Bandwidth Inc. (BAND) Estados Financieros e Histórico

Bandwidth Inc. (BAND) — Precio $48.93 TechnologySoftware - Infrastructure — NASDAQ

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Estados financieros detallados de Bandwidth Inc. (BAND): cuenta de resultados, balance general y flujo de caja. Sigue la evolución de márgenes, deuda, liquidez y rentabilidad año a año con hasta 20 años de histórico.

Resumen del Análisis

Bandwidth Inc. registró ingresos de $753.8M en el último ejercicio fiscal, con un CAGR de 5 años del 17.0%.

Márgenes de los últimos 12 meses: margen bruto 37.2%, margen operativo -1.8%, margen neto 0.3%.

Al precio actual de $48.93, BAND presenta beneficios negativos (P/E no significativo) y un ROE del -3.23%. La capitalización bursátil es de $1.6B.

Cuenta de Resultados (10 años)

Año2016201720182019202020212022202320242025
Ingresos$152.1M$163.0M$204.1M$232.6M$343.1M$490.9M$573.2M$601.1M$748.5M$753.8M
Coste de Ventas$85.2M$89.3M$108.1M$125.0M$185.3M$272.4M$334.8M$365.0M$468.5M$458.8M
Beneficio Bruto$66.9M$73.7M$96.0M$107.6M$157.9M$218.5M$238.4M$236.2M$280.0M$295.1M
I+D$8.5M$10.8M$20.9M$31.5M$42.1M$55.2M$98.0M$104.2M$118.6M$132.5M
Generales y Administrativos$43.2M$48.3M$68.3M$93.9M$129.3M$165.6M$164.7M$167.4M$181.4M$176.9M
Gastos Operativos$51.7M$59.1M$89.2M$125.3M$171.4M$220.8M$262.7M$271.6M$300.0M$309.4M
Beneficio Operativo$15.2M$14.6M$6.8M-$17.7M-$13.5M-$2.2M-$24.3M-$35.5M-$20.1M-$14.4M
EBITDA$21.4M$20.3M$12.6M-$3.9M$8.1M$39.8M$62.9M$32.5M$42.1M$39.2M
Gastos por Intereses$908000$1.7M$3010000$16.4M$28.8M$3.0M$808000$1.9M$2.0M
Beneficio Antes de Impuestos$14.3M$12.9M$7.1M-$15.2M-$29.0M-$31.2M$17.3M-$19.3M-$9.0M-$16.6M
Impuestos-$11.1M$6.9M-$10.9M-$17.7M$15.0M-$3.8M-$2.3M-$3.0M-$2.4M-$3.7M
Beneficio Neto$22.4M$6.0M$17.9M$2.5M-$44.0M-$27.4M$19.6M-$16.3M-$6.5M-$12.9M
BPA$1.43$0.42$0.85$0.11$-1.83$-1.09$0.77$-0.64$-0.24$-0.43
BPA Diluido$1.33$0.37$0.85$0.10$-1.83$-1.09$0.63$-0.64$-0.24$-0.43
Acciones en Circulación (Diluidas)$14.6M$14.5M$21.1M$23.9M$24.1M$25.1M$30.9M$25.6M$27.2M$30.0M

Cuenta de Resultados (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Ingresos$191.9M$207.7M$208.8M$219.9M
Beneficio Bruto$73.8M$78.1M$77.9M$78.5M
Beneficio Operativo-$2.0M-$3.9M-$4.6M-$4.6M
EBITDA$10.8M$10.1M$12.8M$18.3M
Beneficio Neto-$1.2M-$3.0M$4.1M$2.4M
BPA$-0.04$-0.10$0.13$-0.07
BPA Diluido$-0.04$-0.10$-0.08$-0.07

Balance (10 años)

Año2016201720182019202020212022202320242025
Caja y Equivalentes$6.8M$37.6M$41.3M$185.0M$72.2M$331.5M$113.6M$132.0M$81.8M$103.2M
Inversiones a Corto00$17.4M0$40.0M0$71.2M$21.5M$2.0M$8.5M
Cuentas por Cobrar$16.8M$21.2M$24.0M$30.2M$55.2M$61.6M$74.5M$78.2M$86.5M$91.4M
Inventario0000000000
Activos Corrientes$28.0M$65.3M$91.4M$224.4M$193.6M$412.9M$279.6M$252.8M$187.8M$214.2M
Inmovilizado Material$11.2M$14.9M$25.1M$62.7M$71.1M$83.7M$109.7M$335.4M$330.4M$327.2M
Fondo de Comercio$6.9M$6.9M$6.9M$6.9M$372.2M$344.4M$326.4M$335.9M$317.2M$356.8M
Activos Intangibles$8.5M$7.6M$7.1M$6.6M$248.1M$211.2M$177.4M$166.9M$145.4M$138.7M
Activos Totales$70.0M$104.5M$150.4M$353.5M$890.6M$1.07B$929.3M$1.10B$989.2M$1.12B
Cuentas por Pagar$4.7M$3.0M$3.4M$4.2M$11.7M$9.1M$26.8M$34.2M$28.4M$42.6M
Deuda a Corto$7.1M$920000$4.9M00000$11.6M
Pasivos Corrientes$30.5M$24.5M$32.7M$45.7M$92.2M$93.5M$114.0M$122.8M$140.3M$154.1M
Deuda a Largo$37.7M000$282.2M$486.4M$480.5M$418.5M$281.3M$468.6M
Pasivos Totales$70.5M$27.8M$41.6M$83.4M$460.7M$652.9M$657.1M$803.7M$676.6M$720.2M
Reservas-$31.7M-$25.8M-$7.8M-$5.5M-$49.5M-$76.9M-$48.5M-$64.9M-$71.4M-$84.3M
Patrimonio Neto-$556000$76.7M$108.8M$270.1M$429.9M$412.6M$272.2M$297.4M$312.5M$400.0M
Deuda Total$44.8M$920000$24.7M$304.9M$503.2M$492.6M$644.5M$503.6M$701.2M
Deuda Neta$38.1M-$37.5M-$58.7M-$160.3M$192.8M$171.8M$307.8M$491.1M$419.8M$589.5M
Capital Circulante-$2.4M$40.7M$58.7M$178.6M$101.4M$319.4M$165.6M$130.0M$47.5M$60.2M

Balance (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Caja y Equivalentes$73.4M$103.2M$47.3M$169.90B
Activos Totales$1.03B$1.12B$984.2M$1.10T
Pasivos Totales$640.6M$720.2M$578.5M$723.26B
Patrimonio Neto$392.7M$400.0M$405.7M$378.17B
Deuda Total$479.6M$701.2M$423.2M$554.42B

Flujo de Caja (10 años)

Año2016201720182019202020212022202320242025
Beneficio Neto$25.4M$6.0M$17.9M$2.5M-$44.0M-$27.4M$19.6M-$16.3M-$6.5M-$12.9M
Amortizaciones$6.1M$5.7M$5.8M$13.8M$21.6M$36.6M$35.6M$41.7M$49.2M$57.1M
Compensación en Acciones$1.4M$1.8M$3.3M$6.6M$9.9M$14.5M$20.7M$37.0M$48.4M$52.3M
Cambio en Capital Circulante-$5.7M-$5.5M$8.3M-$6.6M-$13.2M-$8.0M-$5.2M-$16.5M$3.2M-$5.2M
Flujo de Caja Operativo$5.2M$14.6M$24.6M-$1.3M$4.5M$40.8M$34.9M$39.0M$83.9M$89.5M
Inversiones (CapEx)-$6.1M-$8.0M-$14.4M-$25.8M-$14.6M-$54.6M-$64.1M-$19.9M-$14.0M-$22.3M
Adquisiciones00$2.0M$3.5M-$400.5M$17.5M$1.6M$1.3M00
Recompra de Acciones00000-$25.5M0000
Dividendos Pagados-$30.0M000000000
Flujo de Caja Libre-$907000$6.7M$10.2M-$27.0M-$10.1M-$13.8M-$29.2M$19.1M$69.9M$67.2M

Flujo de Caja (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Flujo de Caja Operativo$22.2M$38.6M$8.8M$28.8M
Inversiones (CapEx)-$6.2M-$7.5M-$7.1M-$5.0M
Flujo de Caja Libre$16.0M$31.1M$1.7M$23.7M
Dividendos Pagados0000
Compensación en Acciones$12.3M$13.9M$13.0M$12.6M

Crecimiento y Márgenes (10 años)

Año2016201720182019202020212022202320242025
Crecimiento Ingresos (anual)+7.1%+25.3%+14.0%+47.5%+43.1%+16.8%+4.9%+24.5%+0.7%
Crecimiento Beneficio Neto (anual)-73.3%+200.2%-86.1%-1863.3%+37.8%+171.5%-183.5%+60.1%-97.9%
Crecimiento BPA (anual)-70.6%+102.4%-87.1%-1763.6%+40.4%+170.6%-183.1%+62.5%-79.2%
Cambio en Acciones (anual)-0.2%+45.4%+13.2%+0.7%+4.1%+23.2%-17.1%+6.2%+10.2%
Crecimiento FCF (anual)+834.3%+52.9%-365.2%+62.7%-37.2%-111.1%+165.5%+265.9%-3.8%
Margen Bruto44.0%45.2%47.0%46.3%46.0%44.5%41.6%39.3%37.4%39.1%
Margen Operativo10.0%9.0%3.3%-7.6%-3.9%-0.5%-4.2%-5.9%-2.7%-1.9%
Margen EBITDA14.1%12.5%6.2%-1.7%2.4%8.1%11.0%5.4%5.6%5.2%
Margen Neto14.7%3.7%8.8%1.1%-12.8%-5.6%3.4%-2.7%-0.9%-1.7%
Margen FCF-0.6%4.1%5.0%-11.6%-2.9%-2.8%-5.1%3.2%9.3%8.9%
Tasa Impositiva Efectiva-77.4%53.7%-154.1%116.4%-51.8%12.3%-13.1%15.3%27.1%22.2%

Datos por Acción (10 años)

Año2016201720182019202020212022202320242025
FCF por Acción$-0.06$0.46$0.48$-1.13$-0.42$-0.55$-0.94$0.75$2.57$2.24
Dividendo por Acción$2.06$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Acciones en Circulación (Básicas)$13.6M$12.6M$21.1M$22.6M$24.1M$25.1M$25.3M$25.6M$27.2M$30.0M

Qué mirar en empresas de Technology

Rentabilidad

Rentabilidad sobre capital-3.23%
Rentabilidad sobre capital invertido-1.14%
Rentabilidad sobre activos-1.15%
Margen bruto37.23%
Margen operativo-1.82%
Margen neto0.27%

Salud financiera

Deuda / Patrimonio1.47
Ratio corriente2.04
Piotroski F-Score3
Altman Z-Score0.98

Ratios Clave (10 años)

Año2016201720182019202020212022202320242025
P/E13.9955.0547.94582.27-83.97-65.8329.81-22.61-70.92-35.93
P/VC-488.553.797.905.378.614.362.131.251.481.16
P/V1.791.794.216.2310.793.671.010.620.620.61
Margen Bruto44.0%45.2%47.0%46.3%46.0%44.5%41.6%39.3%37.4%39.1%
Margen Operativo10.0%9.0%3.3%-7.6%-3.9%-0.5%-4.2%-5.9%-2.7%-1.9%
Margen Neto14.7%3.7%8.8%1.1%-12.8%-5.6%3.4%-2.7%-0.9%-1.7%

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Explorar sector: Technology · Software - Infrastructure

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