B
$2.40B
$1.75B
·
$1.91B
$1.33B
$1.24B
·
$1.37B
Total Debt
$5.17B
$5.24B
·
$3.22B
$3.37B
$3.60B
·
$3.23B
$2.40B
$1.75B
·
$1.91B
$1.33B
$1.24B
·
$1.37B
Paid-in Capital
$5.19B
$5.17B
$5.23B
$4.52B
$4.50B
$3.36B
$3.23B
$2.84B
$2.05B
$1.93B
·
$1.57B
$1.36B
$806M
·
$802M
Retained Earnings
$33M
$-420M
$0
$16M
$56M
$-67M
$-65M
$53M
$83M
$59M
·
$51M
$113M
$114M
·
$61M
Treasury Stock
$72M
$71M
$71M
$66M
$66M
$38M
$32M
$32M
$17M
$17M
·
$17M
$17M
$18M
·
$18M
Stockholders' Equity
$5.16B
$4.69B
$5.17B
$4.48B
$4.50B
$3.27B
$3.14B
$2.88B
$2.14B
$2.00B
$1.73B
$1.63B
$1.48B
$916M
$862M
$849M
Liabilities + Equity
$12.01B
$12.00B
$12.44B
$9.69B
$9.86B
$9.87B
$9.16B
$9.25B
$7.48B
$6.80B
·
$6.99B
$6.15B
$6.11B
·
$6.23B
Fluxo de Caixa13
Métrica
Tendência
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
D&A
$358M
$354M
$289M
$298M
$297M
$283M
$309M
$251M
$212M
$177M
$183M
$186M
$160M
$146M
$157M
$145M
Stock-based Comp
$21M
$23M
$102M
$24M
$93M
$26M
$54M
$81M
$22M
$28M
$18M
$29M
$28M
$8M
$12M
$6M
Deferred Tax
$169M
$-83M
$-1M
$11M
$34M
$-8M
$-26M
$-5M
$-202.0K
$-5M
$19M
$-20M
$8M
$16M
$6M
$39M
Restructuring
$0
$15.0K
$62M
$0
$0
$0
$420.0K
·
·
·
·
·
·
·
·
·
Other Non-cash
·
$534M
·
·
·
$39M
·
·
·
$8M
·
·
·
$10M
·
·
Operating Cash Flow
$707M
$409M
$371M
$473M
$499M
$337M
$384M
$368M
$287M
$184M
$323M
$189M
$183M
$240M
$215M
$399M
Investing Cash Flow
$-322M
$-682M
$596M
$-250M
$-212M
$-1.06B
$-364M
$-548M
$-129M
$-157M
$-333M
$-691M
$-180M
$-195M
$-63M
$-197M
Stock Repurchased
$0
$0
$-358.0K
$0
$29M
$5M
$502.0K
$7M
$0
$0
$0
$-72.0K
·
·
$0
$0
Net Stock Activity
·
$0
·
·
·
$-5M
·
·
·
·
·
·
·
·
·
·
Dividends Paid
$40M
$39M
$31M
$31M
$31M
$23M
$19M
$20M
$13M
$13M
$11M
$9M
$6M
$8M
$8M
$7M
Financing Cash Flow
$-128M
$-448M
$-237M
$-221M
$-289M
$503M
$42M
$-429M
$618M
$-24M
$-249M
$693M
$56M
$-44M
$-166M
$-236M
Net Change in Cash
$257M
$-721M
$730M
$2M
$-2M
$-217M
$63M
$-609M
$776M
$2M
$-259M
$191M
$59M
$1M
$-14M
$-34M
Taxes Paid
$1M
$-876.0K
$1M
$2M
$6M
$2M
$195.0K
$851.0K
$719.0K
$86.0K
$39.0K
$-5M
$3M
$20.0K
$300.0K
$120.0K
Lucratividade7
Métrica
Tendência
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Operating Margin
41.6%
27.7%
·
3.5%
8.9%
18.1%
·
-1.0%
18.3%
20.4%
·
22.0%
13.0%
25.5%
·
48.3%
Net Margin
35.3%
-35.5%
·
-1.1%
17.1%
-0.23%
·
-1.3%
5.8%
-3.7%
·
-8.2%
1.1%
10.1%
·
13.7%
Pretax Margin
47.6%
-42.4%
·
-1.7%
22.7%
0.90%
·
-0.97%
12.5%
-5.6%
·
-23.6%
13.5%
46.1%
·
68.7%
EBITDA Margin
67.3%
57.6%
·
38.0%
41.9%
47.9%
·
32.8%
50.8%
47.2%
·
51.1%
45.5%
50.3%
·
65.0%
ROA
4.5%
-3.8%
·
-0.10%
1.8%
-0.03%
·
-0.12%
0.55%
-0.37%
·
-0.80%
0.08%
0.97%
·
3.8%
ROE
10.2%
-10.6%
·
-0.26%
4.6%
-0.08%
·
-0.44%
2.1%
-1.7%
·
-4.3%
0.49%
8.9%
·
27.9%
ROIC
4.2%
2.8%
·
0.29%
0.81%
1.7%
·
-0.09%
2.3%
3.2%
·
3.5%
2.0%
6.6%
·
17.6%
Liquidez e Solvência5
Métrica
Tendência
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Current Ratio
0.9
0.6
·
0.8
0.9
0.8
·
0.9
1.9
0.8
·
1.0
0.9
0.7
·
0.6
Quick Ratio
0.2
0.0
·
0.0
0.0
0.0
·
0.1
1.1
0.0
·
0.3
0.0
0.6
·
0.5
Debt / Equity
1.0
1.1
·
0.7
0.7
1.1
·
1.1
1.1
0.9
·
1.2
0.9
1.4
·
1.6
LT Debt / Equity
1.0
1.1
·
0.7
0.7
1.1
·
1.1
1.1
0.9
·
1.2
0.9
1.4
·
1.6
Interest Coverage
·
·
·
·
·
·
·
·
·
3.1
·
3.4
2.1
5.1
·
15.4
Eficiência2
Métrica
Tendência
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Asset Turnover
0.1
0.1
·
0.1
0.1
0.1
·
0.1
0.1
0.1
·
0.1
0.1
0.1
·
0.3
Receivables Turnover
·
·
·
·
·
·
·
·
·
·
·
·
·
1.2
·
3.3
Avaliação (TTM)4
Métrica
Tendência
Q2 2026
Q1 2026
Q4 2025
Q3 2025
Q2 2025
Q1 2025
Q4 2024
Q3 2024
Q2 2024
Q1 2024
Q4 2023
Q3 2023
Q2 2023
Q1 2023
Q4 2022
Q3 2022
Revenue TTM
$4.31B
$3.81B
·
$3.59B
$3.47B
$3.22B
·
$2.71B
$2.61B
$2.45B
·
$2.41B
$2.63B
$3.05B
·
$2.84B
Net Income TTM
$55M
$-285M
·
$24M
$23M
$-93M
·
$59M
$16M
$-16M
·
$21M
$192M
$241M
·
$69M
Payout Ratio
·
-9.4%
·
·
·
-1091.0%
·
·
·
-52.3%
·
·
·
13.7%
·
·
Annual Payout
$140M
$131M
·
$104M
$93M
$76M
·
$57M
$46M
$39M
·
$31M
$29M
$31M
·
$19M
Período mais recente à esquerda · valores nulos mostrados como ·
Demonstrações Financeiras
Demonstração de resultados, balanço patrimonial, fluxo de caixa — anual, últimos 5 anos
16
Métrica
2025-12-31
2024-12-31
2023-12-31
2022-12-31
2021-12-31
Receita
$3.58B
$2.93B
$2.38B
$3.06B
$1.48B
Margem Operacional %
6.4%
7.4%
13.6%
42.0%
32.8%
Lucro líquido
$133M
$-115M
$68M
$97M
$-19M
Métrica
2025-12-31
2024-12-31
2023-12-31
2022-12-31
2021-12-31
Dívida / Patrimônio Líquido
1.1
1.0
1.0
1.4
1.5
Índice de liquidez corrente
1.5
1.0
0.8
0.6
0.8
Índice de Liquidez Seca
0.0
0.2
0.0
0.5
0.7
Sem dados para esta demonstração
Ainda não há dados fundamentais suficientes para construir esta demonstração.
Investidores institucionais (13F)
400 declarantes
· $3.2B total
· Em 30 de Setembro de 2026
17
Instituições que relatam a posse desta ação em seu Formulário 13F trimestral da SEC. Apenas posições compradas; um único declarante pode aparecer duas vezes para opções separadas. Grandes posições de compra/venda compensatórias geralmente refletem market-making ou inventário protegido, não convicção direcional.
Detentores400
Valor detido$3.2B
Novas posições74
Posições encerradas60
Atividade institucional — Q2 2026 vs trimestre anterior
Novas posições
Posições encerradas
Aumentou
Diminuído
Variação líquida de ações
74 (0 vs trimestre anterior)
60 (+12 vs trimestre anterior)
147 (+19 vs trimestre anterior)
90 (-26 vs trimestre anterior)
+6.0M
Comparado a Q1 2026. Os registros do Formulário 13F da SEC devem ser feitos em até 45 dias após o final do trimestre, mais um pequeno período de tolerância para registrantes atrasados — trimestres ainda dentro desse período são ignorados em favor do par mais recente totalmente reportado.
Investidores que apresentaram o Schedule 13D da SEC — propriedade benéfica acima de 5% com a intenção de influenciar o emissor (participações ativistas, campanhas no conselho, M&A). Cada linha mostra o estado mais recente conhecido da posição desse declarante.
Declarante
Declarado
Participação
Status
Propósito
Declaração
Liberty Mutual Foundation Inc., Liberty Mutual Insurance Company, Liberty Mutual Group Inc., LMHC Massachusetts Holdings Inc., Liberty Mutual Holding Company Inc., Liberty Energy Holdings, LLC
Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.
Executivos da empresa
22 insiders
· 7 diretores · 15 conselheiros
Executivos de declarações SEC Formulário 3/4/5; líquido = apenas P/V de mercado aberto
Participação em ETFs
Detido por 60 ETFs
20
O peso reflete apenas participações diretas em ações (N-PORT); fundos alavancados ou baseados em derivativos podem deter exposição adicional a swaps não mostrada.