Fangdd Network Group Ltd. (DUO) Estados Financieros e Histórico

Fangdd Network Group Ltd. (DUO) — Precio $0.53 Real EstateReal Estate - Services — NASDAQ

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Estados financieros detallados de Fangdd Network Group Ltd. (DUO): 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

Fangdd Network Group Ltd. registró ingresos de $345.2M en el último ejercicio fiscal, con un CAGR de 5 años del -32.4%.

Márgenes de los últimos 12 meses: margen bruto 22.6%, margen operativo -32.7%, margen neto -30.2%.

Al precio actual de $0.53, DUO presenta beneficios negativos (P/E no significativo) y un ROE del -14.60%. La capitalización bursátil es de $4M.

Cuenta de Resultados (10 años)

Año2016201720182019202020212022202320242025
Ingresos$1.48B$1.80B$2.28B$3.60B$2.45B$942.4M$245.9M$285.0M$339.1M$345.2M
Coste de Ventas$1.25B$1.42B$1.81B$2.84B$2.04B$835.9M$221.2M$243.8M$277.4M$283.3M
Beneficio Bruto$228.4M$381.6M$476.6M$757.0M$414.5M$106.5M$24.7M$41.2M$61.7M$61.9M
I+D$182.6M$191.7M$202.9M$725.0M$301.4M$167.5M$66.0M$32.1M$24.8M$24.7M
Generales y Administrativos$409.6M$194.8M$204.4M$568.8M$339.1M$896.3M$208.2M$274.2M$162.6M$166.8M
Gastos Operativos$578.4M$374.1M$398.5M$1.29B$640.5M$1.04B$274.1M$306.4M$187.4M$191.5M
Beneficio Operativo-$363.9M-$4.9M$69.4M-$536.8M-$226.0M-$957.3M-$249.4M-$265.2M-$125.7M-$129.7M
EBITDA-$325.4M$46.5M$123.8M-$493.1M-$189.9M-$949.6M-$223.6M-$92.6M-$124.0M-$110.1M
Gastos por Intereses0$13.0M$1.1M$8.7M$13.0M$8.3M$5.1M$62100000
Beneficio Antes de Impuestos-$330.9M$3.0M$108.5M-$506.6M-$206.7M-$1.19B-$232.1M-$95.0M$20.6M-$103.4M
Impuestos$1.1M$2.4M$4.4M$3.8M$14.7M$8.9M$7.5M-$1.9M-$7.7M-$19.7M
Beneficio Neto-$332.1M$649000$104.0M-$510.4M-$221.4M-$1.17B-$244.0M-$91.8M$30.8M-$82.4M
BPA$-3190.53$-1355.03$-857.44$-6560.55$-621.63$-3257.30$-660.40$-22.74$3.45$-12.59
BPA Diluido$-3190.53$-1355.03$-857.44$-6581.17$-621.63$-3257.30$-660.40$-22.74$3.45$-12.59
Acciones en Circulación (Diluidas)$168129$168129$168129$193409$354374$359551$369533$4.0M$8.9M$6.5M

Cuenta de Resultados (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Ingresos$75.7M$75.7M$57.9M$57.9M
Beneficio Bruto$22.6M$22.6M$7.6M$7.6M
Beneficio Operativo-$30.8M-$30.8M-$13.0M-$13.0M
EBITDA-$21.9M-$21.9M-$8.3M-$8.3M
Beneficio Neto-$23.3M-$23.3M-$17.0M-$17.0M
BPA$-2.31$-2.31$-0.44$-0.44
BPA Diluido$-2.32$-2.32$-0.44$-0.44

Balance (10 años)

Año2016201720182019202020212022202320242025
Caja y Equivalentes$1.02B$573.7M$443.6M$1.10B$843.4M$492.1M$143.9M$121.7M$75.4M$32.7M
Inversiones a Corto$291.5M$32.5M$71.5M$11.5M$9.0M$6.2M$2.0M$15.3M$113.6M$114.9M
Cuentas por Cobrar$194.3M$827.8M$1.35B$2.19B$2.34B$981.4M$564.4M$418.2M$314.1M$217.5M
Inventario000-$2.88B00$11.2M$12.5M$5.4M$5.0M
Activos Corrientes$1.75B$2.72B$2.43B$3.73B$3.48B$1.63B$858.9M$613.1M$548.6M$390.3M
Inmovilizado Material$48.6M$22.1M$15.4M$8.3M$14.5M$14.6M$5.2M$2.0M$16.8M$33.7M
Fondo de Comercio0000$31.2M0$454000000
Activos Intangibles0000$7.4M00$1.1M$1.0M$234.2M
Activos Totales$1.88B$2.84B$2.88B$4.37B$4.05B$1.91B$1.08B$769.9M$731.2M$788.8M
Cuentas por Pagar$255.1M$593.5M$1.13B$1.90B$1.80B$1.18B$659.2M$395.4M$180.7M$72.8M
Deuda a Corto0$663.1M$395.0M$490.0M$443.4M$134.8M$72.5M00$806512
Pasivos Corrientes$1.09B$2.09B$1.99B$2.77B$2.56B$1.58B$949.7M$549.7M$326.6M$209.5M
Deuda a Largo0000000000
Pasivos Totales$3.37B$4.45B$4.75B$2.78B$2.58B$1.61B$981.3M$578.4M$347.9M$209.5M
Reservas-$1.28B-$1.51B-$1.65B-$2.92B-$3.14B-$4.31B-$4.56B-$4.65B-$4.62B-$4.71B
Patrimonio Neto-$1.49B-$1.60B-$1.87B$1.59B$1.44B$313.3M$100.1M$195.8M$386.3M$578.8M
Deuda Total0$663.1M$395.0M$490.0M$443.4M$134.8M$74.5M$140000$1.5M$806512
Deuda Neta-$1.31B$56.9M-$120.1M-$625.2M-$409.0M-$363.5M-$71.4M-$136.9M-$187.5M-$146.8M
Capital Circulante$661.6M$629.8M$438.5M$958.9M$917.2M$46.6M-$90.8M$63.4M$222.0M$180.8M

Balance (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Caja y Equivalentes$29.3M$29.3M$13.9M$13.9M
Activos Totales$788.3M$788.3M$701.1M$701.1M
Pasivos Totales$209.4M$209.4M$177.6M$177.6M
Patrimonio Neto$578.4M$578.4M$526.3M$526.3M
Deuda Total$806000$806000$254000$254000

Flujo de Caja (10 años)

Año2016201720182019202020212022202320242025
Beneficio Neto-$332.1M$649000$104.0M-$510.4M-$221.4M-$1.20B-$239.6M-$93.1M$28.3M-$82.4M
Amortizaciones$24.6M$30.4M$14.3M$4.8M$3.8M$7.7M$3.3M$1.8M$1.6M$19.6M
Compensación en Acciones000$745.9M$102.8M$47.1M$16.7M$105000$180000
Cambio en Capital Circulante$116.9M-$713.4M-$3.7M-$174.9M-$281.1M$214.8M-$70.1M-$144.3M-$28.9M-$29.1M
Flujo de Caja Operativo-$177.3M-$674.4M$129.5M$118.5M-$325.0M-$60.6M-$127.0M-$186.1M-$60.4M-$58.6M
Inversiones (CapEx)-$24.5M-$4.6M-$8.4M-$1.7M-$10.2M-$12.5M-$194000-$296000-$31.2M-$22.8M
Adquisiciones-$21.0M-$45.5M-$307.9M-$216.4M$105.3M-$34.5M-$14.3M$45.6M-$17.9M$9.9M
Recompra de Acciones0000000000
Dividendos Pagados0000000000
Flujo de Caja Libre-$201.8M-$679.1M$121.0M$116.8M-$335.2M-$73.1M-$127.2M-$186.4M-$91.6M-$81.3M

Flujo de Caja (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Flujo de Caja Operativo-$19.5M-$60.2M00
Inversiones (CapEx)$214500-$23.4M00
Flujo de Caja Libre-$19.3M-$83.6M00
Dividendos Pagados0000
Compensación en Acciones0000

Crecimiento y Márgenes (10 años)

Año2016201720182019202020212022202320242025
Crecimiento Ingresos (anual)+21.9%+26.9%+57.7%-31.9%-61.6%-73.9%+15.9%+19.0%+1.8%
Crecimiento Beneficio Neto (anual)+100.2%+15928.7%-590.6%+56.6%-429.0%+79.2%+62.4%+133.6%-367.3%
Crecimiento BPA (anual)+57.5%+36.7%-665.1%+90.5%-424.0%+79.7%+96.6%+115.2%-464.9%
Cambio en Acciones (anual)+0.0%+0.0%+15.0%+83.2%+1.5%+2.8%+991.9%+121.2%-26.8%
Crecimiento FCF (anual)-236.5%+117.8%-3.5%-387.0%+78.2%-74.0%-46.6%+50.9%+11.2%
Margen Bruto15.5%21.2%20.9%21.0%16.9%11.3%10.1%14.5%18.2%17.9%
Margen Operativo-24.7%-0.3%3.0%-14.9%-9.2%-101.6%-101.4%-93.1%-37.1%-37.6%
Margen EBITDA-22.0%2.6%5.4%-13.7%-7.7%-100.8%-90.9%-32.5%-36.6%-31.9%
Margen Neto-22.5%0.0%4.6%-14.2%-9.0%-124.3%-99.2%-32.2%9.1%-23.9%
Margen FCF-13.7%-37.8%5.3%3.2%-13.7%-7.8%-51.7%-65.4%-27.0%-23.6%
Tasa Impositiva Efectiva-0.3%78.5%4.1%-0.7%-7.1%-0.7%-3.2%2.0%-37.1%19.1%

Datos por Acción (10 años)

Año2016201720182019202020212022202320242025
FCF por Acción$-1200.11$-4038.89$719.90$603.98$-946.01$-203.25$-344.16$-46.20$-10.26$-12.44
Dividendo por Acción$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Acciones en Circulación (Básicas)$168129$168129$121322$77552$354374$359551$369533$4.0M$8.9M$6.5M

Qué mirar en empresas de Real Estate

Rentabilidad

Rentabilidad sobre capital-14.60%
Rentabilidad sobre capital invertido-13.39%
Rentabilidad sobre activos-11.50%
Margen bruto22.62%
Margen operativo-32.73%
Margen neto-30.18%

Salud financiera

Deuda / Patrimonio0.00
Ratio corriente1.93

Ratios Clave (10 años)

Año2016201720182019202020212022202320242025
P/E-101.84-224.71-375.27-59.29-284.92-3.26-1.93-3.3620.25-0.81
P/VC-36.75-31.92-20.9118.9843.4812.204.701.571.610.12
P/V37.0228.4617.118.3825.604.061.911.081.840.19
Margen Bruto15.5%21.2%20.9%21.0%16.9%11.3%10.1%14.5%18.2%17.9%
Margen Operativo-24.7%-0.3%3.0%-14.9%-9.2%-101.6%-101.4%-93.1%-37.1%-37.6%
Margen Neto-22.5%0.0%4.6%-14.2%-9.0%-124.3%-99.2%-32.2%9.1%-23.9%

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