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BBD Bank Bradesco SA(prefer share ADS)

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  • 1.850
  • -0.062-3.23%
Close Jan 3 16:00 ET
  • 1.880
  • +0.030+1.62%
Post 20:01 ET
19.62BMarket Cap8.77P/E (TTM)

Bank Bradesco SA(prefer share ADS) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-107.89%-6.28B
244.66%28.57B
-15.83%17.68B
-100.36%-177.63M
-230.44%-81.01B
82.29%79.57B
-3,612.80%-19.75B
-30.13%21.01B
148.80%49.77B
66.66%-24.52B
Net income from continuing operations
170.97%5.58B
22.22%3.73B
-31.47%4.3B
-58.54%10.21B
59.40%-1.18B
-66.29%2.06B
-68.45%3.05B
-46.56%6.28B
-25.05%24.62B
-134.58%-2.9B
Operating gains losses
-48.63%-1.39B
63.49%-423.78M
81.69%-193.42M
21.51%-4.38B
-16.57%-1.23B
-6.16%-933.12M
12.47%-1.16B
54.45%-1.06B
-96.20%-5.58B
-22.41%-1.05B
Depreciation and amortization
1.68%1.69B
0.46%1.63B
-1.69%1.66B
15.13%6.52B
7.13%1.55B
16.43%1.66B
14.67%1.62B
22.67%1.69B
-1.90%5.66B
-3.04%1.45B
Other non cashItems
13.06%15.11B
28.47%14.69B
34.14%13.16B
17.28%48.8B
32.79%14.19B
24.28%13.36B
-12.90%11.43B
39.31%9.81B
14.02%41.61B
21.23%10.69B
Change in working capital
-165.53%-35.22B
94.92%-2.2B
-64.81%-9.92B
-66.00%-99.72B
-108.61%-104.23B
185.57%53.74B
-36.68%-43.2B
-324.20%-6.02B
72.61%-60.07B
50.80%-49.96B
-Change in loans
-451.95%-49.83B
-35.06%-41.1B
-58.65%-38.23B
5.22%-146.84B
-67.97%-83.28B
81.07%-9.03B
-12.34%-30.43B
21.15%-24.1B
19.00%-154.93B
-5.09%-49.58B
-Change in other current assets
-37.59%-12.41B
-23.90%-24.1B
-0.96%-16.78B
14.00%-47.5B
-106.16%-2.4B
83.17%-9.02B
27.28%-19.45B
-19.86%-16.62B
-183.22%-55.23B
136.09%38.97B
-Change in other current liabilities
647.07%17.17B
55.32%25.21B
7.56%13.55B
-29.90%25.39B
98.88%-302.44M
-109.62%-3.14B
94.68%16.23B
-43.34%12.6B
82.76%36.22B
-76.64%-26.98B
-Change in other working capital
-86.84%9.86B
496.15%37.8B
42.70%31.53B
-39.20%69.23B
-47.51%-18.25B
-14.34%74.92B
-168.66%-9.54B
-11.18%22.1B
501.85%113.87B
77.75%-12.37B
Cash from discontinued operating activities
Operating cash flow
-107.89%-6.28B
244.66%28.57B
-15.83%17.68B
-100.36%-177.63M
-230.44%-81.01B
82.29%79.57B
-3,612.80%-19.75B
-30.13%21.01B
148.80%49.77B
66.66%-24.52B
Investing cash flow
Cash flow from continuing investing activities
-13.93%8.5B
-143.72%-6.58B
-94.60%2.78B
570.26%83.61B
85.65%7.16B
192.12%9.87B
185.23%15.05B
663.65%51.51B
7.92%-17.78B
-88.06%3.86B
Net investment purchase and sale
40.11%2.23B
-355.48%-11.1B
-109.83%-3.93B
173.60%44.32B
91.61%-1.57B
108.39%1.59B
119.62%4.34B
11,118.10%39.96B
-74.98%-60.22B
-169.64%-18.75B
Net PPE purchase and sale
92.58%-10.25M
-18,212.51%-1.19B
-164.38%-205.93M
67.30%-603M
-120.46%-393.47M
62.48%-138.21M
103.80%6.56M
93.08%-77.89M
-193.54%-1.84B
68.16%-178.48M
Net intangibles purchase and sale
-39.54%-1.59B
-27.35%-1.12B
25.12%-1.37B
-3.10%-7.19B
-57.90%-3.34B
38.84%-1.14B
-2.68%-877.79M
14.40%-1.83B
-114.30%-6.97B
-919.41%-2.11B
Net business purchase and sale
--0
---211.14M
--0
86.41%-84.77M
--0
--0
--0
86.41%-84.77M
-240.64%-623.97M
--0
Net other investing changes
8.24%140.52M
10.93%143.69M
28.73%151.95M
44.62%640.48M
108.13%263.1M
59.18%129.82M
868.96%129.53M
-46.72%118.04M
-27.18%442.89M
693.38%126.41M
Cash from discontinued investing activities
Investing cash flow
-13.93%8.5B
-143.72%-6.58B
-94.60%2.78B
570.26%83.61B
85.65%7.16B
192.12%9.87B
185.23%15.05B
663.65%51.51B
7.92%-17.78B
-88.06%3.86B
Financing cash flow
Cash flow from continuing financing activities
61.84%-4.05B
-29.62%-13.28B
90.35%-1.06B
-205.22%-23.06B
570.79%8.76B
-178.94%-10.62B
-262.88%-10.25B
-371.46%-10.96B
1,462.40%21.92B
-111.93%-1.86B
Net issuance payments of debt
81.89%-169.24M
15.22%-4.26B
7.78%4.61B
-65.16%14.13B
335.18%15.81B
-105.82%-934.45M
-143.41%-5.02B
-54.06%4.28B
121.25%40.55B
-82.77%3.63B
Net commonstock issuance
--0
---149.34M
---293.4M
--0
--0
--0
--0
--0
66.35%-224.38M
----
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Net other financing activities
-233.12%-68.54M
-1,838.34%-184.82M
-1,360.96%-130.65M
78.91%-44.18M
52.24%-24.43M
-9.27%-20.58M
88.86%-9.54M
119.23%10.36M
17.46%-209.47M
-137.67%-51.15M
Cash from discontinued financing activities
Financing cash flow
61.84%-4.05B
-29.62%-13.28B
90.35%-1.06B
-205.22%-23.06B
570.79%8.76B
-178.94%-10.62B
-262.88%-10.25B
-371.46%-10.96B
1,462.40%21.92B
-111.93%-1.86B
Net cash flow
Beginning cash position
24.22%214.8B
9.61%206.01B
48.03%186.79B
76.76%126.19B
69.53%251.8B
69.34%172.92B
66.67%187.95B
76.76%126.19B
-62.59%71.39B
54.62%148.53B
Current changes in cash
-102.32%-1.83B
158.24%8.7B
-68.48%19.41B
11.98%60.37B
-189.02%-65.08B
69.96%78.83B
-38.23%-14.94B
50.69%61.56B
143.86%53.91B
12.09%-22.52B
Effect of exchange rate changes
-271.18%-95.71M
200.22%87.04M
-195.93%-190.23M
-73.18%239.33M
-58.09%71.96M
33.91%55.91M
-157.53%-86.85M
-62.43%198.3M
-74.33%892.29M
-81.65%171.71M
End cash position
-15.46%212.87B
24.22%214.8B
9.61%206.01B
48.03%186.79B
48.03%186.79B
69.53%251.8B
69.34%172.92B
66.67%187.95B
76.76%126.19B
76.76%126.19B
Free cash flow
-110.33%-8.06B
225.87%26.11B
-13.75%15.93B
-123.09%-9.32B
-214.21%-85.05B
88.91%78.01B
-3,993.39%-20.74B
-30.67%18.47B
137.93%40.36B
63.51%-27.07B
Currency Unit
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(Q3)Sep 30, 2024 (Q2)Jun 30, 2024 (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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -107.89%-6.28B 244.66%28.57B -15.83%17.68B -100.36%-177.63M -230.44%-81.01B 82.29%79.57B -3,612.80%-19.75B -30.13%21.01B 148.80%49.77B 66.66%-24.52B
Net income from continuing operations 170.97%5.58B 22.22%3.73B -31.47%4.3B -58.54%10.21B 59.40%-1.18B -66.29%2.06B -68.45%3.05B -46.56%6.28B -25.05%24.62B -134.58%-2.9B
Operating gains losses -48.63%-1.39B 63.49%-423.78M 81.69%-193.42M 21.51%-4.38B -16.57%-1.23B -6.16%-933.12M 12.47%-1.16B 54.45%-1.06B -96.20%-5.58B -22.41%-1.05B
Depreciation and amortization 1.68%1.69B 0.46%1.63B -1.69%1.66B 15.13%6.52B 7.13%1.55B 16.43%1.66B 14.67%1.62B 22.67%1.69B -1.90%5.66B -3.04%1.45B
Other non cashItems 13.06%15.11B 28.47%14.69B 34.14%13.16B 17.28%48.8B 32.79%14.19B 24.28%13.36B -12.90%11.43B 39.31%9.81B 14.02%41.61B 21.23%10.69B
Change in working capital -165.53%-35.22B 94.92%-2.2B -64.81%-9.92B -66.00%-99.72B -108.61%-104.23B 185.57%53.74B -36.68%-43.2B -324.20%-6.02B 72.61%-60.07B 50.80%-49.96B
-Change in loans -451.95%-49.83B -35.06%-41.1B -58.65%-38.23B 5.22%-146.84B -67.97%-83.28B 81.07%-9.03B -12.34%-30.43B 21.15%-24.1B 19.00%-154.93B -5.09%-49.58B
-Change in other current assets -37.59%-12.41B -23.90%-24.1B -0.96%-16.78B 14.00%-47.5B -106.16%-2.4B 83.17%-9.02B 27.28%-19.45B -19.86%-16.62B -183.22%-55.23B 136.09%38.97B
-Change in other current liabilities 647.07%17.17B 55.32%25.21B 7.56%13.55B -29.90%25.39B 98.88%-302.44M -109.62%-3.14B 94.68%16.23B -43.34%12.6B 82.76%36.22B -76.64%-26.98B
-Change in other working capital -86.84%9.86B 496.15%37.8B 42.70%31.53B -39.20%69.23B -47.51%-18.25B -14.34%74.92B -168.66%-9.54B -11.18%22.1B 501.85%113.87B 77.75%-12.37B
Cash from discontinued operating activities
Operating cash flow -107.89%-6.28B 244.66%28.57B -15.83%17.68B -100.36%-177.63M -230.44%-81.01B 82.29%79.57B -3,612.80%-19.75B -30.13%21.01B 148.80%49.77B 66.66%-24.52B
Investing cash flow
Cash flow from continuing investing activities -13.93%8.5B -143.72%-6.58B -94.60%2.78B 570.26%83.61B 85.65%7.16B 192.12%9.87B 185.23%15.05B 663.65%51.51B 7.92%-17.78B -88.06%3.86B
Net investment purchase and sale 40.11%2.23B -355.48%-11.1B -109.83%-3.93B 173.60%44.32B 91.61%-1.57B 108.39%1.59B 119.62%4.34B 11,118.10%39.96B -74.98%-60.22B -169.64%-18.75B
Net PPE purchase and sale 92.58%-10.25M -18,212.51%-1.19B -164.38%-205.93M 67.30%-603M -120.46%-393.47M 62.48%-138.21M 103.80%6.56M 93.08%-77.89M -193.54%-1.84B 68.16%-178.48M
Net intangibles purchase and sale -39.54%-1.59B -27.35%-1.12B 25.12%-1.37B -3.10%-7.19B -57.90%-3.34B 38.84%-1.14B -2.68%-877.79M 14.40%-1.83B -114.30%-6.97B -919.41%-2.11B
Net business purchase and sale --0 ---211.14M --0 86.41%-84.77M --0 --0 --0 86.41%-84.77M -240.64%-623.97M --0
Net other investing changes 8.24%140.52M 10.93%143.69M 28.73%151.95M 44.62%640.48M 108.13%263.1M 59.18%129.82M 868.96%129.53M -46.72%118.04M -27.18%442.89M 693.38%126.41M
Cash from discontinued investing activities
Investing cash flow -13.93%8.5B -143.72%-6.58B -94.60%2.78B 570.26%83.61B 85.65%7.16B 192.12%9.87B 185.23%15.05B 663.65%51.51B 7.92%-17.78B -88.06%3.86B
Financing cash flow
Cash flow from continuing financing activities 61.84%-4.05B -29.62%-13.28B 90.35%-1.06B -205.22%-23.06B 570.79%8.76B -178.94%-10.62B -262.88%-10.25B -371.46%-10.96B 1,462.40%21.92B -111.93%-1.86B
Net issuance payments of debt 81.89%-169.24M 15.22%-4.26B 7.78%4.61B -65.16%14.13B 335.18%15.81B -105.82%-934.45M -143.41%-5.02B -54.06%4.28B 121.25%40.55B -82.77%3.63B
Net commonstock issuance --0 ---149.34M ---293.4M --0 --0 --0 --0 --0 66.35%-224.38M ----
Cash dividends paid --0 --0 --0 --0 --0 --0 --0 --0 --0 --0
Net other financing activities -233.12%-68.54M -1,838.34%-184.82M -1,360.96%-130.65M 78.91%-44.18M 52.24%-24.43M -9.27%-20.58M 88.86%-9.54M 119.23%10.36M 17.46%-209.47M -137.67%-51.15M
Cash from discontinued financing activities
Financing cash flow 61.84%-4.05B -29.62%-13.28B 90.35%-1.06B -205.22%-23.06B 570.79%8.76B -178.94%-10.62B -262.88%-10.25B -371.46%-10.96B 1,462.40%21.92B -111.93%-1.86B
Net cash flow
Beginning cash position 24.22%214.8B 9.61%206.01B 48.03%186.79B 76.76%126.19B 69.53%251.8B 69.34%172.92B 66.67%187.95B 76.76%126.19B -62.59%71.39B 54.62%148.53B
Current changes in cash -102.32%-1.83B 158.24%8.7B -68.48%19.41B 11.98%60.37B -189.02%-65.08B 69.96%78.83B -38.23%-14.94B 50.69%61.56B 143.86%53.91B 12.09%-22.52B
Effect of exchange rate changes -271.18%-95.71M 200.22%87.04M -195.93%-190.23M -73.18%239.33M -58.09%71.96M 33.91%55.91M -157.53%-86.85M -62.43%198.3M -74.33%892.29M -81.65%171.71M
End cash position -15.46%212.87B 24.22%214.8B 9.61%206.01B 48.03%186.79B 48.03%186.79B 69.53%251.8B 69.34%172.92B 66.67%187.95B 76.76%126.19B 76.76%126.19B
Free cash flow -110.33%-8.06B 225.87%26.11B -13.75%15.93B -123.09%-9.32B -214.21%-85.05B 88.91%78.01B -3,993.39%-20.74B -30.67%18.47B 137.93%40.36B 63.51%-27.07B
Currency Unit BRL BRL BRL BRL BRL BRL BRL BRL BRL BRL
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP
Audit Opinions -- -- -- Unqualified Opinion -- -- -- -- -- --
Heat List
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Overall
Symbol
Price
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