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PBR Petroleo Brasileiro SA Petrobras

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  • 14.210
  • +0.030+0.21%
Close Aug 9 16:00 ET
  • 14.210
  • 0.0000.00%
Post 20:01 ET
91.57BMarket Cap4.62P/E (TTM)

Petroleo Brasileiro SA Petrobras 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
Assets
Current assets
Cash, cash equivalents and short term investments
-3.80%12.17B
24.27%16.37B
44.36%15.55B
44.36%15.55B
97.63%13.41B
-33.89%12.66B
-28.75%13.17B
-3.13%10.77B
-3.13%10.77B
-40.77%6.79B
-Cash and cash equivalents
-23.83%7.88B
12.22%11.55B
59.17%12.73B
59.17%12.73B
176.86%12.11B
-36.45%10.35B
-40.25%10.29B
-23.61%8B
-23.61%8B
-59.94%4.37B
-Short-term investments
86.20%4.29B
67.35%4.82B
1.66%2.82B
1.66%2.82B
-46.12%1.3B
-19.30%2.3B
128.67%2.88B
326.62%2.77B
326.62%2.77B
348.98%2.41B
Receivables
26.74%7.21B
12.98%6.58B
15.77%7.31B
15.77%7.31B
14.05%6.28B
-10.08%5.69B
-16.41%5.83B
-18.11%6.32B
-18.11%6.32B
-10.70%5.51B
-Accounts receivable
0.89%4.41B
8.99%5.04B
22.46%6.14B
22.46%6.14B
25.01%5.09B
-13.51%4.37B
-18.39%4.63B
-21.33%5.01B
-21.33%5.01B
-13.30%4.07B
-Taxes receivable
112.28%2.8B
28.31%1.54B
-9.87%1.18B
-9.87%1.18B
-17.06%1.19B
3.53%1.32B
-7.83%1.2B
-2.90%1.31B
-2.90%1.31B
-2.38%1.44B
Inventory
-9.87%7.34B
2.61%8.18B
-12.51%7.68B
-12.51%7.68B
-19.24%7.89B
-14.39%8.14B
-21.92%7.97B
21.01%8.78B
21.01%8.78B
34.28%9.77B
Other current assets
0.86%1.52B
-13.63%1.76B
-11.65%1.57B
-11.65%1.57B
-15.44%1.78B
-29.87%1.51B
-0.10%2.04B
12.97%1.78B
12.97%1.78B
15.39%2.1B
Total current assets
0.94%28.66B
7.36%33.22B
3.82%32.45B
3.82%32.45B
-0.18%29.42B
-33.84%28.39B
-26.53%30.94B
3.65%31.25B
3.65%31.25B
-3.63%29.47B
Non current assets
Net PPE
-7.28%135.95B
12.45%150.21B
17.87%153.42B
17.87%153.42B
16.72%144.87B
15.08%146.63B
-7.89%133.58B
3.86%130.17B
3.86%130.17B
-4.08%124.12B
-Gross PPE
-6.08%245.76B
12.89%270.18B
18.60%273.91B
18.60%273.91B
----
16.59%261.68B
--239.32B
6.73%230.96B
6.73%230.96B
--220.44B
-Accumulated depreciation
4.55%-109.81B
-13.45%-119.97B
-19.54%-120.49B
-19.54%-120.49B
----
-18.56%-115.05B
---105.75B
-10.67%-100.79B
-10.67%-100.79B
---96.32B
Goodwill and other intangible assets
-20.64%2.69B
-2.79%2.97B
1.88%3.04B
1.88%3.04B
2.24%2.92B
4.09%3.39B
-14.80%3.05B
-1.29%2.99B
-1.29%2.99B
-6.55%2.85B
-Goodwill
-15.38%22M
4.17%25M
4.17%25M
4.17%25M
----
13.04%26M
-7.69%24M
9.09%24M
9.09%24M
--23M
-Other intangible assets
-20.68%2.67B
-2.84%2.94B
1.86%3.02B
1.86%3.02B
----
4.02%3.36B
-14.85%3.03B
-1.37%2.96B
-1.37%2.96B
--2.83B
Investments and advances
-51.82%2.33B
-27.19%3.12B
20.35%3.77B
20.35%3.77B
207.26%5.29B
173.84%4.84B
105.67%4.28B
101.42%3.13B
101.42%3.13B
-10.78%1.72B
Non current accounts receivable
-17.98%5.15B
-1.90%5.88B
2.33%6.36B
2.33%6.36B
3.27%5.8B
11.44%6.27B
1.99%5.99B
20.48%6.22B
20.48%6.22B
11.77%5.62B
Non current deferred assets
63.49%1.1B
60.30%1.17B
15.99%965M
15.99%965M
98.79%982M
22.45%671M
16.48%728M
37.75%832M
37.75%832M
-44.62%494M
Other non current assets
-4.92%14.58B
21.46%17.07B
35.34%17.06B
35.34%17.06B
41.18%15.51B
49.03%15.34B
22.20%14.05B
47.87%12.61B
47.87%12.61B
32.25%10.99B
Total non current assets
-8.66%161.79B
11.58%180.4B
18.39%184.62B
18.39%184.62B
20.29%175.37B
18.96%177.13B
-4.15%161.68B
8.14%155.94B
8.14%155.94B
-1.90%145.79B
Total assets
-7.33%190.45B
10.91%213.62B
15.96%217.07B
15.96%217.07B
16.85%204.79B
7.14%205.52B
-8.62%192.62B
7.37%187.19B
7.37%187.19B
-2.19%175.26B
Liabilities
Current liabilities
Payables
-18.96%12.7B
7.63%10.15B
-11.23%13.82B
-11.23%13.82B
49.65%14.46B
-1.23%15.67B
-19.68%9.43B
52.35%15.57B
52.35%15.57B
-15.62%9.66B
-accounts payable
-11.38%4.81B
2.32%5.16B
-11.91%4.81B
-11.91%4.81B
-10.35%4.67B
-1.77%5.43B
-14.69%5.05B
-0.35%5.46B
-0.35%5.46B
-3.96%5.21B
-Total tax payable
45.42%5.59B
13.29%4.96B
-7.84%5.47B
-7.84%5.47B
22.53%5.45B
-32.60%3.85B
-24.75%4.38B
25.29%5.93B
25.29%5.93B
9.25%4.45B
-Dividends payable
-64.12%2.3B
--20M
-15.15%3.54B
-15.15%3.54B
--4.33B
38.05%6.4B
--0
--4.17B
--4.17B
----
Current provisions
--1.66B
--2.05B
--2.03B
--2.03B
----
----
----
----
----
----
Current debt and capital lease obligation
16.60%12.05B
26.99%12.37B
26.16%11.52B
26.16%11.52B
27.40%11.01B
10.69%10.34B
6.53%9.74B
0.66%9.13B
0.66%9.13B
-5.09%8.64B
-Current debt
11.82%4.62B
19.91%4.91B
20.86%4.32B
20.86%4.32B
32.49%4.38B
0.32%4.13B
8.13%4.1B
-1.79%3.58B
-1.79%3.58B
-3.25%3.31B
-Current capital lease obligation
19.78%7.44B
32.13%7.46B
29.57%7.2B
29.57%7.2B
24.25%6.63B
18.86%6.21B
5.40%5.64B
2.30%5.56B
2.30%5.56B
-6.20%5.34B
Other current liabilities
1.69%3.3B
-9.08%3.44B
-20.38%3.56B
-20.38%3.56B
-37.63%2.88B
-40.53%3.25B
-9.94%3.78B
62.87%4.47B
62.87%4.47B
79.98%4.61B
Current liabilities
1.78%32.02B
21.82%30.8B
7.90%33.86B
7.90%33.86B
22.88%30.87B
-3.73%31.46B
-8.01%25.28B
29.80%31.38B
29.80%31.38B
-1.47%25.12B
Non current liabilities
Long term provisions
-9.95%21.28B
6.36%23.75B
13.26%24.48B
13.26%24.48B
29.64%22.57B
31.71%23.63B
10.37%22.33B
22.53%21.61B
22.53%21.61B
-11.43%17.41B
Long term debt and capital lease obligation
-0.12%47.58B
13.44%49.47B
14.36%51.08B
14.36%51.08B
9.56%49.99B
7.68%47.63B
-11.74%43.61B
-10.07%44.67B
-10.07%44.67B
-9.62%45.63B
-Long term debt
-13.53%21.7B
-11.32%22.82B
-7.20%24.48B
-7.20%24.48B
-8.95%25.08B
-6.82%25.1B
-18.63%25.74B
-17.72%26.38B
-17.72%26.38B
-17.27%27.55B
-Long term capital lease obligation
14.81%25.87B
49.10%26.65B
45.45%26.6B
45.45%26.6B
37.77%24.9B
30.24%22.53B
0.51%17.87B
3.84%18.29B
3.84%18.29B
5.20%18.08B
Non current deferred liabilities
-45.26%6.08B
19.81%10.04B
61.63%10.91B
61.63%10.91B
55.02%10.17B
60.99%11.1B
-8.06%8.38B
449.23%6.75B
449.23%6.75B
4,132.90%6.56B
Employee benefits
15.57%13.84B
36.14%15.31B
45.94%15.58B
45.94%15.58B
33.23%11.65B
35.15%11.98B
15.99%11.25B
13.88%10.68B
13.88%10.68B
-25.52%8.74B
Other non current liabilities
-18.09%1.77B
-6.54%1.93B
-4.16%1.89B
-4.16%1.89B
-19.14%1.87B
3.84%2.16B
-8.22%2.07B
-8.28%1.97B
-8.28%1.97B
1.27%2.32B
Total non current liabilities
-6.23%90.79B
14.61%100.78B
21.24%104.23B
21.24%104.23B
19.26%96.54B
20.53%96.82B
-3.42%87.93B
6.99%85.98B
6.99%85.98B
-4.35%80.95B
Total liabilities
-4.27%122.8B
16.22%131.57B
17.67%138.09B
17.67%138.09B
20.12%127.41B
13.51%128.27B
-4.49%113.21B
12.26%117.36B
12.26%117.36B
-3.68%106.07B
Shareholders'equity
Share capital
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
-common stock
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
0.00%107.1B
Retained earnings
--1.83B
----
----
----
----
----
----
----
----
----
Gains losses not affecting retained earnings
-38.31%-41.75B
8.75%-25.51B
24.17%-28.52B
24.17%-28.52B
21.43%-30.02B
-5.08%-30.18B
-80.89%-27.96B
0.23%-37.61B
0.23%-37.61B
2.67%-38.2B
Total stockholders'equity
-12.65%67.19B
3.09%81.59B
13.08%78.58B
13.08%78.58B
11.88%77.08B
-1.86%76.92B
-13.64%79.14B
0.12%69.49B
0.12%69.49B
1.55%68.9B
Noncontrolling interests
39.46%463M
76.54%459M
13.95%392M
13.95%392M
0.00%297M
-24.37%332M
-57.10%260M
-15.06%344M
-15.06%344M
-75.60%297M
Total equity
-12.43%67.65B
3.33%82.05B
13.09%78.98B
13.09%78.98B
11.83%77.38B
-1.99%77.25B
-13.93%79.4B
0.03%69.84B
0.03%69.84B
0.19%69.2B
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
--
--
--
--
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
Assets
Current assets
Cash, cash equivalents and short term investments -3.80%12.17B24.27%16.37B44.36%15.55B44.36%15.55B97.63%13.41B-33.89%12.66B-28.75%13.17B-3.13%10.77B-3.13%10.77B-40.77%6.79B
-Cash and cash equivalents -23.83%7.88B12.22%11.55B59.17%12.73B59.17%12.73B176.86%12.11B-36.45%10.35B-40.25%10.29B-23.61%8B-23.61%8B-59.94%4.37B
-Short-term investments 86.20%4.29B67.35%4.82B1.66%2.82B1.66%2.82B-46.12%1.3B-19.30%2.3B128.67%2.88B326.62%2.77B326.62%2.77B348.98%2.41B
Receivables 26.74%7.21B12.98%6.58B15.77%7.31B15.77%7.31B14.05%6.28B-10.08%5.69B-16.41%5.83B-18.11%6.32B-18.11%6.32B-10.70%5.51B
-Accounts receivable 0.89%4.41B8.99%5.04B22.46%6.14B22.46%6.14B25.01%5.09B-13.51%4.37B-18.39%4.63B-21.33%5.01B-21.33%5.01B-13.30%4.07B
-Taxes receivable 112.28%2.8B28.31%1.54B-9.87%1.18B-9.87%1.18B-17.06%1.19B3.53%1.32B-7.83%1.2B-2.90%1.31B-2.90%1.31B-2.38%1.44B
Inventory -9.87%7.34B2.61%8.18B-12.51%7.68B-12.51%7.68B-19.24%7.89B-14.39%8.14B-21.92%7.97B21.01%8.78B21.01%8.78B34.28%9.77B
Other current assets 0.86%1.52B-13.63%1.76B-11.65%1.57B-11.65%1.57B-15.44%1.78B-29.87%1.51B-0.10%2.04B12.97%1.78B12.97%1.78B15.39%2.1B
Total current assets 0.94%28.66B7.36%33.22B3.82%32.45B3.82%32.45B-0.18%29.42B-33.84%28.39B-26.53%30.94B3.65%31.25B3.65%31.25B-3.63%29.47B
Non current assets
Net PPE -7.28%135.95B12.45%150.21B17.87%153.42B17.87%153.42B16.72%144.87B15.08%146.63B-7.89%133.58B3.86%130.17B3.86%130.17B-4.08%124.12B
-Gross PPE -6.08%245.76B12.89%270.18B18.60%273.91B18.60%273.91B----16.59%261.68B--239.32B6.73%230.96B6.73%230.96B--220.44B
-Accumulated depreciation 4.55%-109.81B-13.45%-119.97B-19.54%-120.49B-19.54%-120.49B-----18.56%-115.05B---105.75B-10.67%-100.79B-10.67%-100.79B---96.32B
Goodwill and other intangible assets -20.64%2.69B-2.79%2.97B1.88%3.04B1.88%3.04B2.24%2.92B4.09%3.39B-14.80%3.05B-1.29%2.99B-1.29%2.99B-6.55%2.85B
-Goodwill -15.38%22M4.17%25M4.17%25M4.17%25M----13.04%26M-7.69%24M9.09%24M9.09%24M--23M
-Other intangible assets -20.68%2.67B-2.84%2.94B1.86%3.02B1.86%3.02B----4.02%3.36B-14.85%3.03B-1.37%2.96B-1.37%2.96B--2.83B
Investments and advances -51.82%2.33B-27.19%3.12B20.35%3.77B20.35%3.77B207.26%5.29B173.84%4.84B105.67%4.28B101.42%3.13B101.42%3.13B-10.78%1.72B
Non current accounts receivable -17.98%5.15B-1.90%5.88B2.33%6.36B2.33%6.36B3.27%5.8B11.44%6.27B1.99%5.99B20.48%6.22B20.48%6.22B11.77%5.62B
Non current deferred assets 63.49%1.1B60.30%1.17B15.99%965M15.99%965M98.79%982M22.45%671M16.48%728M37.75%832M37.75%832M-44.62%494M
Other non current assets -4.92%14.58B21.46%17.07B35.34%17.06B35.34%17.06B41.18%15.51B49.03%15.34B22.20%14.05B47.87%12.61B47.87%12.61B32.25%10.99B
Total non current assets -8.66%161.79B11.58%180.4B18.39%184.62B18.39%184.62B20.29%175.37B18.96%177.13B-4.15%161.68B8.14%155.94B8.14%155.94B-1.90%145.79B
Total assets -7.33%190.45B10.91%213.62B15.96%217.07B15.96%217.07B16.85%204.79B7.14%205.52B-8.62%192.62B7.37%187.19B7.37%187.19B-2.19%175.26B
Liabilities
Current liabilities
Payables -18.96%12.7B7.63%10.15B-11.23%13.82B-11.23%13.82B49.65%14.46B-1.23%15.67B-19.68%9.43B52.35%15.57B52.35%15.57B-15.62%9.66B
-accounts payable -11.38%4.81B2.32%5.16B-11.91%4.81B-11.91%4.81B-10.35%4.67B-1.77%5.43B-14.69%5.05B-0.35%5.46B-0.35%5.46B-3.96%5.21B
-Total tax payable 45.42%5.59B13.29%4.96B-7.84%5.47B-7.84%5.47B22.53%5.45B-32.60%3.85B-24.75%4.38B25.29%5.93B25.29%5.93B9.25%4.45B
-Dividends payable -64.12%2.3B--20M-15.15%3.54B-15.15%3.54B--4.33B38.05%6.4B--0--4.17B--4.17B----
Current provisions --1.66B--2.05B--2.03B--2.03B------------------------
Current debt and capital lease obligation 16.60%12.05B26.99%12.37B26.16%11.52B26.16%11.52B27.40%11.01B10.69%10.34B6.53%9.74B0.66%9.13B0.66%9.13B-5.09%8.64B
-Current debt 11.82%4.62B19.91%4.91B20.86%4.32B20.86%4.32B32.49%4.38B0.32%4.13B8.13%4.1B-1.79%3.58B-1.79%3.58B-3.25%3.31B
-Current capital lease obligation 19.78%7.44B32.13%7.46B29.57%7.2B29.57%7.2B24.25%6.63B18.86%6.21B5.40%5.64B2.30%5.56B2.30%5.56B-6.20%5.34B
Other current liabilities 1.69%3.3B-9.08%3.44B-20.38%3.56B-20.38%3.56B-37.63%2.88B-40.53%3.25B-9.94%3.78B62.87%4.47B62.87%4.47B79.98%4.61B
Current liabilities 1.78%32.02B21.82%30.8B7.90%33.86B7.90%33.86B22.88%30.87B-3.73%31.46B-8.01%25.28B29.80%31.38B29.80%31.38B-1.47%25.12B
Non current liabilities
Long term provisions -9.95%21.28B6.36%23.75B13.26%24.48B13.26%24.48B29.64%22.57B31.71%23.63B10.37%22.33B22.53%21.61B22.53%21.61B-11.43%17.41B
Long term debt and capital lease obligation -0.12%47.58B13.44%49.47B14.36%51.08B14.36%51.08B9.56%49.99B7.68%47.63B-11.74%43.61B-10.07%44.67B-10.07%44.67B-9.62%45.63B
-Long term debt -13.53%21.7B-11.32%22.82B-7.20%24.48B-7.20%24.48B-8.95%25.08B-6.82%25.1B-18.63%25.74B-17.72%26.38B-17.72%26.38B-17.27%27.55B
-Long term capital lease obligation 14.81%25.87B49.10%26.65B45.45%26.6B45.45%26.6B37.77%24.9B30.24%22.53B0.51%17.87B3.84%18.29B3.84%18.29B5.20%18.08B
Non current deferred liabilities -45.26%6.08B19.81%10.04B61.63%10.91B61.63%10.91B55.02%10.17B60.99%11.1B-8.06%8.38B449.23%6.75B449.23%6.75B4,132.90%6.56B
Employee benefits 15.57%13.84B36.14%15.31B45.94%15.58B45.94%15.58B33.23%11.65B35.15%11.98B15.99%11.25B13.88%10.68B13.88%10.68B-25.52%8.74B
Other non current liabilities -18.09%1.77B-6.54%1.93B-4.16%1.89B-4.16%1.89B-19.14%1.87B3.84%2.16B-8.22%2.07B-8.28%1.97B-8.28%1.97B1.27%2.32B
Total non current liabilities -6.23%90.79B14.61%100.78B21.24%104.23B21.24%104.23B19.26%96.54B20.53%96.82B-3.42%87.93B6.99%85.98B6.99%85.98B-4.35%80.95B
Total liabilities -4.27%122.8B16.22%131.57B17.67%138.09B17.67%138.09B20.12%127.41B13.51%128.27B-4.49%113.21B12.26%117.36B12.26%117.36B-3.68%106.07B
Shareholders'equity
Share capital 0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B
-common stock 0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B0.00%107.1B
Retained earnings --1.83B------------------------------------
Gains losses not affecting retained earnings -38.31%-41.75B8.75%-25.51B24.17%-28.52B24.17%-28.52B21.43%-30.02B-5.08%-30.18B-80.89%-27.96B0.23%-37.61B0.23%-37.61B2.67%-38.2B
Total stockholders'equity -12.65%67.19B3.09%81.59B13.08%78.58B13.08%78.58B11.88%77.08B-1.86%76.92B-13.64%79.14B0.12%69.49B0.12%69.49B1.55%68.9B
Noncontrolling interests 39.46%463M76.54%459M13.95%392M13.95%392M0.00%297M-24.37%332M-57.10%260M-15.06%344M-15.06%344M-75.60%297M
Total equity -12.43%67.65B3.33%82.05B13.09%78.98B13.09%78.98B11.83%77.38B-1.99%77.25B-13.93%79.4B0.03%69.84B0.03%69.84B0.19%69.2B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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