Ingresos estables.
+16.4% interanual frente a +14.8% anterior. CAGR 3a +18.7%.
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Bienes Raíces · Cap. de mercado: $9.1B
Fundamentales al 2026-03-31
+16.4% interanual frente a +14.8% anterior. CAGR 3a +18.7%.
Margen neto 28.4% frente a 30.7% anterior (−2.2pp). Operativo 47.4%.
P/E 39.5x — 2% por debajo de la mediana de 5a de 40.3x.
FCF $504.2M frente a $431.9M anterior. Margen FCF 70%; 247% de la utilidad neta; CapEx 0% del FC operativo.
Caja neta $16.3M frente a $6.4M anterior. Liquidez: ratio corriente 0.8.
Distribución de dividendos no reportada frente al comparable anterior.
Actual: 0.00x
Resultados · Balance · Flujo de caja