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XP XP Inc

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  • 16.820
  • -0.530-3.05%
Close Nov 12 16:00 ET
  • 16.930
  • +0.110+0.65%
Pre 07:10 ET
9.01BMarket Cap12.52P/E (TTM)

XP Inc 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
236.20%6.02B
-197.61%-3.35B
350.54%8.13B
172.40%4.13B
-510.48%-1.22B
390.86%1.79B
210.78%3.43B
144.87%1.8B
52.67%1.52B
95.02%-199.69M
Net income from continuing operations
42.99%1.38B
33.36%1.09B
14.27%3.94B
34.83%995.13M
17.75%1.16B
11.58%967.69M
-4.70%816.15M
-9.71%3.44B
-34.14%738.05M
8.26%982.92M
Operating gains losses
378.96%668.14M
170.77%152.49M
-97.90%-465.53M
-1,111.33%-186.97M
13.62%176.43M
-152.33%-239.51M
75.14%-215.48M
-150.38%-235.23M
-83.51%18.49M
-63.86%155.28M
Depreciation and amortization
29.36%65.76M
42.26%68.06M
22.60%252.41M
80.82%82.48M
63.22%71.25M
-8.74%50.84M
-21.44%47.84M
-11.16%205.88M
-12.90%45.62M
-15.03%43.66M
Other non cash items
-11.60%132.55M
18.52%182.5M
37.09%584.97M
-6.09%139.39M
10.29%141.66M
74.18%149.95M
141.57%153.98M
138.16%426.7M
79.01%148.43M
76.70%128.44M
Change In working capital
369.05%3.77B
-279.43%-4.81B
265.93%3.59B
505.69%3.05B
-81.51%-2.94B
138.31%803.25M
156.13%2.68B
74.60%-2.17B
341.19%503.71M
70.20%-1.62B
-Change in receivables
387.55%3.11B
-9.65%-1.01B
-32.85%-10.15B
-6,886.67%-6.61B
61.35%-1.53B
52.00%-1.08B
39.36%-919.73M
31.52%-7.64B
102.08%97.42M
-56.24%-3.96B
-Change in prepaid assets
330.22%44.33M
-474.55%-58.32M
108.83%22.72M
60.14%-17.46M
162.75%69.58M
83.00%-19.26M
-195.84%-10.15M
90.06%-257.36M
92.32%-43.79M
78.90%-110.89M
-Change in payables and accrued expense
72.27%9.69B
-6.03%2.49B
-25.29%12.82B
239.19%8.13B
-145.19%-3.58B
161.63%5.62B
-43.60%2.65B
17.93%17.16B
-54.41%2.4B
143.98%7.93B
-Change in other current assets
-1,268.68%-8.96B
47.81%-2.94B
86.99%-437.11M
92.82%-656.03M
679.10%6.51B
-109.43%-654.58M
-14,274.27%-5.64B
-397.78%-3.36B
-193.70%-9.14B
-112.17%-1.12B
-Change in other current liabilities
-64.95%1.74B
1,863.02%2.69B
-94.78%490.72M
-122.78%-1.78B
-97,855.24%-2.54B
189.68%4.96B
-30.00%-152.79M
1,107.97%9.39B
299.50%7.8B
100.07%2.6M
-Change in other working capital
76.85%-1.86B
-188.56%-5.98B
104.81%840.79M
757.82%3.98B
57.10%-1.87B
23.84%-8.02B
440.50%6.75B
-125.87%-17.47B
90.03%-604.77M
60.71%-4.35B
Cash from discontinued investing activities
Operating cash flow
236.20%6.02B
-197.61%-3.35B
350.54%8.13B
172.40%4.13B
-510.48%-1.22B
390.86%1.79B
210.78%3.43B
144.87%1.8B
52.67%1.52B
95.02%-199.69M
Investing cash flow
Cash flow from continuing investing activities
-1,781.05%-548.34M
-8,015.29%-717.2M
245.12%538.81M
84.63%-11.89M
1,031.94%570.79M
72.77%-29.15M
107.22%9.06M
67.74%-371.28M
85.34%-77.39M
80.60%-61.25M
Net PPE purchase and sale
-426.57%-30.56M
-1,608.92%-32.97M
-48.11%-66M
108.82%973K
-358.26%-59.24M
52.43%-5.8M
77.04%-1.93M
67.10%-44.56M
60.40%-11.04M
76.84%-12.93M
Net intangibles purchase and sale
-37.42%-46.17M
-65.01%-13.78M
-58.01%-130.22M
178.72%52.58M
-102,710.22%-140.85M
-226.29%-33.6M
-61.03%-8.35M
62.12%-82.41M
-509.60%-66.79M
98.89%-137K
Net business purchase and sale
---498.58M
---670.46M
388.76%705.44M
-14,973.64%-65.44M
1,699.91%770.89M
--0
--0
69.37%-244.31M
100.09%440K
80.54%-48.18M
Net investment purchase and sale
--0
--0
--29.59M
--0
--0
--10.25M
--19.34M
--0
--0
--0
Cash from discontinued investing activities
Investing cash flow
-1,781.05%-548.34M
-8,015.29%-717.2M
245.12%538.81M
84.63%-11.89M
1,031.94%570.79M
72.77%-29.15M
107.22%9.06M
67.74%-371.28M
85.34%-77.39M
80.60%-61.25M
Financing cash flow
Cash flow from continuing financing activities
-38.47%-2.48B
92.10%-63.89M
-2,094.10%-4.39B
-19.00%-1.58B
-113.80%-217.57M
-321.47%-1.79B
-3,137.12%-808.93M
-103.02%-200.3M
-1,060.15%-1.33B
-67.79%1.58B
Net issuance payments of debt
30.78%-1.24B
-149.89%-53.44M
-95.70%69.33M
1,613.90%389.59M
-26.07%1.36B
-910.15%-1.79B
535.03%107.12M
-70.72%1.61B
77.21%-25.73M
-51.04%1.84B
Net common stock issuance
---1.24B
98.87%-10.34M
49.53%-915.86M
--0
--0
--0
---915.86M
-259.92%-1.81B
---1.31B
-123.16%-262.79M
Cash dividends paid
----
----
---3.54B
---1.96B
----
----
----
--0
--0
----
Net other financing activities
-18.20%-487K
40.64%-111K
-445.56%-6M
-238.14%-4.98M
22.68%-416K
57.48%-412K
48.77%-187K
153.30%1.74M
335.05%3.61M
-118.48%-538K
Cash from discontinued financing activities
Financing cash flow
-38.47%-2.48B
92.10%-63.89M
-2,094.10%-4.39B
-19.00%-1.58B
-113.80%-217.57M
-321.47%-1.79B
-3,137.12%-808.93M
-103.02%-200.3M
-1,060.15%-1.33B
-67.79%1.58B
Net cash flow
Beginning cash position
-32.83%5.09B
85.42%9.21B
32.40%4.97B
36.46%6.69B
113.46%7.55B
62.44%7.58B
32.40%4.97B
41.03%3.75B
35.53%4.9B
9.92%3.54B
Current changes in cash
10,783.82%2.99B
-257.04%-4.13B
246.61%4.27B
2,195.75%2.54B
-165.80%-865.86M
97.56%-28M
175.93%2.63B
-16.07%1.23B
-68.48%110.51M
132.09%1.32B
Effect of exchange rate changes
479.05%18.44M
167.72%9.48M
-69.49%-28.28M
64.54%-15.97M
-86.82%6.57M
-131.26%-4.87M
62.17%-14.01M
95.57%-16.68M
79.10%-45.05M
129.79%49.83M
End cash Position
7.33%8.1B
-32.83%5.09B
85.42%9.21B
85.42%9.21B
36.46%6.69B
113.46%7.55B
62.44%7.58B
32.40%4.97B
32.40%4.97B
35.53%4.9B
Free cash flow
239.38%5.94B
-199.27%-3.39B
372.96%7.93B
190.87%4.18B
-567.04%-1.42B
374.42%1.75B
213.71%3.42B
138.34%1.68B
50.73%1.44B
94.79%-212.76M
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 236.20%6.02B-197.61%-3.35B350.54%8.13B172.40%4.13B-510.48%-1.22B390.86%1.79B210.78%3.43B144.87%1.8B52.67%1.52B95.02%-199.69M
Net income from continuing operations 42.99%1.38B33.36%1.09B14.27%3.94B34.83%995.13M17.75%1.16B11.58%967.69M-4.70%816.15M-9.71%3.44B-34.14%738.05M8.26%982.92M
Operating gains losses 378.96%668.14M170.77%152.49M-97.90%-465.53M-1,111.33%-186.97M13.62%176.43M-152.33%-239.51M75.14%-215.48M-150.38%-235.23M-83.51%18.49M-63.86%155.28M
Depreciation and amortization 29.36%65.76M42.26%68.06M22.60%252.41M80.82%82.48M63.22%71.25M-8.74%50.84M-21.44%47.84M-11.16%205.88M-12.90%45.62M-15.03%43.66M
Other non cash items -11.60%132.55M18.52%182.5M37.09%584.97M-6.09%139.39M10.29%141.66M74.18%149.95M141.57%153.98M138.16%426.7M79.01%148.43M76.70%128.44M
Change In working capital 369.05%3.77B-279.43%-4.81B265.93%3.59B505.69%3.05B-81.51%-2.94B138.31%803.25M156.13%2.68B74.60%-2.17B341.19%503.71M70.20%-1.62B
-Change in receivables 387.55%3.11B-9.65%-1.01B-32.85%-10.15B-6,886.67%-6.61B61.35%-1.53B52.00%-1.08B39.36%-919.73M31.52%-7.64B102.08%97.42M-56.24%-3.96B
-Change in prepaid assets 330.22%44.33M-474.55%-58.32M108.83%22.72M60.14%-17.46M162.75%69.58M83.00%-19.26M-195.84%-10.15M90.06%-257.36M92.32%-43.79M78.90%-110.89M
-Change in payables and accrued expense 72.27%9.69B-6.03%2.49B-25.29%12.82B239.19%8.13B-145.19%-3.58B161.63%5.62B-43.60%2.65B17.93%17.16B-54.41%2.4B143.98%7.93B
-Change in other current assets -1,268.68%-8.96B47.81%-2.94B86.99%-437.11M92.82%-656.03M679.10%6.51B-109.43%-654.58M-14,274.27%-5.64B-397.78%-3.36B-193.70%-9.14B-112.17%-1.12B
-Change in other current liabilities -64.95%1.74B1,863.02%2.69B-94.78%490.72M-122.78%-1.78B-97,855.24%-2.54B189.68%4.96B-30.00%-152.79M1,107.97%9.39B299.50%7.8B100.07%2.6M
-Change in other working capital 76.85%-1.86B-188.56%-5.98B104.81%840.79M757.82%3.98B57.10%-1.87B23.84%-8.02B440.50%6.75B-125.87%-17.47B90.03%-604.77M60.71%-4.35B
Cash from discontinued investing activities
Operating cash flow 236.20%6.02B-197.61%-3.35B350.54%8.13B172.40%4.13B-510.48%-1.22B390.86%1.79B210.78%3.43B144.87%1.8B52.67%1.52B95.02%-199.69M
Investing cash flow
Cash flow from continuing investing activities -1,781.05%-548.34M-8,015.29%-717.2M245.12%538.81M84.63%-11.89M1,031.94%570.79M72.77%-29.15M107.22%9.06M67.74%-371.28M85.34%-77.39M80.60%-61.25M
Net PPE purchase and sale -426.57%-30.56M-1,608.92%-32.97M-48.11%-66M108.82%973K-358.26%-59.24M52.43%-5.8M77.04%-1.93M67.10%-44.56M60.40%-11.04M76.84%-12.93M
Net intangibles purchase and sale -37.42%-46.17M-65.01%-13.78M-58.01%-130.22M178.72%52.58M-102,710.22%-140.85M-226.29%-33.6M-61.03%-8.35M62.12%-82.41M-509.60%-66.79M98.89%-137K
Net business purchase and sale ---498.58M---670.46M388.76%705.44M-14,973.64%-65.44M1,699.91%770.89M--0--069.37%-244.31M100.09%440K80.54%-48.18M
Net investment purchase and sale --0--0--29.59M--0--0--10.25M--19.34M--0--0--0
Cash from discontinued investing activities
Investing cash flow -1,781.05%-548.34M-8,015.29%-717.2M245.12%538.81M84.63%-11.89M1,031.94%570.79M72.77%-29.15M107.22%9.06M67.74%-371.28M85.34%-77.39M80.60%-61.25M
Financing cash flow
Cash flow from continuing financing activities -38.47%-2.48B92.10%-63.89M-2,094.10%-4.39B-19.00%-1.58B-113.80%-217.57M-321.47%-1.79B-3,137.12%-808.93M-103.02%-200.3M-1,060.15%-1.33B-67.79%1.58B
Net issuance payments of debt 30.78%-1.24B-149.89%-53.44M-95.70%69.33M1,613.90%389.59M-26.07%1.36B-910.15%-1.79B535.03%107.12M-70.72%1.61B77.21%-25.73M-51.04%1.84B
Net common stock issuance ---1.24B98.87%-10.34M49.53%-915.86M--0--0--0---915.86M-259.92%-1.81B---1.31B-123.16%-262.79M
Cash dividends paid -----------3.54B---1.96B--------------0--0----
Net other financing activities -18.20%-487K40.64%-111K-445.56%-6M-238.14%-4.98M22.68%-416K57.48%-412K48.77%-187K153.30%1.74M335.05%3.61M-118.48%-538K
Cash from discontinued financing activities
Financing cash flow -38.47%-2.48B92.10%-63.89M-2,094.10%-4.39B-19.00%-1.58B-113.80%-217.57M-321.47%-1.79B-3,137.12%-808.93M-103.02%-200.3M-1,060.15%-1.33B-67.79%1.58B
Net cash flow
Beginning cash position -32.83%5.09B85.42%9.21B32.40%4.97B36.46%6.69B113.46%7.55B62.44%7.58B32.40%4.97B41.03%3.75B35.53%4.9B9.92%3.54B
Current changes in cash 10,783.82%2.99B-257.04%-4.13B246.61%4.27B2,195.75%2.54B-165.80%-865.86M97.56%-28M175.93%2.63B-16.07%1.23B-68.48%110.51M132.09%1.32B
Effect of exchange rate changes 479.05%18.44M167.72%9.48M-69.49%-28.28M64.54%-15.97M-86.82%6.57M-131.26%-4.87M62.17%-14.01M95.57%-16.68M79.10%-45.05M129.79%49.83M
End cash Position 7.33%8.1B-32.83%5.09B85.42%9.21B85.42%9.21B36.46%6.69B113.46%7.55B62.44%7.58B32.40%4.97B32.40%4.97B35.53%4.9B
Free cash flow 239.38%5.94B-199.27%-3.39B372.96%7.93B190.87%4.18B-567.04%-1.42B374.42%1.75B213.71%3.42B138.34%1.68B50.73%1.44B94.79%-212.76M
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

No Data

Price Target

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