Santos Brasil Participações S.A.

B3:STBP3.SA

12.76 (BRL) • At close November 4, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 367.481614.631823.34643.861266.376253.663270.731192.557226.115218.409122.987136.444294.854107.51392.2848.694359.548
Kortetermijnbeleggingen 00241.296426.598159.0670.7920.00205.5251.6543.3740.43300225.879158.9840
Liquide middelen en kortetermijnbeleggingen 367.481614.6311,064.6361,070.459425.443253.663270.731192.557226.115218.409122.987136.444294.854107.513318.163167.678359.548
Nettovorderingen 317.787207.271232.238135.471149.821132.065104.08692.567116.419105.464139.935134.799129.82190.84372.87471.00157.129
Voorraad 31.1528.64724.39124.29322.77123.12922.73723.18722.55421.54717.61315.81411.9187.7245.5073.863.144
Overige vlottende activa 0.3987.27612.9548.89329.389132.8575.8610.1528.9498.242165.301158.6493.6253.2796.0978.2194.855
Totaal vlottende activa 716.816857.8251,334.2191,239.116598.035409.649403.414318.463374.037353.662305.901310.907440.218209.359402.641250.758424.676
Niet-vlottende activa:
Materiële vaste activa, netto 3,373.7032,871.831264.292234.135220.055238.275853.896919.616981.2611,054.0881,130.3661,143.6481,133.5571,017.078883.797775.142570.128
Goodwill 107.49271.455114.46439.46539.46539.46539.46539.46539.46539.46539.46539.46500000
Immateriële activa 91.93591.64933.1692,300.2171,961.7011,824.847328.122348.7370.414434.439470.689508.95900000
Goodwill en immateriële activa 159.962163.1042,731.4612,339.6822,001.1661,864.312367.587388.165409.879473.904510.154548.424586.53622.345665.047441.3720
Langetermijnbeleggingen 356.468353.947325.064310.18290.006271.791256.044246.483233.739262.293242.752173.267137.48710.38137.53511.7340
Belastingvorderingen 79.33579.53370.25581.74465.63756.57718.220.5230.4420.3070.2560.18396.32243.06421.9629.933302.261
Overige niet-vlottende activa 21.56122.43827.02624.40721.22317.72717.09720.59319.09317.87217.20110.57314.307120.558.93322.98323.642
Totaal niet-vlottende activa 3,991.0293,490.8533,418.0982,990.1482,598.0872,448.6821,512.8441,575.381,644.4141,808.4641,900.7291,876.0951,968.2031,813.4181,617.2721,281.164896.031
Totaal activa 4,707.8454,348.6784,752.3174,229.2643,196.1222,858.3311,916.2581,893.8432,018.4512,162.1262,206.632,187.0022,408.4212,022.7772,019.9131,531.9221,320.707
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 147.062123.525100.12567.82260.83454.44996.70273.51459.88551.15178.92857.1655.45958.304116.19259.56835.391
Kortlopende schulden 416.79367.28581.8562.00762.906130.129172.042163.414140.902157.996147.847165.547346.417162.106303.157113.39938.304
Belastingschulden 21.47731.3136.78118.72113.2811.98710.2199.75249.27251.8373.70124.47230.80521.6218.52921.84314.132
Uitgestelde opbrengsten 91.2530215.67862.27104.82911.98745.49847.41549.27251.8373.70124.472142.452111.22880.04877.05914.132
Overige kortlopende verplichtingen 112.62119.659165.157104.2877.143102.9920.0460.0463.87240.10260.119111.0880.0530.6832.420.78834.565
Totaal kortlopende verplichtingen 767.725610.469562.81296.386235.712299.557314.288284.389253.931301.079360.595358.267544.381332.321501.817250.814122.392
Langlopende verplichtingen:
Langetermijnschulden 372.8621,454.45380.472413.544404.39597.26661.05666.42198.646199.953173.847267.6358.645304.158338.062138.103105.982
Uitgestelde opbrengsten niet-vlottend 1,173.1370110.428149.3511,172.4231,066.18391.53473.10329.33931.08834.39216.297111.53209.97313.1550
Uitgestelde belastingverplichtingen niet-vlottend 20.30855.7254.1849.0225.60148.77553.49475.2993.236183.355167.094172.098106.02885.21926.4342.3210
Overige niet-vlottende verplichtingen 156.795135.1561,457.1991,223.7535.6075.4235.2375.50936.08117.4922.7333.8392.18387.377.0581.3688.265
Totaal niet-vlottende verplichtingen 1,723.1021,645.3262,002.2791,835.6681,608.0261,217.647211.321220.322357.302431.886398.066459.834578.388476.747381.527154.947114.247
Totaal passiva 2,490.8272,255.7952,565.0892,132.0541,843.7381,517.204525.609504.711611.233732.965758.661818.1011,122.769809.068883.344405.761236.639
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 1,879.4841,876.9561,873.9061,871.8951,081.9071,071.7571,071.7571,071.0771,071.0771,071.0771,071.0771,062.5761,053.8931,042.071,042.071,042.071,042.07
Ingehouden winsten 135.50543.904203.725-0.0038.0272.114-0.014-0.016285.108316.234320.923255.74400039.74711.829
Overige gereserveerde algehele resultaten 216.152176.176284.334228.219269.348277.785276.721337.899265.49161.69458.263000000
Overige totale aandeelhoudersvermogen -14.123-4.153-174.737-2.901-6.898-10.52942.185-19.828-214.458-19.844-2.29450.581231.759172.39199.21444.44330.169
Totaal eigen vermogen van aandeelhouders 2,217.0182,092.8832,187.2282,097.211,352.3841,341.1271,390.6491,389.1321,407.2181,429.1611,447.9691,368.9011,285.6521,214.4611,141.2841,126.261,084.068
Totaal eigen vermogen 2,217.0182,092.8832,187.2282,097.211,352.3841,341.1271,390.6491,389.1321,407.2181,429.1611,447.9691,368.9011,285.6521,213.7091,136.5691,126.1611,084.068
Totaal passiva en aandeelhoudersvermogen 4,707.8454,348.6784,752.3174,229.2643,196.1222,858.3311,916.2581,893.8432,018.4512,162.1262,206.632,187.0022,408.4212,022.7772,019.9131,531.9221,320.707