Petroleo Brasileiro SA Petrobras
PBR
Strategy
MSTR
Vale SA
VALE
KB Home
KBH
Apple
AAPL
(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash cash equivalents and federal funds sold | -10.09%904.49M | -10.09%904.49M | 26.44%851.19M | 32.69%932.35M | 88.15%950.7M | 68.88%1.01B | 68.88%1.01B | 25.94%673.2M | 44.12%702.63M | 10.43%505.3M |
-Cash and cash equivalents | -10.09%904.49M | -10.09%904.49M | 26.44%851.19M | 32.69%932.35M | 88.15%950.7M | 68.88%1.01B | 68.88%1.01B | 25.94%673.2M | 44.12%702.63M | 10.43%505.3M |
Receivables | 29.32%598.05M | 29.32%598.05M | 43.10%572.35M | 44.30%520.64M | 75.60%480.96M | 98.86%462.45M | 98.86%462.45M | 127.16%399.97M | 146.05%360.8M | 117.67%273.9M |
-Other receivables | 29.32%598.05M | 29.32%598.05M | 43.10%572.35M | 44.30%520.64M | 75.60%480.96M | 98.86%462.45M | 98.86%462.45M | 127.16%399.97M | 146.05%360.8M | 117.67%273.9M |
Net loan | 6.59%11.02B | 6.59%11.02B | 7.12%10.83B | 8.01%10.86B | 5.63%10.59B | 3.99%10.34B | 3.99%10.34B | 6.37%10.11B | 9.57%10.06B | 11.36%10.03B |
-Gross loan | 6.78%11.18B | 6.78%11.18B | 7.01%10.98B | 7.83%11B | 5.46%10.72B | 3.94%10.47B | 3.94%10.47B | 6.51%10.26B | 9.78%10.2B | 11.40%10.17B |
-Allowance for loans and lease losses | 21.48%156.79M | 21.48%156.79M | -0.99%143.77M | -4.29%142.27M | -6.51%132.37M | -0.26%129.07M | -0.26%129.07M | 17.01%145.2M | 26.09%148.65M | 14.10%141.59M |
Securities and investments | 4.45%3.38B | 4.45%3.38B | 2.95%3.36B | -6.49%3.25B | -15.39%3.06B | -11.15%3.23B | -11.15%3.23B | -13.22%3.26B | -14.52%3.47B | -13.29%3.61B |
-Available for sale securities | -11.81%114.6M | -11.81%114.6M | -10.03%120.32M | -6.68%132.41M | -12.57%125.55M | -9.23%129.95M | -9.23%129.95M | -3.63%133.73M | 7.37%141.89M | 25.35%143.61M |
-Held to maturity securities | -4.18%76.96M | -4.18%76.96M | -4.00%77.99M | -4.19%78.92M | -4.25%79.54M | -4.40%80.32M | -4.40%80.32M | -5.34%81.24M | -6.46%82.37M | -10.29%83.07M |
-Short term investments | 5.38%3.18B | 5.38%3.18B | 3.71%3.16B | -6.54%3.04B | -15.78%2.85B | -11.39%3.02B | -11.39%3.02B | -13.79%3.04B | -15.46%3.25B | -14.48%3.38B |
Net PPE | 16.99%407.08M | 16.99%407.08M | 20.74%397.77M | 12.64%365.35M | 4.94%359.9M | 23.91%347.95M | 23.91%347.95M | 20.28%329.46M | 18.48%324.35M | 23.18%342.95M |
-Gross PPE | -14.70%407.08M | -14.70%407.08M | 20.74%397.77M | 12.64%365.35M | 4.94%359.9M | 17.44%477.27M | 17.44%477.27M | 20.28%329.46M | 18.48%324.35M | 23.18%342.95M |
-Accumulated depreciation | ---- | ---- | ---- | ---- | ---- | -2.98%-129.31M | -2.98%-129.31M | ---- | ---- | ---- |
Goodwill and other intangible assets | -0.26%1.09B | -0.26%1.09B | -0.28%1.09B | -0.30%1.09B | -0.33%1.09B | -0.51%1.09B | -0.51%1.09B | -0.25%1.09B | 1.08%1.09B | 1.02%1.1B |
-Goodwill | 0.18%1.01B | 0.18%1.01B | 0.18%1.01B | 0.18%1.01B | 0.19%1.01B | 0.44%1.01B | 0.44%1.01B | 0.75%1.01B | 0.59%1.01B | 0.58%1.01B |
-Other intangible assets | -5.55%79.29M | -5.55%79.29M | -5.59%81.55M | -5.79%83.53M | -6.11%85.6M | -10.62%83.95M | -10.62%83.95M | -10.52%86.38M | 6.96%88.66M | 6.14%91.17M |
Other assets | 11.50%1.18B | 11.50%1.18B | -11.88%1.05B | 6.41%1.15B | -0.82%1.07B | -13.43%1.06B | -13.43%1.06B | -7.33%1.19B | 6.62%1.08B | 20.62%1.08B |
Total assets | 5.92%18.57B | 5.92%18.57B | 6.40%18.15B | 6.30%18.17B | 3.93%17.6B | 3.11%17.53B | 3.11%17.53B | 2.59%17.05B | 5.21%17.09B | 5.78%16.93B |
Liabilities | ||||||||||
Total deposits | 7.25%14.33B | 7.25%14.33B | 7.99%13.95B | 6.78%13.66B | 6.17%13.46B | 5.19%13.36B | 5.19%13.36B | 4.66%12.92B | 4.22%12.79B | -1.13%12.67B |
Current debt and capital lease obligation | -19.45%755.45M | -19.45%755.45M | -16.68%811.65M | -3.05%1.18B | -29.19%862.15M | -27.14%937.81M | -27.14%937.81M | -15.84%974.19M | 35.75%1.22B | 558.14%1.22B |
-Current debt | -19.45%755.45M | -19.45%755.45M | -16.68%811.65M | -3.05%1.18B | -29.19%862.15M | -27.14%937.81M | -27.14%937.81M | -15.84%974.19M | 35.75%1.22B | 558.14%1.22B |
Long term debt and capital lease obligation | 0.99%347.51M | 0.99%347.51M | 0.93%344.09M | -0.41%338.56M | 0.17%343.24M | -0.74%344.12M | -0.74%344.12M | -4.00%340.9M | -5.19%339.96M | -9.79%342.65M |
-Long term debt | 1.46%347.51M | 1.46%347.51M | 0.97%342.54M | -0.39%336.99M | 0.20%341.65M | -0.72%342.5M | -0.72%342.5M | -4.00%339.27M | -5.19%338.31M | -9.82%340.97M |
-Long term capital lease obligation | ---- | ---- | -5.51%1.54M | -5.38%1.57M | -5.25%1.59M | -5.12%1.61M | -5.12%1.61M | -5.00%1.63M | -4.89%1.66M | -4.77%1.68M |
Other liabilities | 12.52%700.12M | 12.52%700.12M | -14.73%592.4M | 10.83%660.09M | 12.50%649.71M | -0.76%622.2M | -0.76%622.2M | -10.19%694.7M | -7.42%595.61M | 18.35%577.5M |
Total liabilities | 5.68%16.13B | 5.68%16.13B | 5.16%15.7B | 5.97%15.84B | 3.37%15.31B | 2.03%15.26B | 2.03%15.26B | 2.02%14.93B | 5.44%14.95B | 6.78%14.81B |
Shareholders'equity | ||||||||||
Share capital | 0.19%1.64B | 0.19%1.64B | 0.18%1.64B | 0.19%1.64B | 0.22%1.63B | 0.27%1.64B | 0.27%1.64B | 0.27%1.64B | -0.28%1.63B | -0.33%1.63B |
-common stock | 0.19%1.64B | 0.19%1.64B | 0.18%1.64B | 0.19%1.64B | 0.22%1.63B | 0.27%1.64B | 0.27%1.64B | 0.27%1.64B | -0.28%1.63B | -0.33%1.63B |
Retained earnings | 12.28%1.28B | 12.28%1.28B | 12.02%1.23B | 13.59%1.2B | 14.67%1.17B | 17.40%1.14B | 17.40%1.14B | 19.65%1.1B | 19.58%1.06B | 18.63%1.02B |
Less: Treasury stock | -3.72%190.54M | -3.72%190.54M | -3.89%190.72M | -3.17%190.7M | -2.97%190.92M | -2.42%197.9M | -2.42%197.9M | -2.69%198.45M | -7.21%196.95M | -7.26%196.77M |
Gains losses not affecting retained earnings | 6.46%-289.8M | 6.46%-289.8M | 43.35%-232.26M | 8.39%-323.41M | 2.12%-321.11M | 13.62%-309.82M | 13.62%-309.82M | -15.63%-410.01M | -45.08%-353.01M | -130.25%-328.06M |
Total stockholders'equity | 7.50%2.44B | 7.50%2.44B | 15.07%2.45B | 8.54%2.33B | 7.80%2.29B | 11.10%2.27B | 11.10%2.27B | 6.79%2.13B | 3.61%2.14B | -0.75%2.12B |
Total equity | 7.50%2.44B | 7.50%2.44B | 15.07%2.45B | 8.54%2.33B | 7.80%2.29B | 11.10%2.27B | 11.10%2.27B | 6.79%2.13B | 3.61%2.14B | -0.75%2.12B |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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 | -- | -- | -- | -- |