Banco Bradesco S.A.

B3:BBDC4.SA

15.03 (BRL) • At close September 19, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) BRL.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 41,537.43528,549.72621,284.3323,845.06118,988.66219,612.82715,028.72514,518.1217,299.87914,505.39412,069.37411,949.14631,887.49190,18250,89950,23545,181.4637,037.2616,555.07910,669.31324,235.42821,161.04411,997.0022,252.123
Kortetermijnbeleggingen 160,823.097111,279.856193,516.537185,841.975192,450.01000000045,248.3980752.385000000000
Liquide middelen en kortetermijnbeleggingen 41,537.43528,549.72621,284.3323,845.06118,988.66219,612.82715,028.72514,518.1217,299.87914,505.39412,069.37411,949.146139,025.97590,18251,651.38550,23545,181.4637,037.2616,555.07910,669.31324,235.42821,161.04411,997.0022,252.123
Nettovorderingen 25,588.96425,720.07522,458.25223,750.40121,166.48600000008,622.90415,277182,456.76000000000
Voorraad -318,628.909-251,507.511-234,244.945-723,817.246-574,394.160000000000000000000
Overige vlottende activa 293,039.945225,787.436211,786.693700,066.845553,227.6740000000-97,730.015-89,684-227,116.145-40,819-39,696.4600-7,979.3130000
Totaal vlottende activa 41,537.43528,549.72621,284.3323,845.06118,988.66219,612.82715,028.72514,518.1217,299.87914,505.39412,069.37411,949.14649,918.86415,7756,9929,4165,48537,037.2616,555.0792,69024,235.42821,161.04411,997.0022,252.123
Niet-vlottende activa:
Materiële vaste activa, netto 11,118.00911,971.12213,513.10514,071.12914,659.2228,826.8368,432.4758,397.1165,504.4354,700.5184,501.9674,524.8274,267.2185,4264,8304,2633,546.7162,991.8982,720.2632,945.5483,092.9022,994.6882,726.385,225.705
Goodwill 6,573.7256,542.0916,048.7347,093.5445,327.9015,576.0684,945.3134,945.313723.526723.526723.526723.526723.5261,1831,2341,28688326202620000
Immateriële activa 15,533.42112,257.7228,862.2737,575.929,396.74610,552.4811,233.99410,852.2136,686.1096,806.3897,497.2136,894.3476,493.1713,6523,6433,1383,799.5442,283.9081,625.1531,830.0121,733.9871,776.99782.6151,706.154
Goodwill en immateriële activa 22,107.14618,799.81314,911.00714,669.46414,724.64716,128.54816,179.30715,797.5267,409.6357,529.9158,220.7397,617.8737,216.6974,8354,8774,4243,799.5442,283.9081,625.1531,830.0121,733.9871,776.99782.6151,706.154
Langetermijnbeleggingen 25,030.18925,229.00929,742.2917,046.717,143.0940000000160,617.85142,743149,498126,78291,771.28189,660.96359,743.05437,304.08246,344.48631,550.41630,391.940
Belastingvorderingen 92,518.92484,214.58578,743.46185,049.76967,400.2350000000000000000000
Overige niet-vlottende activa 1,735,211.5461,623,524.5371,517,377.9991,459,971.6571,255,611.8251,260,975.5031,184,712.9331,153,316.894996,489.573903,715.189813,509.5340-165,988.748-142,743-149,498-126,782-91,770.541-90,160.768-59,242.471-37,303.642-46,667.375000
Totaal niet-vlottende activa 1,885,985.8141,763,739.0661,654,287.8631,580,808.7291,359,539.0231,285,930.8871,209,324.7151,177,511.5361,009,403.643915,945.622826,232.2412,142.76,113.01710,2619,7078,6877,3474,7764,8464,7764,50436,322.09333,900.9356,931.859
Totaal activa 1,927,523.2491,792,288.7921,675,572.1931,604,653.791,378,527.6851,305,543.7141,224,353.441,192,029.6561,026,703.522930,451.016838,301.614799,540.624722,086.892621,612496,815435,290334,480.973258,644.528206,464.486177,125.996165,657.806129,875.996108,293.494179,101.296
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 45,091.40344,687.2487,308.0934,161.68310,231.0160000000002,950.154000000000
Kortlopende schulden 324,289.031333,703.584331,393.793321,423.529293,249.935000000007,7357,97613,8497,989.0145,695.9087,061.018,273.5657,763.9929,638.938,320.80113,684.328
Belastingschulden 3,691.0443,902.7784,595.1263,853.664,771.9500000003,321.68600000000000
Uitgestelde opbrengsten -369,380.43433,097.88927,368.2183,337.346326.04700000009,099.00400000000000
Overige kortlopende verplichtingen 8,841.176-403,608.646-363,029.78-352,917.5-300,697.3226,724.2585,990.7636,160.2175,148.4524,088.1733,663.8373,697.7-1,853.0510-2,950.1540-0.0142,576.093733.99-1.5650000
Totaal kortlopende verplichtingen 8,841.1767,880.0753,040.3216,005.0583,109.6766,724.2585,990.7636,160.2175,148.4524,088.1733,663.8373,697.710,567.6397,7357,97613,8497,9898,2727,7958,2727,763.9929,638.938,320.80113,684.328
Langlopende verplichtingen:
Langetermijnschulden 306,468.715338,987.343284,550.931181,721.262200,659.179200,106.739158,907.504176,627.203191,147.453141,942.858132,332.844103,618.42873,879.7175,23750,81747,25538,912.3930,049.05823,300.86519,657.35220,011.53913,387.59911,497.70717,666.003
Uitgestelde opbrengsten niet-vlottend -1,607.52733,097.88927,368.2183,337.346326.0470000000-74,930.376360.355320.625000000000
Uitgestelde belastingverplichtingen niet-vlottend 1,607.5271,633.292208.0357,951.8488,070.39800000002,246.508-360.355-320.625000000000
Overige niet-vlottende verplichtingen 1,445,199.2341,250,679.3561,210,175.9811,259,520.9021,030,818.811974,036.597941,761.469903,763.029739,492.855702,128.18630,202.0070341,001.769485,808391,912336,924254,237.61123,125.943121,569.135133,517.6480000
Totaal niet-vlottende verplichtingen 1,751,667.9491,624,397.881,522,303.1651,452,531.3581,239,874.4351,174,143.3361,100,668.9731,080,390.232930,640.308844,071.038762,534.851103,618.428342,197.611561,045442,729384,179293,150153,175144,870153,17520,011.53913,387.59911,497.70717,666.003
Totaal passiva 1,760,509.1251,632,277.9551,525,343.4861,458,536.4161,242,984.1111,180,867.5941,106,659.7361,086,550.449935,788.76848,159.211766,198.688728,194.234662,704.798568,780450,705398,360301,112.997232,148.215186,168.753161,489.888152,048.459118,821.13898,419.074163,734.213
Eigen vermogen:
Preferente aandelen 000000000000014,25013,25011,50000000004,558.843
Gewone aandelen 87,10087,10083,10079,10075,10067,10059,10051,10043,10038,10038,10030,10030,170.49614,25013,25011,5009,4973,52512,991.8847,001.3216,970.5715,199.9965,199.634,695.335
Ingehouden winsten 75,964.72373,271.12668,242.63958,750.9252,462.02955,302.78256,820.21754,935.19752,016.7344,918.78835,049.81734,731.805632.09619,23115,63311,78512,126.84911,027.1586,750.4561,495.3515,839.5845,493.8014,386.8250
Overige gereserveerde algehele resultaten 3,195.746-682.314-969.5968,139.3167,907.4552,242.6911,853.632-362.735-3,966.751-623.528-1,066.914028,519.5634,8373,5891,9381,887.3091,157.948410.9587,009.29678.015233.628248.4860
Overige totale aandeelhoudersvermogen 70.496-153.881-596.206-370.018-370.018-370.018-370.018-370.018-360.552-227.519-198.5976,305.904-183.109147482079,575.50210,692.37853.70558.43349.048-74.336-46.4466,112.905
Totaal eigen vermogen van aandeelhouders 166,330.965159,534.931149,776.837145,620.218135,099.466124,275.455117,403.831105,302.44490,789.42782,167.74171,884.30671,137.70959,139.04652,71545,77036,93033,086.6626,402.48320,207.00315,564.39413,537.21810,853.0889,788.49515,367.083
Totaal eigen vermogen 167,014.124160,010.837150,228.707146,117.374135,543.574124,676.12117,693.704105,479.20790,914.76282,291.80572,102.92671,346.3959,382.09452,83246,11036,93033,367.97626,496.31320,295.73315,636.10713,609.34711,054.8589,874.4215,367.083
Totaal passiva en aandeelhoudersvermogen 1,927,523.2491,792,288.7921,675,572.1931,604,653.791,378,527.6851,305,543.7141,224,353.441,192,029.6561,026,703.522930,451.016838,301.6140722,086.892621,612496,815435,290334,480.973258,644.528206,464.486177,125.996165,657.806129,875.996108,293.494179,101.296