Teradata Corporation (TDC) Estados Financieros e Histórico

Teradata Corporation (TDC) — Precio 29,91 $ — Tecnología — Software - Infrastructure — NYSE

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Estados financieros detallados de Teradata Corporation (TDC): cuenta de resultados, balance general y flujo de caja. Sigue la evolución de márgenes, deuda, liquidez y rentabilidad año a año: diez ejercicios gratis y hasta 20 con Premium.

Resumen del Análisis

Teradata Corporation registró ingresos de 1,66 B$ en el último ejercicio fiscal, con un CAGR de 5 años del -2,0 %. El beneficio neto alcanzó 130,0 M$, con un CAGR a 5 años del 0,2 %.

Márgenes de los últimos 12 meses: margen bruto 60,9 %, margen operativo 7,6 %, margen neto 27,1 %. El flujo de caja libre creció a un CAGR del 5,8 % en 5 años.

Al precio actual de 29,91 $, TDC cotiza a un PER de 6,35 y un ROE del 114,57 %. La capitalización bursátil es de 2,8 B$.

Cuenta de Resultados (10 años)

Año2016201720182019202020212022202320242025
Ingresos2,32 B$2,16 B$2,16 B$1,90 B$1,84 B$1,92 B$1,79 B$1,83 B$1,75 B$1,66 B$
Coste de Ventas1,13 B$1,13 B$1,14 B$944,0 M$817,0 M$731,0 M$714,0 M$718,0 M$692,0 M$670,0 M$
Beneficio Bruto1,19 B$1,02 B$1,03 B$955,0 M$1,02 B$1,19 B$1,08 B$1,11 B$1,06 B$993,0 M$
I+D212,0 M$306,0 M$317,0 M$328,0 M$334,0 M$309,0 M$313,0 M$294,0 M$284,0 M$280,0 M$
Generales y Administrativos664,0 M$652,0 M$666,0 M$621,0 M$669,0 M$646,0 M$650,0 M$635,0 M$565,0 M$481,0 M$
Gastos Operativos876,0 M$958,0 M$983,0 M$949,0 M$1,00 B$955,0 M$963,0 M$929,0 M$849,0 M$788,0 M$
Beneficio Operativo232,0 M$64,0 M$43,0 M$6,0 M$16,0 M$231,0 M$118,0 M$186,0 M$209,0 M$205,0 M$
EBITDA361,0 M$211,0 M$178,0 M$158,0 M$175,0 M$367,0 M$225,0 M$263,0 M$293,0 M$268,0 M$
Gastos por Intereses12,0 M$15,0 M$22,0 M$26,0 M$27,0 M$26,0 M$24,0 M$30,0 M$29,0 M$26,0 M$
Beneficio Antes de Impuestos221,0 M$58,0 M$27,0 M$-17,0 M$-24,0 M$192,0 M$67,0 M$117,0 M$164,0 M$178,0 M$
Impuestos96,0 M$125,0 M$-3,0 M$7,0 M$-153,0 M$45,0 M$34,0 M$55,0 M$50,0 M$48,0 M$
Beneficio Neto125,0 M$-67,0 M$30,0 M$-24,0 M$129,0 M$147,0 M$33,0 M$62,0 M$114,0 M$130,0 M$
BPA0,96 $-0,53 $0,25 $-0,21 $1,18 $1,35 $0,32 $0,62 $1,18 $1,38 $
BPA Diluido0,95 $-0,53 $0,25 $-0,21 $1,16 $1,30 $0,31 $0,61 $1,16 $1,35 $
Acciones en Circulación (Diluidas)131,5 M$125,8 M$121,2 M$114,2 M$111,6 M$112,9 M$105,8 M$102,4 M$98,2 M$96,6 M$

Cuenta de Resultados (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Ingresos416,0 M$421,0 M$444,0 M$410,0 M$
Beneficio Bruto255,0 M$256,0 M$276,0 M$243,0 M$
Beneficio Operativo63,0 M$54,0 M$-36,0 M$48,0 M$
EBITDA85,0 M$76,0 M$468,0 M$76,0 M$
Beneficio Neto40,0 M$37,0 M$335,0 M$46,0 M$
BPA0,42 $0,40 $3,60 $0,49 $
BPA Diluido0,42 $0,38 $3,47 $0,48 $

Balance (10 años)

Año2016201720182019202020212022202320242025
Caja y Equivalentes974,0 M$1,09 B$715,0 M$494,0 M$529,0 M$592,0 M$569,0 M$486,0 M$420,0 M$493,0 M$
Inversiones a Corto0000000000
Cuentas por Cobrar548,0 M$554,0 M$588,0 M$415,0 M$416,0 M$421,0 M$377,0 M$299,0 M$246,0 M$251,0 M$
Inventario34,0 M$30,0 M$28,0 M$31,0 M$29,0 M$26,0 M$8,0 M$13,0 M$18,0 M$13,0 M$
Activos Corrientes1,61 B$1,75 B$1,43 B$1,01 B$1,04 B$1,11 B$1,03 B$869,0 M$749,0 M$837,0 M$
Inmovilizado Material138,0 M$162,0 M$295,0 M$401,0 M$377,0 M$314,0 M$257,0 M$248,0 M$193,0 M$205,0 M$
Fondo de Comercio390,0 M$399,0 M$395,0 M$396,0 M$401,0 M$396,0 M$390,0 M$398,0 M$394,0 M$399,0 M$
Activos Intangibles198,0 M$144,0 M$88,0 M$46,0 M$0000042,0 M$
Activos Totales2,40 B$2,56 B$2,36 B$2,06 B$2,19 B$2,17 B$2,02 B$1,87 B$1,70 B$1,78 B$
Cuentas por Pagar103,0 M$74,0 M$141,0 M$66,0 M$50,0 M$67,0 M$94,0 M$100,0 M$106,0 M$96,0 M$
Deuda a Corto30,0 M$300,0 M$19,0 M$25,0 M$44,0 M$88,0 M$019,0 M$25,0 M$25,0 M$
Pasivos Corrientes719,0 M$1,06 B$1,01 B$886,0 M$952,0 M$1,03 B$1,01 B$996,0 M$930,0 M$914,0 M$
Deuda a Largo538,0 M$478,0 M$478,0 M$454,0 M$411,0 M$324,0 M$498,0 M$480,0 M$455,0 M$435,0 M$
Pasivos Totales1,43 B$1,89 B$1,86 B$1,79 B$1,79 B$1,71 B$1,76 B$1,74 B$1,57 B$1,55 B$
Reservas-161,0 M$-580,0 M$-823,0 M$-1,14 B$-1,11 B$-1,21 B$-1,56 B$-1,81 B$-1,91 B$-1,92 B$
Patrimonio Neto971,0 M$668,0 M$495,0 M$262,0 M$400,0 M$460,0 M$258,0 M$135,0 M$133,0 M$230,0 M$
Deuda Total568,0 M$778,0 M$544,0 M$667,0 M$643,0 M$572,0 M$637,0 M$640,0 M$576,0 M$561,0 M$
Deuda Neta-406,0 M$-311,0 M$-171,0 M$173,0 M$114,0 M$-20,0 M$68,0 M$154,0 M$156,0 M$68,0 M$
Capital Circulante894,0 M$687,0 M$419,0 M$128,0 M$92,0 M$73,0 M$21,0 M$-127,0 M$-181,0 M$-77,0 M$

Balance (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Caja y Equivalentes406,0 M$493,0 M$816,0 M$414,0 M$
Activos Totales1,76 B$1,78 B$2,14 B$1,66 B$
Pasivos Totales1,54 B$1,55 B$1,58 B$1,06 B$
Patrimonio Neto219,0 M$230,0 M$557,0 M$593,0 M$
Deuda Total573,0 M$561,0 M$553,0 M$99,0 M$

Flujo de Caja (10 años)

Año2016201720182019202020212022202320242025
Beneficio Neto125,0 M$-67,0 M$30,0 M$-20,0 M$129,0 M$147,0 M$33,0 M$62,0 M$114,0 M$130,0 M$
Amortizaciones128,0 M$138,0 M$130,0 M$150,0 M$172,0 M$149,0 M$134,0 M$116,0 M$100,0 M$90,0 M$
Compensación en Acciones62,0 M$68,0 M$65,0 M$83,0 M$101,0 M$112,0 M$126,0 M$126,0 M$119,0 M$112,0 M$
Cambio en Capital Circulante56,0 M$219,0 M$157,0 M$-62,0 M$-17,0 M$41,0 M$152,0 M$69,0 M$-23,0 M$-59,0 M$
Flujo de Caja Operativo446,0 M$324,0 M$364,0 M$148,0 M$267,0 M$463,0 M$419,0 M$375,0 M$303,0 M$305,0 M$
Inversiones (CapEx)-113,0 M$-87,0 M$-160,0 M$-59,0 M$-51,0 M$-31,0 M$-16,0 M$-20,0 M$-26,0 M$-19,0 M$
Adquisiciones76,0 M$-21,0 M$-3,0 M$000-2,0 M$-29,0 M$-6,0 M$0
Recompra de Acciones-82,0 M$-351,0 M$-300,0 M$-300,0 M$-100,0 M$-244,0 M$-387,0 M$-308,0 M$-215,0 M$-140,0 M$
Dividendos Pagados0000000000
Flujo de Caja Libre333,0 M$237,0 M$204,0 M$89,0 M$216,0 M$432,0 M$403,0 M$355,0 M$277,0 M$286,0 M$

Flujo de Caja (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Flujo de Caja Operativo94,0 M$160,0 M$401,0 M$106,0 M$
Inversiones (CapEx)5,0 M$-9,0 M$-11,0 M$-1,0 M$
Flujo de Caja Libre99,0 M$151,0 M$390,0 M$105,0 M$
Dividendos Pagados0000
Compensación en Acciones29,0 M$30,0 M$29,0 M$33,0 M$

Crecimiento y Márgenes (10 años)

Año2016201720182019202020212022202320242025
Crecimiento Ingresos (anual)-7,1 %+0,4 %-12,2 %-3,3 %+4,4 %-6,4 %+2,1 %-4,5 %-5,0 %
Crecimiento Beneficio Neto (anual)-153,6 %+144,8 %-180,0 %+637,5 %+14,0 %-77,6 %+87,9 %+83,9 %+14,0 %
Crecimiento BPA (anual)-155,2 %+147,2 %-184,0 %+661,9 %+14,4 %-76,3 %+93,8 %+90,3 %+16,9 %
Cambio en Acciones (anual)-4,3 %-3,7 %-5,8 %-2,3 %+1,2 %-6,3 %-3,2 %-4,1 %-1,6 %
Crecimiento FCF (anual)-28,8 %-13,9 %-56,4 %+142,7 %+100,0 %-6,7 %-11,9 %-22,0 %+3,2 %
Margen Bruto51,2 %47,4 %47,4 %50,3 %55,5 %61,9 %60,2 %60,8 %60,5 %59,7 %
Margen Operativo10,0 %3,0 %2,0 %0,3 %0,9 %12,1 %6,6 %10,1 %11,9 %12,3 %
Margen EBITDA15,5 %9,8 %8,2 %8,3 %9,5 %19,1 %12,5 %14,3 %16,7 %16,1 %
Margen Neto5,4 %-3,1 %1,4 %-1,3 %7,0 %7,7 %1,8 %3,4 %6,5 %7,8 %
Margen FCF14,3 %11,0 %9,4 %4,7 %11,8 %22,5 %22,5 %19,4 %15,8 %17,2 %
Tasa Impositiva Efectiva43,4 %215,5 %-11,1 %-41,2 %637,5 %23,4 %50,7 %47,0 %30,5 %27,0 %

Datos por Acción (10 años)

Año2016201720182019202020212022202320242025
FCF por Acción2,53 $1,88 $1,68 $0,78 $1,94 $3,83 $3,81 $3,47 $2,82 $2,96 $
Dividendo por Acción0,00 $0,00 $0,00 $0,00 $0,00 $0,00 $0,00 $0,00 $0,00 $0,00 $
Acciones en Circulación (Básicas)129,7 M$125,8 M$119,2 M$114,2 M$109,3 M$108,6 M$103,2 M$99,8 M$96,4 M$94,4 M$

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Rentabilidad

Rentabilidad sobre capital114,57 %
Rentabilidad sobre capital invertido11,61 %
Rentabilidad sobre activos27,62 %
Margen bruto60,91 %
Margen operativo7,63 %
Margen neto27,08 %

Salud financiera

Deuda / Patrimonio0,17
Ratio corriente0,91
Piotroski F-Score7
Altman Z-Score0,86

Ratios Clave (10 años)

Año2016201720182019202020212022202320242025
PER28,30-72,57153,44-127,4819,0431,46105,1970,1826,4022,06
P/VC3,637,249,2411,676,1410,0313,4632,1722,5812,49
P/V1,522,242,111,611,342,411,942,371,721,73
Margen Bruto51,2 %47,4 %47,4 %50,3 %55,5 %61,9 %60,2 %60,8 %60,5 %59,7 %
Margen Operativo10,0 %3,0 %2,0 %0,3 %0,9 %12,1 %6,6 %10,1 %11,9 %12,3 %
Margen Neto5,4 %-3,1 %1,4 %-1,3 %7,0 %7,7 %1,8 %3,4 %6,5 %7,8 %

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