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Banco Bradesco SA

BBD
3.345USD
+0.025+0.75%
Close 12/19, 16:00ETQuotes delayed by 15 min
17.66BMarket Cap
9.48P/E TTM
You can access the annual and quarterly cash flow statements of Banco Bradesco SA to evaluate its financial soundness and stability.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q3
FY2012Q2
FY2012Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
249.53%1.40B
40.88%7.01B
-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
-20.16%895.90M
-16.35%767.79M
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
-33.66%304.41M
39.08%334.61M
-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
27.38%-325.75M
-156.86%-267.77M
55.55%-195.48M
25.47%-452.07M
---448.57M
---104.25M
---439.75M
---606.52M
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Other non-cash items
358.98%7.59B
124.48%2.18B
-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
12.62%-4.24B
73.40%2.93B
-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
51.43%-874.71M
131.51%665.69M
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
443.48%1.76B
2.07%9.40B
-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
249.53%1.40B
40.88%7.01B
-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
23.10%331.91M
-0.70%422.94M
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
13.27%372.09M
7.42%519.24M
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
479.72%89.20M
-57.31%85.57M
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
-17.19%242.71M
49.64%337.38M
-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
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--0.00
--0.00
---40.49M
--0.00
--0.00
----
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Net cash flow from investment products
-147.91%-735.66M
471.55%1.34B
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
-184.33%-1.07B
210.50%912.57M
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
128.73%190.47M
148.07%1.19B
-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
236.79%766.11M
206.82%1.58B
-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
--0.00
100.00%0.00
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
526.18%567.13M
-60.68%366.93M
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
128.73%190.47M
148.07%1.19B
-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
6.19%41.87B
-14.43%31.52B
-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
247.71%513.38M
440.36%9.11B
-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
70.19%-5.15M
-100.63%-105.20K
23.69%-29.33M
-225.31%-18.20M
---17.26M
--16.69M
---38.43M
--14.53M
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Ending cash balance
8.50%42.39B
6.80%41.02B
-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
181.11%1.02B
44.49%6.49B
-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
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Audit opinions
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FAQs

What is the cash flow statement?

This report tracks the movement of cash into and out of the business, covering operating, investing, and financing activities. It highlights how well the company manages cash to support growth and meet its obligations.
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