Accede al análisis completo con tu suscripción
Últimos 20 reportes · 10-K · 10-K/A · 10-Q · 8-K · Fuente: SEC EDGAR
Accede al análisis completo con tu suscripción
SEC CIK: 0001592386
| Métrica | LTM mar 26 | 2025 | 2024 | 2023 | 🔒Premium | 🔒Premium | 🔒Premium | 🔒Premium | 🔒Premium | 🔒Premium | 🔒Premium | 🔒Premium | 🔒Premium | 🔒Premium |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| INGRESOS | ||||||||||||||
| Trading Revenue | 2.636B | 2.437B | 1.822B | 1.301B | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Ingresos Netos Totales | 3.890B | 3.632B | ||||||||||||
Cifras en miles de millones (B) · Fuente: SEC/EDGAR
| 2.877B |
| 2.293B |
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| GASTOS Y RESULTADO | ||||||||||||||
| Compensación y Beneficios | 617.084M | 528.085M | 434.823M | 394.039M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Stock-Based Compensation | 112.974M | 100.403M | 75.475M | 63.933M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Gastos No-Compensación | 1.992B | 2.010B | 1.797B | 1.574B | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Pretax Income | 1.280B | 1.094B | 644.970M | 325.131M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Impuestos | 210.940M | 182.065M | 110.435M | 61.210M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Beneficio Neto (atribuible) | 550.989M | 468.361M | 276.415M | 142.036M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Atribuible a NCI | 518.236M | 443.903M | 258.120M | 121.885M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Beneficio a Comunes | 516.159M | 437.761M | 260.394M | 133.885M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| EPS Diluido | 6.04 | 5.13 | 2.97 | 1.42 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| BALANCE | ||||||||||||||
| Cash & Equivalentes | 973.225M | 1.062B | 872.513M | 820.436M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Customer Receivables | 297.628M | 161.561M | 149.804M | 106.245M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Activo Total | 25.115B | 20.151B | 15.362B | 14.466B | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Pasivo Total | 22.919B | 18.177B | 13.874B | 13.061B | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Deuda Largo Plazo | 2.025B | 2.039B | 1.740B | 1.727B | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Deuda Total | 2.180B | 2.052B | 1.779B | 1.727B | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| OCI Acumulado (AOCI) | -4.975M | -3.011M | -7.063M | 17.047M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Patrimonio Neto (atribuible) | 1.735B | 1.582B | 1.254B | 1.203B | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| NCI (Balance) | 461.559M | 391.124M | 233.203M | 202.629M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| TBV (Tangible Común) | 442.901M | 278.422M | — | — | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| FLUJO DE CAJA Y RETORNO AL ACCIONISTA | ||||||||||||||
| Cash Flow Operativo (CFO) | 503.273M | 518.386M | 598.991M | 491.777M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Capex | 22.678M | 22.802M | 12.427M | 37.774M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Free Cash Flow (FCF) | 480.595M | 495.584M | 586.564M | 454.003M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Recompras de acciones | 0.00 | 1.566M | 0.00 | 1.566M | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| RATIOS | ||||||||||||||
| Compensation Ratio | 15.9% | 14.5% | 15.1% | 17.2% | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Pretax Margin | 32.9% | 30.1% | 22.4% | 14.2% | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| ROE (común prom.) | 29.8% | 30.9% | 21.2% | 10.5% | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| ROTE (común prom.) | 116.5% | 157.2% | — | — | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Margen Neto | 14.2% | 12.9% | 9.6% | 6.2% | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
| Efficiency Ratio | 67.1% | 69.9% | 77.6% | 85.8% | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 | 🔒 |
Consenso de Analistas
Precio Objetivo — 12 meses
$51.00
Mínimo
-8.5%
$70.00
Mediana
+25.7%
$65.29
Promedio
+17.2%
$73.00
Máximo
+31.0%
Precio actual · USD
$55.71
P/E LTM
9.22
Precio / EPS LTM diluido
Compensation Ratio
15.9%
Compensación / Ingresos
Pretax Margin
32.9%
Pretax / Ingresos
ROE (común prom.)
29.8%
Benef. neto / Patrimonio
ROTE (común prom.)
116.5%
Benef. neto / Tangible equity
Margen Neto
14.2%
Benef. neto / Ingresos
Efficiency Ratio
67.1%
Gastos op. / Ingresos