The Boeing

BA · NYSE · USD

193,56 $Variación respecto al cierre anterior: +0,67 %Variación absoluta: +1,28 $

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+34,50 %
2025 frente a 2024
Margen neto
2,5 %
2024: -17,8 %

Datos financieros

Importes en millones de USD; valores por acción en USD; acciones en millones.

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total165.870164.787168.235150.023155.120156.494156.363137.695142.720134.484137.012134.281
Activo corriente124.630124.141128.459122.132127.301127.662127.998109.436114.439106.532109.275106.935
Efectivo y equivalentes7.2399.44110.9216.1737.08710.14213.8019.96110.8946.91412.6916.811
Inversiones a corto plazo12.05610.73717.73716.10215.17113.51112.4604881.7065943.2526.540
Cuentas por cobrar13.17513.27812.10512.34612.45112.23511.02412.25012.81512.63210.99212.216
Existencias88.38887.22584.67982.42587.85389.07787.55083.34185.66183.47179.74178.972
Inmovilizado material neto16.68616.15217.48412.07811.65811.45913.39611.23610.97610.69612.35110.484
Fondo de comercio17.55417.63317.2757.2817.2808.0918.0848.1128.1088.0898.0938.069
Otros activos intangibles1.5311.5171.5671.4951.5421.9041.9572.0112.0672.0342.0942.143
Inversiones a largo plazo1.1171.0481.0481.0501.0361.0019991.0301.0261.0421.0351.061
Pasivo corriente109.563105.547108.115103.324103.376103.65497.07897.30096.63093.25895.82793.062
Proveedores14.34613.71313.10911.73211.23811.03411.36412.26711.86411.61611.96411.143
Deuda a largo plazo41.03144.10745.49844.43544.42445.46452.43352.92352.90446.62646.92747.140
Deuda total48.36249.61456.36555.70355.64755.87855.95857.65057.92747.940——
Pasivo total159.755158.800162.778158.276158.416159.819160.277161.257160.702151.500154.240150.998
Patrimonio neto (incl. minoritarios)6.1155.9875.457-8.253-3.296-3.325-3.914-23.562-17.982-17.016-17.228-16.717
Reservas16.63217.16217.2529.11814.54215.23915.36219.29925.46926.90827.25127.274
Intereses minoritarios15,0—3,0-3,0-1,0—-6,0-10,0-6,0-7,05,012,0