US Stock MarketDetailed Quotes

SUZ Suzano

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  • 9.870
  • +0.200+2.07%
Close Oct 14 16:00 ET
  • 9.870
  • 0.0000.00%
Post 20:02 ET
12.23BMarket Cap259.74P/E (TTM)

Suzano 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
1.64%6.07B
-28.93%3.05B
-19.99%17.32B
-23.82%4.56B
-55.52%2.49B
9.13%5.97B
-6.44%4.3B
22.70%21.64B
28.58%5.99B
12.51%5.59B
Net income from continuing operations
-174.16%-3.77B
-95.80%220.03M
-39.70%14.11B
-39.47%4.51B
-113.38%-728.76M
2,693.14%5.08B
-49.13%5.24B
170.91%23.39B
222.41%7.46B
667.88%5.45B
Operating gains losses
301.00%10.45B
174.38%2.39B
20.08%-8.26B
6.05%-2.66B
823.57%2.81B
-186.26%-5.2B
76.76%-3.22B
-299.07%-10.34B
-251.87%-2.84B
-95.54%304.64M
Depreciation and amortization
15.33%2.13B
13.41%1.98B
-1.57%7.32B
-6.63%1.79B
1.69%1.94B
-1.75%1.85B
0.62%1.75B
5.02%7.44B
3.50%1.91B
9.46%1.91B
Deferred tax
----
----
-26.11%3.51B
-52.83%781.05M
-390.41%-1.13B
--3.85B
--14.03M
985.46%4.75B
1,087.88%1.66B
-331.89%-231.21M
Other non cash items
132.86%185.19M
-19.86%702.06M
-59.73%924.39M
-4.12%-163.21M
-12.60%775.1M
-179.84%-563.59M
1.92%876.1M
-10.32%2.3B
-121.34%-156.76M
30.03%886.85M
Change In working capital
-91.32%218M
64.63%-231.79M
187.89%2.36B
126.95%466.49M
102.47%34.93M
648.57%2.51B
-171.26%-655.3M
-12.00%-2.68B
-23.51%-1.73B
-1,536.64%-1.41B
-Change in receivables
-101.49%-33.24M
7,515.87%381.48M
140.80%1.49B
61.10%-479.34M
90.06%-269.72M
355.15%2.23B
-99.57%5.01M
-13.75%-3.65B
25.28%-1.23B
-678.33%-2.71B
-Change in inventory
-66,228.90%-369.45M
19.82%-298.05M
94.97%-48.67M
152.16%314.71M
102.56%8.91M
99.86%-557K
-3.42%-371.74M
-47.84%-968M
6,203.33%124.81M
-70.95%-348.54M
-Change in payables and accrued expense
262.11%709.26M
-0.37%-283.8M
-57.55%865.66M
176.68%501.41M
-73.02%451.12M
-78.46%195.87M
-352.37%-282.74M
17.69%2.04B
-230.16%-653.93M
141.03%1.67B
-Change in other current assets
-114.33%-18.08M
-114.32%-15.66M
444.72%328.8M
154.47%105.43M
-141.63%-12.09M
227.17%126.12M
-35.04%109.34M
-31.09%-95.38M
6.33%-193.57M
97.32%29.03M
-Change in other current liabilities
-62.63%-70.5M
86.31%-15.77M
-2,981.36%-277.54M
-89.14%24.28M
-173.86%-143.29M
-458.08%-43.35M
33.24%-115.18M
95.31%-9.01M
543.50%223.61M
9.38%-52.32M
Cash from discontinued investing activities
Operating cash flow
1.64%6.07B
-28.93%3.05B
-19.99%17.32B
-23.82%4.56B
-55.52%2.49B
9.13%5.97B
-6.44%4.3B
22.70%21.64B
28.58%5.99B
12.51%5.59B
Investing cash flow
Cash flow from continuing investing activities
-0.45%-3.55B
31.66%-6.04B
-53.01%-26.04B
-147.69%-2.47B
-185.12%-11.2B
51.14%-3.53B
-81.83%-8.83B
-64.27%-17.02B
77.22%-997.89M
10.10%-3.93B
Capital expenditure reported
-21.38%-1.83B
-17.10%-1.63B
-16.55%-5.78B
-0.79%-1.45B
-3.33%-1.43B
-35.09%-1.51B
-36.41%-1.39B
-30.20%-4.96B
-21.30%-1.43B
-36.87%-1.39B
Net PPE purchase and sale
25.63%-2.41B
-4.32%-2.53B
-20.45%-11.49B
-9.86%-2.81B
18.04%-3.02B
-91.15%-3.24B
-50.98%-2.42B
-1,190.36%-9.54B
-197.23%-2.56B
-685.25%-3.68B
Net intangibles purchase and sale
-16,264.44%-29.46M
-324,076.47%-55.11M
-15.95%-104.93M
-907.36%-99.21M
52.13%-5.53M
99.07%-180K
99.97%-17K
68.28%-90.5M
85.88%-9.85M
94.15%-11.55M
Net business purchase and sale
99.22%-8.41M
6.69%-18.91M
-1,555.00%-1.11B
-100.90%-18.39M
100.57%11.94M
-4,239.76%-1.08B
-955.36%-20.26M
-14.89%-67.02M
--2.04B
-201,910.95%-2.08B
Net investment purchase and sale
-83.43%671.29M
66.92%-1.57B
-7,955.09%-5.3B
-36.94%2B
-514.22%-6.61B
254.83%4.05B
-128.09%-4.73B
101.29%67.43M
243.66%3.16B
158.52%1.6B
Net other investing changes
102.94%51.78M
9.67%-235.78M
5.49%-2.3B
94.01%-132.05M
-108.76%-143.83M
0.38%-1.76B
-152.03%-261.02M
-844.94%-2.43B
-3,324.41%-2.2B
4,131.31%1.64B
Cash from discontinued investing activities
Investing cash flow
-0.45%-3.55B
31.66%-6.04B
-53.01%-26.04B
-147.69%-2.47B
-185.12%-11.2B
51.14%-3.53B
-81.83%-8.83B
-64.27%-17.02B
77.22%-997.89M
10.10%-3.93B
Financing cash flow
Cash flow from continuing financing activities
-92.69%358.19M
-3,165.53%-1.29B
196.20%7.8B
135.48%796.22M
180.66%2.14B
542.24%4.9B
98.12%-39.49M
-415.11%-8.11B
-400.17%-2.24B
-182.69%-2.66B
Net issuance payments of debt
-64.72%1.49B
62.08%-114.17M
343.90%5.43B
-25.04%-187.83M
270.37%1.68B
1,628.69%4.24B
62.87%-301.04M
-536.19%-2.23B
12.99%-150.22M
-127.57%-988.22M
Net common stock issuance
--0
-255.27%-309.95M
53.74%-880.91M
--0
88.60%-159.86M
---633.81M
---87.24M
---1.9B
--0
---1.4B
Cash dividends paid
--0
--0
95.36%-192.53M
91.91%-190.12M
-14,088.24%-2.41M
----
----
-42,766.69%-4.15B
-31,814.18%-2.35B
---17K
Net other financing activities
-186.74%-1.13B
27.33%444.11M
1,874.54%3.44B
359.54%1.17B
331.96%620.22M
174.47%1.3B
221.48%348.8M
108.40%174.34M
195.12%255.51M
27.77%-267.38M
Cash from discontinued financing activities
Financing cash flow
-92.69%358.19M
-3,165.53%-1.29B
196.20%7.8B
135.48%796.22M
180.66%2.14B
542.24%4.9B
98.12%-39.49M
-415.11%-8.11B
-400.17%-2.24B
-182.69%-2.66B
Net cash flow
Beginning cash position
-11.72%4.2B
-12.20%8.35B
-30.06%9.51B
-20.58%5.53B
53.79%11.86B
-51.40%4.76B
-30.06%9.51B
98.84%13.59B
-48.31%6.96B
-10.17%7.71B
Current changes in cash
-60.78%2.88B
6.64%-4.27B
73.55%-920.96M
5.09%2.89B
-559.02%-6.57B
355.63%7.33B
-93.64%-4.58B
-161.04%-3.48B
1,700.79%2.75B
-126.13%-996.35M
Effect of exchange rate changes
170.71%166.69M
176.82%129.6M
60.31%-239.13M
66.32%-66.88M
-4.22%232.2M
-130.07%-235.73M
88.20%-168.71M
-157.33%-602.48M
-166.11%-198.59M
-77.19%242.43M
End cash Position
-38.90%7.25B
-11.72%4.2B
-12.20%8.35B
-12.20%8.35B
-20.58%5.53B
53.79%11.86B
-51.40%4.76B
-30.06%9.51B
-30.06%9.51B
-48.31%6.96B
Free cash flow
50.83%1.74B
-361.73%-1.19B
-103.55%-241.59M
-91.21%166.99M
-558.01%-2.02B
-55.61%1.16B
-75.56%454.15M
-40.31%6.8B
-22.08%1.9B
-86.41%440.59M
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
--
--
(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 1.64%6.07B-28.93%3.05B-19.99%17.32B-23.82%4.56B-55.52%2.49B9.13%5.97B-6.44%4.3B22.70%21.64B28.58%5.99B12.51%5.59B
Net income from continuing operations -174.16%-3.77B-95.80%220.03M-39.70%14.11B-39.47%4.51B-113.38%-728.76M2,693.14%5.08B-49.13%5.24B170.91%23.39B222.41%7.46B667.88%5.45B
Operating gains losses 301.00%10.45B174.38%2.39B20.08%-8.26B6.05%-2.66B823.57%2.81B-186.26%-5.2B76.76%-3.22B-299.07%-10.34B-251.87%-2.84B-95.54%304.64M
Depreciation and amortization 15.33%2.13B13.41%1.98B-1.57%7.32B-6.63%1.79B1.69%1.94B-1.75%1.85B0.62%1.75B5.02%7.44B3.50%1.91B9.46%1.91B
Deferred tax ---------26.11%3.51B-52.83%781.05M-390.41%-1.13B--3.85B--14.03M985.46%4.75B1,087.88%1.66B-331.89%-231.21M
Other non cash items 132.86%185.19M-19.86%702.06M-59.73%924.39M-4.12%-163.21M-12.60%775.1M-179.84%-563.59M1.92%876.1M-10.32%2.3B-121.34%-156.76M30.03%886.85M
Change In working capital -91.32%218M64.63%-231.79M187.89%2.36B126.95%466.49M102.47%34.93M648.57%2.51B-171.26%-655.3M-12.00%-2.68B-23.51%-1.73B-1,536.64%-1.41B
-Change in receivables -101.49%-33.24M7,515.87%381.48M140.80%1.49B61.10%-479.34M90.06%-269.72M355.15%2.23B-99.57%5.01M-13.75%-3.65B25.28%-1.23B-678.33%-2.71B
-Change in inventory -66,228.90%-369.45M19.82%-298.05M94.97%-48.67M152.16%314.71M102.56%8.91M99.86%-557K-3.42%-371.74M-47.84%-968M6,203.33%124.81M-70.95%-348.54M
-Change in payables and accrued expense 262.11%709.26M-0.37%-283.8M-57.55%865.66M176.68%501.41M-73.02%451.12M-78.46%195.87M-352.37%-282.74M17.69%2.04B-230.16%-653.93M141.03%1.67B
-Change in other current assets -114.33%-18.08M-114.32%-15.66M444.72%328.8M154.47%105.43M-141.63%-12.09M227.17%126.12M-35.04%109.34M-31.09%-95.38M6.33%-193.57M97.32%29.03M
-Change in other current liabilities -62.63%-70.5M86.31%-15.77M-2,981.36%-277.54M-89.14%24.28M-173.86%-143.29M-458.08%-43.35M33.24%-115.18M95.31%-9.01M543.50%223.61M9.38%-52.32M
Cash from discontinued investing activities
Operating cash flow 1.64%6.07B-28.93%3.05B-19.99%17.32B-23.82%4.56B-55.52%2.49B9.13%5.97B-6.44%4.3B22.70%21.64B28.58%5.99B12.51%5.59B
Investing cash flow
Cash flow from continuing investing activities -0.45%-3.55B31.66%-6.04B-53.01%-26.04B-147.69%-2.47B-185.12%-11.2B51.14%-3.53B-81.83%-8.83B-64.27%-17.02B77.22%-997.89M10.10%-3.93B
Capital expenditure reported -21.38%-1.83B-17.10%-1.63B-16.55%-5.78B-0.79%-1.45B-3.33%-1.43B-35.09%-1.51B-36.41%-1.39B-30.20%-4.96B-21.30%-1.43B-36.87%-1.39B
Net PPE purchase and sale 25.63%-2.41B-4.32%-2.53B-20.45%-11.49B-9.86%-2.81B18.04%-3.02B-91.15%-3.24B-50.98%-2.42B-1,190.36%-9.54B-197.23%-2.56B-685.25%-3.68B
Net intangibles purchase and sale -16,264.44%-29.46M-324,076.47%-55.11M-15.95%-104.93M-907.36%-99.21M52.13%-5.53M99.07%-180K99.97%-17K68.28%-90.5M85.88%-9.85M94.15%-11.55M
Net business purchase and sale 99.22%-8.41M6.69%-18.91M-1,555.00%-1.11B-100.90%-18.39M100.57%11.94M-4,239.76%-1.08B-955.36%-20.26M-14.89%-67.02M--2.04B-201,910.95%-2.08B
Net investment purchase and sale -83.43%671.29M66.92%-1.57B-7,955.09%-5.3B-36.94%2B-514.22%-6.61B254.83%4.05B-128.09%-4.73B101.29%67.43M243.66%3.16B158.52%1.6B
Net other investing changes 102.94%51.78M9.67%-235.78M5.49%-2.3B94.01%-132.05M-108.76%-143.83M0.38%-1.76B-152.03%-261.02M-844.94%-2.43B-3,324.41%-2.2B4,131.31%1.64B
Cash from discontinued investing activities
Investing cash flow -0.45%-3.55B31.66%-6.04B-53.01%-26.04B-147.69%-2.47B-185.12%-11.2B51.14%-3.53B-81.83%-8.83B-64.27%-17.02B77.22%-997.89M10.10%-3.93B
Financing cash flow
Cash flow from continuing financing activities -92.69%358.19M-3,165.53%-1.29B196.20%7.8B135.48%796.22M180.66%2.14B542.24%4.9B98.12%-39.49M-415.11%-8.11B-400.17%-2.24B-182.69%-2.66B
Net issuance payments of debt -64.72%1.49B62.08%-114.17M343.90%5.43B-25.04%-187.83M270.37%1.68B1,628.69%4.24B62.87%-301.04M-536.19%-2.23B12.99%-150.22M-127.57%-988.22M
Net common stock issuance --0-255.27%-309.95M53.74%-880.91M--088.60%-159.86M---633.81M---87.24M---1.9B--0---1.4B
Cash dividends paid --0--095.36%-192.53M91.91%-190.12M-14,088.24%-2.41M---------42,766.69%-4.15B-31,814.18%-2.35B---17K
Net other financing activities -186.74%-1.13B27.33%444.11M1,874.54%3.44B359.54%1.17B331.96%620.22M174.47%1.3B221.48%348.8M108.40%174.34M195.12%255.51M27.77%-267.38M
Cash from discontinued financing activities
Financing cash flow -92.69%358.19M-3,165.53%-1.29B196.20%7.8B135.48%796.22M180.66%2.14B542.24%4.9B98.12%-39.49M-415.11%-8.11B-400.17%-2.24B-182.69%-2.66B
Net cash flow
Beginning cash position -11.72%4.2B-12.20%8.35B-30.06%9.51B-20.58%5.53B53.79%11.86B-51.40%4.76B-30.06%9.51B98.84%13.59B-48.31%6.96B-10.17%7.71B
Current changes in cash -60.78%2.88B6.64%-4.27B73.55%-920.96M5.09%2.89B-559.02%-6.57B355.63%7.33B-93.64%-4.58B-161.04%-3.48B1,700.79%2.75B-126.13%-996.35M
Effect of exchange rate changes 170.71%166.69M176.82%129.6M60.31%-239.13M66.32%-66.88M-4.22%232.2M-130.07%-235.73M88.20%-168.71M-157.33%-602.48M-166.11%-198.59M-77.19%242.43M
End cash Position -38.90%7.25B-11.72%4.2B-12.20%8.35B-12.20%8.35B-20.58%5.53B53.79%11.86B-51.40%4.76B-30.06%9.51B-30.06%9.51B-48.31%6.96B
Free cash flow 50.83%1.74B-361.73%-1.19B-103.55%-241.59M-91.21%166.99M-558.01%-2.02B-55.61%1.16B-75.56%454.15M-40.31%6.8B-22.08%1.9B-86.41%440.59M
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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