YPF Sociedad Anónim...
BASE:YPFD
$ 60.100,00
$-1.450,00 (-2,36%)
60.100,00 $
$-1.450,00 (-2,36%)
End-of-day quote: 03/23/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$2,11k
Earnings Per Share
$52,18k
Revenue Per Share
27,63%
Gross Margin %
$24.208,40 B
Market Cap
$7.249,72 B
Long-Term Debt
Earnings Per Share
$2,11k
Revenue Per Share
$52,18k
Gross Margin %
27,63%
Market Cap
$24.208,40 B
Long-Term Debt
$7.249,72 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012
EPS Earnings Per Share $6,37k $6,37k $-2.833,26 $1,14k $-6,48 $-177,42 $-86,85 $98,43 $31,43 $-72,13 $11,68 $22,95 $13,05 $9,92
Earnings Earnings $2,51T $2,51T $-1,11T $448,75B $-2,55B $-69,78B $-34,16B $38,71B $12,36B $-28,37B $4,58B $9,03B $5,12B $3,90B
RPS Revenue Per Share $0,00 $52,18k $52,18k $37,24k $9,60k $3,64k $2,15k $1,73k $1,11k $642,78 $534,18 $398,20 $360,89 $229,83 $170,79
Revenue Revenue $0,00M $20,52T $20,52T $14,65T $3,77T $1,43T $846,61B $678,60B $435,82B $252,81B $210,10B $156,14B $141,94B $90,11B $67,17B
OCF Operating Cash Flow $0,00M $6,24T $6,24T $5,00T $1,15T $454,73B $268,54B $217,14B $125,06B $71,97B $49,18B $41,40B $46,15B $24,75B $17,30B
FCF Free Cash Flow $0,00M $-1,26T $-808,94B $-101,85B $301,30B $189,82B $94,60B $55,68B $36,77B $12,36B $-14,98B $-22,37B $-4,06B $-6,68B $898,00M
OM Operating Margin 0,00% 0,00% 8,92% 2,87% 11,37% 7,22% -9,79% 3,22% 6,55% 4,78% 4,96% 12,26% 13,90% 11,93% 12,42%
GM % Gross Margin % 0,00% 0,00% 27,63% 17,68% 25,76% 22,41% 10,20% 15,93% 17,97% 16,73% 16,16% 23,28% 24,60% 24,43% 25,17%
FCFS Free Cash Flow Per Share $0,00 $0,00 $544,34 $467,86 $520,81 $420,61 $240,98 $141,93 $93,72 $31,47 $-38,26 $-57,05 $-10,35 $-16,99 $2,28
LT Debt Long-Term Debt N/A $7,25T $7,25T $5,39T $1,05T $670,54B $527,58B $419,65B $270,25B $151,73B $127,57B $77,93B $36,03B $23,08B $12,10B
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