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Banco Santander Brasil SA

BSBR

4.775USD

+0.085+1.81%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
17.81BCap. mercado
7.15P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Activos actuales
Activos no corrientes
Activos fijos netos
-33.25%974.76M
-21.99%1.14B
-27.98%1.15B
-16.23%1.34B
-5.76%1.46B
-1.27%1.46B
1.54%1.60B
-11.53%1.60B
-1.74%1.55B
-7.91%1.47B
-8.15%1.58B
16.79%1.80B
-14.13%1.58B
-5.56%1.60B
-2.43%1.72B
-15.94%1.54B
-24.55%1.84B
-25.91%1.70B
-27.86%1.76B
-21.04%1.84B
43.34%2.43B
45.69%2.29B
46.80%2.44B
19.87%2.33B
-13.61%1.70B
-21.84%1.57B
-14.97%1.66B
-7.04%1.94B
-3.80%1.97B
-2.40%2.01B
-7.75%1.96B
8.37%2.09B
15.46%2.04B
20.08%2.06B
-3.08%2.12B
-10.97%1.93B
-33.51%1.77B
-37.14%1.72B
-26.32%2.19B
-26.89%2.16B
-8.72%2.66B
-5.42%2.73B
8.21%2.97B
0.23%2.96B
0.53%2.92B
4.16%2.88B
6.00%2.74B
6.56%2.95B
--2.90B
--2.77B
--2.59B
--2.77B
-Activos fijos
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4.07%4.46B
----
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----
28.12%4.29B
----
----
----
-28.53%3.34B
----
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----
2.81%4.68B
----
----
----
1.99%4.55B
----
----
----
--4.46B
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-Depreciación acumulada
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11.24%2.49B
----
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----
42.34%2.24B
----
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----
-21.96%1.58B
----
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----
23.34%2.02B
----
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----
4.71%1.64B
----
----
----
--1.56B
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Fondo de comercio y otros activos intangibles
-20.36%5.31B
-5.98%6.00B
-12.74%5.81B
3.42%6.46B
11.61%6.67B
10.49%6.38B
12.45%6.66B
-3.99%6.25B
8.17%5.98B
4.28%5.77B
-1.74%5.92B
24.16%6.51B
-6.70%5.53B
1.28%5.54B
7.73%6.03B
-10.68%5.24B
-22.19%5.92B
-25.25%5.47B
-28.58%5.60B
-23.29%5.87B
-1.59%7.61B
-1.04%7.31B
1.64%7.84B
-16.11%7.65B
-15.16%7.74B
-23.27%7.39B
-16.10%7.71B
-5.95%9.12B
-1.89%9.12B
4.27%9.63B
-1.64%9.19B
16.40%9.70B
23.43%9.29B
21.40%9.24B
-4.38%9.34B
-13.30%8.33B
-33.80%7.53B
-38.57%7.61B
-25.60%9.77B
-24.76%9.61B
-7.57%11.37B
-5.80%12.39B
0.60%13.13B
-11.60%12.77B
-13.92%12.31B
-16.49%13.15B
-18.02%13.06B
-16.49%14.45B
--14.30B
--15.75B
--15.93B
--17.30B
Total de activos
-12.79%200.52B
0.72%225.57B
-3.76%212.78B
11.69%226.13B
23.34%229.93B
23.03%223.96B
19.83%221.10B
0.90%202.47B
11.52%186.43B
4.78%182.03B
-1.35%184.52B
19.60%200.66B
-7.00%167.17B
9.30%173.73B
18.45%187.04B
5.15%167.77B
-5.22%179.75B
-12.32%158.95B
-17.54%157.91B
-11.20%159.55B
1.67%189.66B
4.26%181.29B
6.59%191.50B
-11.87%179.68B
-4.31%186.54B
-15.60%173.89B
-6.23%179.66B
1.91%203.88B
-0.03%194.95B
9.74%206.04B
1.66%191.60B
21.24%200.05B
27.53%195.01B
21.28%187.76B
3.35%188.46B
-4.26%165.00B
-21.91%152.90B
-23.68%154.81B
-14.26%182.35B
-14.48%172.34B
2.07%195.80B
2.11%202.84B
8.90%212.67B
-4.58%201.52B
-7.06%191.83B
-2.51%198.65B
-3.64%195.30B
-2.62%211.20B
--206.40B
--203.75B
--202.67B
--216.87B
Pasivos
Pasivos corrientes
Deuda a corto plazo y pasivos por arrendamiento
-25.24%18.82B
-4.53%22.48B
4.80%20.32B
13.43%21.94B
37.36%25.18B
-31.73%23.54B
18.48%19.39B
-34.01%19.34B
-23.58%18.33B
24.43%34.49B
-44.50%16.37B
-3.11%29.31B
-11.05%23.98B
61.43%27.71B
42.14%29.49B
20.79%30.25B
2.41%26.96B
-31.01%17.17B
3.53%20.75B
9.73%25.05B
0.82%26.33B
10.19%24.88B
-31.41%20.04B
-26.05%22.83B
-11.23%26.11B
-35.33%22.58B
-22.22%29.22B
-29.07%30.87B
-26.29%29.41B
-9.85%34.92B
-5.50%37.57B
22.21%43.52B
37.38%39.90B
28.07%38.74B
14.12%39.75B
16.01%35.61B
-20.53%29.05B
-15.01%30.24B
0.10%34.84B
-10.68%30.69B
18.41%36.55B
1.27%35.59B
-1.07%34.80B
-12.69%34.37B
-12.84%30.87B
--35.14B
--35.18B
--39.36B
--35.42B
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-Deuda a corto plazo
-24.12%18.17B
-2.80%21.71B
8.75%19.51B
18.62%20.99B
43.87%23.94B
-31.90%22.34B
22.12%17.94B
-35.42%17.70B
-26.51%16.64B
24.31%32.80B
-47.51%14.69B
-5.40%27.41B
-11.57%22.65B
64.19%26.39B
41.25%27.98B
19.57%28.97B
2.42%25.61B
-32.66%16.07B
1.77%19.81B
6.77%24.23B
-2.37%25.00B
5.69%23.87B
-33.38%19.46B
-26.48%22.69B
-12.93%25.61B
-35.33%22.58B
-22.22%29.22B
-29.07%30.87B
-26.29%29.41B
-9.85%34.92B
-5.50%37.57B
22.21%43.52B
37.38%39.90B
28.07%38.74B
14.12%39.75B
16.01%35.61B
-20.53%29.05B
-15.01%30.24B
0.10%34.84B
-10.68%30.69B
18.41%36.55B
1.27%35.59B
-1.07%34.80B
-12.69%34.37B
-12.84%30.87B
--35.14B
--35.18B
--39.36B
--35.42B
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Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-13.42%25.70B
-1.03%28.82B
-14.32%26.15B
7.28%29.37B
23.88%29.68B
31.13%29.12B
39.71%30.52B
19.69%27.38B
35.26%23.96B
45.22%22.20B
46.23%21.84B
82.91%22.87B
31.45%17.72B
14.85%15.29B
-0.90%14.94B
-26.46%12.51B
-35.43%13.48B
-36.83%13.31B
-33.94%15.07B
-23.93%17.01B
-4.05%20.87B
0.94%21.08B
10.62%22.82B
-11.17%22.35B
-8.44%21.75B
-17.44%20.88B
-22.53%20.63B
-19.63%25.17B
-28.54%23.76B
-23.00%25.29B
-17.18%26.63B
11.90%31.31B
25.82%33.25B
24.27%32.84B
6.56%32.15B
2.60%27.98B
-8.97%26.42B
-15.97%26.43B
-5.63%30.17B
-8.61%27.27B
4.99%29.03B
14.62%31.45B
15.03%31.97B
7.46%29.84B
4.81%27.65B
12.55%27.44B
12.85%27.79B
10.46%27.77B
--26.38B
--24.38B
--24.63B
--25.14B
-Deuda a largo plazo
-13.42%25.70B
-1.03%28.82B
-14.32%26.15B
7.28%29.37B
23.88%29.68B
31.13%29.12B
39.71%30.52B
19.69%27.38B
35.26%23.96B
45.22%22.20B
46.23%21.84B
82.91%22.87B
31.45%17.72B
14.85%15.29B
-0.90%14.94B
-26.46%12.51B
-35.43%13.48B
-36.83%13.31B
-33.94%15.07B
-23.93%17.01B
-4.05%20.87B
0.94%21.08B
10.62%22.82B
-11.17%22.35B
-8.44%21.75B
-17.44%20.88B
-22.53%20.63B
-19.63%25.17B
-28.54%23.76B
-23.00%25.29B
-17.18%26.63B
11.90%31.31B
25.82%33.25B
24.27%32.84B
6.56%32.15B
2.60%27.98B
-8.97%26.42B
-15.97%26.43B
-5.63%30.17B
-8.61%27.27B
4.99%29.03B
14.62%31.45B
15.03%31.97B
7.46%29.84B
4.81%27.65B
12.55%27.44B
12.85%27.79B
10.46%27.77B
--26.38B
--24.38B
--24.63B
--25.14B
Depósitos del cliente
-12.63%105.44B
-0.08%117.69B
-1.72%112.59B
12.01%117.20B
23.14%120.68B
50.73%117.79B
16.43%114.57B
10.08%104.63B
17.70%98.01B
-6.53%78.14B
8.55%98.40B
21.49%95.05B
-2.70%83.27B
2.17%83.61B
15.11%90.65B
7.75%78.24B
2.58%85.58B
2.75%81.83B
-11.32%78.75B
-9.78%72.61B
6.55%83.43B
1.26%79.64B
12.57%88.81B
-3.19%80.49B
0.52%78.30B
-0.09%78.65B
16.14%78.89B
34.47%83.14B
29.12%77.89B
35.44%78.72B
20.80%67.92B
18.30%61.83B
20.95%60.33B
11.70%58.12B
-9.99%56.22B
-12.02%52.26B
-29.21%49.88B
-27.55%52.04B
-17.83%62.46B
-17.04%59.40B
3.17%70.46B
0.79%71.82B
11.03%76.02B
-2.03%71.61B
-7.50%68.29B
-34.47%71.26B
-36.26%68.46B
-37.43%73.09B
--73.82B
--108.75B
--107.41B
--116.82B
Total pasivos
-12.19%181.13B
1.23%203.82B
-2.89%191.76B
12.65%203.04B
24.64%206.26B
24.53%201.35B
20.47%197.47B
1.14%180.24B
11.70%165.49B
4.81%161.69B
-1.03%163.92B
19.55%178.21B
-7.01%148.15B
9.84%154.28B
18.82%165.63B
6.18%149.07B
-3.71%159.33B
-10.63%140.45B
-16.24%139.39B
-9.81%140.40B
1.55%165.47B
3.92%157.17B
6.25%166.42B
-12.11%155.67B
-3.39%162.94B
-14.73%151.24B
-4.97%156.63B
3.05%177.13B
-0.16%168.66B
10.45%177.36B
1.89%164.82B
21.23%171.89B
27.27%168.94B
19.84%160.59B
4.41%161.76B
-3.79%141.79B
-20.12%132.74B
-21.43%134.00B
-12.55%154.93B
-12.09%147.37B
5.68%166.18B
5.39%170.54B
11.43%177.16B
-2.40%167.65B
-6.26%157.25B
-1.16%161.81B
-2.32%158.98B
-0.91%171.78B
--167.75B
--163.71B
--162.75B
--173.35B
Capital de los accionistas
Capital ordinario
-7.18%10.52B
9.15%11.93B
1.14%11.62B
0.95%10.97B
8.94%11.34B
7.62%10.93B
9.82%11.49B
-6.40%10.86B
5.38%10.40B
0.51%10.16B
-5.47%10.46B
18.83%11.61B
-10.03%9.87B
-0.52%10.11B
6.15%11.07B
-10.82%9.77B
-22.53%10.97B
-25.86%10.16B
-29.45%10.43B
-24.52%10.95B
-1.81%14.17B
-0.93%13.70B
2.35%14.78B
-14.35%14.51B
-14.65%14.43B
-21.90%13.83B
-14.71%14.44B
-5.50%16.94B
-1.78%16.90B
3.08%17.71B
-2.83%16.93B
15.03%17.93B
21.70%17.21B
21.14%17.18B
-3.44%17.43B
-10.76%15.58B
-32.74%14.14B
-37.93%14.18B
-29.67%18.05B
-30.17%17.46B
-20.73%21.02B
-19.19%22.85B
-8.58%25.66B
-19.20%25.01B
-13.31%26.52B
-8.58%28.27B
-9.96%28.07B
-9.78%30.95B
--30.59B
--30.92B
--31.17B
--34.31B
Ganancias retenidas
-24.43%10.05B
-12.64%11.10B
-20.40%10.42B
6.96%13.17B
15.45%13.30B
15.13%12.71B
18.59%13.08B
5.10%12.32B
17.17%11.52B
11.25%11.04B
2.26%11.03B
25.59%11.72B
2.12%9.83B
15.49%9.92B
31.64%10.79B
10.12%9.33B
-4.44%9.63B
-17.58%8.59B
-21.95%8.20B
-12.47%8.47B
7.50%10.07B
12.71%10.42B
16.76%10.50B
-1.90%9.68B
-1.76%9.37B
-14.50%9.25B
-11.53%8.99B
-3.40%9.87B
3.55%9.54B
6.21%10.82B
5.43%10.17B
23.72%10.21B
30.38%9.21B
35.17%10.18B
-3.79%9.64B
0.18%8.26B
-23.98%7.07B
-23.80%7.53B
-3.92%10.02B
-13.70%8.24B
4.54%9.29B
7.34%9.89B
19.31%10.43B
3.75%9.55B
4.27%8.89B
8.27%9.21B
8.12%8.74B
-1.25%9.20B
--8.53B
--8.51B
--8.09B
--9.32B
Reservas de capital
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100.00%0.00
100.00%0.00
100.00%0.00
93.64%-16.67M
93.58%-16.12M
93.37%-17.39M
94.45%-17.08M
14.65%-262.09M
21.90%-251.25M
14.71%-262.35M
5.50%-307.75M
1.78%-307.06M
-3.08%-321.69M
2.83%-307.59M
-15.03%-325.65M
-21.70%-312.62M
-21.14%-312.07M
3.44%-316.57M
11.07%-283.09M
28.16%-256.86M
33.70%-257.61M
---327.85M
---318.34M
---357.55M
---388.56M
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Menos: Acciones en tesorería
-37.22%143.21M
-27.21%160.30M
-31.71%157.39M
-20.00%170.13M
-1.11%228.10M
5.54%220.22M
7.87%230.47M
16.94%212.66M
80.20%230.67M
58.87%208.65M
49.57%213.66M
44.28%181.85M
-15.99%128.01M
-6.90%131.34M
-1.47%142.85M
-17.44%126.04M
-10.10%152.37M
-8.58%141.08M
-9.17%144.99M
14.61%152.67M
42.52%169.48M
70.68%154.32M
73.37%159.62M
328.56%133.21M
165.33%118.91M
985.16%90.41M
-55.04%92.07M
-77.77%31.08M
-71.64%44.82M
-93.90%8.33M
46.49%204.78M
18.89%139.80M
47.56%158.01M
-13.31%136.48M
-11.00%139.79M
-17.78%117.59M
-36.14%107.08M
4.85%157.44M
-24.40%157.06M
-19.75%143.01M
35.75%167.67M
29.73%150.15M
179.90%207.75M
135.36%178.21M
48.27%123.51M
39.43%115.74M
-10.99%74.22M
-6.23%75.72M
--83.30M
--83.01M
--83.39M
--80.74M
Pérdidas de ganancias que no afectan a las ganancias retenidas
-32.76%-1.09B
-33.93%-1.19B
-11.01%-912.19M
-10.54%-927.42M
3.64%-817.83M
-21.70%-887.07M
-6.20%-821.74M
-7.73%-839.00M
-38.79%-848.74M
-44.85%-728.90M
-107.85%-773.76M
-136.97%-778.78M
-641.95%-611.53M
-209.49%-503.21M
-1468.87%-372.26M
-88.02%-328.64M
-286.49%-82.42M
-2144.96%-162.59M
87.78%-23.73M
7.60%-174.79M
90.58%-21.33M
98.51%-7.24M
57.83%-194.24M
-9.94%-189.17M
3.13%-226.49M
-536.62%-486.84M
-26.49%-460.60M
-108.39%-172.06M
43.57%-233.80M
70.98%-76.47M
0.46%-364.15M
86.59%-82.57M
60.30%-414.30M
68.97%-263.52M
40.90%-365.83M
15.38%-615.70M
-53.87%-1.04B
-89.07%-849.35M
-22.82%-618.98M
-13.27%-727.57M
18.83%-678.18M
29.64%-449.23M
8.49%-503.97M
20.13%-642.32M
-67.35%-835.51M
-193.81%-638.45M
-175.47%-550.74M
-1943.14%-804.18M
---499.25M
--680.62M
--729.72M
---39.36M
Intereses no controladores
-34.68%54.30M
-20.51%60.78M
-48.68%54.58M
-45.29%54.17M
-11.65%83.13M
-11.03%76.46M
20.39%106.36M
16.32%99.02M
56.75%94.09M
38.35%85.95M
33.72%88.35M
51.03%85.13M
-0.36%60.02M
11.31%62.12M
17.05%66.07M
-2.52%56.36M
-56.65%60.24M
-64.63%55.81M
-61.36%56.45M
-59.19%57.82M
-8.99%138.99M
5.32%157.78M
-0.40%146.09M
-1.60%141.68M
15.77%152.71M
-36.98%149.81M
-41.26%146.68M
-41.19%143.99M
-40.85%131.91M
14.08%237.73M
85.56%249.72M
135.55%244.84M
102.95%223.01M
97.83%208.40M
5.36%134.57M
-19.82%103.94M
-23.20%109.88M
-37.29%105.34M
-2.14%127.72M
-4.98%129.64M
16.89%143.08M
50.02%167.98M
2.37%130.52M
-4.09%136.43M
5.69%122.41M
731.62%111.97M
933.20%127.49M
1091.66%142.25M
--115.81M
--13.46M
--12.34M
--11.94M
Capital total
-18.06%19.40B
-3.81%21.74B
-11.03%21.02B
3.92%23.10B
13.05%23.67B
11.13%22.61B
14.72%23.63B
-0.99%22.23B
10.06%20.94B
4.56%20.34B
-3.79%20.60B
20.05%22.45B
-6.86%19.02B
5.15%19.45B
15.66%21.41B
-2.39%18.70B
-15.55%20.43B
-23.30%18.50B
-26.17%18.51B
-20.22%19.15B
2.47%24.19B
6.49%24.12B
8.88%25.07B
-10.24%24.01B
-10.23%23.60B
-21.02%22.65B
-14.00%23.03B
-5.02%26.75B
0.86%26.29B
5.55%28.68B
0.30%26.78B
21.34%28.16B
29.29%26.07B
30.54%27.17B
-2.64%26.70B
-7.02%23.21B
-31.91%20.16B
-35.57%20.81B
-22.78%27.42B
-26.31%24.96B
-14.35%29.61B
-12.31%32.30B
-2.21%35.51B
-14.07%33.87B
-10.55%34.57B
-8.00%36.84B
-9.03%36.32B
-9.42%39.42B
--38.65B
--40.04B
--39.92B
--43.52B
Unidad monetaria
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Opiniones de evaluación
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KeyAI