tradingkey.logo

Banco Bradesco SA

BBD

2.800USD

-0.010-0.36%
Close 08/04, 16:00ETQuotes delayed by 15 min
14.79BMarket Cap
4.21P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q3
FY2012Q2
FY2012Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-458.50%-13.17B
101.99%294.46M
---933.33M
--4.97B
--3.67B
---14.81B
600.15%3.50B
548.57%47.56B
-101.79%-748.02M
---700.59M
--7.33B
--41.81B
Net income from continuing operations
21.64%1.10B
683.28%828.16M
--1.12B
--917.85M
--901.79M
---141.98M
-4.50%2.01B
-0.67%1.47B
-9.61%2.35B
--2.10B
--1.48B
--2.60B
Operating gains losses
-8.11%324.69M
-42.12%337.73M
--458.86M
--240.58M
--353.35M
--583.55M
-10.15%310.60M
-0.77%341.56M
-2.15%362.17M
--345.69M
--344.22M
--370.13M
Deferred tax
55.55%-195.48M
25.47%-452.07M
---448.57M
---104.25M
---439.75M
---606.52M
----
----
----
----
----
----
Other non-cash items
-5.02%1.60B
-79.60%715.90M
--1.65B
--972.50M
--1.69B
--3.51B
-28.44%1.21B
-32.60%852.59M
-36.36%1.18B
--1.69B
--1.26B
--1.85B
Change in working capital
-87289.96%-16.79B
88.91%-2.17B
---4.85B
--1.69B
---19.21M
---19.55B
81.14%-1.17B
1497.23%43.52B
-112.34%-4.59B
---6.21B
--2.73B
--37.21B
-Change in other current assets
404.92%5.58B
-192.50%-1.52B
---1.80B
---2.11B
---1.83B
--1.65B
-168.04%-1.31B
23.35%-2.36B
94.03%-179.18M
--1.92B
---3.08B
---3.00B
-Change in other current liabilities
-1095.19%-8.68B
240.53%5.92B
---513.23M
--9.21B
---726.64M
--1.74B
-28.97%721.84M
-63.08%1.37B
-99.70%12.24M
--1.02B
--3.71B
--4.15B
Cash from non-recurring investing activities
Cash from operating activities
-458.50%-13.17B
101.99%294.46M
---933.33M
--4.97B
--3.67B
---14.81B
600.15%3.50B
548.57%47.56B
-101.79%-748.02M
---700.59M
--7.33B
--41.81B
Investing cash flow
Net cash from continuing investing activities
27.90%375.93M
-55.83%314.06M
--269.62M
--425.91M
--293.92M
--711.08M
-51.46%326.85M
7.90%480.61M
33.41%683.41M
--673.36M
--445.41M
--512.26M
Capital expenditures
18.68%427.76M
-56.91%356.76M
--328.50M
--483.36M
--360.44M
--827.88M
-40.76%441.84M
21.50%604.89M
24.08%789.37M
--745.86M
--497.86M
--636.15M
Net cash flow from disposal of fixed assets
2214.06%252.39M
-20.34%20.96M
---23.49M
--200.44M
--10.91M
--26.32M
-0.06%196.06M
-41.17%137.43M
-34.71%176.50M
--196.18M
--233.61M
--270.33M
Net cash flow from intangible asset transactions
-56.35%123.54M
-57.20%293.10M
--293.11M
--225.47M
--283.01M
--684.76M
-72.59%130.79M
62.04%343.18M
109.52%506.91M
--477.18M
--211.79M
--241.93M
Net cash flow from business transactions
----
--0.00
--0.00
---40.49M
--0.00
--0.00
----
----
----
----
----
----
Net cash flow from investment products
1097.04%8.14B
-88.46%61.84M
--1.54B
---359.45M
--679.60M
--535.79M
-54.13%5.07B
-36.01%-6.92B
69.00%-9.15B
--11.04B
---5.09B
---29.51B
Cash from non-current investing activities
Net cash flow from investing activities
1911.80%7.76B
-43.89%-252.22M
--1.27B
---825.85M
--385.68M
---175.28M
-54.30%4.74B
-33.75%-7.40B
67.26%-9.83B
--10.37B
---5.53B
---30.03B
Financing cash flow
Cash flow from continuous financing activities
-493.97%-828.67M
-146.09%-853.66M
---662.99M
---2.48B
---139.51M
--1.85B
-87.56%-543.66M
-77.84%421.47M
-346.87%-1.18B
---289.87M
--1.90B
--476.78M
Net cash flow from debt Issuance/repayment
-309.10%-100.39M
-136.15%-707.94M
---560.06M
---1.48B
--48.01M
--1.96B
-118.50%-37.95M
-72.23%563.03M
-94.34%102.87M
--205.17M
--2.03B
--1.82B
Net cash flow from common stock issuance/repurchase
35.99%-37.94M
---21.57M
--0.00
---28.64M
---59.28M
----
-365.25%-28.40M
--0.00
100.00%0.00
---6.10M
--0.00
---1.03M
Cash dividend payments
568.66%681.02M
12.83%114.63M
--90.57M
--933.19M
--101.85M
--101.60M
-1.40%471.79M
22.45%116.67M
-4.67%1.27B
--478.51M
--95.28M
--1.34B
Net cash from non-recurrent financing activities
Net cash from financing activities
-493.97%-828.67M
-146.09%-853.66M
---662.99M
---2.48B
---139.51M
--1.85B
-87.56%-543.66M
-77.84%421.47M
-346.87%-1.18B
---289.87M
--1.90B
--476.78M
Net cash flow
Beginning cash balance
-2.09%36.47B
-33.60%34.46B
--39.43B
--36.84B
--37.24B
--51.89B
50.08%48.74B
-63.00%10.78B
16.40%23.50B
--32.48B
--29.14B
--20.19B
Current period cash flow changes
-261.56%-6.27B
93.68%-829.62M
---347.56M
--1.69B
--3.88B
---13.12B
-17.91%7.70B
996.80%40.58B
-195.92%-11.76B
--9.38B
--3.70B
--12.26B
Effect of exchange rate changes
23.69%-29.33M
-225.31%-18.20M
---17.26M
--16.69M
---38.43M
--14.53M
----
----
----
----
----
----
Ending cash balance
-26.93%30.01B
-12.53%33.67B
--39.07B
--38.41B
--41.08B
--38.50B
35.44%56.69B
47.82%48.40B
-62.93%11.89B
--41.86B
--32.74B
--32.07B
Free cash flow
-510.39%-13.60B
99.60%-62.30M
---1.26B
--4.49B
--3.31B
---15.64B
311.70%3.06B
586.96%46.95B
-103.73%-1.54B
---1.45B
--6.83B
--41.17B
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
--
--
--
--
--
--
--
--
--
--
--
--
KeyAI