Reitir hf.
112,00 krVariación respecto al cierre anterior: 0,00 %
En resumen
- Crecimiento de los ingresos
- +10,78 %
- 2025 frente a 2024
- Crecimiento del beneficio neto
- −27,40 %
- 2025 frente a 2024
- Margen neto
- 60,8 %
- 2024: 92,8 %
Datos financieros
Importes en millones de ISK; valores por acción en ISK; acciones en millones.
| Partida | T2 2026 | T1 2026 | T4 2025 | T3 2025 | T2 2025 | T1 2025 | T4 2024 | T3 2024 | T2 2024 | T1 2024 | T4 2023 | T3 2023 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Activo total | 268.847 | 261.065 | 256.061 | 248.768 | 238.735 | 235.890 | 231.369 | 217.988 | 212.441 | 198.769 | 193.381 | 187.999 |
| Activo corriente | 5.798 | 2.747 | 3.313 | 5.166 | 3.869 | — | — | — | — | — | — | — |
| Efectivo y equivalentes | 2.446 | 340 | 964 | 2.480 | 1.652 | 1.344 | 2.158 | 2.790 | 1.967 | 1.090 | 1.277 | 2.217 |
| Inmovilizado material neto | 263.049 | 258.318 | 252.748 | 243.602 | 234.866 | 230.812 | 226.679 | 213.006 | 208.987 | 195.930 | 190.194 | 184.110 |
| Pasivo corriente | 25.528 | 16.806 | 13.900 | 8.326 | 8.290 | — | — | — | — | — | — | — |
| Proveedores | 3.720 | 1.273 | 1.248 | 2.931 | 3.193 | — | — | — | — | — | — | — |
| Deuda a largo plazo | 134.487 | 136.113 | 132.096 | 137.100 | 130.257 | — | — | — | — | — | — | — |
| Deuda total | 163.427 | 154.801 | 150.448 | 149.016 | 141.875 | — | — | — | — | — | — | — |
| Pasivo total | 191.609 | 184.143 | 176.962 | 174.573 | 167.027 | — | — | — | — | — | — | — |
| Patrimonio neto (incl. minoritarios) | 77.238 | 76.922 | 79.099 | 74.195 | 71.708 | 73.072 | 72.429 | 67.501 | 66.381 | 60.366 | 60.273 | 58.032 |
| Reservas | 56.980 | 56.883 | 50.356 | 50.522 | 49.567 | 52.621 | 35.489 | 35.494 | 35.980 | 36.268 | 34.601 | 29.617 |
