US Stock MarketDetailed Quotes

ABEV Ambev SA

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  • 2.190
  • 0.0000.00%
Trading Nov 25 12:03 ET
34.44BMarket Cap14.41P/E (TTM)

Ambev SA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
18.69%20.94B
23.42%15.34B
10.67%13.92B
6.21%16.34B
6.21%16.34B
-7.44%17.64B
-20.65%12.43B
-11.62%12.58B
-17.05%15.38B
-17.05%15.38B
-Cash and cash equivalents
13.61%19.78B
16.81%14.15B
5.16%12.84B
7.59%16.06B
7.59%16.06B
-1.69%17.41B
-14.24%12.12B
-5.23%12.21B
-10.23%14.93B
-10.23%14.93B
-Short-term investments
408.30%1.15B
278.67%1.19B
194.89%1.08B
-39.01%277.2M
-39.01%277.2M
-83.14%227.16M
-79.59%313.5M
-72.86%365.28M
-76.26%454.5M
-76.26%454.5M
Receivables
11.67%8.56B
9.55%9.06B
4.02%8.42B
11.88%9.18B
11.88%9.18B
-5.31%7.66B
3.32%8.27B
16.10%8.1B
10.78%8.2B
10.78%8.2B
-Accounts receivable
10.21%6.09B
20.63%5.88B
4.24%5.26B
7.34%5.74B
7.34%5.74B
2.54%5.52B
2.23%4.88B
15.12%5.05B
11.63%5.35B
11.63%5.35B
-Taxes receivable
15.43%2.47B
-6.38%3.18B
3.65%3.16B
20.40%3.44B
20.40%3.44B
-20.93%2.14B
4.94%3.39B
17.75%3.05B
9.22%2.85B
9.22%2.85B
Inventory
-3.28%10.46B
-10.34%10.81B
-18.60%10.31B
-27.73%9.08B
-27.73%9.08B
-10.15%10.82B
-1.12%12.06B
16.32%12.67B
21.35%12.56B
21.35%12.56B
Prepaid assets
--629.18M
--617.35M
6.90%385.05M
50.13%537.9M
50.13%537.9M
----
----
-32.48%360.19M
-44.53%358.3M
-44.53%358.3M
Other current assets
49.16%1.55B
20.49%1.56B
2.36%1.35B
1.43%1.05B
1.43%1.05B
-19.59%1.04B
5.49%1.29B
8.06%1.32B
-4.15%1.04B
-4.15%1.04B
Total current assets
13.63%42.67B
11.63%38.32B
-1.99%34.68B
-3.31%36.56B
-3.31%36.56B
-9.64%37.55B
-10.24%34.32B
2.61%35.38B
-2.10%37.82B
-2.10%37.82B
Non current assets
Net PPE
-0.54%28.77B
-0.91%29.02B
-7.27%27.63B
-11.40%26.63B
-11.40%26.63B
-3.35%28.93B
-0.35%29.28B
8.35%29.79B
2.84%30.06B
2.84%30.06B
-Gross PPE
7.94%80B
8.36%79.12B
1.46%74.1B
-2.86%69.88B
-2.86%69.88B
3.34%74.12B
4.73%73.02B
11.61%73.03B
5.19%71.93B
5.19%71.93B
-Accumulated depreciation
-13.38%-51.24B
-14.57%-50.1B
-7.48%-46.47B
-3.27%-43.25B
-3.27%-43.25B
-8.14%-45.19B
-8.43%-43.73B
-13.97%-43.24B
-6.94%-41.88B
-6.94%-41.88B
Goodwill and other intangible assets
8.55%53.45B
10.83%53.71B
1.28%50.07B
-3.55%48.05B
-3.55%48.05B
-3.10%49.23B
-2.85%48.46B
5.35%49.43B
-2.51%49.82B
-2.51%49.82B
-Goodwill
5.34%41.89B
7.05%42.09B
-2.03%39.37B
-6.38%38B
-6.38%38B
-4.47%39.77B
-4.86%39.32B
2.53%40.18B
-4.28%40.59B
-4.28%40.59B
-Other intangible assets
22.06%11.55B
27.09%11.62B
15.67%10.7B
8.89%10.04B
8.89%10.04B
3.14%9.46B
6.88%9.14B
19.64%9.25B
6.14%9.22B
6.14%9.22B
Investments and advances
4.14%576.02M
0.01%576.35M
-8.15%540.81M
-3.58%531.3M
-3.58%531.3M
0.34%553.14M
6.96%576.29M
21.85%588.83M
10.62%551M
10.62%551M
Non current accounts receivable
4.95%11.26B
7.54%11.67B
3.07%11.46B
0.08%11.33B
0.08%11.33B
10.09%10.73B
5.78%10.85B
-6.49%11.12B
-8.24%11.32B
-8.24%11.32B
Financial assets
444.09%2.39M
1,875.68%731K
--0
13.33%1.7M
13.33%1.7M
--440K
--37K
-90.23%47K
-6.25%1.5M
-6.25%1.5M
Non current deferred assets
-1.02%9.14B
9.81%8.86B
13.76%8.21B
23.77%7.97B
23.77%7.97B
23.48%9.23B
27.40%8.07B
76.36%7.21B
36.19%6.44B
36.19%6.44B
Defined pension benefit
18.80%65.59M
24.99%66.39M
7.12%59.59M
1.24%57.3M
1.24%57.3M
97.10%55.21M
109.25%53.11M
142.02%55.62M
102.87%56.6M
102.87%56.6M
Other non current assets
-16.87%1.35B
-27.17%1.22B
-37.33%1.18B
-20.18%1.52B
-20.18%1.52B
-17.23%1.63B
-15.04%1.68B
-6.29%1.89B
-7.66%1.91B
-7.66%1.91B
Total non current assets
4.24%104.61B
6.22%105.12B
-0.95%99.14B
-4.05%96.08B
-4.05%96.08B
-0.14%100.36B
0.58%98.97B
7.71%100.09B
0.17%100.14B
0.17%100.14B
Total assets
6.80%147.29B
7.61%143.44B
-1.22%133.82B
-3.85%132.64B
-3.85%132.64B
-2.92%137.91B
-2.44%133.29B
6.33%135.47B
-0.46%137.96B
-0.46%137.96B
Liabilities
Current liabilities
Payables
22.64%30.96B
12.24%27.86B
2.93%28.54B
-1.30%32.3B
-1.30%32.3B
-8.55%25.25B
-8.90%24.83B
-1.99%27.73B
0.45%32.72B
0.45%32.72B
-accounts payable
15.64%21.07B
11.73%20.76B
1.04%21.85B
-4.66%23.2B
-4.66%23.2B
-14.50%18.22B
-12.28%18.58B
-1.51%21.62B
-2.99%24.33B
-2.99%24.33B
-Total tax payable
2.51%5.69B
12.71%5.42B
10.87%5.17B
9.31%7.58B
9.31%7.58B
14.60%5.55B
3.58%4.81B
-7.53%4.66B
14.06%6.93B
14.06%6.93B
-Dividends payable
13.30%1.67B
17.22%1.68B
5.57%1.52B
4.19%1.53B
4.19%1.53B
1.58%1.47B
0.80%1.44B
11.52%1.44B
2.79%1.46B
2.79%1.46B
-Other payable
--2.53B
----
----
----
----
----
----
----
----
----
Current accrued expenses
----
6.50%2.06B
-5.34%1.68B
-8.87%2.13B
-8.87%2.13B
1.44%2.26B
8.58%1.94B
14.17%1.77B
-4.25%2.34B
-4.25%2.34B
Current provisions
42.43%500.33M
4.75%502.47M
181.04%512.25M
131.54%418.4M
131.54%418.4M
91.87%351.29M
162.71%479.67M
-0.44%182.27M
4.88%180.7M
4.88%180.7M
Current debt and capital lease obligation
-2.10%1.21B
-12.61%1.24B
27.16%1.65B
22.82%1.3B
22.82%1.3B
3.07%1.24B
0.81%1.42B
42.74%1.3B
20.43%1.06B
20.43%1.06B
-Current debt
-87.26%157.65M
-43.35%153.79M
61.37%547.59M
-44.68%151.2M
-44.68%151.2M
130.97%1.24B
-61.55%271.47M
21.15%339.33M
21.68%273.3M
21.68%273.3M
-Current capital lease obligation
--1.05B
-5.38%1.09B
15.01%1.1B
46.36%1.15B
46.36%1.15B
----
63.09%1.15B
52.38%955.79M
20.00%783.6M
20.00%783.6M
Other current liabilities
-36.88%3B
-46.04%2.94B
-45.55%2.53B
14.60%4.86B
14.60%4.86B
26.28%4.75B
66.92%5.45B
107.19%4.65B
51.66%4.24B
51.66%4.24B
Current liabilities
5.40%35.67B
1.45%34.62B
-2.02%34.91B
1.15%41.01B
1.15%41.01B
-3.24%33.85B
0.66%34.12B
7.39%35.63B
4.31%40.54B
4.31%40.54B
Non current liabilities
Long term provisions
32.80%620.99M
23.89%581.2M
-33.67%485.43M
-24.28%559.6M
-24.28%559.6M
-41.79%467.61M
-23.83%469.14M
25.85%731.82M
22.39%739M
22.39%739M
Long term debt and capital lease obligation
-12.60%2.17B
-17.23%2.21B
-18.13%2.17B
-20.99%2.2B
-20.99%2.2B
11.85%2.48B
16.08%2.67B
22.15%2.65B
23.72%2.79B
23.72%2.79B
-Long term debt
-86.75%328.76M
-20.63%345.08M
-18.26%363.74M
-13.93%391M
-13.93%391M
965.12%2.48B
73.10%434.78M
80.29%445M
70.02%454.3M
70.02%454.3M
-Long term capital lease obligation
--1.84B
-16.57%1.87B
-18.10%1.81B
-22.36%1.81B
-22.36%1.81B
----
9.10%2.24B
14.69%2.21B
17.49%2.33B
17.49%2.33B
Non current deferred liabilities
15.45%4.57B
22.23%4.55B
-1.10%3.72B
-10.93%3.32B
-10.93%3.32B
4.57%3.96B
5.80%3.73B
27.86%3.76B
15.92%3.73B
15.92%3.73B
Employee benefits
8.35%2.17B
10.47%2.19B
-1.60%2.02B
-6.91%2.01B
-6.91%2.01B
-28.08%2B
-30.96%1.98B
-24.68%2.05B
-32.34%2.16B
-32.34%2.16B
Derivative product liabilities
--0
-99.99%166K
--0
-42.28%1.09B
-42.28%1.09B
-59.67%1.15B
-50.88%1.45B
-37.52%1.68B
-44.94%1.9B
-44.94%1.9B
Other non current liabilities
--944.67M
--949.57M
--834.55M
----
----
----
----
----
----
----
Total non current liabilities
1.77%12.73B
-0.17%12.79B
-13.95%11.53B
-18.41%11.5B
-18.41%11.5B
-19.48%12.51B
-15.46%12.81B
-4.47%13.4B
-10.36%14.09B
-10.36%14.09B
Total liabilities
4.42%48.4B
1.01%47.4B
-5.28%46.44B
-3.90%52.5B
-3.90%52.5B
-8.23%46.35B
-4.32%46.93B
3.87%49.03B
0.08%54.63B
0.08%54.63B
Shareholders'equity
Share capital
0.08%58.23B
0.08%58.23B
0.08%58.23B
0.08%58.18B
0.08%58.18B
0.08%58.18B
0.08%58.18B
0.08%58.18B
0.15%58.13B
0.15%58.13B
-common stock
0.08%58.23B
0.08%58.23B
0.08%58.23B
0.08%58.18B
0.08%58.18B
0.08%58.18B
0.08%58.18B
0.08%58.18B
0.15%58.13B
0.15%58.13B
Retained earnings
7.73%14.83B
21.17%10.58B
31.46%6.53B
----
----
11.89%13.77B
7.54%8.73B
20.13%4.97B
----
----
Paid-in capital
----
----
----
----
----
--53.66B
--53.66B
----
----
----
Less: Treasury stock
----
----
----
----
----
--1.1B
--1.06B
----
----
----
Gains losses not affecting retained earnings
162.08%98.56B
161.83%98.47B
6.91%98.69B
6.96%98.67B
6.96%98.67B
-56.49%37.61B
87.92%37.61B
6.91%92.31B
6.79%92.25B
6.79%92.25B
Other equity interest
-2.26%-73.48B
0.05%-72.01B
-9.08%-76.86B
-13.82%-77.88B
-13.82%-77.88B
-7.74%-71.86B
---72.05B
-1.11%-70.46B
-10.75%-68.42B
-10.75%-68.42B
Total stockholders'equity
8.74%98.14B
11.98%95.26B
1.88%86.59B
-3.64%78.97B
-3.64%78.97B
0.09%90.25B
-1.38%85.07B
7.70%85B
-0.83%81.96B
-0.83%81.96B
Noncontrolling interests
-43.07%743.69M
-40.17%772.58M
-45.56%782.39M
-14.41%1.17B
-14.41%1.17B
-4.89%1.31B
-2.46%1.29B
12.87%1.44B
-0.17%1.37B
-0.17%1.37B
Total equity
8.00%98.88B
11.20%96.04B
1.09%87.38B
-3.82%80.14B
-3.82%80.14B
0.01%91.56B
-1.39%86.37B
7.78%86.44B
-0.82%83.33B
-0.82%83.33B
Currency Unit
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 18.69%20.94B23.42%15.34B10.67%13.92B6.21%16.34B6.21%16.34B-7.44%17.64B-20.65%12.43B-11.62%12.58B-17.05%15.38B-17.05%15.38B
-Cash and cash equivalents 13.61%19.78B16.81%14.15B5.16%12.84B7.59%16.06B7.59%16.06B-1.69%17.41B-14.24%12.12B-5.23%12.21B-10.23%14.93B-10.23%14.93B
-Short-term investments 408.30%1.15B278.67%1.19B194.89%1.08B-39.01%277.2M-39.01%277.2M-83.14%227.16M-79.59%313.5M-72.86%365.28M-76.26%454.5M-76.26%454.5M
Receivables 11.67%8.56B9.55%9.06B4.02%8.42B11.88%9.18B11.88%9.18B-5.31%7.66B3.32%8.27B16.10%8.1B10.78%8.2B10.78%8.2B
-Accounts receivable 10.21%6.09B20.63%5.88B4.24%5.26B7.34%5.74B7.34%5.74B2.54%5.52B2.23%4.88B15.12%5.05B11.63%5.35B11.63%5.35B
-Taxes receivable 15.43%2.47B-6.38%3.18B3.65%3.16B20.40%3.44B20.40%3.44B-20.93%2.14B4.94%3.39B17.75%3.05B9.22%2.85B9.22%2.85B
Inventory -3.28%10.46B-10.34%10.81B-18.60%10.31B-27.73%9.08B-27.73%9.08B-10.15%10.82B-1.12%12.06B16.32%12.67B21.35%12.56B21.35%12.56B
Prepaid assets --629.18M--617.35M6.90%385.05M50.13%537.9M50.13%537.9M---------32.48%360.19M-44.53%358.3M-44.53%358.3M
Other current assets 49.16%1.55B20.49%1.56B2.36%1.35B1.43%1.05B1.43%1.05B-19.59%1.04B5.49%1.29B8.06%1.32B-4.15%1.04B-4.15%1.04B
Total current assets 13.63%42.67B11.63%38.32B-1.99%34.68B-3.31%36.56B-3.31%36.56B-9.64%37.55B-10.24%34.32B2.61%35.38B-2.10%37.82B-2.10%37.82B
Non current assets
Net PPE -0.54%28.77B-0.91%29.02B-7.27%27.63B-11.40%26.63B-11.40%26.63B-3.35%28.93B-0.35%29.28B8.35%29.79B2.84%30.06B2.84%30.06B
-Gross PPE 7.94%80B8.36%79.12B1.46%74.1B-2.86%69.88B-2.86%69.88B3.34%74.12B4.73%73.02B11.61%73.03B5.19%71.93B5.19%71.93B
-Accumulated depreciation -13.38%-51.24B-14.57%-50.1B-7.48%-46.47B-3.27%-43.25B-3.27%-43.25B-8.14%-45.19B-8.43%-43.73B-13.97%-43.24B-6.94%-41.88B-6.94%-41.88B
Goodwill and other intangible assets 8.55%53.45B10.83%53.71B1.28%50.07B-3.55%48.05B-3.55%48.05B-3.10%49.23B-2.85%48.46B5.35%49.43B-2.51%49.82B-2.51%49.82B
-Goodwill 5.34%41.89B7.05%42.09B-2.03%39.37B-6.38%38B-6.38%38B-4.47%39.77B-4.86%39.32B2.53%40.18B-4.28%40.59B-4.28%40.59B
-Other intangible assets 22.06%11.55B27.09%11.62B15.67%10.7B8.89%10.04B8.89%10.04B3.14%9.46B6.88%9.14B19.64%9.25B6.14%9.22B6.14%9.22B
Investments and advances 4.14%576.02M0.01%576.35M-8.15%540.81M-3.58%531.3M-3.58%531.3M0.34%553.14M6.96%576.29M21.85%588.83M10.62%551M10.62%551M
Non current accounts receivable 4.95%11.26B7.54%11.67B3.07%11.46B0.08%11.33B0.08%11.33B10.09%10.73B5.78%10.85B-6.49%11.12B-8.24%11.32B-8.24%11.32B
Financial assets 444.09%2.39M1,875.68%731K--013.33%1.7M13.33%1.7M--440K--37K-90.23%47K-6.25%1.5M-6.25%1.5M
Non current deferred assets -1.02%9.14B9.81%8.86B13.76%8.21B23.77%7.97B23.77%7.97B23.48%9.23B27.40%8.07B76.36%7.21B36.19%6.44B36.19%6.44B
Defined pension benefit 18.80%65.59M24.99%66.39M7.12%59.59M1.24%57.3M1.24%57.3M97.10%55.21M109.25%53.11M142.02%55.62M102.87%56.6M102.87%56.6M
Other non current assets -16.87%1.35B-27.17%1.22B-37.33%1.18B-20.18%1.52B-20.18%1.52B-17.23%1.63B-15.04%1.68B-6.29%1.89B-7.66%1.91B-7.66%1.91B
Total non current assets 4.24%104.61B6.22%105.12B-0.95%99.14B-4.05%96.08B-4.05%96.08B-0.14%100.36B0.58%98.97B7.71%100.09B0.17%100.14B0.17%100.14B
Total assets 6.80%147.29B7.61%143.44B-1.22%133.82B-3.85%132.64B-3.85%132.64B-2.92%137.91B-2.44%133.29B6.33%135.47B-0.46%137.96B-0.46%137.96B
Liabilities
Current liabilities
Payables 22.64%30.96B12.24%27.86B2.93%28.54B-1.30%32.3B-1.30%32.3B-8.55%25.25B-8.90%24.83B-1.99%27.73B0.45%32.72B0.45%32.72B
-accounts payable 15.64%21.07B11.73%20.76B1.04%21.85B-4.66%23.2B-4.66%23.2B-14.50%18.22B-12.28%18.58B-1.51%21.62B-2.99%24.33B-2.99%24.33B
-Total tax payable 2.51%5.69B12.71%5.42B10.87%5.17B9.31%7.58B9.31%7.58B14.60%5.55B3.58%4.81B-7.53%4.66B14.06%6.93B14.06%6.93B
-Dividends payable 13.30%1.67B17.22%1.68B5.57%1.52B4.19%1.53B4.19%1.53B1.58%1.47B0.80%1.44B11.52%1.44B2.79%1.46B2.79%1.46B
-Other payable --2.53B------------------------------------
Current accrued expenses ----6.50%2.06B-5.34%1.68B-8.87%2.13B-8.87%2.13B1.44%2.26B8.58%1.94B14.17%1.77B-4.25%2.34B-4.25%2.34B
Current provisions 42.43%500.33M4.75%502.47M181.04%512.25M131.54%418.4M131.54%418.4M91.87%351.29M162.71%479.67M-0.44%182.27M4.88%180.7M4.88%180.7M
Current debt and capital lease obligation -2.10%1.21B-12.61%1.24B27.16%1.65B22.82%1.3B22.82%1.3B3.07%1.24B0.81%1.42B42.74%1.3B20.43%1.06B20.43%1.06B
-Current debt -87.26%157.65M-43.35%153.79M61.37%547.59M-44.68%151.2M-44.68%151.2M130.97%1.24B-61.55%271.47M21.15%339.33M21.68%273.3M21.68%273.3M
-Current capital lease obligation --1.05B-5.38%1.09B15.01%1.1B46.36%1.15B46.36%1.15B----63.09%1.15B52.38%955.79M20.00%783.6M20.00%783.6M
Other current liabilities -36.88%3B-46.04%2.94B-45.55%2.53B14.60%4.86B14.60%4.86B26.28%4.75B66.92%5.45B107.19%4.65B51.66%4.24B51.66%4.24B
Current liabilities 5.40%35.67B1.45%34.62B-2.02%34.91B1.15%41.01B1.15%41.01B-3.24%33.85B0.66%34.12B7.39%35.63B4.31%40.54B4.31%40.54B
Non current liabilities
Long term provisions 32.80%620.99M23.89%581.2M-33.67%485.43M-24.28%559.6M-24.28%559.6M-41.79%467.61M-23.83%469.14M25.85%731.82M22.39%739M22.39%739M
Long term debt and capital lease obligation -12.60%2.17B-17.23%2.21B-18.13%2.17B-20.99%2.2B-20.99%2.2B11.85%2.48B16.08%2.67B22.15%2.65B23.72%2.79B23.72%2.79B
-Long term debt -86.75%328.76M-20.63%345.08M-18.26%363.74M-13.93%391M-13.93%391M965.12%2.48B73.10%434.78M80.29%445M70.02%454.3M70.02%454.3M
-Long term capital lease obligation --1.84B-16.57%1.87B-18.10%1.81B-22.36%1.81B-22.36%1.81B----9.10%2.24B14.69%2.21B17.49%2.33B17.49%2.33B
Non current deferred liabilities 15.45%4.57B22.23%4.55B-1.10%3.72B-10.93%3.32B-10.93%3.32B4.57%3.96B5.80%3.73B27.86%3.76B15.92%3.73B15.92%3.73B
Employee benefits 8.35%2.17B10.47%2.19B-1.60%2.02B-6.91%2.01B-6.91%2.01B-28.08%2B-30.96%1.98B-24.68%2.05B-32.34%2.16B-32.34%2.16B
Derivative product liabilities --0-99.99%166K--0-42.28%1.09B-42.28%1.09B-59.67%1.15B-50.88%1.45B-37.52%1.68B-44.94%1.9B-44.94%1.9B
Other non current liabilities --944.67M--949.57M--834.55M----------------------------
Total non current liabilities 1.77%12.73B-0.17%12.79B-13.95%11.53B-18.41%11.5B-18.41%11.5B-19.48%12.51B-15.46%12.81B-4.47%13.4B-10.36%14.09B-10.36%14.09B
Total liabilities 4.42%48.4B1.01%47.4B-5.28%46.44B-3.90%52.5B-3.90%52.5B-8.23%46.35B-4.32%46.93B3.87%49.03B0.08%54.63B0.08%54.63B
Shareholders'equity
Share capital 0.08%58.23B0.08%58.23B0.08%58.23B0.08%58.18B0.08%58.18B0.08%58.18B0.08%58.18B0.08%58.18B0.15%58.13B0.15%58.13B
-common stock 0.08%58.23B0.08%58.23B0.08%58.23B0.08%58.18B0.08%58.18B0.08%58.18B0.08%58.18B0.08%58.18B0.15%58.13B0.15%58.13B
Retained earnings 7.73%14.83B21.17%10.58B31.46%6.53B--------11.89%13.77B7.54%8.73B20.13%4.97B--------
Paid-in capital ----------------------53.66B--53.66B------------
Less: Treasury stock ----------------------1.1B--1.06B------------
Gains losses not affecting retained earnings 162.08%98.56B161.83%98.47B6.91%98.69B6.96%98.67B6.96%98.67B-56.49%37.61B87.92%37.61B6.91%92.31B6.79%92.25B6.79%92.25B
Other equity interest -2.26%-73.48B0.05%-72.01B-9.08%-76.86B-13.82%-77.88B-13.82%-77.88B-7.74%-71.86B---72.05B-1.11%-70.46B-10.75%-68.42B-10.75%-68.42B
Total stockholders'equity 8.74%98.14B11.98%95.26B1.88%86.59B-3.64%78.97B-3.64%78.97B0.09%90.25B-1.38%85.07B7.70%85B-0.83%81.96B-0.83%81.96B
Noncontrolling interests -43.07%743.69M-40.17%772.58M-45.56%782.39M-14.41%1.17B-14.41%1.17B-4.89%1.31B-2.46%1.29B12.87%1.44B-0.17%1.37B-0.17%1.37B
Total equity 8.00%98.88B11.20%96.04B1.09%87.38B-3.82%80.14B-3.82%80.14B0.01%91.56B-1.39%86.37B7.78%86.44B-0.82%83.33B-0.82%83.33B
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--

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