VNET Group, Inc. (VNET) Estados Financieros e Histórico

VNET Group, Inc. (VNET) — Precio $6.05 TechnologyInformation Technology Services — NASDAQ

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Estados financieros detallados de VNET Group, Inc. (VNET): 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

VNET Group, Inc. registró ingresos de $9.68B en el último ejercicio fiscal, con un CAGR de 5 años del 14.9%.

Márgenes de los últimos 12 meses: margen bruto 20.5%, margen operativo 7.2%, margen neto -22.3%.

Al precio actual de $6.05, VNET presenta beneficios negativos (P/E no significativo) y un ROE del -47.06%. La capitalización bursátil es de $1.7B.

Cuenta de Resultados (10 años)

Año2016201720182019202020212022202320242025
Ingresos$3.64B$3.39B$3.40B$3.79B$4.83B$6.19B$7.19B$7.41B$8.26B$9.68B
Coste de Ventas$2.93B$2.63B$2.46B$2.85B$3.75B$4.75B$5.88B$6.12B$6.43B$7.55B
Beneficio Bruto$712.1M$758.4M$944.9M$939.4M$1.08B$1.44B$1.31B$1.29B$1.83B$2.13B
I+D$149.3M$149.1M$92.1M$88.8M$112.9M$188.5M$306.8M$322.2M$246.6M$254.0M
Generales y Administrativos$992.6M$776.6M$634.8M$621.6M$770.1M$1.10B$954.9M$808.1M$922.8M$1.15B
Gastos Operativos$1.55B$2.13B$707.4M$757.2M$959.4M$1.42B$1.24B$3.26B$1.16B$1.40B
Beneficio Operativo-$840.2M-$1.37B$237.5M$182.2M$116.6M$21.3M$62.2M-$1.97B$669.4M$732.0M
EBITDA-$116.1M-$209.2M$895.0M$1.01B-$1.21B$2.27B$1.25B-$366.6M$2.43B$2.96B
Gastos por Intereses$198.6M$185.3M$236.1M$346.0M$380.6M$334.9M$273.3M$312.2M$401.0M$582.3M
Beneficio Antes de Impuestos-$943.1M-$1.01B-$162.3M-$175.8M-$2.58B$626.5M-$639.6M-$2.48B$482.7M$412.5M
Impuestos-$11.2M-$90.2M$24.4M$5.4M$109.3M$111.4M$135.8M$114.4M$234.2M$542.3M
Beneficio Neto-$633.6M-$772.7M-$205.1M-$182.3M-$2.71B$500.1M-$789.6M-$2.64B$183.2M-$249.8M
BPA$-7.92$-6.90$-1.80$-1.20$-22.56$3.42$-5.16$-17.58$0.66$-0.90
BPA Diluido$-7.92$-6.90$-1.80$-1.20$-26.82$3.30$-5.16$-17.58$0.66$-0.90
Acciones en Circulación (Diluidas)$102.9M$112.1M$112.5M$111.5M$119.5M$151.9M$147.8M$150.2M$290.4M$268.7M

Cuenta de Resultados (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Ingresos$2.57B$2.65B$2.69B$2.77B
Beneficio Bruto$536.2M$532.9M$615.9M$503.8M
Beneficio Operativo$192.0M$136.4M$246.9M$188.8M
EBITDA$445.9M$1.50B$893.4M$870.9M
Beneficio Neto-$307.1M$295.7M-$2.23B-$144.3M
BPA$-1.14$1.14$-8.16$-0.51
BPA Diluido$-1.14$0.96$-8.16$-0.51

Balance (10 años)

Año2016201720182019202020212022202320242025
Caja y Equivalentes$3.26B$2.22B$2.63B$2.26B$2.97B$1.37B$2.66B$2.24B$1.49B$5.52B
Inversiones a Corto$277.9M$555.3M$245.4M$360.0M$285.2M00$356.8M0$379.2M
Cuentas por Cobrar$1.41B$1.14B$1.20B$1.66B$1.82B$2.56B$2.91B$2.91B$3.36B$3.83B
Inventario$4.4M$718309$1.8M0000000
Activos Corrientes$5.20B$4.30B$4.68B$5.17B$6.04B$5.32B$7.05B$9.82B$6.82B$11.45B
Inmovilizado Material$3.78B$3.36B$4.04B$6.59B$9.41B$12.96B$15.47B$17.04B$21.83B$27.65B
Fondo de Comercio$1.76B$1.00B$990.9M$978.9M$992.8M$1.34B$1.36B000
Activos Intangibles$977.3M$405.8M$355.8M$406.2M$656.8M$1.24B$2.07B$1.99B$2.17B$2.87B
Activos Totales$12.42B$10.02B$11.17B$14.12B$19.33B$23.10B$26.95B$30.39B$32.36B$44.59B
Cuentas por Pagar$529.6M$255.9M$390.0M$299.9M$288.8M$493.5M$713.6M$696.2M$709.3M$741.9M
Deuda a Corto$2.39B$405.0M$350.4M$1.83B$3.01B$384.2M$1.02B$4.96B$1.42B$4.48B
Pasivos Corrientes$4.37B$1.80B$2.19B$4.42B$6.11B$5.18B$6.33B$11.44B$9.34B$12.45B
Deuda a Largo$268.2M$2.13B$2.15B$2.12B$3.89B$6.48B$8.91B$6.88B$9.67B$16.72B
Pasivos Totales$5.54B$4.74B$5.78B$8.94B$12.44B$15.49B$19.97B$23.87B$25.44B$36.03B
Reservas-$2.87B-$3.67B-$3.84B-$4.00B-$7.22B-$7.59B-$8.37B-$11.02B-$10.86B-$11.13B
Patrimonio Neto$6.13B$5.11B$5.10B$4.90B$6.55B$7.24B$6.61B$6.01B$6.37B$6.22B
Deuda Total$3.19B$3.14B$3.27B$5.40B$8.23B$11.12B$14.76B$17.17B$17.51B$28.17B
Deuda Neta-$348.1M$370.1M$397.5M$2.78B$4.97B$9.75B$12.10B$14.57B$16.01B$22.27B
Capital Circulante$828.0M$2.50B$2.49B$751.0M-$66.2M$144.1M$720.2M-$1.61B-$2.52B-$995.3M

Balance (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Caja y Equivalentes$3.50B$5.52B$7.77B$7.20B
Activos Totales$43.35B$44.59B$49.12B$49.53B
Pasivos Totales$35.76B$36.03B$39.12B$39.49B
Patrimonio Neto$5.75B$6.22B$4.23B$4.08B
Deuda Total$26.66B$28.17B$29.77B$30.64B

Flujo de Caja (10 años)

Año2016201720182019202020212022202320242025
Beneficio Neto-$931.9M-$917.6M-$186.7M-$181.2M-$2.68B$515.1M-$762.0M-$2.60B$248.4M-$133.4M
Amortizaciones$664.1M$667.1M$634.6M$772.2M$989.0M$1.27B$1.60B$1.81B$1.60B$2.13B
Compensación en Acciones$118.7M$47.1M$59.5M$43.9M$136.8M$320.0M$118.2M$35.3M$148.6M$25.8M
Cambio en Capital Circulante-$63.3M$45.7M$14.9M-$10.9M-$509.7M-$507.0M$382.9M-$196.8M-$309.3M-$736.9M
Flujo de Caja Operativo$83.6M$402.3M$705.0M$707.4M$714.2M$1.39B$2.44B$2.06B$2.01B$1.92B
Inversiones (CapEx)-$612.5M-$415.0M-$453.1M-$1.28B-$2.50B-$2.73B-$3.10B-$3.06B-$5.13B-$7.87B
Adquisiciones-$56.3M-$89.6M-$9.6M-$133.0M-$1.56B-$1.16B-$38.7M$2000$200.0M$486.1M
Recompra de Acciones-$81.7M-$136.9M0-$21.6M-$130.5M-$1.70B000-$17.2M
Dividendos Pagados0000000000
Flujo de Caja Libre-$528.9M-$12.6M$251.9M-$568.0M-$1.79B-$1.35B-$660.4M-$997.1M-$3.12B-$5.95B

Flujo de Caja (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Flujo de Caja Operativo$809.8M$546.4M$173.7M$217.3M
Inversiones (CapEx)-$2.22B-$1.81B-$1.79B-$1.51B
Flujo de Caja Libre-$1.41B-$1.26B-$1.62B-$1.30B
Dividendos Pagados0000
Compensación en Acciones0$7.7M00

Crecimiento y Márgenes (10 años)

Año2016201720182019202020212022202320242025
Crecimiento Ingresos (anual)-6.8%+0.2%+11.4%+27.4%+28.2%+16.1%+3.1%+11.4%+17.2%
Crecimiento Beneficio Neto (anual)-22.0%+73.5%+11.1%-1386.3%+118.5%-257.9%-234.8%+106.9%-236.3%
Crecimiento BPA (anual)+12.9%+73.9%+33.3%-1780.0%+115.2%-250.9%-240.7%+103.8%-236.4%
Cambio en Acciones (anual)+9.0%+0.3%-0.9%+7.2%+27.2%-2.7%+1.6%+93.3%-7.5%
Crecimiento FCF (anual)+97.6%+2091.9%-325.5%-215.0%+24.8%+50.9%-51.0%-213.2%-90.5%
Margen Bruto19.6%22.4%27.8%24.8%22.3%23.2%18.2%17.4%22.2%22.0%
Margen Operativo-23.1%-40.3%7.0%4.8%2.4%0.3%0.9%-26.6%8.1%7.6%
Margen EBITDA-3.2%-6.2%26.3%26.6%-25.1%36.6%17.3%-4.9%29.4%30.6%
Margen Neto-17.4%-22.8%-6.0%-4.8%-56.1%8.1%-11.0%-35.7%2.2%-2.6%
Margen FCF-14.5%-0.4%7.4%-15.0%-37.1%-21.8%-9.2%-13.5%-37.8%-61.5%
Tasa Impositiva Efectiva1.2%8.9%-15.0%-3.1%-4.2%17.8%-21.2%-4.6%48.5%131.5%

Datos por Acción (10 años)

Año2016201720182019202020212022202320242025
FCF por Acción$-5.14$-0.11$2.24$-5.10$-14.97$-8.86$-4.47$-6.64$-10.75$-22.14
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)$102.9M$112.1M$112.5M$111.5M$119.4M$144.2M$147.8M$150.2M$265.6M$268.7M

Qué mirar en empresas de Technology

Rentabilidad

Rentabilidad sobre capital-47.06%
Rentabilidad sobre capital invertido-1.42%
Rentabilidad sobre activos-4.82%
Margen bruto20.49%
Margen operativo7.15%
Margen neto-22.33%

Salud financiera

Deuda / Patrimonio7.52
Ratio corriente0.97

Ratios Clave (10 años)

Año2016201720182019202020212022202320242025
P/E-6.15-7.52-33.00-42.06-10.0316.77-7.58-1.1652.42-65.73
P/VC0.821.141.311.154.131.140.870.511.442.56
P/V1.371.721.961.485.601.340.800.411.111.64
Margen Bruto19.6%22.4%27.8%24.8%22.3%23.2%18.2%17.4%22.2%22.0%
Margen Operativo-23.1%-40.3%7.0%4.8%2.4%0.3%0.9%-26.6%8.1%7.6%
Margen Neto-17.4%-22.8%-6.0%-4.8%-56.1%8.1%-11.0%-35.7%2.2%-2.6%

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Explorar sector: Technology · Information Technology Services

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