InterContinental Hotels Group PLC (IHG) Demonstrações Financeiras e Histórico

InterContinental Hotels Group PLC (IHG) — Preço 159,51 $ — Consumo Cíclico — Travel Lodging — NYSE

Últimos resultados publicados:

Demonstrações financeiras detalhadas de InterContinental Hotels Group PLC (IHG): demonstração de resultados, balanço patrimonial e fluxo de caixa. Acompanhe a evolução de margens, dívida, liquidez e rentabilidade ano a ano: dez exercícios grátis e até 20 com Premium.

Resumo da Análise

InterContinental Hotels Group PLC registou receitas de 5,19 mil M$ no último exercício, com um CAGR de 5 anos de 16,7 %.

Margens dos últimos 12 meses: margem bruta 30,7 %, margem operacional 30,7 %, margem líquida 13,4 %. O fluxo de caixa livre cresceu a CAGR de 70,2 % em 5 anos.

Ao preço atual de 159,51 $, IHG negocia a um P/L de 33,93 e um ROE de -27,65 %. A capitalização de mercado é de 23,6 mil M$, colocando-a entre as empresas large-cap.

Demonstração de Resultados (10 anos)

Ano2016201720182019202020212022202320242025
Receita1,72 mil M$4,08 mil M$4,34 mil M$4,63 mil M$2,39 mil M$2,91 mil M$3,89 mil M$3,73 mil M$4,92 mil M$5,19 mil M$
Custo da Receita580,0 M$2,95 mil M$3,26 mil M$3,38 mil M$1,86 mil M$2,01 mil M$2,80 mil M$1,79 mil M$3,47 mil M$3,53 mil M$
Lucro Bruto1,14 mil M$1,12 mil M$1,08 mil M$1,24 mil M$536,0 M$893,0 M$1,09 mil M$1,94 mil M$1,46 mil M$1,66 mil M$
I&D0000000000
Despesas Gerais e Administrativas339,0 M$709,0 M$738,0 M$791,0 M$351,0 M$292,0 M$353,0 M$338,0 M$359,0 M$381,0 M$
Despesas Operacionais426,0 M$404,0 M$410,0 M$480,0 M$361,0 M$387,0 M$403,0 M$352,0 M$414,0 M$460,0 M$
Lucro Operacional678,0 M$728,0 M$566,0 M$630,0 M$165,0 M$494,0 M$628,0 M$1,07 mil M$1,04 mil M$1,20 mil M$
EBITDA849,0 M$806,0 M$742,0 M$827,0 M$31,0 M$692,0 M$815,0 M$1,27 mil M$1,25 mil M$1,22 mil M$
Despesas com Juros86,0 M$76,0 M$100,0 M$121,0 M$144,0 M$147,0 M$128,0 M$91,0 M$203,0 M$202,5 M$
Lucro Antes de Impostos591,0 M$656,0 M$485,0 M$542,0 M$-280,0 M$361,0 M$540,0 M$1,01 mil M$897,0 M$1,07 mil M$
Imposto174,0 M$115,0 M$133,0 M$156,0 M$-20,0 M$96,0 M$164,0 M$260,0 M$269,0 M$315,0 M$
Lucro Líquido414,0 M$540,0 M$351,0 M$385,0 M$-260,0 M$266,0 M$375,0 M$750,0 M$628,0 M$758,0 M$
LPA2,15 $2,95 $1,94 $2,10 $-1,43 $1,45 $2,05 $4,41 $3,90 $4,87 $
LPA Diluído2,13 $2,93 $1,92 $2,09 $-1,43 $1,45 $2,04 $4,41 $3,85 $4,87 $
Ações em Circulação (Diluídas)194,6 M$184,3 M$182,4 M$184,0 M$182,0 M$184,0 M$184,0 M$170,0 M$163,1 M$155,8 M$

Demonstração de Resultados (Trimestral)

Ano2024-Q42025-Q22025-Q42026-Q2
Receita2,60 mil M$2,54 mil M$2,67 mil M$2,66 mil M$
Lucro Bruto2,43 mil M$647,5 M$979,0 M$714,0 M$
Lucro Operacional516,0 M$647,5 M$575,0 M$671,0 M$
EBITDA590,3 M$800,8 M$515,0 M$733,0 M$
Lucro Líquido281,0 M$473,0 M$289,0 M$425,0 M$
LPA1,77 $3,03 $1,88 $2,83 $
LPA Diluído1,74 $3,00 $1,88 $2,81 $

Balanço (10 anos)

Ano2016201720182019202020212022202320242025
Caixa e Equivalentes206,0 M$168,0 M$704,0 M$195,0 M$1,63 mil M$1,45 mil M$976,0 M$1,27 mil M$1,01 mil M$1,13 mil M$
Investimentos de Curto Prazo20,0 M$16,0 M$1,0 M$4,0 M$1,0 M$2,0 M$07,0 M$7,0 M$3,0 M$
Contas a Receber000575,0 M$334,0 M$429,0 M$524,0 M$615,0 M$752,0 M$880,0 M$
Estoque3,0 M$3,0 M$5,0 M$6,0 M$5,0 M$4,0 M$4,0 M$5,0 M$4,0 M$5,0 M$
Ativos Circulantes778,0 M$863,0 M$1,38 mil M$935,0 M$2,24 mil M$2,07 mil M$1,68 mil M$2,13 mil M$1,87 mil M$2,05 mil M$
Imobilizado419,0 M$425,0 M$447,0 M$799,0 M$504,0 M$411,0 M$437,0 M$423,0 M$422,0 M$417,0 M$
Ágio232,0 M$237,0 M$313,0 M$339,0 M$346,0 M$341,0 M$335,0 M$336,0 M$331,0 M$335,0 M$
Ativos Intangíveis626,0 M$1,23 mil M$830,0 M$1,04 mil M$947,0 M$854,0 M$809,0 M$763,0 M$711,0 M$820,0 M$
Ativos Totais2,93 mil M$3,01 mil M$3,75 mil M$3,98 mil M$5,04 mil M$4,72 mil M$4,22 mil M$4,81 mil M$4,75 mil M$5,34 mil M$
Contas a Pagar526,0 M$595,0 M$616,0 M$90,0 M$80,0 M$109,0 M$152,0 M$127,0 M$650,0 M$676,0 M$
Dívida de Curto Prazo106,0 M$110,0 M$104,0 M$87,0 M$869,0 M$292,0 M$55,0 M$624,0 M$398,0 M$478,0 M$
Passivos Circulantes1,13 mil M$1,28 mil M$1,37 mil M$1,39 mil M$1,87 mil M$1,62 mil M$1,54 mil M$2,19 mil M$1,93 mil M$2,10 mil M$
Dívida de Longo Prazo1,61 mil M$1,68 mil M$1,91 mil M$2,08 mil M$2,92 mil M$2,62 mil M$2,35 mil M$2,57 mil M$2,88 mil M$3,73 mil M$
Passivos Totais3,69 mil M$4,31 mil M$4,83 mil M$5,44 mil M$6,89 mil M$6,19 mil M$5,82 mil M$6,76 mil M$7,06 mil M$8,08 mil M$
Reservas1,39 mil M$951,0 M$1,17 mil M$809,0 M$568,0 M$904,0 M$607,0 M$396,0 M$34,0 M$-302,0 M$
Patrimônio Líquido-767,0 M$-1,31 mil M$-1,08 mil M$-1,47 mil M$-1,86 mil M$-1,48 mil M$-1,61 mil M$-1,95 mil M$-2,31 mil M$-2,74 mil M$
Dívida Total1,71 mil M$2,02 mil M$2,25 mil M$2,83 mil M$4,22 mil M$3,26 mil M$2,82 mil M$3,59 mil M$3,69 mil M$4,62 mil M$
Dívida Líquida1,49 mil M$1,83 mil M$1,54 mil M$2,63 mil M$2,59 mil M$1,81 mil M$1,85 mil M$2,26 mil M$2,67 mil M$3,49 mil M$
Capital de Giro-356,0 M$-417,0 M$6,0 M$-452,0 M$376,0 M$442,0 M$134,0 M$-61,0 M$-59,0 M$-51,0 M$

Balanço (Trimestral)

Ano2024-Q42025-Q22025-Q42026-Q2
Caixa e Equivalentes1,01 mil M$611,0 M$1,13 mil M$825,0 M$
Ativos Totais4,75 mil M$4,94 mil M$5,34 mil M$5,23 mil M$
Passivos Totais7,06 mil M$7,58 mil M$8,08 mil M$8,20 mil M$
Patrimônio Líquido-2,31 mil M$-2,64 mil M$-2,74 mil M$-2,98 mil M$
Dívida Total3,69 mil M$4,10 mil M$4,62 mil M$4,55 mil M$

Fluxo de Caixa (10 anos)

Ano2016201720182019202020212022202320242025
Lucro Líquido417,0 M$593,0 M$352,0 M$386,0 M$-260,0 M$265,0 M$376,0 M$750,0 M$628,0 M$758,0 M$
Depreciação e Amortização127,0 M$139,0 M$125,0 M$170,0 M$172,0 M$192,0 M$154,0 M$150,0 M$145,0 M$146,0 M$
Compensação em Ações17,0 M$21,0 M$38,0 M$42,0 M$32,0 M$41,0 M$46,0 M$56,0 M$67,0 M$72,0 M$
Variação Capital de Giro74,0 M$-27,0 M$95,0 M$-60,0 M$-38,0 M$110,0 M$101,0 M$79,0 M$56,0 M$-76,0 M$
Fluxo de Caixa Operacional752,0 M$634,0 M$666,0 M$653,0 M$137,0 M$636,0 M$646,0 M$893,0 M$724,0 M$898,0 M$
CapEx-212,0 M$-273,0 M$-158,0 M$-179,0 M$-76,0 M$-52,0 M$-99,0 M$-82,0 M$-78,0 M$-28,0 M$
Aquisições-12,0 M$-47,0 M$-39,0 M$-304,0 M$-2,0 M$-13,0 M$-1,0 M$-3,0 M$-16,0 M$0
Recompra de Ações-10,0 M$-3,0 M$-3,0 M$-5,0 M$00-482,0 M$-790,0 M$-804,0 M$-907,0 M$
Dividendos Pagos-1,69 mil M$-593,0 M$-199,0 M$-721,0 M$00-233,0 M$-245,0 M$-259,0 M$-270,0 M$
Fluxo de Caixa Livre540,0 M$361,0 M$508,0 M$474,0 M$61,0 M$584,0 M$547,0 M$811,0 M$646,0 M$870,0 M$

Fluxo de Caixa (Trimestral)

Ano2024-Q42025-Q22025-Q42026-Q2
Fluxo de Caixa Operacional562,0 M$314,7 M$580,0 M$355,0 M$
CapEx-15,0 M$-11,1 M$-16,8 M$-10,0 M$
Fluxo de Caixa Livre547,0 M$303,6 M$563,2 M$345,0 M$
Dividendos Pagos-87,0 M$-181,5 M$-87,4 M$-189,0 M$
Compensação em Ações33,0 M$37,0 M$35,0 M$42,0 M$

Crescimento e Margens (10 anos)

Ano2016201720182019202020212022202320242025
Crescimento Receita (anual)+137,6 %+6,4 %+6,7 %-48,3 %+21,4 %+33,9 %-4,2 %+32,1 %+5,4 %
Crescimento Lucro Líquido (anual)+30,4 %-35,0 %+9,7 %-167,5 %+202,3 %+41,0 %+100,0 %-16,3 %+20,7 %
Crescimento LPA (anual)+37,2 %-34,2 %+8,2 %-168,1 %+201,4 %+41,4 %+115,1 %-11,6 %+24,9 %
Variação de Ações (anual)-5,3 %-1,0 %+0,9 %-1,1 %+1,1 %+0,0 %-7,6 %-4,0 %-4,5 %
Crescimento FCF (anual)-33,1 %+40,7 %-6,7 %-87,1 %+857,4 %-6,3 %+48,3 %-20,3 %+34,7 %
Margem Bruta66,2 %27,6 %24,9 %26,9 %22,4 %30,7 %28,0 %52,0 %29,6 %32,0 %
Margem Operacional39,5 %17,9 %13,1 %13,6 %6,9 %17,0 %16,1 %28,6 %21,1 %23,1 %
Margem EBITDA49,5 %19,8 %17,1 %17,9 %1,3 %23,8 %20,9 %34,2 %25,3 %23,5 %
Margem Líquida24,1 %13,3 %8,1 %8,3 %-10,9 %9,2 %9,6 %20,1 %12,8 %14,6 %
Margem FCF31,5 %8,9 %11,7 %10,2 %2,5 %20,1 %14,1 %21,8 %13,1 %16,8 %
Taxa Efetiva de Imposto29,4 %17,5 %27,4 %28,8 %7,1 %26,6 %30,4 %25,7 %30,0 %29,3 %

Dados por Ação (10 anos)

Ano2016201720182019202020212022202320242025
FCF por Ação2,77 $1,96 $2,79 $2,58 $0,34 $3,17 $2,97 $4,77 $3,96 $5,58 $
Dividendo por Ação8,70 $3,22 $1,09 $3,92 $0,00 $0,00 $1,27 $1,44 $1,59 $1,73 $
Ações em Circulação (Básicas)192,8 M$183,3 M$180,5 M$183,0 M$181,9 M$183,0 M$181,0 M$170,0 M$161,0 M$155,8 M$

O que olhar em empresas de Consumo Cíclico

Rentabilidade

Rendibilidade do capital próprio-27,65 %
Retorno sobre capital investido22,57 %
Retorno sobre ativos14,18 %
Margem bruta30,72 %
Margem operacional30,72 %
Margem líquida13,44 %

Saúde financeira

Dívida / Patrimônio-1,52
Liquidez corrente0,66
Piotroski F-Score7
Altman Z-Score3,25

Índices Chave (10 anos)

Ano2016201720182019202020212022202320242025
P/L22,6722,6629,6232,70-45,5444,9728,4620,6832,0328,92
P/VP-12,25-9,37-9,56-8,53-6,38-8,06-6,54-7,95-8,70-8,00
P/V5,483,012,392,724,954,112,714,164,094,23
Margem Bruta66,2 %27,6 %24,9 %26,9 %22,4 %30,7 %28,0 %52,0 %29,6 %32,0 %
Margem Operacional39,5 %17,9 %13,1 %13,6 %6,9 %17,0 %16,1 %28,6 %21,1 %23,1 %
Margem Líquida24,1 %13,3 %8,1 %8,3 %-10,9 %9,2 %9,6 %20,1 %12,8 %14,6 %

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Explorar setor: Consumo Cíclico · Travel Lodging

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