BCO BRASIL S.A.

发布时间:2025-08-30 21:22
Descrição2023AHAV2022AHAV2021AHAV2020AHAV2019AHAV2018AHAV2017AHAV2016AHAV2015AHAV2014AHAV2013AHAV2012AHAV2011AHAV2010AHAV2009AHAVReceita Líquida - (R$)265.438,61 M12,21100,00236.549,05 M87,82100,00125.947,22 M27,66100,0098.659,70 M-19,86100,00123.105,33 M2,37100,00120.250,34 M-18,23100,00147.064,45 M-16,56100,00176.247,77 M-3,36100,00182.368,87 M32,36100,00137.778,60 M31,74100,00104.582,21 M11,04100,0094.180,85 M1,05100,0093.205,80 M9,47100,0085.143,21 M25,94100,0067.608,51 MN/A100,00Custos - (R$)-176.689,87 M8,93-66,57-162.202,48 M144,75-68,57-66.273,14 M53,30-52,62-43.232,12 M-51,56-43,82-89.253,87 M8,63-72,50-82.160,83 M-29,00-68,32-115.724,70 M-20,34-78,69-145.267,29 M-9,15-82,42-159.904,03 M50,98-87,68-105.909,42 M42,40-76,87-74.376,89 M16,23-71,12-63.992,05 M1,68-67,95-62.933,02 M23,94-67,52-50.775,74 M29,19-59,64-39.302,64 MN/A-58,13Lucro Bruto - (R$)88.748,73 M19,3733,4374.346,57 M24,5931,4359.674,08 M7,6647,3855.427,58 M63,7456,1833.851,46 M-11,1327,5038.089,52 M21,5431,6831.339,75 M1,1621,3130.980,48 M37,9117,5822.464,85 M-29,5112,3231.869,18 M5,5123,1330.205,32 M0,0528,8830.188,80 M-0,2832,0530.272,78 M-11,9132,4834.367,47 M21,4140,3628.305,86 MN/A41,87Despesas/Receitas Operacionais - (R$)-47.601,54 M-32,62-17,93-35.893,01 M-0,58-15,17-35.684,29 M18,62-28,33-43.850,58 M-93,07-44,45-22.711,95 M-28,50-18,45-17.675,32 M-14,71-14,70-15.409,29 M23,30-10,48-20.090,06 M-62,97-11,40-12.327,34 M24,21-6,76-16.264,67 M6,24-11,80-17.346,33 M-14,27-16,59-15.180,06 M-22,72-16,12-12.369,64 M30,57-13,27-17.816,60 M-105,20-20,93-8.682,48 MN/A-12,84EBITDA - (R$)-0,000,00-0,000,00-0,000,00-0,000,0015.125,91 M0,0012,29-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00Amortização/Depreciação-0,000,00-0,000,00-0,000,00-0,000,00-3.986,40 M0,00-3,24-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00EBIT - (R$)41.147,19 M7,0015,5038.453,56 M60,2916,2623.989,79 M107,2219,0511.577,00 M3,9311,7311.139,51 M-45,439,0520.414,20 M28,1516,9815.930,46 M46,2810,8310.890,43 M7,436,1810.137,50 M-35,035,5615.604,52 M21,3511,3312.858,99 M-14,3212,3015.008,75 M-16,1715,9417.903,14 M8,1719,2116.550,87 M-15,6619,4419.623,38 MN/A29,03Resultado não operacional - (R$)-0,000,00-0,000,00-0,000,00-0,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,00N/A0,00Resultado Financeiro - (R$)-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00Impostos - (R$)-7.981,60 M-5,57-3,01-8.452,38 M98,09-3,57-4.266,92 M-348,67-3,391.715,88 M-77,861,747.748,81 M245,436,29-5.328,10 M45,77-4,43-3.655,16 M63,85-2,49-2.230,85 M-139,41-1,275.660,54 M350,353,10-2.261,02 M44,00-1,64-1.570,16 M-56,43-1,50-3.603,43 M-30,72-3,83-5.201,41 M-0,37-5,58-5.220,52 M-15,03-6,13-6.143,99 MN/A-9,09Lucro Líquido - (R$)33.165,59 M10,5512,4930.001,18 M52,1112,6819.722,87 M48,3715,6613.292,88 M-29,6213,4718.888,32 M25,2015,3415.086,10 M22,9012,5512.275,30 M41,758,358.659,58 M-45,194,9115.798,04 M18,408,6613.343,50 M18,209,6811.288,83 M-1,0210,7911.405,32 M-10,2112,1112.701,73 M12,1013,6311.330,35 M-15,9413,3113.479,39 MN/A19,94Lucro atribuído a Controladora33.165,59 M10,550,0030.001,18 M52,110,0019.722,87 M0,000,00-0,000,0016.396,90 M18,590,0013.825,99 M30,080,0010.628,79 M51,250,007.027,28 M-50,050,0014.069,58 M18,700,0011.853,10 M13,560,0010.438,07 M-7,180,0011.245,92 M-11,320,0012.681,92 M12,270,0011.296,01 M-15,970,0013.442,94 MN/A0,00Lucro atribuído a Não Controladores-0,000,00-0,000,00-0,000,00-0,000,002.491,42 M97,720,001.260,11 M-23,470,001.646,51 M0,870,001.632,30 M-5,560,001.728,46 M15,970,001.490,40 M75,180,00850,77 M433,750,00159,40 M704,540,0019,81 M-42,300,0034,34 M-5,800,0036,45 MN/A0,00CAPEX - (R$)-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00Dívida Bruta - (R$)-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00Dívida Líquida - (R$)-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00ROE - (%)-0,000,0018,40%36,300,0013,50%29,810,0010,40%-39,460,0017,18%19,060,0014,43%18,960,0012,13%26,220,009,61%-47,540,0018,32%17,290,0015,62%5,680,0014,78%-9,440,0016,32%-17,410,0019,76%-5,090,0020,82%-37,400,0033,26%N/A0,00ROIC - (%)-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00Margem Bruta - (%)33,43%6,360,0031,43%-33,660,0047,38%-15,660,0056,18%104,290,0027,50%-13,190,0031,68%48,660,0021,31%21,220,0017,58%42,690,0012,32%-46,740,0023,13%-19,910,0028,88%-9,890,0032,05%-1,320,0032,48%-19,520,0040,36%-3,610,0041,87%N/A0,00Margem Ebitda - (%)-0,000,00-0,000,00-0,000,00-0,000,0012,29%0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00Margem Líquida - (%)12,49%-1,500,0012,68%-19,030,0015,66%16,260,0013,47%-12,190,0015,34%22,230,0012,55%50,300,008,35%70,060,004,91%-43,300,008,66%-10,540,009,68%-10,290,0010,79%-10,900,0012,11%-11,150,0013,63%2,400,0013,31%-33,250,0019,94%N/A0,00Dívida Líquida/Ebitda-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00Descrição2023AHAV2022AHAV2021AHAV2020AHAV2019AHAV2018AHAVAtivo Total - (R$)2.153,88 B7,28100,002.007,73 B0,96100,001.988,65 B11,56100,001.782,54 B15,83100,001.538,89 B10,20100,001.396,51 BN/A100,00Ativo Circulante - (R$)55,00 B-20,092,5568,83 B26,303,4354,49 B-69,072,74176,19 B144,939,8871,94 B19,254,6760,32 BN/A4,32Aplicações Financeiras - (R$)37,67 B-25,431,7550,52 B38,512,5236,47 B-77,121,83159,40 B-63,798,94440,28 B-62,8828,611.186,11 BN/A84,93Caixa e Equivalentes de Caixa - (R$)17,33 B-5,370,8018,31 B1,600,9118,02 B7,380,9116,78 B31,130,9412,80 B-78,780,8360,32 BN/A4,32Contas a Receber - (R$)-0,000,00-0,000,00-0,000,00-0,000,00126,28 B0,008,21-N/A0,00Estoque - (R$)-0,000,00-0,000,00-0,000,00-0,000,000,000,000,000,00N/A0,00Ativo Não Circulante - (R$)1.937,46 B8,8989,951.779,36 B4,6288,631.700,80 B22,1685,531.392,26 B14,4378,111.216,71 B2,5879,061.186,11 BN/A84,93Ativo Realizável a Longo Prazo - (R$)-0,000,00-0,000,00-0,000,00-0,000,00-0,000,00-N/A0,00Investimentos - (R$)22,22 B9,901,0319,77 B1,680,9819,45 B8,600,9817,91 B2,831,0017,41 B-7,011,1318,73 BN/A1,34Imobilizado - (R$)14,12 B6,950,6613,20 B-1,500,6613,40 B18,860,6711,28 B-1,740,6311,48 B49,320,757,69 BN/A0,55Intangível - (R$)10,80 B-2,080,5011,03 B56,800,557,04 B13,020,356,23 B5,140,355,92 B2,170,385,80 BN/A0,41Passivo Total - (R$)2.153,88 B7,26100,002.007,73 B5,71100,001.899,34 B12,14100,001.693,79 B16,63100,001.452,27 B3,99100,001.396,51 BN/A100,00Passivo Circulante - (R$)2,51 B-9,230,122,76 B34,660,142,05 B-33,730,113,10 B-99,720,181.094,76 B0,0075,38-N/A0,00Passivo Não Circulante - (R$)1.884,41 B7,4887,491.753,20 B4,4187,321.679,17 B11,9388,411.500,17 B334,6588,57345,14 B0,0023,77-N/A0,00Patrimônio Líquido Consolidado - (R$)173,57 B6,158,06163,08 B11,618,12146,11 B14,277,69127,86 B16,277,55109,97 B5,207,57104,54 BN/A7,49Capital Social Realizado - (R$)-0,000,00-0,000,0090,00 B0,004,7490,00 B19,845,3175,10 B0,005,1775,10 BN/A5,38Reserva Capital - (R$)-0,000,00-0,000,001,40 B0,130,071,40 B-77,650,086,25 B83,500,433,41 BN/A0,24Reserva Lucros - (R$)-0,000,00-0,000,0051,24 B30,792,7039,17 B-27,202,3153,81 B26,293,7142,61 BN/A3,05Participação dos Não Controladores4,34 B12,290,004,12 B22,690,003,36 B21,630,002,76 B23,470,002,24 B-15,500,002,65 BN/A0,00Descrição2023202220212020Caixa Líquido Atividades Operacionais - (R$)----Caixa Gerado nas Operações - (R$)----Lucro Líquido - (R$)33.165,59 M30.001,18 M19.722,87 M13.292,88 MEquivalência Patrimonial - (R$)----Depreciação e Amortização - (R$)----Variações nos Ativos e Passivos - (R$)-74.071,05 M-3.523,82 M-97.369,85 M163.642,46 MCaixa Líquido Atividades de Investimento - (R$)21.641,07 M-18.010,23 M-53.486,27 M-95.707,60 MFluxo de Caixa Livre - (R$)----Caixa Líquido Atividades de Financiamento - (R$)-34.341,95 M-28.214,36 M-25.002,89 M-17.334,91 MVariação Cambial de Caixa e Equivalentes - (R$)-15.866,37 M-5.501,15 M1.553,48 M10.320,67 MAumento de Caixa e Equivalentes - (R$)-13.826,46 M14.331,60 M-121.694,83 M104.253,49 MSaldo Inicial de Caixa e Equivalentes - (R$)68.826,28 M54.494,68 M176.189,51 M71.936,02 MSaldo Final de Caixa e Equivalentes - (R$)54.999,82 M68.826,28 M54.494,68 M176.189,51 M

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