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BSBR Banco Santander (Brasil)

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  • 4.720
  • +0.230+5.12%
Close Feb 14 16:00 ET
  • 4.974
  • +0.254+5.39%
Post 20:01 ET
35.21BMarket Cap14.89P/E (TTM)

Banco Santander (Brasil) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-192.29%-33.79B
-337.79%-54.89B
-52.32%28.71B
212.75%13.89B
-1,800.40%-21.5B
434.75%36.61B
-4,717.68%-12.54B
2,842.49%60.21B
-153.21%-12.32B
106.79%1.26B
Net income from continuing operations
41.89%13.48B
51.69%3.13B
31.25%3.65B
126.40%3.63B
0.44%3.06B
-33.76%9.5B
-28.91%2.07B
-18.85%2.78B
-61.67%1.6B
-20.21%3.05B
Operating gains losses
-433.17%-33.01B
-14.94%-25.29B
4.87%-11.68B
-2,224.01%-28.67B
-28.16%32.63B
-79.88%9.91B
-72.63%-22B
-180.06%-12.28B
-102.88%-1.23B
1,081.61%45.42B
Depreciation and amortization
26.81%3.48B
113.20%1.44B
-0.56%689M
-2.53%668.72M
-0.96%681.79M
6.01%2.74B
0.02%673.64M
5.78%692.87M
5.20%686.06M
13.82%688.38M
Deferred tax
88.60%-696.22M
124.41%419.18M
187.14%1.05B
-51.89%-1.14B
57.60%-1.03B
-715.56%-6.11B
-2,280.09%-1.72B
-658.29%-1.21B
39.98%-747.79M
-521.56%-2.43B
Other non cashItems
646.75%4.48B
1,545.69%4.62B
-48.82%-390.3M
173.00%584.32M
-159.18%-333.12M
-81.76%-819.31M
-34.64%-319.48M
-351.29%-262.26M
97.33%-800.47M
-98.10%562.89M
Change in working capital
-248.78%-40.23B
-554.88%-58.37B
-51.88%32.77B
502.39%39.78B
-23.62%-54.41B
151.81%27.04B
19.76%12.83B
567.78%68.11B
55.57%-9.89B
-68.70%-44.02B
-Change in receivables
---1.77B
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-Change in prepaid assets
---156.22M
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-Change in payables and accrued expense
--2.96B
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-Change in loans
---28.92B
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-Change in other current assets
---5.87B
---3.58B
-384.93%-697.52M
-309.74%-603.94M
-128.00%-994.8M
----
----
-68.63%244.8M
135.80%287.94M
198.05%3.55B
-Change in other current liabilities
198.63%49.37B
276.80%41.44B
38.72%2.76B
50.22%6.39B
-71.90%-1.21B
640.08%16.53B
441.56%11B
15.73%1.99B
-85.97%4.25B
97.78%-706M
-Change in other working capital
-631.67%-55.85B
-1,254.62%-68.35B
-53.38%30.71B
335.65%34B
-11.39%-52.2B
121.38%10.5B
-42.45%5.92B
486.16%65.88B
72.12%-14.43B
-598.61%-46.86B
Cash from discontinued operating activities
Operating cash flow
-192.29%-33.79B
-337.79%-54.89B
-52.32%28.71B
212.75%13.89B
-1,800.40%-21.5B
434.75%36.61B
-4,717.68%-12.54B
2,842.49%60.21B
-80.09%-12.32B
-88.88%1.26B
Investing cash flow
Cash flow from continuing investing activities
33.32%-1.72B
45.79%-567.69M
12.57%-531.23M
-93.10%-654.37M
105.57%32.67M
4.62%-2.58B
-1.32%-1.05B
-76.88%-607.62M
62.53%-338.88M
-38.42%-586.6M
Net investment purchase and sale
---737.04M
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Net PPE purchase and sale
-2.67%-1.36B
-29.80%-1.08B
-8.88%-83.7M
-102.68%-156.64M
88.32%-39.62M
-35.90%-1.33B
-108.26%-835.16M
11.22%-76.88M
67.03%-77.28M
-32.76%-339.22M
Net intangibles purchase and sale
104.75%81.7M
335.11%1.2B
14.08%-407.1M
11.99%-412.24M
-13.68%-303.62M
-8.09%-1.72B
39.17%-512.39M
-6.47%-473.8M
-19.25%-468.39M
-406.04%-267.09M
Net business purchase and sale
-2,156.03%-114.02M
102.67%5M
--0
-166.06%-119.02M
--0
98.90%-5.05M
-251.58%-187.48M
--2.67M
528.28%180.17M
99.89%-407K
Net other investing changes
119.94%37.51M
388.66%101.37M
-3.75%-74.54M
-92.59%-29.11M
160.27%39.79M
-223.41%-188.09M
-113.47%-35.12M
-508.26%-71.84M
93.46%-15.12M
-162.64%-66.02M
Cash from discontinued investing activities
Investing cash flow
33.32%-1.72B
45.79%-567.69M
12.57%-531.23M
-93.10%-654.37M
105.57%32.67M
4.62%-2.58B
-1.32%-1.05B
-76.88%-607.62M
62.53%-338.88M
-38.42%-586.6M
Financing cash flow
Cash flow from continuing financing activities
137.21%13.8B
210.85%11.94B
423.11%7.16B
-137.83%-4.38B
-112.61%-909.49M
-54.39%5.82B
-893.01%-10.77B
-187.69%-2.22B
-54.78%11.59B
150.38%7.21B
Net issuance payments of debt
---41.2B
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Net commonstock issuance
97.34%222.08M
-941.62%-11.35M
233.83%6.82M
-2.18%-26.91M
77.76%253.51M
122.23%112.53M
101.51%1.35M
25.75%-5.1M
89.92%-26.33M
195.88%142.62M
Cash dividends paid
-3.09%-5.62B
-4.85%-1.47B
-0.53%-1.29B
0.08%-1.29B
-6.39%-1.58B
26.28%-5.45B
10.60%-1.4B
16.85%-1.28B
17.21%-1.29B
45.76%-1.48B
Net other financing activities
408.83%60.4B
687.32%54.5B
1,280.02%8.56B
-123.05%-3.07B
-95.18%412.49M
-44.83%11.87B
-1,045.12%-9.28B
-117.73%-725.19M
-52.21%13.32B
174.76%8.55B
Cash from discontinued financing activities
Financing cash flow
137.21%13.8B
210.85%11.94B
423.11%7.16B
-137.83%-4.38B
-112.61%-909.49M
-54.39%5.82B
-893.01%-10.77B
-187.69%-2.22B
-54.78%11.59B
150.38%7.21B
Net cash flow
Beginning cash position
82.00%90.21B
-2.24%111.23B
33.53%75.89B
16.68%67.04B
80.40%89.42B
51.72%49.57B
121.30%113.78B
20.45%56.83B
96.07%57.45B
51.72%49.57B
Current changes in cash
-154.48%-21.71B
-78.72%-43.52B
-38.43%35.34B
925.56%8.86B
-383.67%-22.38B
135.86%39.85B
-1,218.98%-24.35B
1,256.78%57.39B
-106.00%-1.07B
334.37%7.89B
Effect of exchange rate changes
---177K
--228K
101.00%4.44M
-100.75%-3.37M
-213.86%-1.47M
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----
-117,565.96%-442.42M
45,541.61%448.66M
---469K
End cash position
-23.40%68.5B
-23.40%68.5B
-2.24%111.23B
33.53%75.89B
16.68%67.04B
80.40%89.42B
80.40%89.42B
121.30%113.78B
20.45%56.83B
96.07%57.45B
Free cash flow
-206.59%-35.45B
-309.39%-54.66B
-53.08%27.9B
200.24%13.26B
-6,061.46%-21.96B
735.02%33.26B
-6,662.40%-13.35B
8,314.25%59.47B
-77.62%-13.23B
-96.63%368.3M
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -192.29%-33.79B-337.79%-54.89B-52.32%28.71B212.75%13.89B-1,800.40%-21.5B434.75%36.61B-4,717.68%-12.54B2,842.49%60.21B-153.21%-12.32B106.79%1.26B
Net income from continuing operations 41.89%13.48B51.69%3.13B31.25%3.65B126.40%3.63B0.44%3.06B-33.76%9.5B-28.91%2.07B-18.85%2.78B-61.67%1.6B-20.21%3.05B
Operating gains losses -433.17%-33.01B-14.94%-25.29B4.87%-11.68B-2,224.01%-28.67B-28.16%32.63B-79.88%9.91B-72.63%-22B-180.06%-12.28B-102.88%-1.23B1,081.61%45.42B
Depreciation and amortization 26.81%3.48B113.20%1.44B-0.56%689M-2.53%668.72M-0.96%681.79M6.01%2.74B0.02%673.64M5.78%692.87M5.20%686.06M13.82%688.38M
Deferred tax 88.60%-696.22M124.41%419.18M187.14%1.05B-51.89%-1.14B57.60%-1.03B-715.56%-6.11B-2,280.09%-1.72B-658.29%-1.21B39.98%-747.79M-521.56%-2.43B
Other non cashItems 646.75%4.48B1,545.69%4.62B-48.82%-390.3M173.00%584.32M-159.18%-333.12M-81.76%-819.31M-34.64%-319.48M-351.29%-262.26M97.33%-800.47M-98.10%562.89M
Change in working capital -248.78%-40.23B-554.88%-58.37B-51.88%32.77B502.39%39.78B-23.62%-54.41B151.81%27.04B19.76%12.83B567.78%68.11B55.57%-9.89B-68.70%-44.02B
-Change in receivables ---1.77B------------------------------------
-Change in prepaid assets ---156.22M------------------------------------
-Change in payables and accrued expense --2.96B------------------------------------
-Change in loans ---28.92B------------------------------------
-Change in other current assets ---5.87B---3.58B-384.93%-697.52M-309.74%-603.94M-128.00%-994.8M---------68.63%244.8M135.80%287.94M198.05%3.55B
-Change in other current liabilities 198.63%49.37B276.80%41.44B38.72%2.76B50.22%6.39B-71.90%-1.21B640.08%16.53B441.56%11B15.73%1.99B-85.97%4.25B97.78%-706M
-Change in other working capital -631.67%-55.85B-1,254.62%-68.35B-53.38%30.71B335.65%34B-11.39%-52.2B121.38%10.5B-42.45%5.92B486.16%65.88B72.12%-14.43B-598.61%-46.86B
Cash from discontinued operating activities
Operating cash flow -192.29%-33.79B-337.79%-54.89B-52.32%28.71B212.75%13.89B-1,800.40%-21.5B434.75%36.61B-4,717.68%-12.54B2,842.49%60.21B-80.09%-12.32B-88.88%1.26B
Investing cash flow
Cash flow from continuing investing activities 33.32%-1.72B45.79%-567.69M12.57%-531.23M-93.10%-654.37M105.57%32.67M4.62%-2.58B-1.32%-1.05B-76.88%-607.62M62.53%-338.88M-38.42%-586.6M
Net investment purchase and sale ---737.04M------------------------------------
Net PPE purchase and sale -2.67%-1.36B-29.80%-1.08B-8.88%-83.7M-102.68%-156.64M88.32%-39.62M-35.90%-1.33B-108.26%-835.16M11.22%-76.88M67.03%-77.28M-32.76%-339.22M
Net intangibles purchase and sale 104.75%81.7M335.11%1.2B14.08%-407.1M11.99%-412.24M-13.68%-303.62M-8.09%-1.72B39.17%-512.39M-6.47%-473.8M-19.25%-468.39M-406.04%-267.09M
Net business purchase and sale -2,156.03%-114.02M102.67%5M--0-166.06%-119.02M--098.90%-5.05M-251.58%-187.48M--2.67M528.28%180.17M99.89%-407K
Net other investing changes 119.94%37.51M388.66%101.37M-3.75%-74.54M-92.59%-29.11M160.27%39.79M-223.41%-188.09M-113.47%-35.12M-508.26%-71.84M93.46%-15.12M-162.64%-66.02M
Cash from discontinued investing activities
Investing cash flow 33.32%-1.72B45.79%-567.69M12.57%-531.23M-93.10%-654.37M105.57%32.67M4.62%-2.58B-1.32%-1.05B-76.88%-607.62M62.53%-338.88M-38.42%-586.6M
Financing cash flow
Cash flow from continuing financing activities 137.21%13.8B210.85%11.94B423.11%7.16B-137.83%-4.38B-112.61%-909.49M-54.39%5.82B-893.01%-10.77B-187.69%-2.22B-54.78%11.59B150.38%7.21B
Net issuance payments of debt ---41.2B------------------------------------
Net commonstock issuance 97.34%222.08M-941.62%-11.35M233.83%6.82M-2.18%-26.91M77.76%253.51M122.23%112.53M101.51%1.35M25.75%-5.1M89.92%-26.33M195.88%142.62M
Cash dividends paid -3.09%-5.62B-4.85%-1.47B-0.53%-1.29B0.08%-1.29B-6.39%-1.58B26.28%-5.45B10.60%-1.4B16.85%-1.28B17.21%-1.29B45.76%-1.48B
Net other financing activities 408.83%60.4B687.32%54.5B1,280.02%8.56B-123.05%-3.07B-95.18%412.49M-44.83%11.87B-1,045.12%-9.28B-117.73%-725.19M-52.21%13.32B174.76%8.55B
Cash from discontinued financing activities
Financing cash flow 137.21%13.8B210.85%11.94B423.11%7.16B-137.83%-4.38B-112.61%-909.49M-54.39%5.82B-893.01%-10.77B-187.69%-2.22B-54.78%11.59B150.38%7.21B
Net cash flow
Beginning cash position 82.00%90.21B-2.24%111.23B33.53%75.89B16.68%67.04B80.40%89.42B51.72%49.57B121.30%113.78B20.45%56.83B96.07%57.45B51.72%49.57B
Current changes in cash -154.48%-21.71B-78.72%-43.52B-38.43%35.34B925.56%8.86B-383.67%-22.38B135.86%39.85B-1,218.98%-24.35B1,256.78%57.39B-106.00%-1.07B334.37%7.89B
Effect of exchange rate changes ---177K--228K101.00%4.44M-100.75%-3.37M-213.86%-1.47M---------117,565.96%-442.42M45,541.61%448.66M---469K
End cash position -23.40%68.5B-23.40%68.5B-2.24%111.23B33.53%75.89B16.68%67.04B80.40%89.42B80.40%89.42B121.30%113.78B20.45%56.83B96.07%57.45B
Free cash flow -206.59%-35.45B-309.39%-54.66B-53.08%27.9B200.24%13.26B-6,061.46%-21.96B735.02%33.26B-6,662.40%-13.35B8,314.25%59.47B-77.62%-13.23B-96.63%368.3M
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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