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Banco Bradesco SA

BBDO
2.950USD
+0.070+2.43%
Close 09/29, 16:00ETQuotes delayed by 15 min
15.58BMarket Cap
0.71P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q2
FY2025Q1
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
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q3
FY2012Q2
FY2012Q1
Total equity
Restricted cash
--4.04B
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Non-current assets
Net Fixed Assets
18.00%1.66B
3.37%1.49B
-16.03%1.28B
-14.52%1.26B
-10.47%1.40B
-11.99%1.44B
2.60%1.53B
-7.38%1.48B
-3.26%1.57B
-14.95%1.63B
-17.74%1.49B
-1.72%1.60B
-9.95%1.62B
9.48%1.92B
2.08%1.81B
-2.47%1.62B
-4.35%1.80B
-2.94%1.76B
-23.44%1.77B
-25.11%1.66B
-20.27%1.88B
-18.49%1.81B
3.41%2.32B
10.48%2.22B
16.41%2.36B
-1.30%2.22B
-8.43%2.24B
-9.34%2.01B
-13.16%2.03B
-5.43%2.25B
-1.09%2.45B
12.16%2.22B
40.95%2.33B
50.12%2.38B
83.03%2.47B
61.34%1.98B
19.77%1.66B
-0.32%1.58B
-24.34%1.35B
-35.82%1.23B
-31.65%1.38B
-23.52%1.59B
--1.79B
-5.48%1.91B
1.15%2.02B
-7.74%2.08B
-9.09%2.02B
-9.88%2.00B
-7.01%2.25B
--2.22B
--2.22B
--2.42B
-Fixed Assets
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-21.36%3.23B
-10.88%3.76B
-10.23%3.72B
-8.62%3.87B
-1.94%4.11B
6.59%4.22B
3.20%4.14B
6.67%4.24B
-2.51%4.19B
-4.68%3.96B
8.53%4.01B
-0.72%3.97B
11.31%4.30B
6.36%4.16B
2.08%3.70B
-0.18%4.00B
3.91%3.86B
-16.55%3.91B
-21.88%3.62B
-17.24%4.01B
-17.81%3.72B
-3.17%4.68B
3.41%4.64B
10.60%4.84B
-3.32%4.52B
-3.38%4.84B
-3.21%4.48B
-8.03%4.38B
-0.48%4.68B
4.69%5.01B
8.58%4.63B
26.47%4.76B
32.40%4.70B
58.79%4.78B
42.48%4.27B
12.49%3.76B
-11.21%3.55B
-32.52%3.01B
-39.09%2.99B
-35.89%3.35B
-25.17%4.00B
--4.46B
-6.29%4.91B
3.81%5.22B
-2.36%5.34B
0.68%5.24B
-0.78%5.03B
1.46%5.47B
--5.21B
--5.07B
--5.40B
-Accumulated depreciation
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-34.67%1.75B
-7.96%2.48B
-7.84%2.45B
-7.53%2.47B
4.48%2.67B
9.00%2.70B
10.18%2.66B
13.51%2.67B
7.55%2.56B
5.39%2.47B
16.56%2.42B
6.83%2.35B
12.84%2.38B
9.91%2.35B
5.95%2.07B
3.50%2.20B
10.39%2.11B
-9.81%2.14B
-18.91%1.96B
-14.35%2.13B
-17.15%1.91B
-8.84%2.37B
-2.34%2.41B
5.60%2.48B
-5.18%2.31B
1.45%2.60B
2.43%2.47B
-3.10%2.35B
4.59%2.43B
10.88%2.56B
5.49%2.41B
15.09%2.43B
18.14%2.32B
39.07%2.31B
29.40%2.29B
7.37%2.11B
-18.39%1.97B
-37.97%1.66B
-41.16%1.77B
-38.57%1.96B
-26.22%2.41B
--2.68B
-6.79%3.00B
5.57%3.20B
1.40%3.27B
7.95%3.22B
6.30%3.03B
8.35%3.22B
--2.99B
--2.85B
--2.97B
Goodwill and other intangible assets
31.24%4.33B
-12.06%3.26B
-10.32%3.39B
-0.77%3.33B
-2.95%3.30B
10.08%3.71B
24.83%3.78B
29.60%3.35B
36.16%3.40B
31.46%3.37B
27.22%3.03B
21.80%2.59B
14.74%2.50B
20.79%2.56B
4.10%2.38B
12.19%2.12B
-0.95%2.17B
1.05%2.12B
-20.89%2.29B
-39.79%1.89B
-35.57%2.20B
-38.04%2.10B
-24.15%2.89B
-12.03%3.15B
-4.79%3.41B
-17.61%3.39B
-20.73%3.81B
-22.84%3.58B
-22.97%3.58B
-15.40%4.11B
-8.04%4.81B
-6.67%4.63B
124.48%4.65B
146.19%4.86B
200.90%5.23B
183.01%4.97B
0.54%2.07B
-17.90%1.97B
-37.78%1.74B
-50.55%1.75B
-46.31%2.06B
-40.87%2.40B
--2.79B
-14.60%3.55B
-6.88%3.83B
-7.22%4.07B
-12.27%4.16B
-7.20%4.12B
-8.71%4.38B
--4.74B
--4.44B
--4.80B
Total assets
11.52%387.56B
-6.07%356.81B
-8.27%353.63B
-9.31%345.83B
-8.09%347.52B
4.43%379.88B
14.64%385.52B
7.45%381.32B
14.04%378.11B
10.27%363.77B
1.90%336.29B
19.22%354.89B
5.88%331.56B
11.34%329.89B
11.04%330.01B
7.17%297.69B
6.57%313.16B
13.30%296.28B
-7.39%297.20B
-17.56%277.76B
-17.51%293.86B
-21.42%261.49B
-9.16%320.91B
-2.77%336.91B
7.64%356.22B
-6.10%332.79B
-7.64%353.27B
-6.95%346.49B
-12.27%330.92B
-5.15%354.41B
1.28%382.49B
6.29%372.38B
19.06%377.21B
27.26%373.64B
50.79%377.66B
35.07%350.34B
12.68%316.82B
-9.58%293.61B
-29.62%250.44B
-36.87%259.38B
-31.65%281.17B
-22.08%324.70B
--355.86B
-1.65%410.84B
2.40%411.39B
-5.85%416.73B
-1.27%417.71B
-1.41%401.75B
5.38%442.61B
--423.11B
--407.48B
--420.00B
Liabilities
Current liabilities
Short-term debt and lease liabilities
-25.12%54.44B
9.19%80.53B
15.40%81.59B
-0.21%74.11B
-5.52%72.70B
-1.78%73.75B
2.56%70.70B
0.52%74.26B
25.70%76.95B
23.66%75.08B
8.04%68.94B
22.38%73.88B
-5.72%61.22B
-7.62%60.72B
7.07%63.81B
3.24%60.37B
12.13%64.93B
16.40%65.72B
44.97%59.59B
3.56%58.47B
-7.19%57.91B
-9.54%56.46B
-35.68%41.11B
-18.46%56.46B
-1.11%62.40B
-17.60%62.42B
-25.76%63.91B
-21.54%69.25B
-29.84%63.10B
-19.01%75.75B
-5.46%86.08B
3.68%88.25B
13.81%89.94B
26.00%93.54B
42.55%91.05B
32.38%85.12B
5.16%79.02B
-19.52%74.24B
-33.49%63.87B
-52.94%64.30B
-39.94%75.15B
-27.06%92.25B
--96.04B
4.55%136.62B
-3.99%125.12B
-15.62%126.48B
-3.16%130.68B
4.43%130.33B
16.66%149.89B
--134.94B
--124.80B
--128.49B
-Short-term debt
5.52%54.31B
-11.14%49.41B
-11.08%48.75B
-10.30%48.44B
-0.56%51.47B
14.28%55.60B
30.26%54.83B
9.96%54.00B
27.81%51.76B
12.76%48.65B
-5.24%42.09B
18.16%49.11B
-9.00%40.50B
-1.83%43.15B
9.52%44.42B
5.12%41.56B
22.49%44.50B
28.06%43.95B
-1.34%40.56B
-15.62%39.54B
-28.67%36.33B
-32.61%34.32B
-21.54%41.11B
-20.45%46.86B
-5.87%50.94B
-22.68%50.93B
-28.93%52.39B
-21.95%58.91B
-27.89%54.11B
-17.70%65.88B
-4.84%73.72B
5.71%75.47B
9.06%75.04B
24.58%80.04B
41.80%77.47B
30.76%71.40B
5.79%68.80B
-20.16%64.25B
-35.17%54.64B
-55.94%54.60B
-42.41%65.04B
-28.97%80.47B
--84.28B
4.14%123.92B
-5.53%112.93B
-18.54%113.29B
-1.92%119.00B
7.83%119.55B
22.21%139.07B
--121.33B
--110.87B
--113.80B
-Short-term lease liabilities
-98.17%128.94M
40.18%8.03B
57.77%9.49B
12.99%7.93B
1.12%7.06B
-10.50%5.73B
-21.21%6.01B
-19.64%7.02B
-19.90%6.98B
-19.72%6.40B
12.33%7.63B
22.02%8.73B
11.74%8.72B
20.03%7.97B
14.55%6.80B
21.16%7.16B
16.93%7.80B
-9.33%6.64B
--5.93B
--5.91B
--6.67B
--7.33B
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Non-current liabilities
Long-term debt and lease liabilities
89.61%63.16B
-33.88%26.76B
-43.15%24.40B
-18.22%29.94B
3.73%33.31B
35.20%40.47B
66.12%42.92B
32.50%36.61B
14.13%32.12B
2.95%29.93B
8.50%25.84B
54.95%27.63B
71.72%28.14B
107.91%29.07B
40.47%23.82B
5.45%17.83B
-17.60%16.39B
-29.20%13.98B
-64.10%16.95B
276.22%16.91B
305.46%19.89B
308.75%19.75B
789.41%47.22B
-7.71%4.50B
-2.29%4.90B
-16.47%4.83B
-19.78%5.31B
-25.69%4.87B
-33.54%5.02B
-29.83%5.78B
-23.93%6.62B
-21.11%6.55B
-12.30%7.55B
-4.82%8.24B
6.57%8.70B
-1.38%8.31B
-2.00%8.61B
-15.55%8.66B
-32.02%8.16B
-33.55%8.42B
-31.87%8.79B
-24.49%10.26B
--12.01B
-0.90%12.68B
5.23%12.90B
6.15%13.58B
16.45%12.79B
6.48%12.26B
-5.60%12.80B
--10.99B
--11.51B
--13.56B
-Long-term debt
89.61%63.16B
-33.88%26.76B
-43.15%24.40B
-18.22%29.94B
3.73%33.31B
35.20%40.47B
66.12%42.92B
32.50%36.61B
14.13%32.12B
2.95%29.93B
8.50%25.84B
54.95%27.63B
71.72%28.14B
107.91%29.07B
40.47%23.82B
5.45%17.83B
-17.60%16.39B
-29.20%13.98B
-64.10%16.95B
276.22%16.91B
305.46%19.89B
308.75%19.75B
789.41%47.22B
-7.71%4.50B
-2.29%4.90B
-16.47%4.83B
-19.78%5.31B
-25.69%4.87B
-33.54%5.02B
-29.83%5.78B
-23.93%6.62B
-21.11%6.55B
-12.30%7.55B
-4.82%8.24B
6.57%8.70B
-1.38%8.31B
-2.00%8.61B
-15.55%8.66B
-32.02%8.16B
-33.55%8.42B
-31.87%8.79B
-24.49%10.26B
--12.01B
-0.90%12.68B
5.23%12.90B
6.15%13.58B
16.45%12.79B
6.48%12.26B
-5.60%12.80B
--10.99B
--11.51B
--13.56B
Customer deposits
7.16%115.89B
-7.81%109.98B
-11.28%111.74B
-14.34%106.58B
-11.27%108.15B
0.87%119.29B
12.30%125.95B
9.22%124.42B
10.91%121.88B
9.43%118.26B
-2.41%112.15B
12.88%113.92B
4.46%109.89B
8.95%108.07B
12.34%114.93B
10.92%100.92B
9.87%105.20B
35.40%99.20B
10.91%102.31B
2.16%90.98B
3.22%95.75B
-15.89%73.26B
-7.31%92.24B
-2.27%89.06B
9.55%92.76B
3.51%87.11B
10.18%99.52B
7.13%91.13B
2.02%84.67B
13.14%84.15B
19.80%90.32B
19.38%85.07B
51.07%83.00B
36.40%74.38B
55.70%75.39B
33.84%71.26B
-6.06%54.94B
-24.17%54.53B
-40.75%48.42B
-39.94%53.24B
-38.48%58.49B
-27.80%71.91B
--81.72B
-11.83%88.65B
1.29%95.07B
-2.71%99.59B
-4.82%100.54B
-12.15%93.86B
-10.34%102.37B
--105.63B
--106.84B
--114.18B
Total liabilities
11.47%356.06B
-5.92%327.66B
-7.66%325.85B
-8.90%317.54B
-7.48%319.41B
4.77%348.29B
14.95%352.89B
7.41%348.55B
14.37%345.24B
10.81%332.43B
2.16%306.99B
19.65%324.50B
5.98%301.86B
11.26%299.99B
11.21%300.51B
6.90%271.22B
6.48%284.84B
13.41%269.63B
-6.55%270.22B
-16.08%253.71B
-16.58%267.49B
-20.90%237.75B
-9.59%289.17B
-4.05%302.31B
6.68%320.67B
-6.51%300.58B
-7.94%319.85B
-6.91%315.07B
-12.41%300.58B
-5.62%321.49B
0.60%347.43B
5.41%338.46B
19.41%343.18B
27.71%340.64B
51.14%345.35B
35.55%321.09B
12.59%287.39B
-9.95%266.73B
-29.56%228.49B
-37.28%236.88B
-32.34%255.25B
-22.73%296.20B
--324.39B
-2.31%377.66B
1.44%377.24B
-6.03%383.35B
-0.92%386.59B
-1.04%371.90B
4.93%407.95B
--390.18B
--375.83B
--388.78B
Shareholders' equity
Common equity
3.38%15.73B
-9.70%15.39B
-14.42%15.00B
-14.73%15.05B
-14.86%15.22B
-2.53%17.04B
6.49%17.53B
5.11%17.65B
5.98%17.87B
1.91%17.48B
-0.74%16.46B
13.21%16.79B
5.46%16.86B
12.37%17.15B
12.24%16.58B
7.75%14.83B
4.18%15.99B
5.87%15.27B
-16.67%14.78B
-26.36%13.77B
-22.78%15.35B
-24.10%14.42B
-3.71%17.73B
3.08%18.69B
10.95%19.88B
-1.63%19.00B
-1.33%18.41B
0.26%18.14B
-4.44%17.92B
4.02%19.31B
14.07%18.66B
19.82%18.09B
20.65%18.75B
26.71%18.57B
44.38%16.36B
34.83%15.10B
21.52%15.54B
0.62%14.65B
-22.59%11.33B
-29.37%11.20B
-24.03%12.79B
-15.42%14.56B
--14.64B
-9.58%15.85B
-1.39%16.83B
-8.68%17.22B
17.89%17.53B
15.59%17.07B
17.75%18.85B
--14.87B
--14.77B
--16.01B
Retained earnings
10.33%15.57B
-4.18%14.76B
-5.77%14.63B
-9.30%14.37B
-9.97%14.11B
2.39%15.41B
11.68%15.53B
9.69%15.84B
11.90%15.67B
12.88%15.05B
2.95%13.91B
20.33%14.44B
19.10%14.01B
22.87%13.33B
21.69%13.51B
23.61%12.00B
14.35%11.76B
17.62%10.85B
-10.32%11.10B
-31.86%9.71B
-27.27%10.28B
-26.26%9.23B
-16.02%12.38B
4.28%14.25B
11.86%14.14B
-2.51%12.51B
-6.50%14.74B
-8.38%13.66B
-16.34%12.64B
-8.58%12.83B
-2.44%15.76B
3.75%14.91B
4.16%15.11B
8.74%14.04B
38.80%16.15B
16.07%14.38B
8.63%14.51B
-8.91%12.91B
-31.46%11.64B
-28.27%12.39B
-22.48%13.35B
-13.82%14.17B
--16.98B
17.19%17.27B
28.02%17.23B
18.18%16.45B
-7.70%14.73B
-9.95%13.46B
-8.48%13.92B
--15.96B
--14.94B
--15.21B
Capital reserves
--12.72M
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Less: Treasury stock
-60.66%30.43M
-48.10%29.79M
--97.96M
--76.51M
--77.35M
27.46%57.40M
-100.00%0.00
--0.00
--0.00
--45.04M
-68.13%42.41M
-100.00%0.00
-100.00%0.00
--0.00
61.69%133.05M
55.23%119.01M
-49.02%43.58M
-100.00%0.00
-20.89%82.29M
-30.08%76.67M
-26.68%85.48M
-27.94%80.30M
-13.96%104.01M
-7.90%109.65M
-0.87%116.59M
-12.10%111.44M
-13.09%120.89M
-11.69%119.06M
-15.83%117.61M
-8.38%126.78M
-1.37%139.10M
3.60%134.83M
4.31%139.74M
9.56%138.39M
33.11%141.03M
18.98%130.14M
21.70%133.96M
25.45%126.31M
-7.47%105.95M
-11.79%109.38M
-16.40%110.08M
-25.23%100.69M
--114.50M
2.75%124.00M
48.95%131.67M
37.93%134.67M
23.79%120.69M
-2.58%88.40M
-0.76%97.63M
--97.49M
--90.73M
--98.37M
Gains losses not affecting retained earnings
--142.35M
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Non-controlling interests
-35.42%88.10M
-18.29%143.30M
-28.03%136.92M
-26.84%136.14M
-23.38%136.42M
6.25%175.38M
36.40%190.25M
29.44%186.08M
32.88%178.05M
18.61%165.06M
-2.11%139.48M
17.25%143.76M
0.32%133.99M
-5.67%139.17M
0.46%142.48M
-5.97%122.61M
-8.94%133.56M
10.75%147.54M
-15.37%141.82M
-23.64%130.39M
-18.57%146.67M
-21.62%133.21M
-8.24%167.59M
3.09%170.76M
12.21%180.12M
-1.42%169.96M
2.66%182.64M
-2.42%165.63M
7.02%160.53M
12.67%172.40M
23.82%177.91M
31.77%169.75M
19.05%150.00M
26.54%153.02M
47.97%143.69M
27.93%128.83M
10.33%126.00M
-13.77%120.92M
-35.62%97.11M
-50.58%100.70M
-46.83%114.21M
-43.50%140.23M
--150.83M
-25.17%203.74M
-17.62%214.81M
-17.04%248.20M
-5.98%272.27M
-9.44%260.75M
-10.76%299.17M
--289.59M
--287.95M
--335.26M
Total equity
12.07%31.50B
-7.72%29.15B
-14.87%27.78B
-13.68%28.29B
-14.50%28.10B
0.79%31.59B
11.39%32.63B
7.84%32.78B
10.67%32.87B
4.82%31.34B
-0.70%29.29B
14.81%30.39B
4.87%29.70B
12.21%29.90B
9.33%29.50B
10.05%26.47B
7.41%28.32B
12.20%26.65B
-14.98%26.99B
-30.48%24.05B
-25.83%26.37B
-26.28%23.75B
-5.03%31.74B
10.09%34.60B
17.17%35.55B
-2.14%32.22B
-4.67%33.42B
-7.37%31.43B
-10.84%30.34B
-0.25%32.92B
8.54%35.06B
16.02%33.93B
15.64%34.03B
22.76%33.00B
47.16%32.30B
29.96%29.24B
13.54%29.43B
-5.68%26.88B
-30.25%21.95B
-32.17%22.50B
-24.10%25.92B
-14.62%28.50B
--31.47B
6.60%33.18B
14.42%34.15B
-3.69%33.38B
-5.48%31.12B
-5.71%29.84B
11.02%34.66B
--32.92B
--31.65B
--31.22B
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KeyAI