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BDORY Banco do Brasil

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  • 4.890
  • +0.110+2.30%
15min DelayClose Jul 26 16:00 ET
27.91BMarket Cap4.64P/E (TTM)

Banco do Brasil Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q1)Mar 31, 2022
Assets
Cash cash equivalents and federal funds sold
8.93%884.64B
10.10%827.22B
10.10%827.22B
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
-Cash and cash equivalents
22.86%191.22B
-6.62%157.51B
-6.62%157.51B
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
-Money market investments
6.12%685.87B
15.90%663.37B
15.90%663.37B
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
-Restricted cash and investments
-25.84%7.54B
-38.43%6.34B
-38.43%6.34B
----
--8.94B
--10.17B
7.69%10.3B
7.69%10.3B
----
----
Receivables
0.36%51.85B
5.76%52.01B
5.76%52.01B
----
--51.71B
-22.71%51.67B
-25.24%49.17B
-25.24%49.17B
4.96%68.56B
4.12%66.85B
Prepaid assets
-8.39%667.17M
4.82%611.91M
4.82%611.91M
----
--567.49M
70.19%728.25M
43.71%583.78M
43.71%583.78M
27.30%383.96M
21.96%427.91M
Net loan
9.10%944.87B
9.37%918.93B
9.37%918.93B
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
-Allowance for loans and lease losses
17.26%57.05B
10.32%55.92B
10.32%55.92B
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
-Trading securities
----
----
----
----
----
----
----
----
--11.57B
--16.59B
-Available for sale securities
15.05%279.47B
-6.49%233.61B
-6.49%233.61B
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
-Held to maturity securities
-57.17%237.47M
-71.04%166.23M
-71.04%166.23M
----
--181.85M
-97.77%554.41M
-66.18%574.05M
-66.18%574.05M
69.48%46.59B
--24.87B
Long term equity investment
12.61%21.95B
12.20%21.09B
12.20%21.09B
21.35%21.61B
--20.03B
12.47%19.49B
8.82%18.8B
8.82%18.8B
1.30%17.81B
5.62%17.33B
Derivative assets
7.51%4.18B
20.49%1.97B
20.49%1.97B
-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
Net PPE
16.25%10.09B
14.12%10.07B
14.12%10.07B
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
-Gross PPE
10.64%24.15B
--23.81B
--23.81B
-33.24%14.08B
--22.88B
6.80%21.83B
----
----
4.21%21.1B
2.30%20.44B
-Accumulated depreciation
-6.94%-14.06B
---13.74B
---13.74B
----
---13.37B
-8.89%-13.14B
----
----
-2.77%-12.6B
-0.76%-12.07B
Assets held for sale
-21.88%409.13M
-28.99%418.68M
-28.99%418.68M
-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
Goodwill and other intangible assets
-2.15%10.48B
-2.61%10.8B
-2.61%10.8B
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
-Goodwill
103.51%12.34M
--13.26M
--13.26M
----
--44.93M
-389.81%-351.7M
----
----
--97.72M
--121.35M
-Other intangible assets
-5.37%10.47B
--10.79B
--10.79B
----
--10.94B
59.79%11.06B
----
----
89.53%9.56B
39.07%6.92B
Other assets
-16.14%25.59B
-16.28%24.76B
-16.28%24.76B
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
Total assets
9.00%2.31T
7.05%2.17T
7.05%2.17T
3.72%2.23T
--2.1T
3.79%2.11T
5.01%2.03T
5.01%2.03T
8.66%2.15T
11.39%2.04T
Liabilities
Total deposits
6.09%822.23B
7.52%835.8B
7.52%835.8B
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
Payables
4.23%58.74B
7.64%67.1B
7.64%67.1B
-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
-Accounts payable
6.25%47.85B
7.47%50.25B
7.47%50.25B
----
--46.02B
10.10%45.04B
12.38%46.76B
12.38%46.76B
21.19%43.68B
42.89%40.91B
-Total tax payable
22.71%3.96B
4.00%7.72B
4.00%7.72B
-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
-Other payable
-14.42%6.92B
11.97%9.13B
11.97%9.13B
----
--9.51B
-6.13%8.09B
39.56%8.15B
39.56%8.15B
----
32.73%8.62B
Long term debt and capital lease obligation
-3.59%140.5B
-11.04%138.07B
-11.04%138.07B
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
Derivative product liabilities
-15.53%4.26B
-17.59%2.51B
-17.59%2.51B
-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
Other liabilities
10.33%900.46B
9.76%786.69B
9.76%786.69B
-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
Total liabilities
9.29%2.13T
7.19%2T
7.19%2T
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
Shareholders'equity
Share capital
33.33%120B
33.33%120B
33.33%120B
33.33%120B
--120B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
-common stock
33.33%120B
33.33%120B
33.33%120B
33.33%120B
--120B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
0.00%90B
Retained earnings
4.53%8.78B
--0
--0
-87.17%1.03B
--0
27.89%8.4B
--421.76M
--421.76M
77.14%8.05B
58.01%6.57B
Less: Treasury stock
-1.74%263.6M
-1.58%268.26M
-1.58%268.26M
-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
Other equity interest
-14.08%6.1B
-14.08%6.1B
-14.08%6.1B
-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
Total stockholders'equity
5.38%174.21B
5.48%169.37B
5.48%169.37B
7.66%165.69B
--163.93B
10.38%165.32B
13.08%160.57B
13.08%160.57B
6.46%153.9B
10.57%149.77B
Non controlling interests
14.22%4.81B
7.31%3.71B
7.31%3.71B
25.48%5.01B
--3.75B
29.98%4.21B
20.81%3.46B
20.81%3.46B
34.96%3.99B
18.34%3.24B
Total equity
5.60%179.02B
5.52%173.08B
5.52%173.08B
8.11%170.7B
--167.68B
10.80%169.53B
13.23%164.03B
13.23%164.03B
7.04%157.89B
10.72%153.01B
Currency Unit
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q1)Mar 31, 2022
Assets
Cash cash equivalents and federal funds sold 8.93%884.64B10.10%827.22B10.10%827.22B4.46%678.27B--757.7B17.32%812.11B-2.46%751.32B-2.46%751.32B-10.87%649.3B-5.59%692.24B
-Cash and cash equivalents 22.86%191.22B-6.62%157.51B-6.62%157.51B15.10%168.45B--168.49B19.53%155.65B29.64%168.68B29.64%168.68B14.25%146.35B1.85%130.21B
-Money market investments 6.12%685.87B15.90%663.37B15.90%663.37B1.37%509.83B--580.27B14.99%646.29B-9.24%572.34B-9.24%572.34B-16.23%502.94B-4.81%562.03B
-Restricted cash and investments -25.84%7.54B-38.43%6.34B-38.43%6.34B------8.94B--10.17B7.69%10.3B7.69%10.3B--------
Receivables 0.36%51.85B5.76%52.01B5.76%52.01B------51.71B-22.71%51.67B-25.24%49.17B-25.24%49.17B4.96%68.56B4.12%66.85B
Prepaid assets -8.39%667.17M4.82%611.91M4.82%611.91M------567.49M70.19%728.25M43.71%583.78M43.71%583.78M27.30%383.96M21.96%427.91M
Net loan 9.10%944.87B9.37%918.93B9.37%918.93B9.78%893.43B--870.36B16.49%866.04B13.56%840.17B13.56%840.17B16.08%813.8B14.01%743.47B
-Allowance for loans and lease losses 17.26%57.05B10.32%55.92B10.32%55.92B7.17%50.74B--50.67B10.09%48.65B13.50%50.69B13.50%50.69B7.72%47.34B-1.08%44.19B
-Trading securities ----------------------------------11.57B--16.59B
-Available for sale securities 15.05%279.47B-6.49%233.61B-6.49%233.61B15.19%483.91B--285.77B-32.73%242.91B7.95%249.82B7.95%249.82B30.14%420.11B41.90%361.09B
-Held to maturity securities -57.17%237.47M-71.04%166.23M-71.04%166.23M------181.85M-97.77%554.41M-66.18%574.05M-66.18%574.05M69.48%46.59B--24.87B
Long term equity investment 12.61%21.95B12.20%21.09B12.20%21.09B21.35%21.61B--20.03B12.47%19.49B8.82%18.8B8.82%18.8B1.30%17.81B5.62%17.33B
Derivative assets 7.51%4.18B20.49%1.97B20.49%1.97B-11.31%3.71B--4.88B6.15%3.89B-23.28%1.64B-23.28%1.64B59.31%4.18B8.29%3.66B
Net PPE 16.25%10.09B14.12%10.07B14.12%10.07B65.69%14.08B--9.51B3.78%8.68B3.33%8.83B3.33%8.83B6.42%8.5B4.60%8.37B
-Gross PPE 10.64%24.15B--23.81B--23.81B-33.24%14.08B--22.88B6.80%21.83B--------4.21%21.1B2.30%20.44B
-Accumulated depreciation -6.94%-14.06B---13.74B---13.74B-------13.37B-8.89%-13.14B---------2.77%-12.6B-0.76%-12.07B
Assets held for sale -21.88%409.13M-28.99%418.68M-28.99%418.68M-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
Goodwill and other intangible assets -2.15%10.48B-2.61%10.8B-2.61%10.8B10.48%10.67B--10.99B52.05%10.71B57.73%11.09B57.73%11.09B91.47%9.66B41.51%7.04B
-Goodwill 103.51%12.34M--13.26M--13.26M------44.93M-389.81%-351.7M----------97.72M--121.35M
-Other intangible assets -5.37%10.47B--10.79B--10.79B------10.94B59.79%11.06B--------89.53%9.56B39.07%6.92B
Other assets -16.14%25.59B-16.28%24.76B-16.28%24.76B57.07%41.67B--22.23B4.42%30.52B36.87%29.58B36.87%29.58B-3.13%26.53B21.55%29.23B
Total assets 9.00%2.31T7.05%2.17T7.05%2.17T3.72%2.23T--2.1T3.79%2.11T5.01%2.03T5.01%2.03T8.66%2.15T11.39%2.04T
Liabilities
Total deposits 6.09%822.23B7.52%835.8B7.52%835.8B3.39%799.76B--793.51B12.83%775.01B11.46%777.35B11.46%777.35B13.08%773.54B5.91%686.9B
Payables 4.23%58.74B7.64%67.1B7.64%67.1B-92.27%4.43B--60.16B-4.57%56.36B7.27%62.34B7.27%62.34B6.81%57.32B33.76%59.05B
-Accounts payable 6.25%47.85B7.47%50.25B7.47%50.25B------46.02B10.10%45.04B12.38%46.76B12.38%46.76B21.19%43.68B42.89%40.91B
-Total tax payable 22.71%3.96B4.00%7.72B4.00%7.72B-67.50%4.43B--4.64B-66.10%3.23B-30.38%7.42B-30.38%7.42B31.55%13.64B5.55%9.53B
-Other payable -14.42%6.92B11.97%9.13B11.97%9.13B------9.51B-6.13%8.09B39.56%8.15B39.56%8.15B----32.73%8.62B
Long term debt and capital lease obligation -3.59%140.5B-11.04%138.07B-11.04%138.07B115.14%342.85B--140.05B-4.15%145.73B-9.74%155.2B-9.74%155.2B-7.59%159.36B-19.42%152.04B
Derivative product liabilities -15.53%4.26B-17.59%2.51B-17.59%2.51B-8.90%4.17B--5.11B-20.97%5.04B16.96%3.05B16.96%3.05B84.37%4.57B110.75%6.37B
Other liabilities 10.33%900.46B9.76%786.69B9.76%786.69B-11.67%748.78B--776.52B-2.95%816.14B-1.32%716.76B-1.32%716.76B9.16%847.72B24.94%840.99B
Total liabilities 9.29%2.13T7.19%2T7.19%2T3.37%2.06T--1.94T3.22%1.95T4.35%1.87T4.35%1.87T8.79%1.99T11.45%1.88T
Shareholders'equity
Share capital 33.33%120B33.33%120B33.33%120B33.33%120B--120B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B
-common stock 33.33%120B33.33%120B33.33%120B33.33%120B--120B0.00%90B0.00%90B0.00%90B0.00%90B0.00%90B
Retained earnings 4.53%8.78B--0--0-87.17%1.03B--027.89%8.4B--421.76M--421.76M77.14%8.05B58.01%6.57B
Less: Treasury stock -1.74%263.6M-1.58%268.26M-1.58%268.26M-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
Other equity interest -14.08%6.1B-14.08%6.1B-14.08%6.1B-14.08%6.1B--7.1B-12.35%7.1B-12.35%7.1B-12.35%7.1B-12.35%7.1B0.00%8.1B
Total stockholders'equity 5.38%174.21B5.48%169.37B5.48%169.37B7.66%165.69B--163.93B10.38%165.32B13.08%160.57B13.08%160.57B6.46%153.9B10.57%149.77B
Non controlling interests 14.22%4.81B7.31%3.71B7.31%3.71B25.48%5.01B--3.75B29.98%4.21B20.81%3.46B20.81%3.46B34.96%3.99B18.34%3.24B
Total equity 5.60%179.02B5.52%173.08B5.52%173.08B8.11%170.7B--167.68B10.80%169.53B13.23%164.03B13.23%164.03B7.04%157.89B10.72%153.01B
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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