US Stock MarketDetailed Quotes

BDORY Banco do Brasil

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  • 11.580
  • -0.420-3.50%
Close 02/23 16:00 ET
33.05BMarket Cap4.97P/E (TTM)

Banco do Brasil Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
Assets
Cash cash equivalents and federal funds sold
4.46%678.27B
--757.7B
17.32%812.11B
-2.46%751.32B
-2.46%751.32B
-10.87%649.3B
-5.59%692.24B
31.06%770.3B
31.06%770.3B
7.52%728.5B
-Cash and cash equivalents
15.10%168.45B
--168.49B
19.53%155.65B
29.64%168.68B
29.64%168.68B
14.25%146.35B
1.85%130.21B
7.19%130.12B
7.19%130.12B
5.73%128.09B
-Money market investments
1.37%509.83B
--580.27B
14.99%646.29B
-9.24%572.34B
-9.24%572.34B
-16.23%502.94B
-4.81%562.03B
35.22%630.61B
35.22%630.61B
7.91%600.41B
-Restricted cash and investments
----
--8.94B
--10.17B
7.69%10.3B
7.69%10.3B
----
----
--9.57B
--9.57B
----
Receivables
----
--51.71B
-22.71%51.67B
-25.24%49.17B
-25.24%49.17B
4.96%68.56B
4.12%66.85B
0.91%65.78B
0.91%65.78B
0.12%65.32B
Prepaid assets
----
--567.49M
70.19%728.25M
43.71%583.78M
43.71%583.78M
27.30%383.96M
21.96%427.91M
19.61%406.21M
19.61%406.21M
-15.89%301.62M
Net loan
9.78%893.43B
--870.36B
16.49%866.04B
13.56%840.17B
13.56%840.17B
16.08%813.8B
14.01%743.47B
16.25%739.85B
16.25%739.85B
12.08%701.07B
-Allowance for loans and lease losses
7.17%50.74B
--50.67B
10.09%48.65B
13.50%50.69B
13.50%50.69B
7.72%47.34B
-1.08%44.19B
-1.11%44.66B
-1.11%44.66B
3.79%43.95B
-Trading securities
----
----
----
----
----
--11.57B
--16.59B
----
----
----
-Available for sale securities
15.19%483.91B
--285.77B
-32.73%242.91B
7.95%249.82B
7.95%249.82B
30.14%420.11B
41.90%361.09B
-29.26%231.42B
-29.26%231.42B
28.78%322.82B
-Held to maturity securities
----
--181.85M
-97.77%554.41M
-66.18%574.05M
-66.18%574.05M
69.48%46.59B
--24.87B
--1.7B
--1.7B
19.67%27.49B
Long term equity investment
21.35%21.61B
--20.03B
12.47%19.49B
6.27%18.36B
6.27%18.36B
1.30%17.81B
5.62%17.33B
7.63%17.28B
7.63%17.28B
15.75%17.58B
Derivative assets
-11.31%3.71B
--4.88B
6.15%3.89B
-23.28%1.64B
-23.28%1.64B
59.31%4.18B
8.29%3.66B
-39.47%2.14B
-39.47%2.14B
-49.33%2.62B
Net PPE
65.69%14.08B
--9.51B
3.78%8.68B
3.33%8.83B
3.33%8.83B
6.42%8.5B
4.60%8.37B
3.77%8.54B
3.77%8.54B
0.79%7.99B
-Gross PPE
-33.24%14.08B
--22.88B
6.80%21.83B
--21.69B
--21.69B
4.21%21.1B
2.30%20.44B
----
----
4.40%20.25B
-Accumulated depreciation
----
---13.37B
-8.89%-13.14B
---12.86B
---12.86B
-2.77%-12.6B
-0.76%-12.07B
----
----
-6.89%-12.26B
Assets held for sale
-77.67%150.8M
--476.7M
-31.54%523.69M
-25.00%589.57M
-25.00%589.57M
-16.42%675.42M
-3.22%764.94M
--786.08M
--786.08M
--808.07M
Goodwill and other intangible assets
10.48%10.67B
--10.99B
52.05%10.71B
57.73%11.09B
57.73%11.09B
91.47%9.66B
41.51%7.04B
13.03%7.03B
13.03%7.03B
-20.76%5.04B
-Goodwill
----
--44.93M
-389.81%-351.7M
--76.02M
--76.02M
--97.72M
--121.35M
----
----
----
-Other intangible assets
----
--10.94B
59.79%11.06B
--11.01B
--11.01B
89.53%9.56B
39.07%6.92B
----
----
-20.76%5.04B
Other assets
57.07%41.67B
--22.23B
4.42%30.52B
36.87%29.58B
36.87%29.58B
-3.13%26.53B
21.55%29.23B
183.21%21.61B
183.21%21.61B
1,265.02%27.39B
Total assets
3.72%2.23T
--2.1T
3.79%2.11T
4.99%2.03T
4.99%2.03T
8.66%2.15T
11.39%2.04T
11.99%1.93T
11.99%1.93T
11.61%1.98T
Liabilities
Total deposits
3.39%799.76B
--793.51B
12.83%775.01B
11.46%777.35B
11.46%777.35B
13.08%773.54B
5.91%686.9B
11.07%697.44B
11.07%697.44B
14.31%684.04B
Payables
-92.27%4.43B
--60.16B
-4.57%56.36B
7.27%62.34B
7.27%62.34B
6.81%57.32B
33.76%59.05B
19.62%58.12B
19.62%58.12B
22.10%53.66B
-Accounts payable
----
--46.02B
10.10%45.04B
12.38%46.76B
12.38%46.76B
21.19%43.68B
42.89%40.91B
35.21%41.61B
35.21%41.61B
34.68%36.04B
-Total tax payable
-67.50%4.43B
--4.64B
-66.10%3.23B
-30.38%7.42B
-30.38%7.42B
31.55%13.64B
5.55%9.53B
1.14%10.66B
1.14%10.66B
-2.62%10.37B
-Other payable
----
--9.51B
-6.13%8.09B
39.56%8.15B
39.56%8.15B
----
32.73%8.62B
-19.59%5.84B
-19.59%5.84B
10.90%7.25B
Long term debt and capital lease obligation
115.14%342.85B
--140.05B
-4.15%145.73B
-9.74%155.2B
-9.74%155.2B
-7.59%159.36B
-19.42%152.04B
-9.53%171.95B
-9.53%171.95B
-15.40%172.44B
Derivative product liabilities
-8.90%4.17B
--5.11B
-20.97%5.04B
16.96%3.05B
16.96%3.05B
84.37%4.57B
110.75%6.37B
-14.62%2.6B
-14.62%2.6B
-50.51%2.48B
Other liabilities
-11.67%748.78B
--776.52B
-2.95%816.14B
-1.32%716.76B
-1.32%716.76B
9.16%847.72B
24.94%840.99B
21.34%726.31B
21.34%726.31B
16.21%776.61B
Total liabilities
3.37%2.06T
--1.94T
3.22%1.95T
4.35%1.87T
4.35%1.87T
8.79%1.99T
11.45%1.88T
11.82%1.79T
11.82%1.79T
10.94%1.83T
Shareholders'equity
Share capital
33.33%120B
--120B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
-common stock
33.33%120B
--120B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
Retained earnings
-87.17%1.03B
--0
27.89%8.4B
----
----
77.14%8.05B
58.01%6.57B
----
----
49.47%4.54B
Less: Treasury stock
-1.58%268.26M
--268.26M
-1.58%268.26M
-1.57%272.57M
-1.57%272.57M
-1.57%272.57M
-1.81%272.57M
-1.33%276.91M
-1.33%276.91M
-1.35%276.91M
Other equity interest
-14.08%6.1B
--7.1B
-12.35%7.1B
-12.35%7.1B
-12.35%7.1B
-12.35%7.1B
0.00%8.1B
0.00%8.1B
0.00%8.1B
0.00%8.1B
Total stockholders'equity
7.66%165.69B
--163.93B
10.38%165.32B
12.88%160.28B
12.88%160.28B
6.46%153.9B
10.57%149.77B
13.99%142B
13.99%142B
20.54%144.55B
Non controlling interests
25.48%5.01B
--3.75B
29.98%4.21B
15.63%3.31B
15.63%3.31B
34.96%3.99B
18.34%3.24B
19.09%2.86B
19.09%2.86B
22.48%2.96B
Total equity
8.11%170.7B
--167.68B
10.80%169.53B
12.93%163.59B
12.93%163.59B
7.04%157.89B
10.72%153.01B
14.09%144.86B
14.09%144.86B
20.58%147.51B
Currency Unit
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30
Assets
Cash cash equivalents and federal funds sold 4.46%678.27B--757.7B17.32%812.11B-2.46%751.32B-2.46%751.32B-10.87%649.3B-5.59%692.24B31.06%770.3B31.06%770.3B7.52%728.5B
-Cash and cash equivalents 15.10%168.45B--168.49B19.53%155.65B29.64%168.68B29.64%168.68B14.25%146.35B1.85%130.21B7.19%130.12B7.19%130.12B5.73%128.09B
-Money market investments 1.37%509.83B--580.27B14.99%646.29B-9.24%572.34B-9.24%572.34B-16.23%502.94B-4.81%562.03B35.22%630.61B35.22%630.61B7.91%600.41B
-Restricted cash and investments ------8.94B--10.17B7.69%10.3B7.69%10.3B----------9.57B--9.57B----
Receivables ------51.71B-22.71%51.67B-25.24%49.17B-25.24%49.17B4.96%68.56B4.12%66.85B0.91%65.78B0.91%65.78B0.12%65.32B
Prepaid assets ------567.49M70.19%728.25M43.71%583.78M43.71%583.78M27.30%383.96M21.96%427.91M19.61%406.21M19.61%406.21M-15.89%301.62M
Net loan 9.78%893.43B--870.36B16.49%866.04B13.56%840.17B13.56%840.17B16.08%813.8B14.01%743.47B16.25%739.85B16.25%739.85B12.08%701.07B
-Allowance for loans and lease losses 7.17%50.74B--50.67B10.09%48.65B13.50%50.69B13.50%50.69B7.72%47.34B-1.08%44.19B-1.11%44.66B-1.11%44.66B3.79%43.95B
-Trading securities ----------------------11.57B--16.59B------------
-Available for sale securities 15.19%483.91B--285.77B-32.73%242.91B7.95%249.82B7.95%249.82B30.14%420.11B41.90%361.09B-29.26%231.42B-29.26%231.42B28.78%322.82B
-Held to maturity securities ------181.85M-97.77%554.41M-66.18%574.05M-66.18%574.05M69.48%46.59B--24.87B--1.7B--1.7B19.67%27.49B
Long term equity investment 21.35%21.61B--20.03B12.47%19.49B6.27%18.36B6.27%18.36B1.30%17.81B5.62%17.33B7.63%17.28B7.63%17.28B15.75%17.58B
Derivative assets -11.31%3.71B--4.88B6.15%3.89B-23.28%1.64B-23.28%1.64B59.31%4.18B8.29%3.66B-39.47%2.14B-39.47%2.14B-49.33%2.62B
Net PPE 65.69%14.08B--9.51B3.78%8.68B3.33%8.83B3.33%8.83B6.42%8.5B4.60%8.37B3.77%8.54B3.77%8.54B0.79%7.99B
-Gross PPE -33.24%14.08B--22.88B6.80%21.83B--21.69B--21.69B4.21%21.1B2.30%20.44B--------4.40%20.25B
-Accumulated depreciation -------13.37B-8.89%-13.14B---12.86B---12.86B-2.77%-12.6B-0.76%-12.07B---------6.89%-12.26B
Assets held for sale -77.67%150.8M--476.7M-31.54%523.69M-25.00%589.57M-25.00%589.57M-16.42%675.42M-3.22%764.94M--786.08M--786.08M--808.07M
Goodwill and other intangible assets 10.48%10.67B--10.99B52.05%10.71B57.73%11.09B57.73%11.09B91.47%9.66B41.51%7.04B13.03%7.03B13.03%7.03B-20.76%5.04B
-Goodwill ------44.93M-389.81%-351.7M--76.02M--76.02M--97.72M--121.35M------------
-Other intangible assets ------10.94B59.79%11.06B--11.01B--11.01B89.53%9.56B39.07%6.92B---------20.76%5.04B
Other assets 57.07%41.67B--22.23B4.42%30.52B36.87%29.58B36.87%29.58B-3.13%26.53B21.55%29.23B183.21%21.61B183.21%21.61B1,265.02%27.39B
Total assets 3.72%2.23T--2.1T3.79%2.11T4.99%2.03T4.99%2.03T8.66%2.15T11.39%2.04T11.99%1.93T11.99%1.93T11.61%1.98T
Liabilities
Total deposits 3.39%799.76B--793.51B12.83%775.01B11.46%777.35B11.46%777.35B13.08%773.54B5.91%686.9B11.07%697.44B11.07%697.44B14.31%684.04B
Payables -92.27%4.43B--60.16B-4.57%56.36B7.27%62.34B7.27%62.34B6.81%57.32B33.76%59.05B19.62%58.12B19.62%58.12B22.10%53.66B
-Accounts payable ------46.02B10.10%45.04B12.38%46.76B12.38%46.76B21.19%43.68B42.89%40.91B35.21%41.61B35.21%41.61B34.68%36.04B
-Total tax payable -67.50%4.43B--4.64B-66.10%3.23B-30.38%7.42B-30.38%7.42B31.55%13.64B5.55%9.53B1.14%10.66B1.14%10.66B-2.62%10.37B
-Other payable ------9.51B-6.13%8.09B39.56%8.15B39.56%8.15B----32.73%8.62B-19.59%5.84B-19.59%5.84B10.90%7.25B
Long term debt and capital lease obligation 115.14%342.85B--140.05B-4.15%145.73B-9.74%155.2B-9.74%155.2B-7.59%159.36B-19.42%152.04B-9.53%171.95B-9.53%171.95B-15.40%172.44B
Derivative product liabilities -8.90%4.17B--5.11B-20.97%5.04B16.96%3.05B16.96%3.05B84.37%4.57B110.75%6.37B-14.62%2.6B-14.62%2.6B-50.51%2.48B
Other liabilities -11.67%748.78B--776.52B-2.95%816.14B-1.32%716.76B-1.32%716.76B9.16%847.72B24.94%840.99B21.34%726.31B21.34%726.31B16.21%776.61B
Total liabilities 3.37%2.06T--1.94T3.22%1.95T4.35%1.87T4.35%1.87T8.79%1.99T11.45%1.88T11.82%1.79T11.82%1.79T10.94%1.83T
Shareholders'equity
Share capital 33.33%120B--120B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B
-common stock 33.33%120B--120B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B
Retained earnings -87.17%1.03B--027.89%8.4B--------77.14%8.05B58.01%6.57B--------49.47%4.54B
Less: Treasury stock -1.58%268.26M--268.26M-1.58%268.26M-1.57%272.57M-1.57%272.57M-1.57%272.57M-1.81%272.57M-1.33%276.91M-1.33%276.91M-1.35%276.91M
Other equity interest -14.08%6.1B--7.1B-12.35%7.1B-12.35%7.1B-12.35%7.1B-12.35%7.1B0.00%8.1B0.00%8.1B0.00%8.1B0.00%8.1B
Total stockholders'equity 7.66%165.69B--163.93B10.38%165.32B12.88%160.28B12.88%160.28B6.46%153.9B10.57%149.77B13.99%142B13.99%142B20.54%144.55B
Non controlling interests 25.48%5.01B--3.75B29.98%4.21B15.63%3.31B15.63%3.31B34.96%3.99B18.34%3.24B19.09%2.86B19.09%2.86B22.48%2.96B
Total equity 8.11%170.7B--167.68B10.80%169.53B12.93%163.59B12.93%163.59B7.04%157.89B10.72%153.01B14.09%144.86B14.09%144.86B20.58%147.51B
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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