Tucows Inc. (TCX) Estados Financieros e Histórico

Tucows Inc. (TCX) — Precio $10.21 TechnologySoftware - Infrastructure — NASDAQ

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Estados financieros detallados de Tucows Inc. (TCX): 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

Tucows Inc. registró ingresos de $390.3M en el último ejercicio fiscal, con un CAGR de 5 años del 4.6%.

Márgenes de los últimos 12 meses: margen bruto 24.9%, margen operativo -5.0%, margen neto -21.2%.

Al precio actual de $10.21, TCX presenta beneficios negativos (P/E no significativo) y un ROE del 48.45%. La capitalización bursátil es de $114M.

Cuenta de Resultados (10 años)

Año2016201720182019202020212022202320242025
Ingresos$189.8M$329.4M$346.0M$337.1M$311.2M$304.3M$321.1M$339.3M$362.3M$390.3M
Coste de Ventas$126.8M$244.9M$249.2M$236.4M$225.7M$226.0M$242.9M$230.5M$279.2M$300.1M
Beneficio Bruto$63.1M$84.5M$96.8M$100.8M$85.5M$78.3M$78.2M$108.9M$83.0M$90.2M
I+D$4.5M$7.3M$8.7M$9.7M$12.4M$14.3M$14.2M$622000$18.6M$17.8M
Generales y Administrativos$32.2M$43.0M$50.8M$52.1M$54.5M$61.8M$84.8M$101.2M$96.5M$91.3M
Gastos Operativos$38.1M$57.4M$67.2M$71.4M$78.6M$86.1M$109.9M$172.5M$148.0M$105.2M
Beneficio Operativo$25.0M$27.1M$29.3M$29.3M$6.9M-$7.8M-$31.7M-$63.7M-$65.0M-$15.1M
EBITDA$28.3M$39.8M$44.7M$48.6M$38.4M$39.9M$26.4M-$12.2M-$1.8M$230.3M
Gastos por Intereses$449838$3.6M$3.7M$4.8M$3.6M$4.6M$14.6M$41.8M$54.4M$57.2M
Beneficio Antes de Impuestos$25.1M$24.1M$26.2M$24.6M$10.8M$7.3M-$27.8M-$103.1M-$101.9M-$67.3M
Impuestos$9.0M$1.7M$9.0M$9.2M$5.0M$3.9M-$217000-$6.9M$8.0M$8.5M
Beneficio Neto$16.1M$22.3M$17.1M$15.4M$5.8M$3.4M-$27.6M-$96.2M-$109.9M-$75.8M
BPA$1.53$2.12$1.62$1.45$0.55$0.32$-2.56$-8.85$-10.02$-6.85
BPA Diluido$1.50$2.07$1.59$1.43$0.54$0.31$-2.56$-8.85$-10.02$-6.85
Acciones en Circulación (Diluidas)$10.7M$10.8M$10.8M$10.8M$10.7M$10.8M$10.8M$10.9M$11.0M$11.1M

Cuenta de Resultados (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Ingresos$98.6M$98.7M$96.7M$100.6M
Beneficio Bruto$24.2M$24.1M$24.1M$25.8M
Beneficio Operativo-$2.8M-$9.1M-$2.2M-$5.5M
EBITDA$5.3M$5.6M$27.3M$8.4M
Beneficio Neto-$23.0M-$22.0M-$18.1M-$20.5M
BPA$-2.08$-1.98$-1.63$-1.84
BPA Diluido$-2.08$-1.98$-1.63$-1.84

Balance (10 años)

Año2016201720182019202020212022202320242025
Caja y Equivalentes$15.1M$18.0M$12.6M$20.4M$8.3M$9.1M$23.5M$92.7M$56.9M$46.8M
Inversiones a Corto0000000000
Cuentas por Cobrar$11.1M$12.4M$12.3M$16.4M$16.8M$18.8M$26.0M$24.3M$21.1M$24.6M
Inventario$1.2M$2.9M$3.8M$3.5M$1.9M$3.3M$7.3M$6.8M$4.0M$3.9M
Activos Corrientes$83.3M$153.9M$131.9M$145.7M$141.2M$147.0M$169.9M$242.8M$205.4M$203.1M
Inmovilizado Material$13.5M$24.6M$48.1M$93.5M$128.8M$190.2M$302.0M$367.1M$366.7M$345.3M
Fondo de Comercio$21.0M$90.1M$90.1M$109.8M$116.3M$130.4M$130.4M$130.4M$130.4M$130.4M
Activos Intangibles$20.0M$58.4M$49.4M$57.7M$47.4M$50.4M$39.8M$29.5M$24.8M$19.7M
Activos Totales$154.4M$350.7M$339.6M$425.9M$451.9M$539.6M$664.7M$798.4M$758.8M$730.9M
Cuentas por Pagar$4.8M$7.0M$8.4M$6.7M$6.3M$10.0M$17.2M$12.7M$9.0M$9.9M
Deuda a Corto$2.2M$18.3M$18.4M0000000
Pasivos Corrientes$84.4M$178.6M$165.3M$156.9M$163.0M$173.7M$188.2M$201.3M$199.9M$330.4M
Deuda a Largo$8.0M$58.6M$46.2M$113.5M$121.7M$190.7M$238.9M$433.2M$482.1M$481.2M
Pasivos Totales$116.6M$290.4M$259.8M$331.7M$347.2M$424.5M$568.1M$788.6M$854.1M$895.1M
Reservas$20.4M$42.7M$60.8M$76.2M$80.1M$83.5M$55.9M-$40.3M-$150.2M-$226.0M
Patrimonio Neto$37.8M$60.2M$79.8M$94.2M$104.7M$115.1M$96.7M$9.9M-$95.3M-$164.2M
Deuda Total$10.2M$76.9M$64.6M$124.3M$132.7M$205.8M$256.0M$456.9M$513.1M$544.8M
Deuda Neta-$4.9M$58.9M$52.0M$103.9M$124.4M$196.6M$232.5M$364.2M$456.2M$498.0M
Capital Circulante-$1.1M-$24.7M-$33.4M-$11.2M-$21.8M-$26.7M-$18.3M$41.4M$5.5M-$127.3M

Balance (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Caja y Equivalentes$54.1M$46.8M$49.7M$44.2M
Activos Totales$735.5M$730.9M$729.2M$727.7M
Pasivos Totales$879.5M$895.1M$910.6M$928.5M
Patrimonio Neto-$144.1M-$164.2M-$181.3M-$200.8M
Deuda Total$534.2M$544.8M$695.5M$712.2M

Flujo de Caja (10 años)

Año2016201720182019202020212022202320242025
Beneficio Neto$16.1M$22.3M$17.1M$15.4M$5.8M$3.4M-$27.6M-$96.2M-$109.9M-$75.8M
Amortizaciones$2.8M$12.1M$15.0M$19.3M$24.1M$28.0M$39.6M$47.3M$45.6M$46.2M
Compensación en Acciones$799434$1.5M$2.6M$2.9M$3.7M$4.6M$7.6M$8.1M$7.0M$7.1M
Cambio en Capital Circulante$1.5M$1.9M$1.8M$2.0M$90000-$2.0M$5.0M$12.5M$4.0M-$7.8M
Flujo de Caja Operativo$21.6M$31.9M$37.2M$40.4M$36.1M$29.6M$19.9M-$4.8M-$19.7M-$5.8M
Inversiones (CapEx)-$14.4M-$15.9M-$28.5M-$47.6M-$44.5M-$73.9M-$137.5M-$92.6M-$56.5M-$17.1M
Adquisiciones0-$78.2M-$1.2M-$28.4M-$8.8M-$26.5M0000
Recompra de Acciones-$7.2M-$1.5M-$445000-$5.0M-$3.3M00000
Dividendos Pagados0000000000
Flujo de Caja Libre$7.2M$16.0M$8.7M-$7.3M-$8.4M-$44.3M-$117.6M-$97.4M-$76.2M-$22.9M

Flujo de Caja (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Flujo de Caja Operativo$1.5M-$2.6M$3.5M$1.9M
Inversiones (CapEx)-$3.9M-$4.4M-$5.5M-$5.1M
Flujo de Caja Libre-$2.3M-$7.0M-$2.0M-$3.1M
Dividendos Pagados0000
Compensación en Acciones$1.4M$2.9M$1.1M$1.2M

Crecimiento y Márgenes (10 años)

Año2016201720182019202020212022202320242025
Crecimiento Ingresos (anual)+73.5%+5.0%-2.6%-7.7%-2.2%+5.5%+5.7%+6.8%+7.7%
Crecimiento Beneficio Neto (anual)+39.0%-23.3%-10.1%-62.5%-41.7%-919.6%-248.9%-14.2%+31.0%
Crecimiento BPA (anual)+38.6%-23.6%-10.5%-62.1%-41.8%-900.0%-245.7%-13.2%+31.6%
Cambio en Acciones (anual)+0.7%+0.0%-0.2%-0.7%+1.2%-0.4%+0.9%+1.0%+0.9%
Crecimiento FCF (anual)+122.4%-45.5%-183.2%-16.2%-425.8%-165.4%+17.2%+21.7%+70.0%
Margen Bruto33.2%25.7%28.0%29.9%27.5%25.7%24.4%32.1%22.9%23.1%
Margen Operativo13.2%8.2%8.5%8.7%2.2%-2.6%-9.9%-18.8%-17.9%-3.9%
Margen EBITDA14.9%12.1%12.9%14.4%12.3%13.1%8.2%-3.6%-0.5%59.0%
Margen Neto8.5%6.8%5.0%4.6%1.9%1.1%-8.6%-28.3%-30.3%-19.4%
Margen FCF3.8%4.9%2.5%-2.2%-2.7%-14.6%-36.6%-28.7%-21.0%-5.9%
Tasa Impositiva Efectiva36.0%7.3%34.5%37.3%46.3%53.7%0.8%6.7%-7.8%-12.6%

Datos por Acción (10 años)

Año2016201720182019202020212022202320242025
FCF por Acción$0.67$1.48$0.81$-0.67$-0.79$-4.10$-10.92$-8.96$-6.95$-2.07
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)$10.5M$10.5M$10.6M$10.6M$10.6M$10.7M$10.8M$10.9M$11.0M$11.1M

Qué mirar en empresas de Technology

Rentabilidad

Rentabilidad sobre capital48.45%
Rentabilidad sobre capital invertido-3.66%
Rentabilidad sobre activos-11.49%
Margen bruto24.90%
Margen operativo-4.98%
Margen neto-21.20%

Salud financiera

Deuda / Patrimonio-3.55
Ratio corriente0.57

Ratios Clave (10 años)

Año2016201720182019202020212022202320242025
P/E23.0433.0437.0742.61134.35261.94-13.25-3.05-1.71-3.27
P/VC9.8112.267.986.977.477.773.7829.70-1.97-1.51
P/V1.952.241.841.952.512.941.140.860.520.64
Margen Bruto33.2%25.7%28.0%29.9%27.5%25.7%24.4%32.1%22.9%23.1%
Margen Operativo13.2%8.2%8.5%8.7%2.2%-2.6%-9.9%-18.8%-17.9%-3.9%
Margen Neto8.5%6.8%5.0%4.6%1.9%1.1%-8.6%-28.3%-30.3%-19.4%

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Explorar sector: Technology · Software - Infrastructure

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