US Stock MarketDetailed Quotes

ITUB Itau Unibanco

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  • 6.655
  • -0.045-0.67%
Trading Aug 26 12:17 ET
65.17BMarket Cap9.72P/E (TTM)

Itau Unibanco Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-105.20%-660M
6.68%47.98B
-40.22%77.49B
-351.69%-14.61B
-18.72%34.42B
-77.29%12.7B
76.10%44.98B
138.71%129.63B
-78.46%5.8B
160.04%42.35B
Net income from continuing operations
16.14%10.37B
33.26%10.04B
12.02%33.88B
18.29%8.95B
4.32%8.47B
17.33%8.93B
8.37%7.53B
6.55%30.24B
7.57%7.56B
26.94%8.12B
Operating gains losses
-86.98%-14.89B
-76.81%3.63B
-50.38%12.48B
124.43%2.32B
-26.39%2.47B
-150.81%-7.97B
0.13%15.65B
23.86%25.14B
-140.47%-9.51B
3,663.83%3.35B
Depreciation and amortization
5.75%1.55B
7.86%1.55B
17.85%5.65B
17.96%1.41B
7.88%1.34B
23.27%1.46B
22.82%1.44B
13.30%4.8B
-13.57%1.2B
37.80%1.24B
Deferred tax
104.78%28M
73.68%-70M
-33.62%2.13B
7.10%2.73B
-29.18%250M
-316.24%-586M
-882.35%-266M
-67.99%3.21B
-37.63%2.55B
-87.44%353M
Other non cashItems
-276.66%-16.9B
-188.71%-2.53B
34.81%6.86B
2,263.54%2.08B
-463.35%-3.91B
305.24%9.56B
-110.00%-877M
-68.21%5.09B
-103.79%-96M
-79.41%1.08B
Change in working capital
129.03%3.93B
59.38%40.56B
-115.53%-6.07B
-1,542.28%-37.21B
-14.70%19.24B
-159.55%-13.54B
741.12%25.45B
217.98%39.06B
86.73%-2.27B
1,024.89%22.56B
-Change in receivables
609.88%413M
-52.04%-336M
-589.24%-2.82B
-9.18%-1.51B
-223.59%-1.01B
84.18%-81M
-132.84%-221M
-121.41%-409M
-424.88%-1.38B
205.99%814M
-Change in payables and accrued expense
-247.32%-1.02B
-86.03%89M
7,787.80%3.23B
101.46%24M
52.76%1.88B
-65.50%691M
141.18%637M
104.57%41M
-43.22%-1.65B
6.12%1.23B
-Change in loans
-187.17%-32.02B
119.25%7.97B
105.15%1.08B
-20.10%7.81B
29.36%-47.11B
6,731.23%36.74B
-90.06%3.64B
52.41%-20.89B
146.84%9.78B
-8.01%-66.68B
-Change in other current assets
17.86%-8.88B
86.79%-1.77B
-143.99%-36.26B
-147.77%-2.26B
-84.73%-9.79B
-10.32%-10.82B
-198.77%-13.4B
25.04%-14.86B
136.23%4.73B
-33,212.50%-5.3B
-Change in other current liabilities
16.66%4.16B
199.05%10.75B
-224.03%-6.52B
-32.31%-10.19B
-60.00%-3.49B
-47.15%3.57B
-57.21%3.59B
57.41%5.26B
28.51%-7.7B
-316.70%-2.18B
-Change in other working capital
194.60%41.28B
-23.55%23.86B
-49.61%35.23B
-415.38%-31.09B
-16.82%78.75B
-275.55%-43.64B
171.60%31.2B
166.36%69.92B
-121.29%-6.03B
63.55%94.67B
Cash from discontinued operating activities
Operating cash flow
-105.20%-661M
6.68%47.98B
-40.22%77.49B
-351.69%-14.61B
-18.72%34.42B
-77.29%12.7B
76.10%44.98B
138.71%129.63B
-78.46%5.8B
160.04%42.35B
Investing cash flow
Cash flow from continuing investing activities
-33.74%-15.93B
45.71%-6.52B
57.38%-31.23B
131.43%8.5B
-491.02%-15.81B
75.26%-11.91B
-464.44%-12B
-1,413.53%-73.27B
-301.48%-27.03B
151.57%4.04B
Net investment purchase and sale
-38.26%-14.45B
48.51%-5.07B
65.03%-22.95B
146.46%11.51B
-349.81%-14.15B
77.31%-10.45B
-1,965.62%-9.85B
-2,075.71%-65.63B
-263.65%-24.77B
252.45%5.67B
Net PPE purchase and sale
24.58%-362M
18.06%-354M
-63.01%-3.62B
-138.32%-2.13B
-16.33%-577M
5.70%-480M
-34.16%-432M
-78.90%-2.22B
-98.01%-895M
-60.52%-496M
Net intangibles purchase and sale
-7.56%-1.32B
36.01%-1.13B
6.80%-5.38B
11.68%-1.3B
19.22%-1.08B
22.79%-1.23B
-29.12%-1.77B
24.77%-5.77B
1.07%-1.47B
66.23%-1.33B
Net business purchase and sale
----
----
--0
----
----
----
----
--0
----
----
Net other investing changes
----
----
688.24%134M
180.00%42M
3,800.00%39M
--33M
1,900.00%20M
-82.11%17M
-44.44%15M
--1M
Cash from discontinued investing activities
Investing cash flow
-33.74%-15.93B
45.71%-6.52B
57.38%-31.23B
131.43%8.5B
-491.02%-15.81B
75.26%-11.91B
-464.44%-12B
-1,413.53%-73.27B
-301.48%-27.03B
151.57%4.04B
Financing cash flow
Cash flow from continuing financing activities
95.38%-640M
-549.19%-17.25B
29.22%-22.45B
120.06%776M
54.48%-6.73B
-504.54%-13.84B
75.34%-2.66B
-0.81%-31.71B
69.42%-3.87B
-341.55%-14.78B
Net issuance payments of debt
96.16%-431M
22.36%-309M
51.31%-10.81B
141.54%1.54B
92.45%-740M
-438.17%-11.21B
93.99%-398M
8.09%-22.2B
69.24%-3.7B
-1,295.87%-9.8B
Net commonstock issuance
---320M
-48.54%-153M
--0
--23M
--80M
--0
-122.74%-103M
-11.18%453M
--0
--0
Cash dividends paid
81.70%-446M
-518.74%-15.82B
-54.31%-10.35B
-0.22%-447M
-61.93%-4.91B
-447.64%-2.44B
8.19%-2.56B
-7.00%-6.71B
-0.90%-446M
-15.55%-3.03B
Net other financing activities
391.62%557M
-343.00%-972M
60.42%-1.29B
-221.22%-337M
40.55%-1.16B
-179.92%-191M
121.97%400M
-110.95%-3.26B
256.18%278M
-8,391.30%-1.95B
Cash from discontinued financing activities
Financing cash flow
95.38%-640M
-549.19%-17.25B
29.22%-22.45B
120.06%776M
54.48%-6.73B
-504.54%-13.84B
75.34%-2.66B
-0.81%-31.71B
69.42%-3.87B
-341.55%-14.78B
Net cash flow
Beginning cash position
14.34%146.13B
11.78%116.54B
0.36%104.26B
2.92%123.06B
22.98%112.41B
21.74%127.8B
0.36%104.26B
-1.83%103.89B
21.29%119.57B
-2.07%91.41B
Current changes in cash
-32.06%-17.23B
-20.13%24.22B
-3.38%23.82B
78.73%-5.34B
-62.41%11.88B
-337.56%-13.05B
139.85%30.32B
36.90%24.65B
-190.57%-25.1B
520.31%31.61B
Effect of exchange rate changes
387.75%6.74B
179.29%5.37B
52.51%-11.53B
-112.02%-1.18B
64.12%-1.24B
87.71%-2.34B
41.33%-6.77B
-21.75%-24.28B
143.67%9.78B
-2,414.09%-3.45B
End cash position
20.66%135.64B
14.34%146.13B
11.78%116.54B
11.78%116.54B
2.92%123.06B
22.98%112.41B
21.74%127.8B
0.36%104.26B
0.36%104.26B
21.29%119.57B
Free cash flow
-122.47%-2.47B
8.70%46.46B
-43.62%68.3B
-702.64%-18.04B
-19.37%32.64B
-79.62%10.97B
79.30%42.74B
167.86%121.14B
-88.01%2.99B
235.22%40.48B
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
--
--
--
--
Unqualified Opinion
--
--
(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(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -105.20%-660M6.68%47.98B-40.22%77.49B-351.69%-14.61B-18.72%34.42B-77.29%12.7B76.10%44.98B138.71%129.63B-78.46%5.8B160.04%42.35B
Net income from continuing operations 16.14%10.37B33.26%10.04B12.02%33.88B18.29%8.95B4.32%8.47B17.33%8.93B8.37%7.53B6.55%30.24B7.57%7.56B26.94%8.12B
Operating gains losses -86.98%-14.89B-76.81%3.63B-50.38%12.48B124.43%2.32B-26.39%2.47B-150.81%-7.97B0.13%15.65B23.86%25.14B-140.47%-9.51B3,663.83%3.35B
Depreciation and amortization 5.75%1.55B7.86%1.55B17.85%5.65B17.96%1.41B7.88%1.34B23.27%1.46B22.82%1.44B13.30%4.8B-13.57%1.2B37.80%1.24B
Deferred tax 104.78%28M73.68%-70M-33.62%2.13B7.10%2.73B-29.18%250M-316.24%-586M-882.35%-266M-67.99%3.21B-37.63%2.55B-87.44%353M
Other non cashItems -276.66%-16.9B-188.71%-2.53B34.81%6.86B2,263.54%2.08B-463.35%-3.91B305.24%9.56B-110.00%-877M-68.21%5.09B-103.79%-96M-79.41%1.08B
Change in working capital 129.03%3.93B59.38%40.56B-115.53%-6.07B-1,542.28%-37.21B-14.70%19.24B-159.55%-13.54B741.12%25.45B217.98%39.06B86.73%-2.27B1,024.89%22.56B
-Change in receivables 609.88%413M-52.04%-336M-589.24%-2.82B-9.18%-1.51B-223.59%-1.01B84.18%-81M-132.84%-221M-121.41%-409M-424.88%-1.38B205.99%814M
-Change in payables and accrued expense -247.32%-1.02B-86.03%89M7,787.80%3.23B101.46%24M52.76%1.88B-65.50%691M141.18%637M104.57%41M-43.22%-1.65B6.12%1.23B
-Change in loans -187.17%-32.02B119.25%7.97B105.15%1.08B-20.10%7.81B29.36%-47.11B6,731.23%36.74B-90.06%3.64B52.41%-20.89B146.84%9.78B-8.01%-66.68B
-Change in other current assets 17.86%-8.88B86.79%-1.77B-143.99%-36.26B-147.77%-2.26B-84.73%-9.79B-10.32%-10.82B-198.77%-13.4B25.04%-14.86B136.23%4.73B-33,212.50%-5.3B
-Change in other current liabilities 16.66%4.16B199.05%10.75B-224.03%-6.52B-32.31%-10.19B-60.00%-3.49B-47.15%3.57B-57.21%3.59B57.41%5.26B28.51%-7.7B-316.70%-2.18B
-Change in other working capital 194.60%41.28B-23.55%23.86B-49.61%35.23B-415.38%-31.09B-16.82%78.75B-275.55%-43.64B171.60%31.2B166.36%69.92B-121.29%-6.03B63.55%94.67B
Cash from discontinued operating activities
Operating cash flow -105.20%-661M6.68%47.98B-40.22%77.49B-351.69%-14.61B-18.72%34.42B-77.29%12.7B76.10%44.98B138.71%129.63B-78.46%5.8B160.04%42.35B
Investing cash flow
Cash flow from continuing investing activities -33.74%-15.93B45.71%-6.52B57.38%-31.23B131.43%8.5B-491.02%-15.81B75.26%-11.91B-464.44%-12B-1,413.53%-73.27B-301.48%-27.03B151.57%4.04B
Net investment purchase and sale -38.26%-14.45B48.51%-5.07B65.03%-22.95B146.46%11.51B-349.81%-14.15B77.31%-10.45B-1,965.62%-9.85B-2,075.71%-65.63B-263.65%-24.77B252.45%5.67B
Net PPE purchase and sale 24.58%-362M18.06%-354M-63.01%-3.62B-138.32%-2.13B-16.33%-577M5.70%-480M-34.16%-432M-78.90%-2.22B-98.01%-895M-60.52%-496M
Net intangibles purchase and sale -7.56%-1.32B36.01%-1.13B6.80%-5.38B11.68%-1.3B19.22%-1.08B22.79%-1.23B-29.12%-1.77B24.77%-5.77B1.07%-1.47B66.23%-1.33B
Net business purchase and sale ----------0------------------0--------
Net other investing changes --------688.24%134M180.00%42M3,800.00%39M--33M1,900.00%20M-82.11%17M-44.44%15M--1M
Cash from discontinued investing activities
Investing cash flow -33.74%-15.93B45.71%-6.52B57.38%-31.23B131.43%8.5B-491.02%-15.81B75.26%-11.91B-464.44%-12B-1,413.53%-73.27B-301.48%-27.03B151.57%4.04B
Financing cash flow
Cash flow from continuing financing activities 95.38%-640M-549.19%-17.25B29.22%-22.45B120.06%776M54.48%-6.73B-504.54%-13.84B75.34%-2.66B-0.81%-31.71B69.42%-3.87B-341.55%-14.78B
Net issuance payments of debt 96.16%-431M22.36%-309M51.31%-10.81B141.54%1.54B92.45%-740M-438.17%-11.21B93.99%-398M8.09%-22.2B69.24%-3.7B-1,295.87%-9.8B
Net commonstock issuance ---320M-48.54%-153M--0--23M--80M--0-122.74%-103M-11.18%453M--0--0
Cash dividends paid 81.70%-446M-518.74%-15.82B-54.31%-10.35B-0.22%-447M-61.93%-4.91B-447.64%-2.44B8.19%-2.56B-7.00%-6.71B-0.90%-446M-15.55%-3.03B
Net other financing activities 391.62%557M-343.00%-972M60.42%-1.29B-221.22%-337M40.55%-1.16B-179.92%-191M121.97%400M-110.95%-3.26B256.18%278M-8,391.30%-1.95B
Cash from discontinued financing activities
Financing cash flow 95.38%-640M-549.19%-17.25B29.22%-22.45B120.06%776M54.48%-6.73B-504.54%-13.84B75.34%-2.66B-0.81%-31.71B69.42%-3.87B-341.55%-14.78B
Net cash flow
Beginning cash position 14.34%146.13B11.78%116.54B0.36%104.26B2.92%123.06B22.98%112.41B21.74%127.8B0.36%104.26B-1.83%103.89B21.29%119.57B-2.07%91.41B
Current changes in cash -32.06%-17.23B-20.13%24.22B-3.38%23.82B78.73%-5.34B-62.41%11.88B-337.56%-13.05B139.85%30.32B36.90%24.65B-190.57%-25.1B520.31%31.61B
Effect of exchange rate changes 387.75%6.74B179.29%5.37B52.51%-11.53B-112.02%-1.18B64.12%-1.24B87.71%-2.34B41.33%-6.77B-21.75%-24.28B143.67%9.78B-2,414.09%-3.45B
End cash position 20.66%135.64B14.34%146.13B11.78%116.54B11.78%116.54B2.92%123.06B22.98%112.41B21.74%127.8B0.36%104.26B0.36%104.26B21.29%119.57B
Free cash flow -122.47%-2.47B8.70%46.46B-43.62%68.3B-702.64%-18.04B-19.37%32.64B-79.62%10.97B79.30%42.74B167.86%121.14B-88.01%2.99B235.22%40.48B
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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