US Stock MarketDetailed Quotes

BDORY Banco do Brasil

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  • 4.785
  • -0.025-0.52%
15min DelayTrading Jul 30 13:44 ET
27.31BMarket Cap4.51P/E (TTM)

Banco do Brasil Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
19.06%8.68B
8.70%33.82B
-5.98%8.59B
13.97%8.66B
20.56%9.27B
9.14%7.29B
57.85%31.11B
70.79%9.14B
402.99%7.6B
1.35%7.69B
Deferred tax
----
-25.87%6.96B
-99.45%19.43M
30.31%2.67B
----
----
111.26%9.38B
125.89%3.52B
--2.05B
--2.28B
Other non cashItems
7.97%11.11B
19.60%-306.86M
-767.09%-276.38M
17.80%-350.77M
-5,197.51%-9.97B
5,461.41%10.29B
6.40%-381.66M
217.36%41.43M
-1,152.00%-426.74M
268.30%195.55M
Change in working capital
248.48%38.19B
-1,448.66%-59B
205.53%11.44B
-174.73%-36.92B
-137.71%-7.8B
-422.01%-25.72B
104.64%4.37B
-170.45%-10.85B
-4,808.12%-13.44B
2,704.10%20.67B
-Change in loans
10.21%-64.34B
36.00%-50.44B
690.39%111.17B
-189.19%-160.73B
1,264.54%70.77B
-4,391.33%-71.65B
26.92%-78.82B
47.75%-18.83B
-66.22%-55.58B
77.23%-6.08B
-Change in other current assets
84.53%-2.85B
178.84%5.7B
72.76%54.34B
-79.29%-56.05B
8,085.95%25.85B
-138.04%-18.43B
41.64%-7.24B
354.98%31.45B
-1,060.09%-31.26B
105.36%315.76M
-Change in other current liabilities
289.75%18.49B
-10.65%-14.61B
80.55%-5.31B
47.52%-3.88B
219.33%4.32B
-148.44%-9.74B
-251.43%-13.2B
-76.90%-27.29B
-236.12%-7.39B
-78.05%1.35B
Cash from discontinued operating activities
Operating cash flow
520.99%52.89B
-79.42%13.31B
452.75%28.68B
-266.69%-12.09B
-74.28%9.28B
-177.77%-12.56B
240.06%64.69B
-82.19%5.19B
-50.00%7.25B
242.51%36.1B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
-337.84%-29.59B
232.77%21.45B
-192.32%-18.42B
159.90%11.83B
236.10%15.6B
354.02%12.44B
67.67%-16.16B
175.89%19.96B
17.22%-19.75B
-496.12%-11.46B
Net PPE purchase and sale
-25.59%-369.05M
-66.82%-2.89B
-40.36%-828.87M
7.01%-586.99M
-237.09%-1.18B
-82.14%-293.87M
-4.11%-1.73B
32.83%-590.55M
-53.71%-631.23M
-32.83%-350.98M
Net intangibles purchase and sale
-30.16%-282.54M
58.67%-2.01B
59.09%-600.64M
89.70%-306.12M
-299.91%-882.75M
-10.93%-217.08M
-53.96%-4.86B
34.66%-1.47B
-438.40%-2.97B
-13.49%-220.74M
Net business purchase and sale
----
-104.84%-31.2M
--0
--0
----
----
224.86%645.06M
--0
--0
--0
Cash from discontinued investing activities
Investing cash flow
-320.21%-28.63B
221.73%21.77B
-198.36%-18.59B
157.49%12.32B
232.16%15.04B
427.04%13B
66.43%-17.88B
166.08%18.9B
11.61%-21.43B
-610.76%-11.38B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
94.83%-374.58M
43.44%-6.92B
19,647.61%7.12B
-4,328.14%-7.12B
137.18%334.65M
35.29%-7.25B
14.83%-12.23B
231.23%36.06M
94.96%-160.8M
60.67%-900.04M
Cash dividends paid
----
-9.71%-12.96B
1.71%-3.23B
----
----
----
-82.96%-11.81B
-102.27%-3.28B
----
----
Net other financing activities
----
-584.49%-10.77B
----
----
----
----
31.42%-1.57B
----
----
8.49%-1.05B
Cash from discontinued financing activities
Financing cash flow
58.13%-5.16B
-22.48%-33.04B
-52.56%-5.85B
-31.46%-4.82B
-118.88%-10.04B
17.17%-12.33B
-13.46%-26.98B
-39.48%-3.83B
27.18%-3.67B
10.09%-4.59B
Net cash flow
Beginning cash position
-20.09%55B
26.30%68.83B
22.47%61.47B
-4.02%65.26B
21.91%55.16B
26.30%68.83B
-69.07%54.49B
-10.20%50.2B
0.72%67.99B
-31.40%45.24B
Current changes in cash
260.50%19.09B
-89.71%2.04B
-79.08%4.24B
74.28%-4.59B
-29.04%14.29B
-338.65%-11.9B
116.09%19.83B
1,009.47%20.26B
-20.76%-17.85B
162.59%20.13B
Effect of exchange rate changes
155.90%992.67M
-188.42%-15.87B
-557.45%-10.71B
1,402.70%804.27M
-259.77%-4.18B
72.86%-1.78B
-454.12%-5.5B
-298.33%-1.63B
-98.32%53.52M
142.82%2.62B
End cash position
36.13%75.08B
-20.09%55B
-20.09%55B
22.47%61.47B
-4.02%65.26B
21.91%55.16B
26.30%68.83B
26.30%68.83B
-10.20%50.2B
0.72%67.99B
Free cash flow
498.87%52.15B
-85.52%8.41B
770.78%27.25B
-455.74%-12.98B
-79.68%7.22B
-182.77%-13.07B
213.70%58.1B
-87.96%3.13B
-73.10%3.65B
252.83%35.53B
Currency Unit
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
(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(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 19.06%8.68B8.70%33.82B-5.98%8.59B13.97%8.66B20.56%9.27B9.14%7.29B57.85%31.11B70.79%9.14B402.99%7.6B1.35%7.69B
Deferred tax -----25.87%6.96B-99.45%19.43M30.31%2.67B--------111.26%9.38B125.89%3.52B--2.05B--2.28B
Other non cashItems 7.97%11.11B19.60%-306.86M-767.09%-276.38M17.80%-350.77M-5,197.51%-9.97B5,461.41%10.29B6.40%-381.66M217.36%41.43M-1,152.00%-426.74M268.30%195.55M
Change in working capital 248.48%38.19B-1,448.66%-59B205.53%11.44B-174.73%-36.92B-137.71%-7.8B-422.01%-25.72B104.64%4.37B-170.45%-10.85B-4,808.12%-13.44B2,704.10%20.67B
-Change in loans 10.21%-64.34B36.00%-50.44B690.39%111.17B-189.19%-160.73B1,264.54%70.77B-4,391.33%-71.65B26.92%-78.82B47.75%-18.83B-66.22%-55.58B77.23%-6.08B
-Change in other current assets 84.53%-2.85B178.84%5.7B72.76%54.34B-79.29%-56.05B8,085.95%25.85B-138.04%-18.43B41.64%-7.24B354.98%31.45B-1,060.09%-31.26B105.36%315.76M
-Change in other current liabilities 289.75%18.49B-10.65%-14.61B80.55%-5.31B47.52%-3.88B219.33%4.32B-148.44%-9.74B-251.43%-13.2B-76.90%-27.29B-236.12%-7.39B-78.05%1.35B
Cash from discontinued operating activities
Operating cash flow 520.99%52.89B-79.42%13.31B452.75%28.68B-266.69%-12.09B-74.28%9.28B-177.77%-12.56B240.06%64.69B-82.19%5.19B-50.00%7.25B242.51%36.1B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale -337.84%-29.59B232.77%21.45B-192.32%-18.42B159.90%11.83B236.10%15.6B354.02%12.44B67.67%-16.16B175.89%19.96B17.22%-19.75B-496.12%-11.46B
Net PPE purchase and sale -25.59%-369.05M-66.82%-2.89B-40.36%-828.87M7.01%-586.99M-237.09%-1.18B-82.14%-293.87M-4.11%-1.73B32.83%-590.55M-53.71%-631.23M-32.83%-350.98M
Net intangibles purchase and sale -30.16%-282.54M58.67%-2.01B59.09%-600.64M89.70%-306.12M-299.91%-882.75M-10.93%-217.08M-53.96%-4.86B34.66%-1.47B-438.40%-2.97B-13.49%-220.74M
Net business purchase and sale -----104.84%-31.2M--0--0--------224.86%645.06M--0--0--0
Cash from discontinued investing activities
Investing cash flow -320.21%-28.63B221.73%21.77B-198.36%-18.59B157.49%12.32B232.16%15.04B427.04%13B66.43%-17.88B166.08%18.9B11.61%-21.43B-610.76%-11.38B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 94.83%-374.58M43.44%-6.92B19,647.61%7.12B-4,328.14%-7.12B137.18%334.65M35.29%-7.25B14.83%-12.23B231.23%36.06M94.96%-160.8M60.67%-900.04M
Cash dividends paid -----9.71%-12.96B1.71%-3.23B-------------82.96%-11.81B-102.27%-3.28B--------
Net other financing activities -----584.49%-10.77B----------------31.42%-1.57B--------8.49%-1.05B
Cash from discontinued financing activities
Financing cash flow 58.13%-5.16B-22.48%-33.04B-52.56%-5.85B-31.46%-4.82B-118.88%-10.04B17.17%-12.33B-13.46%-26.98B-39.48%-3.83B27.18%-3.67B10.09%-4.59B
Net cash flow
Beginning cash position -20.09%55B26.30%68.83B22.47%61.47B-4.02%65.26B21.91%55.16B26.30%68.83B-69.07%54.49B-10.20%50.2B0.72%67.99B-31.40%45.24B
Current changes in cash 260.50%19.09B-89.71%2.04B-79.08%4.24B74.28%-4.59B-29.04%14.29B-338.65%-11.9B116.09%19.83B1,009.47%20.26B-20.76%-17.85B162.59%20.13B
Effect of exchange rate changes 155.90%992.67M-188.42%-15.87B-557.45%-10.71B1,402.70%804.27M-259.77%-4.18B72.86%-1.78B-454.12%-5.5B-298.33%-1.63B-98.32%53.52M142.82%2.62B
End cash position 36.13%75.08B-20.09%55B-20.09%55B22.47%61.47B-4.02%65.26B21.91%55.16B26.30%68.83B26.30%68.83B-10.20%50.2B0.72%67.99B
Free cash flow 498.87%52.15B-85.52%8.41B770.78%27.25B-455.74%-12.98B-79.68%7.22B-182.77%-13.07B213.70%58.1B-87.96%3.13B-73.10%3.65B252.83%35.53B
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL

Analysis

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