Lectura actual
Por qué ahora: Momentum 70
A tener en cuenta: valoración exigente
Régimen de mercado: Favorable al riesgo · investment-intelligence-v1.22
Investment IntelligenceÚltimo cierre: 2026-09-25 · USD
Hechos fechados ya presentes en el análisis, no previsiones. Cada punto enlaza con la sección que lo explica. · thesis-watch-v1
La fiabilidad mide los datos y el modelo, no la probabilidad de ganancia. 0 = riesgo relativamente bajo · 100 = riesgo muy alto
Comparado con empresas observadas por Krazerr, no con todo el sector. (13)
Cobertura: 100,0% · company-quality-v1.5
| Por qué esta puntuación | Score | Δ |
|---|---|---|
| Eficiencia del negocio | 47,7 | 4,8 |
| Flujo de caja | 79,2 | 11,9 |
| Calidad de los beneficios | 50,0 | 5,0 |
| Solidez financiera | 39,5 | 7,9 |
| Crecimiento | 35,0 | 7,0 |
| Rentabilidad | 43,6 | 10,9 |
Cobertura: 65,0% · confidence-v1.2
| Por qué esta puntuación | Score | Δ |
|---|---|---|
| Completitud | 90,4 | 22,6 |
| Concordancia entre fuentes | — | — |
| Certeza del calendario | 100,0 | 5,0 |
| Discrepancias contables | 100,0 | 0,0 |
| Actualidad | 47,3 | 7,1 |
| Concordancia entre modelos | — | — |
| Fiabilidad de las fuentes | 70,7 | 14,1 |
| Estabilidad | — | — |
Cobertura: 85,0% · investment-opportunity-v1
| Por qué esta puntuación | Score | Δ |
|---|---|---|
| Calidad de la empresa | 47,5 | 19,5 |
| Compatibilidad con el mercado | 41,1 | 7,3 |
| Momentum | 70,5 | 8,3 |
| Ajuste por riesgo | — | -2,6 |
| Valoración | 28,7 | 8,5 |
Cobertura: 100,0% · market-compatibility-v2.2
| Por qué esta puntuación | Score | Δ |
|---|---|---|
| Amplitud | 41,2 | 4,1 |
| Liquidez | 53,0 | 5,3 |
| Tipos | 49,3 | 7,4 |
| Fuerza del sector | 0,0 | 0,0 |
| Tendencia | 60,1 | 15,0 |
| Volatilidad | 62,0 | 9,3 |
Exposiciones medidas en 252 sesiones: beta S&P 500 0,45 (t 2,8); rentabilidad por +1 punto en el 10 años -0,024 (t -0,8).
Compatibilidad = 50 + (factor de régimen − 50) × exposición. Exposiciones escaladas (beta 1,5 y 0,20 por punto = exposición plena) y reducidas cuando |t| < 2. Sensibilidad histórica, no una previsión.
Sector Industria (XLI): por encima de la media de 50 sesiones ✗, de 200 sesiones ✗; fuerza relativa a 50 sesiones frente a SPY -7,9%.
Fuerza del sector = media entre la tendencia del ETF sectorial (0, 50 o 100 según las medias superadas) y su variación frente a SPY de −5% a +5% llevada a 0–100. Describe el sector, no la empresa.
Cobertura: 100,0% · momentum-v1.1
| Por qué esta puntuación | Score | Δ |
|---|---|---|
| Máximos | 89,3 | 9,9 |
| Varios horizontes | 65,6 | 14,6 |
| Fuerza relativa | 76,1 | 21,1 |
| Tendencia | 100,0 | 22,2 |
| Volumen | 15,6 | 2,6 |
Cobertura: 100,0% · risk-v1.3
| Por qué esta puntuación | Score | Δ |
|---|---|---|
| Caída máxima | 33,2 | 5,0 |
| Eventos | 20,0 | 3,0 |
| Financiero | 85,1 | 12,8 |
| Liquidez | 0,0 | 0,0 |
| Sensibilidad a los tipos | 6,1 | 0,6 |
| Valoración | 71,3 | 10,7 |
| Volatilidad | 19,5 | 3,9 |
Cobertura: 42,5% · timing-v1.1
| Por qué esta puntuación | Score | Δ |
|---|---|---|
| Posición de entrada | 88,3 | — |
| Riesgo/beneficio | — | — |
| Corto plazo | 91,2 | — |
| Estructura | — | — |
| Confirmación de volumen | 20,7 | — |
No calculado: datos disponibles para el 42,5% de los pesos, por debajo del umbral del 60,0%. Un dato ausente no es cero.
Timing no disponible: el valor ya no está entre los setups del screener; su último plan (entrada, objetivo, invalidación) es del 24/09/2026 y es demasiado antiguo para usarse. Momentum y riesgo se calculan con precios diarios.
Cobertura: 70,0% · trading-opportunity-v1
| Por qué esta puntuación | Score | Δ |
|---|
La Trading Opportunity requiere Momentum y Timing: sin un setup del screener falta el Timing, por lo que no se calcula. La Investment Opportunity sigue disponible.
Cobertura: 100,0% · valuation-v1.4
| Por qué esta puntuación | Score | Δ |
|---|---|---|
| Absoluto | 24,5 | 1,5 |
| Flujo de caja | 45,5 | 11,0 |
| Ajustado por crecimiento | 56,4 | 13,7 |
| Histórico | 0,0 | 0,0 |
| Comparables | 8,3 | 2,5 |
Las métricas anuales priorizan los estados financieros de la SEC cuando periodos, divisa y definiciones son coherentes. Si falta cobertura oficial, se muestra la fuente alternativa. Los datos ambiguos se excluyen; las métricas actuales se mantienen separadas.
| Métrica | Valor | Fuente | Ejercicios utilizados |
|---|---|---|---|
| Crecimiento del flujo de caja libre | -27,05% | Yahoo | 2025-10-31, 2024-10-31 |
| Cobertura de intereses (×) | 2,97 | Yahoo | 2025-10-31 |
| Rotación de activos (×) | 0,43 | SEC | 2025-11-02, 2024-10-27 |
| Estabilidad de los beneficios | 0,78 | SEC | 2025-11-02, 2024-10-27, 2023-10-29 |
| Estabilidad del margen operativo | 0,91 | Yahoo | 2025-10-31, 2024-10-31, 2023-10-31 |
La estabilidad va de 0 a 1: más alta significa menor variabilidad en tres ejercicios positivos observados. No es una probabilidad de beneficio. Las métricas ausentes siguen no disponibles.
yfinance · USD
Primera adquisición: 2026-09-24T12:43:16.587065Z
| Cierre del ejercicio | Ingresos | Beneficio neto | Flujo de caja operativo | Inversiones (flujo con signo) | Activos totales |
|---|---|---|---|---|---|
| 2025-10-31 | 44.665.000.000 | 5.027.000.000 | 7.459.000.000 | -4.228.000.000 | 105.996.000.000 |
| 2024-10-31 | 50.518.000.000 | 7.100.000.000 | 9.231.000.000 | -4.802.000.000 | 107.320.000.000 |
| 2023-10-31 | 60.248.000.000 | 10.166.000.000 | 8.589.000.000 | -4.468.000.000 | 104.087.000.000 |
| 2022-10-31 | 51.282.000.000 | 7.131.000.000 | 4.699.000.000 | -3.788.000.000 | 90.030.000.000 |
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}Comparación numérica SEC–Yahoo por ejercicio y divisa. Que los números coincidan no certifica definiciones contables idénticas. Las fuentes de cada métrica y el efecto en la fiabilidad se muestran arriba.
Valores coincidentes en los ejercicios comparados: 0 · Diferencias a revisar: 0 · Valores no comparables o ausentes: 42
Primera adquisición: 2026-09-24T12:43:18.622581Z
10-K · Presentado el 2025-12-18
Leer el documento ↗| Métrica | SEC | Yahoo | Resultado de la comparación |
|---|---|---|---|
| Ingresos | 45.684.000.000 USD | — | Falta el valor de Yahoo |
| Resultado operativo | — | — | Falta el valor oficial |
| Beneficio neto | 5.027.000.000 USD | — | Falta el valor de Yahoo |
| Flujo de caja operativo | 7.459.000.000 USD | — | Falta el valor de Yahoo |
| Activos totales | 105.996.000.000 USD | — | Falta el valor de Yahoo |
| Pagos por inmovilizado material | 1.360.000.000 USD | — | Componente distinto: no comparado |
| Pagos por desarrollo de software | — | — | Falta el valor oficial |
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}10-K · Presentado el 2025-12-18
Leer el documento ↗| Métrica | SEC | Yahoo | Resultado de la comparación |
|---|---|---|---|
| Ingresos | 51.716.000.000 USD | — | Falta el valor de Yahoo |
| Resultado operativo | — | — | Falta el valor oficial |
| Beneficio neto | 7.100.000.000 USD | — | Falta el valor de Yahoo |
| Flujo de caja operativo | 9.231.000.000 USD | — | Falta el valor de Yahoo |
| Activos totales | 107.320.000.000 USD | — | Falta el valor de Yahoo |
| Pagos por inmovilizado material | 1.640.000.000 USD | — | Componente distinto: no comparado |
| Pagos por desarrollo de software | — | — | Falta el valor oficial |
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}10-K · Presentado el 2025-12-18
Leer el documento ↗| Métrica | SEC | Yahoo | Resultado de la comparación |
|---|---|---|---|
| Ingresos | 61.251.000.000 USD | — | Falta el valor de Yahoo |
| Resultado operativo | — | — | Falta el valor oficial |
| Beneficio neto | 10.166.000.000 USD | — | Falta el valor de Yahoo |
| Flujo de caja operativo | 8.589.000.000 USD | — | Falta el valor de Yahoo |
| Activos totales | 104.087.000.000 USD | — | Falta el valor de Yahoo |
| Pagos por inmovilizado material | 1.498.000.000 USD | — | Componente distinto: no comparado |
| Pagos por desarrollo de software | — | — | Falta el valor oficial |
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}10-K · Presentado el 2024-12-12
Leer el documento ↗| Métrica | SEC | Yahoo | Resultado de la comparación |
|---|---|---|---|
| Ingresos | 52.577.000.000 USD | — | Falta el valor de Yahoo |
| Resultado operativo | 9.508.000.000 USD | — | Falta el valor de Yahoo |
| Beneficio neto | 7.131.000.000 USD | — | Falta el valor de Yahoo |
| Flujo de caja operativo | 4.699.000.000 USD | — | Falta el valor de Yahoo |
| Activos totales | 90.030.000.000 USD | — | Falta el valor de Yahoo |
| Pagos por inmovilizado material | 1.134.000.000 USD | — | Componente distinto: no comparado |
| Pagos por desarrollo de software | — | — | Falta el valor oficial |
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}10-K · Presentado el 2023-12-15
Leer el documento ↗| Métrica | SEC | Yahoo | Resultado de la comparación |
|---|---|---|---|
| Ingresos | 44.024.000.000 USD | — | Falta el valor de Yahoo |
| Resultado operativo | 8.012.000.000 USD | — | Falta el valor de Yahoo |
| Beneficio neto | 5.963.000.000 USD | — | Falta el valor de Yahoo |
| Flujo de caja operativo | 7.726.000.000 USD | — | Falta el valor de Yahoo |
| Activos totales | 84.114.000.000 USD | — | Falta el valor de Yahoo |
| Pagos por inmovilizado material | 848.000.000 USD | — | Componente distinto: no comparado |
| Pagos por desarrollo de software | — | — | Falta el valor oficial |
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"fy": 2023,
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}
}10-K · Presentado el 2022-12-15
Leer el documento ↗| Métrica | SEC | Yahoo | Resultado de la comparación |
|---|---|---|---|
| Ingresos | 35.540.000.000 USD | — | Falta el valor de Yahoo |
| Resultado operativo | 4.305.000.000 USD | — | Falta el valor de Yahoo |
| Beneficio neto | 2.751.000.000 USD | — | Falta el valor de Yahoo |
| Flujo de caja operativo | 7.483.000.000 USD | — | Falta el valor de Yahoo |
| Activos totales | 75.091.000.000 USD | — | Falta el valor de Yahoo |
| Pagos por inmovilizado material | 820.000.000 USD | — | Componente distinto: no comparado |
| Pagos por desarrollo de software | — | — | Falta el valor oficial |
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}Los pagos SEC por inmovilizado y por desarrollo de software son componentes distintos. No se equiparan automáticamente con el capex o el flujo de caja libre de Yahoo. Sin sumas ni reconstrucciones implícitas.
PER actual 37,3 frente a una mediana histórica de 19,1 en 9 ejercicios: puntuación 0,0.
| Cierre del ejercicio | BPA diluido (ajustado por splits) | Precio medio en las 52 semanas siguientes | P/E |
|---|---|---|---|
| 2016-10-31 | 4,81 | 114,43 | 23,8 |
| 2017-10-29 | 6,68 | 149,98 | 22,5 |
| 2018-10-28 | 7,24 | 157,61 | 21,8 |
| 2019-11-03 | 10,15 | 173,04 | 17,0 |
| 2020-11-01 | 8,69 | 335,32 | 38,6 |
| 2021-10-31 | 18,99 | 362,33 | 19,1 |
| 2022-10-30 | 23,28 | 403,74 | 17,3 |
| 2023-10-29 | 34,63 | 385,45 | 11,1 |
| 2024-10-27 | 25,62 | 472,23 | 18,4 |
Para cada ejercicio pasado con beneficios positivos: precio semanal medio en los 12 meses tras el cierre dividido por el BPA diluido del 10-K (SEC), ajustado por los splits posteriores a la presentación. El PER actual usa el último precio y el último BPA anual, misma definición. Puntuación 50 en la mediana, 100 a dos tercios de ella, 0 a 1,5 veces (escala logarítmica). Se requieren al menos 3 ejercicios. Un valor caro frente a su historia puede seguir siéndolo: no es una previsión.
SEC XBRL · Yahoo · historical-pe-v1
Cómo cambian las expectativas de los analistas. Un indicador separado de la calidad de la empresa: no es una probabilidad de revalorización.
Adquirido el: 2026-09-28T15:59:51.662948Z · yfinance
EPS: 4,0724 USD · Analistas del BPA: 17
| Estimación anterior | EPS | Δ EPS | Δ % |
|---|---|---|---|
| 7d | 4,0724 | 0,0000 | 0,0% |
| 30d | 4,1359 | -0,0635 | -1,5% |
| 60d | 4,4956 | -0,4232 | -9,4% |
| 90d | 4,4894 | -0,4170 | -9,3% |
Revisiones al alza / a la baja: 7d ↑ 0 / ↓ 3 · 30d ↑ 2 / ↓ 15
Consenso de ingresos: 10.353.256.000 USD
EPS: 3,3005 USD · Analistas del BPA: 13
| Estimación anterior | EPS | Δ EPS | Δ % |
|---|---|---|---|
| 7d | 3,3005 | 0,0000 | 0,0% |
| 30d | 3,3173 | -0,0168 | -0,5% |
| 60d | 3,3140 | -0,0134 | -0,4% |
| 90d | 3,3729 | -0,0723 | -2,1% |
Revisiones al alza / a la baja: 7d ↑ 1 / ↓ 0 · 30d ↑ 3 / ↓ 6
Consenso de ingresos: 8.534.428.570 USD
EPS: 18,1251 USD · Analistas del BPA: 21
| Estimación anterior | EPS | Δ EPS | Δ % |
|---|---|---|---|
| 7d | 18,1251 | 0,0000 | 0,0% |
| 30d | 18,1263 | -0,0013 | -0,0% |
| 60d | 18,1307 | -0,0056 | -0,0% |
| 90d | 18,1026 | 0,0225 | 0,1% |
Revisiones al alza / a la baja: 7d ↑ 1 / ↓ 2 · 30d ↑ 10 / ↓ 7
Consenso de ingresos: 41.117.790.860 USD
EPS: 22,8276 USD · Analistas del BPA: 22
| Estimación anterior | EPS | Δ EPS | Δ % |
|---|---|---|---|
| 7d | 22,6913 | 0,1364 | 0,6% |
| 30d | 22,4542 | 0,3734 | 1,7% |
| 60d | 22,7297 | 0,0979 | 0,4% |
| 90d | 22,8325 | -0,0048 | -0,0% |
Revisiones al alza / a la baja: 7d ↑ 2 / ↓ 1 · 30d ↑ 8 / ↓ 9
Consenso de ingresos: 44.692.285.830 USD
Puntuación heurística 0–100: magnitud de la variación del BPA (65%) y saldo de revisiones a 30 días (35%). Las ventanas de 7/30/60/90 días pesan 10/40/20/30%; variaciones de −20% a +20% se llevan a 0–100. El resumen usa siempre el año en curso. Pesos y contribuciones disponibles más abajo.
Los periodos son relativos a la adquisición: esta fuente no da un cierre fiscal verificado. La divisa y la base contable del BPA no se verifican de forma independiente. Los recuentos son revisiones, no necesariamente analistas distintos. Las estimaciones anteriores se adquirieron con esta instantánea y no estaban disponibles para este sistema en sus fechas pasadas. Las previsiones de la empresa no están disponibles en esta fuente.
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}Cómo cambió, día a día, la lectura de Krazerr sobre esta acción. Derivado de instantáneas inmutables: el pasado nunca se reescribe.
Por qué ahora: Momentum 70
A tener en cuenta: valoración exigente
Régimen de mercado: Favorable al riesgo · investment-intelligence-v1.22
Por qué ahora: Momentum 70
A tener en cuenta: valoración exigente
Régimen de mercado: Favorable al riesgo · investment-intelligence-v1.22
Por qué ahora: Momentum 78 · Timing 73
A tener en cuenta: valoración exigente
Régimen de mercado: Favorable al riesgo · investment-intelligence-v1.22
thesis-memory-v1 · Cambios señalados desde 10 puntos, solo dentro de la misma versión del modelo.
Sensibilidad estimada del escenario según supuestos del modelo y relaciones históricas. No es una predicción ni un intervalo de probabilidad calibrado.
Eventos que podrían cambiar la tesis. La relevancia es una regla declarada sobre hechos estructurados: no es una previsión de precio ni un juicio positivo o negativo.
Desde el modelo v1.6, la familia «Eventos» del riesgo usa estos valores (más alto = más riesgo). Una fecha desconocida sigue no disponible; no se interpreta como ausencia de resultados próximos.
| Riesgo | /100 | Por qué esta puntuación |
|---|---|---|
| Riesgo por resultados | 20 | resultados previstos: 90 en 5 días, 20 más allá de 21 · en 58 días |
| Riesgo por eventos relevantes | 20 | ningún documento SEC relevante en los últimos 30 días: nivel base |
event-risk-v1 · event-materiality-v1
Yahoo Finance · previsto
Relevancia 15 · bajaDividendo anual declarado 6,4800 USD · Pago 2026-11-09
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}Yahoo Finance · previsto · fecha confirmada por el proveedor
Relevancia 60 · media{
"id": "yf:earnings:DE:2026-11-25T12:30:00.000000Z",
"observation_id": "7af4ad14627c61784e126a7ef1a5dca998eedfb63cc5db0a7beb1fd5270e811d",
"corroborated_by": null,
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"time_precision": "datetime",
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}SEC · presentado
Relevancia 45 · mediaLeer el documento ↗{
"id": "sec:0000315189:0001104659-26-098904",
"observation_id": "81ba2b25a1b2758c0007894cd6c0667da11aab468b0c052e980a4c5ca0b25d29",
"corroborated_by": null,
"processed_at": "2026-09-24T12:43:17.793929Z",
"time_precision": "datetime",
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}Yahoo Finance · publicado · BPA por encima de la estimación
Relevancia 62 · mediaEPS 5,1000 · Estimación 4,7093 · Sorpresa 8,3% · Trimestre cerrado el 2026-07-31
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"time_precision": "quarter_end_only",
"period_end": "2026-07-31"
}SEC · presentado
Relevancia 55 · mediaLeer el documento ↗{
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}SEC · presentado
Relevancia 45 · mediaLeer el documento ↗{
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}SEC · presentado
Relevancia 55 · mediaLeer el documento ↗{
"id": "sec:0000315189:0001104659-26-053322",
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}Yahoo Finance · publicado · BPA por encima de la estimación
Relevancia 73 · altaEPS 6,5500 · Estimación 5,7421 · Sorpresa 14,1% · Trimestre cerrado el 2026-04-30
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Relevancia 55 · mediaLeer el documento ↗{
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Relevancia 45 · mediaLeer el documento ↗{
"id": "sec:0000315189:0001104659-26-017239",
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Relevancia 76 · altaEPS 2,4200 · Estimación 2,0967 · Sorpresa 15,4% · Trimestre cerrado el 2026-01-31
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Relevancia 55 · mediaLeer el documento ↗{
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}55 eventos de baja relevancia (dividendos, splits, documentos sin clasificar) no se listan aquí; siguen disponibles en la API y en el catálogo de documentos. Documentos y eventos corporativos ↓
Relevancia 0–100 según reglas versionadas: secciones 8-K declaradas (por ejemplo quiebra 95, estados no fiables 90, cambios de directivos 55), tipo de formulario, resultados previstos (60, +15 en 14 días), resultados publicados (45 más hasta 40 en proporción a la sorpresa del BPA, saturando al 20%). Alta desde 70, media desde 40. El sentimiento existe solo para la sorpresa del BPA (±2%). La confianza refleja la fuente y la precisión de la fecha.
Reglas heurísticas no calibradas con rentabilidades; no se lee el texto de los documentos. El calendario de Yahoo no es una fuente primaria y el historial de resultados carece de fechas de publicación. Eventos macro (Fed, IPC, PCE, empleo), previsiones, fusiones y noticias aún no están conectados. Los eventos no modifican las puntuaciones.
Última comprobación UTC: yfinance 2026-09-28T15:59:51.809588Z · sec-edgar 2026-09-28T17:38:26.816594Z · event-materiality-v1
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"surprise_saturation": 0.2,
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"dividend": 15,
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"corroborated_confidence": 90,
"corroboration_days": 1,
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}Ninguna noticia reciente que trate directamente de la empresa.
10 titulares del feed no mostrados (comentarios o comparaciones 1, poco relevantes 1, no tratan de la empresa 8)
Solo titulares de Yahoo Finance (agregador, no fuente primaria): el texto de los artículos no se lee ni se guarda. Solo se muestran las noticias que nombran a la empresa, clasificadas con reglas declaradas; la materialidad no es un juicio positivo o negativo y las noticias no entran en las puntuaciones. · news-events-v1
Documentos oficiales de la SEC. Las categorías describen los temas declarados, no el impacto en el precio: abra la fuente para verificar qué cambió. Estos documentos no modifican automáticamente las puntuaciones.
SEC · 10-Q
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
SEC · 8-K
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
SEC · 8-K
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
SEC · 8-K
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
SEC · 10-Q
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
SEC · 8-K
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
SEC · 8-K
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
SEC · 8-K
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
SEC · 8-K
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
SEC · 10-Q
Leer el documento ↗La fecha principal es la de presentación, no necesariamente la del evento. La hora de aceptación la comunica el proveedor. «Primera adquisición» indica cuándo Krazerr observó el documento; las revisiones de metadatos conservan sus propias fechas.
Última comprobación UTC: 2026-09-28T17:38:26.816594Z · Hasta 100 documentos del catálogo SEC reciente; no es un archivo completo
Calculado el: 2026-09-28T16:00:26.741908Z
Más 52 observaciones de las empresas comparables, resumidas aquí; la lista completa se conserva en la feature snapshot del análisis.
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]Puntuaciones del modelo, no recomendaciones personales. Un dato ausente no es cero.
Método, fuentes y límites · Validación · Track Record · Noticias y eventos · Tu espacio