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PETROBRAS - PETROLEO BRASILEIRO SA

Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total revenue 90.81 91.42 105.54 124.47 83.97 53.68 76.59 84.64 77.88 81.41 97.31 143.66 141.46 144.10 145.92 120.45 91.87 118.26 87.74 72.35
Cost of revenue 47.55 45.44 49.90 59.49 43.16 29.20 45.73 52.18 51.20 55.42 67.49 109.48 108.83 108.28 99.60 77.15 49.25 72.87 49.79 40.18
Gross profit 43.25 45.97 55.64 64.99 40.80 24.49 30.86 32.45 26.69 25.99 29.83 34.18 32.63 35.83 46.32 43.31 42.62 45.39 37.95 32.16
Total operating expenses + 17.26 20.28 8.15 11.72 9.80 4.44 9.94 9.68 16.98 10.30 15.13 19.88 17.42 18.18 18.26 15.55 20.43 19.58 17.22 12.30
Operating income 25.99 25.69 47.49 53.27 31.00 20.05 20.92 22.77 9.71 15.69 14.70 14.30 15.21 17.65 28.06 27.76 22.19 25.81 20.72 19.87
Non-operating income (net) 1.49 -14.55 -10.91 0.26 -2.78 -20.28 -8.92 -11.95 -8.20 -19.36 -24.45 -23.12 -1.80 -3.16 -1.34 -0.49 -0.13 1.18 -1.42 -0.70
Income before tax 27.49 11.14 36.59 53.53 28.23 -0.23 12.00 10.83 1.51 -3.67 -9.75 -8.82 13.41 14.49 26.72 27.27 22.06 26.99 19.30 19.16
Income tax expense 7.30 3.54 10.78 16.77 8.24 -1.17 4.20 4.26 1.70 0.68 -1.14 -1.32 2.58 3.56 6.73 6.83 5.24 9.26 5.89 5.69
Net income 20.10 7.53 25.69 36.62 19.88 1.14 10.15 7.17 -0.09 -4.84 -8.45 -7.37 11.09 11.03 20.12 20.06 15.50 18.88 13.14 12.83
Show Quarterly Income Statement
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total revenue 23.53 25.22 23.48 21.04 21.07 8.76 23.37 23.47 23.77 27.09 25.55 23.77 27.44 30.17 32.41 34.70 27.19 24.03 23.26 20.98 15.31 18.61 13.15 9.48 17.14 19.87 19.42 18.50 18.80 24.35 22.55 20.75 22.96 23.57 22.70 20.82 21.74 21.74 21.69 20.32 17.99 22.15 23.18 26.02 25.97 33.41 38.84 36.91 34.49 35.59 33.96 35.57 36.35 41.28 36.48 34.66 37.41 36.12 34.75 38.23 32.60 31.99 30.88 29.62 27.56 26.20 25.88 21.58 18.21 22.34 36.08 33.50 26.34 25.32 23.45 20.56 18.40 19.02 19.81 17.31 16.21
Cost of revenue 12.93 13.58 12.26 11.03 10.69 4.90 11.36 11.74 11.51 12.98 11.98 11.73 12.98 15.59 15.88 15.24 12.78 13.45 11.86 10.16 7.49 10.84 6.87 6.06 9.88 10.86 11.86 10.80 12.21 16.07 14.16 12.35 14.70 15.80 15.99 14.18 14.17 14.17 14.51 13.82 12.62 15.16 16.48 17.70 18.14 24.76 29.86 28.47 26.39 28.12 26.71 26.53 26.90 31.58 27.54 26.50 25.96 32.03 23.78 25.72 20.67 19.51 18.47 17.46 15.26 13.95 14.35 10.86 10.02 13.57 23.46 20.08 15.38 14.07 13.76 11.20 10.76 11.71 11.82 9.30 8.25
Gross profit 10.60 11.64 11.22 10.01 10.39 3.86 12.01 11.73 12.26 14.11 13.57 12.05 14.47 14.58 16.54 19.46 14.41 10.58 11.39 10.82 7.82 7.77 6.28 3.42 7.26 9.00 7.56 7.70 6.59 8.27 8.39 8.41 8.25 7.76 6.71 6.64 7.56 7.56 7.19 6.50 5.37 6.99 6.70 8.32 7.83 8.65 8.99 8.44 8.11 7.47 7.25 9.04 9.45 9.70 8.94 8.16 11.45 4.09 10.97 12.52 11.93 12.48 12.41 12.17 12.30 12.25 11.53 10.72 8.19 8.77 12.63 13.42 10.96 11.26 9.69 9.36 7.64 7.31 7.99 8.01 7.96
Total operating expenses + 3.23 6.40 3.49 4.54 3.02 -13.70 3.20 5.41 3.27 4.06 3.59 2.01 1.90 1.89 2.37 0.85 2.36 0.99 -1.00 1.93 1.38 1.49 2.75 1.42 15.69 6.16 3.46 -2.21 3.05 1.69 2.93 2.67 3.01 6.47 3.17 3.32 2.36 2.36 5.88 4.45 2.57 4.05 4.57 5.24 2.84 5.06 8.48 4.61 4.89 5.00 4.64 3.67 4.14 7.19 3.52 4.51 4.04 -2.67 3.35 3.82 4.54 9.37 5.12 5.02 4.85 8.23 4.83 3.96 3.50 6.58 4.94 3.87 3.98 5.22 3.75 3.69 3.80 3.30 2.86 2.57 2.51
Operating income 7.37 5.24 7.73 5.47 7.37 8.95 8.81 6.32 8.98 10.05 9.98 10.03 12.56 12.69 14.17 18.61 12.05 9.59 12.39 8.90 6.44 6.28 3.53 2.00 -8.43 2.85 3.49 9.91 3.59 6.59 5.46 5.74 5.24 1.29 3.55 4.66 5.20 5.20 1.31 2.05 2.81 2.93 2.12 3.08 4.99 3.59 0.50 3.83 3.22 2.47 2.61 5.37 5.31 2.51 5.42 3.64 7.41 6.76 7.63 8.70 7.39 3.11 7.29 7.15 7.45 4.02 6.70 6.76 4.69 2.19 7.69 9.55 6.98 6.03 5.94 5.67 3.85 4.01 5.12 5.44 5.46
Non-operating income (net) 1.98 -1.55 0.55 0.94 1.74 -14.80 -0.71 -6.67 -2.03 -1.70 -2.23 -1.33 -1.31 -1.41 -1.49 -2.26 1.17 -1.64 -4.57 3.05 -5.88 8.13 -4.35 -2.47 -4.85 -1.01 -2.63 -2.09 -2.10 -4.96 -2.83 -1.89 -1.83 -3.92 -3.29 -2.56 -2.93 -2.93 -6.95 -1.61 -2.85 -15.02 -3.59 -1.91 -2.35 -16.79 -2.87 -0.30 -0.01 -0.78 -0.43 -1.53 0.40 2.57 -1.36 -4.43 -0.41 -1.97 -4.06 0.74 1.48 4.06 -0.28 -1.42 -1.53 1.79 -0.69 -0.56 -0.65 0.45 1.10 -0.61 -0.35 -1.50 -0.45 -0.15 -0.09 0.04 -0.34 -0.22 -0.34
Income before tax 9.35 3.69 8.28 6.41 9.11 -5.85 8.10 -0.35 6.95 8.34 7.75 8.71 11.25 11.28 12.68 16.35 13.21 7.95 7.82 11.94 0.56 14.41 -0.83 -0.47 -13.28 1.83 0.86 7.82 1.49 1.63 2.63 3.85 3.42 -2.63 0.25 2.10 2.27 2.27 -5.64 0.43 -0.04 -12.08 -1.47 1.16 2.64 -13.20 -2.36 3.53 3.21 1.69 2.17 3.84 5.71 5.08 4.07 -0.79 7.00 4.78 3.57 9.44 8.86 7.17 7.01 5.72 5.93 5.80 6.01 6.20 4.05 2.64 8.79 8.94 6.63 4.54 5.49 5.52 3.75 4.05 4.78 5.22 5.11
Income tax expense 3.12 0.30 2.23 1.65 3.11 -1.46 2.21 -0.03 2.15 1.98 2.26 2.67 3.69 3.01 3.89 5.31 4.57 2.27 1.87 3.78 0.33 2.77 -0.57 -0.03 -3.30 -0.24 0.99 2.96 0.49 0.85 1.15 1.24 1.22 -0.97 0.05 2.01 0.74 0.74 -0.30 0.18 0.06 -3.01 -0.05 0.87 1.06 -3.34 0.05 1.20 0.76 -0.92 0.62 1.10 1.78 0.67 1.28 0.16 1.67 1.63 0.68 2.29 2.15 1.33 1.98 1.49 1.56 0.87 1.87 1.20 1.30 1.66 2.84 2.70 2.06 1.70 1.59 1.17 1.43 1.04 1.16 1.76 1.73
Net income 6.21 3.36 6.03 4.73 5.97 -4.39 5.87 -0.34 4.78 6.26 5.46 6.01 7.53 8.25 8.76 11.01 8.61 5.64 5.94 8.12 0.21 11.53 -0.24 -0.42 -9.72 1.98 2.29 4.81 1.07 0.55 1.68 2.79 2.15 -1.69 0.08 0.10 1.42 1.42 -5.38 0.11 -0.32 -9.42 -1.06 0.17 1.86 -9.72 -2.15 2.23 2.28 2.76 1.48 3.00 3.85 4.39 2.75 -0.69 5.21 3.09 3.46 6.86 6.59 5.90 4.73 4.25 4.32 5.14 3.73 3.99 2.64 2.17 6.00 6.22 4.50 2.81 3.83 4.33 2.16 2.79 3.53 3.35 3.16
about 3 hours ago
Ask a follow up
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 9.24 7.53 15.55 10.77 11.12 12.37 8.26 14.98 24.40 21.99 25.84 25.98 19.75 23.95 28.02 33.27 16.24 6.62 7.25 13.03
Accounts receivable, net 6.68 5.53 7.31 6.32 7.71 7.33 7.31 7.78 7.41 7.27 8.55 11.78 14.64 16.67 18.60 16.11 12.06 9.89 10.03 8.90
Inventories 8.24 6.71 7.68 8.78 7.26 5.68 8.19 8.99 8.49 8.48 7.44 11.47 14.23 14.55 15.17 11.81 11.12 7.99 9.23 6.57
Other current assets 1.39 2.06 1.91 1.78 1.57 1.23 1.49 1.49 1.43 1.14 1.34 1.61 4.04 2.62 2.81 2.38 3.23 2.25 2.63 2.44
Total current assets 25.56 21.84 32.45 31.25 30.15 27.39 27.81 37.06 47.13 44.77 43.43 50.83 52.66 57.79 64.59 63.56 42.64 26.76 29.14 30.96
Total non-current assets + 197.72 159.81 184.62 155.94 144.20 162.62 201.93 185.01 204.24 202.21 187.09 247.86 268.77 269.60 251.82 246.64 157.63 98.94 100.58 67.73
Total assets 223.28 181.65 217.07 187.19 174.35 190.01 229.74 222.07 251.37 246.98 230.52 298.69 321.42 327.40 316.41 310.19 200.27 125.70 129.72 98.68
Total current liabilities + 36.20 31.46 33.86 31.38 24.18 26.23 28.82 25.05 24.95 24.90 28.57 31.12 35.23 34.07 36.36 33.58 30.97 24.76 24.47 21.98
Total non-current liabilities + 110.86 90.84 104.23 85.98 80.36 103.91 126.71 123.84 144.92 144.53 135.89 150.59 137.07 131.46 107.46 90.67 73.89 38.37 37.74 30.44
Total liabilities 147.07 122.30 138.09 117.36 104.54 130.13 155.53 148.89 169.86 169.43 164.47 181.71 172.30 165.53 143.83 124.25 104.85 63.13 62.20 52.42
Total stockholders' equity + 75.88 59.35 78.98 69.84 69.81 59.88 74.22 73.18 81.50 77.55 66.06 116.98 149.12 161.87 172.59 185.95 95.42 62.57 67.51 46.27
Common shares outstanding 6,444 6,444 6,511 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,532 4,936 4,887 4,887 4,387 4,387
Show Quarterly Balance Sheet
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 9.12 9.24 11.66 9.50 7.67 7.54 14.29 12.17 16.37 15.49 13.41 12.66 13.17 10.77 6.79 19.14 18.48 11.12 11.46 10.42 12.54 12.37 13.37 20.01 16.11 8.26 14.48 17.36 14.98 14.98 15.23 18.05 21.14 24.40 25.31 24.57 20.13 20.13 22.37 20.37 22.62 25.84 26.24 29.54 21.28 25.98 28.68 30.14 34.69 19.75 25.96 32.96 23.11 23.95 26.14 22.75 31.78 28.02 29.17 37.68 38.29 33.27 34.25 13.38 14.76 16.24 16.70 4.98 8.28 6.62 5.55 6.73 6.27 7.25 7.69 9.28 10.05 13.03 11.32 10.71 10.90
Accounts receivable, net 6.32 6.68 6.04 5.23 4.69 3.57 6.82 7.21 6.58 7.29 6.28 5.69 5.83 6.32 5.51 6.32 6.97 7.71 6.17 6.41 3.86 7.33 6.52 8.05 5.58 7.31 6.79 6.40 7.78 7.78 8.77 7.36 7.21 7.41 7.71 6.90 7.01 7.01 7.91 8.20 8.28 8.55 7.89 9.66 9.48 11.78 12.30 14.42 15.75 14.64 16.49 16.07 16.48 16.67 17.86 17.20 18.49 18.60 17.89 19.37 17.19 16.11 16.05 12.99 12.86 12.06 11.14 11.75 9.36 9.89 11.97 13.51 11.30 10.03 9.65 9.31 9.43 8.90 8.96 7.68 8.88
Inventories 9.30 8.24 8.70 8.23 7.45 6.72 7.44 7.34 8.18 7.65 7.89 8.14 7.97 8.78 9.77 9.51 10.21 7.26 7.28 7.20 6.97 5.68 5.28 5.04 6.01 8.19 7.58 8.93 8.99 8.99 9.71 9.22 8.83 8.49 8.16 8.05 8.26 8.26 8.51 8.88 8.18 7.44 8.20 10.89 9.99 11.47 13.23 16.98 15.58 14.23 15.05 14.04 15.79 14.55 15.01 14.92 16.13 15.17 14.64 16.39 14.60 11.81 12.54 10.86 11.25 11.12 10.49 9.15 7.02 7.99 12.90 13.69 10.34 9.23 8.28 7.69 6.30 6.57 6.80 7.29 6.45
Other current assets 2.18 1.39 1.68 1.94 1.93 4.03 2.18 1.94 2.10 1.90 1.78 1.51 2.04 1.78 7.40 2.15 2.04 1.57 1.82 1.65 1.61 1.23 0.99 1.74 1.52 1.49 2.05 1.94 1.49 1.49 3.81 2.78 6.57 1.43 4.26 3.53 6.91 6.91 5.81 3.87 2.01 1.34 2.07 1.61 2.13 1.61 4.11 3.96 4.54 4.04 4.04 2.24 2.67 2.62 3.20 2.68 2.95 2.81 3.11 3.28 3.53 2.38 3.14 3.06 3.17 3.23 3.76 2.81 2.50 2.25 3.02 3.29 3.00 2.63 3.03 2.90 2.68 2.44 2.26 2.41 2.17
Total current assets 26.91 25.56 28.08 24.90 21.74 21.86 30.72 28.66 33.22 32.34 29.42 28.39 30.94 31.25 29.47 42.91 42.11 30.15 30.58 30.29 27.03 27.39 26.89 36.88 31.46 27.81 35.44 47.32 37.06 37.06 37.51 37.41 43.75 47.13 45.44 43.06 42.31 42.31 44.59 41.32 41.09 43.43 44.40 51.69 42.88 50.83 58.32 65.50 70.56 52.66 61.55 65.31 58.05 57.79 62.20 57.55 69.35 64.59 64.80 76.73 73.60 63.56 65.97 40.28 42.03 42.64 42.08 28.68 27.16 26.76 33.43 37.22 30.92 29.14 28.65 29.18 28.47 30.96 29.33 28.09 28.40
Total non-current assets + 211.71 197.72 199.80 190.40 178.13 160.01 167.12 161.79 180.40 184.00 175.37 177.13 161.68 155.94 145.79 148.91 168.68 144.20 148.61 157.91 148.20 162.62 144.27 148.51 155.44 201.93 186.55 204.56 185.01 185.01 178.96 183.11 204.21 204.24 208.31 201.20 206.41 206.41 202.84 213.63 200.32 187.09 190.08 225.27 216.45 247.86 274.50 297.89 283.85 268.77 278.56 272.76 287.23 269.60 257.53 253.16 268.62 251.82 244.16 273.94 256.95 246.64 232.16 170.28 162.18 157.63 146.96 128.76 105.08 98.94 108.56 119.71 105.69 100.58 89.68 80.42 72.70 67.73 61.66 58.93 56.87
Total assets 238.62 223.28 227.89 215.30 199.87 181.87 197.84 190.45 213.62 216.34 204.79 205.52 192.62 187.19 175.26 191.82 210.79 174.35 179.19 188.21 175.22 190.01 171.16 185.38 186.90 229.74 221.99 251.88 222.07 222.07 216.48 220.52 247.96 251.37 253.75 244.26 248.72 248.72 247.43 254.95 241.41 230.52 234.48 276.96 259.34 298.69 332.82 363.39 354.40 321.42 340.11 338.07 345.27 327.40 319.73 310.70 337.97 316.41 308.96 350.66 330.55 310.19 298.14 210.56 204.22 200.27 189.04 157.44 132.24 125.70 141.98 156.93 136.61 129.72 118.33 109.60 101.17 98.68 90.99 87.02 85.27
Total current liabilities + 36.23 36.20 34.29 32.83 30.27 31.50 32.84 32.02 30.80 33.75 30.87 31.46 25.28 31.38 25.12 32.68 27.49 24.18 25.49 23.18 21.85 26.23 24.95 26.33 25.94 28.82 32.10 36.10 25.05 25.05 23.50 21.95 23.50 24.95 22.49 21.15 24.77 24.77 25.51 26.07 30.19 28.57 27.62 32.42 28.17 31.12 34.56 34.17 37.01 35.23 31.38 30.77 34.03 34.07 31.77 31.13 36.20 36.36 35.83 38.08 36.65 33.58 37.48 34.66 33.22 30.97 28.68 27.43 25.67 24.76 26.51 26.70 23.08 24.47 21.62 20.34 18.93 21.98 19.39 16.68 18.14
Total non-current liabilities + 116.92 110.86 113.70 108.84 100.36 90.95 92.48 90.79 100.78 103.88 96.54 96.82 87.93 85.98 80.95 80.33 91.05 80.36 84.63 92.58 97.16 103.91 101.83 114.18 115.78 126.71 115.52 135.04 123.84 123.84 119.01 124.02 140.89 144.92 147.76 144.17 141.73 141.73 141.20 143.11 136.37 135.89 133.62 144.81 135.87 150.59 158.56 164.76 160.18 137.07 154.87 153.84 143.57 131.46 117.56 111.92 115.83 107.46 97.66 106.66 101.45 90.67 83.84 76.96 74.19 73.89 68.09 49.05 41.31 38.37 39.07 44.97 41.46 37.74 34.86 32.34 31.91 30.44 26.65 26.82 27.13
Total liabilities 153.14 147.07 147.99 141.67 130.63 122.45 125.33 122.80 131.57 137.63 127.41 128.27 113.21 117.36 106.07 113.00 118.53 104.54 110.12 115.76 119.01 130.13 126.77 140.51 141.71 155.53 147.61 171.14 148.89 148.89 142.51 145.97 164.39 169.86 170.25 165.32 166.50 166.50 166.71 169.18 166.56 164.47 161.24 177.24 164.04 181.71 193.12 198.92 197.19 172.30 186.25 184.60 177.60 165.53 149.33 143.05 152.02 143.83 133.49 144.74 138.10 124.25 121.32 111.62 107.41 104.85 96.77 76.48 66.98 63.13 65.58 71.67 64.55 62.20 56.48 52.68 50.85 52.42 46.04 43.51 45.27
Total stockholders' equity + 85.25 75.88 79.52 73.16 68.93 59.18 72.26 67.19 81.59 78.32 77.08 76.92 79.14 69.49 68.90 78.38 91.65 69.41 67.85 71.18 55.01 59.35 43.92 44.33 44.59 73.32 73.54 79.23 71.54 71.54 72.52 73.17 81.82 79.80 82.63 78.18 81.37 81.37 79.95 84.55 73.81 65.24 72.85 99.02 94.69 116.27 139.26 163.77 156.65 148.53 153.06 152.67 166.57 160.71 169.32 166.61 184.54 171.32 174.16 203.78 190.61 184.11 174.58 97.52 95.33 94.06 89.88 79.15 64.50 61.91 74.60 82.97 69.98 65.18 59.65 54.77 48.32 44.30 43.26 41.88 38.43
Common shares outstanding 6,444 6,444 6,444 6,444 6,444 6,444 6,444 6,449 6,460 6,483 6,517 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,561 6,522 6,522 6,522 6,522 6,522 6,522 6,522 6,324 6,181 6,522 6,571 6,571 6,522 6,522 6,488 6,473 6,850 6,515 6,522 6,465 6,469 6,522 6,522 4,431 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,387 4,386 4,386
about 3 hours ago
Ask a follow up
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Operating cash flow + 36.56 37.98 43.21 49.72 37.79 28.89 25.60 26.35 27.11 26.11 25.91 26.63 26.29 27.89 56.32 28.50 24.92 28.22 22.66 21.08
Cash flow from investing + -15.72 -13.37 -7.96 -4.38 2.16 -23.46 -7.95 -4.50 -11.03 -11.30 -12.79 -36.48 -35.63 -38.38 -57.84 -63.02 -35.12 -29.47 -24.03 -14.68
Cash flow from financing + -17.73 -33.09 -30.70 -51.45 -40.79 -19.26 -32.07 -29.85 -14.64 -19.11 -3.59 11.01 13.30 6.07 7.66 35.39 16.94 2.78 -5.99 -4.35
Change in cash 3.12 -8.47 4.56 -6.11 -0.84 -13.82 -14.42 -8.00 1.44 -4.30 9.53 1.17 3.96 -4.42 6.15 0.86 6.74 1.53 -7.35 2.04
Change in exchange rate 0.00 0.00 0.00 0.00 0.00
Show Quarterly Cash Flow
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Operating cash flow + 7.78 9.75 9.86 7.53 8.50 7.71 11.31 9.09 9.39 11.03 11.55 9.64 10.35 12.85 12.06 14.50 10.31 9.20 10.53 10.82 7.24 7.07 8.58 5.46 7.78 7.39 8.27 5.23 4.71 6.85 1.55 7.10 6.85 6.03 7.59 6.11 7.38 7.38 8.23 6.30 4.43 6.58 6.15 7.45 5.74 5.89 10.35 6.41 3.98 4.73 6.27 7.83 7.46 5.68 6.85 5.61 8.54 5.84 9.47 8.81 9.02 9.86 5.19 7.91 5.53 6.92 8.23 3.87 5.90 8.19 7.44 6.46 6.13 6.75 5.24 7.22 3.46 5.40 6.49 4.26 4.92
Cash flow from investing + -3.72 -6.53 -4.77 -2.56 -1.77 -72.36 -4.74 -2.03 -3.32 -23.52 -9.74 -5.74 -4.38 -0.72 3.62 -0.99 0.56 3.95 -0.99 -1.36 -0.32 -0.57 -2.15 -1.48 -7.76 -0.64 7.91 -1.21 0.00 -0.93 0.02 0.20 -35.22 -3.67 -0.95 -2.63 -40.06 -2.43 -3.07 -3.71 -44.15 -3.26 1.71 -7.45 -6.67 -13.68 -7.59 -8.54 -8.09 -8.56 -10.80 -8.18 -10.26 -6.54 -10.28 -9.80 -6.79 -8.91 -11.83 -7.04 -20.84 -20.55 -11.74 -9.89 -9.60 -10.66 -8.34 -6.53 -9.77 -7.67 -5.96 -6.07 -8.33 -6.66 -5.49 -3.55 -4.81 -4.10 -3.09 -2.69
Cash flow from financing + -4.02 -5.51 -3.22 -2.73 -5.43 -9.30 -5.90 -10.37 -7.17 -7.41 -7.05 -8.81 -6.97 -7.05 -23.16 -18.10 -3.15 -9.89 -12.98 -12.34 -5.57 -7.41 -14.68 0.70 2.13 -6.38 -12.19 -5.47 -8.02 -5.70 -1.37 -9.78 -9.40 -3.04 -3.98 -0.83 -6.79 -6.79 -3.73 -5.62 -4.44 -2.97 -3.34 6.18 -3.46 -2.49 -2.23 -2.84 18.57 2.03 -2.93 13.68 0.52 3.34 1.49 -2.78 3.64 2.57 -2.23 -1.96 5.86 1.43 28.50 2.32 3.13 2.31 11.96 0.47 2.19 4.22 0.52 -1.06 -0.91 0.68 -0.45 -2.94 -3.28 0.85 -1.65 -1.23 -2.32
Change in cash 0.04 -2.29 1.87 2.24 1.30 -73.96 0.67 -3.32 -1.11 3.63 -19.01 -8.91 -2.36 1.42 -11.81 0.02 6.17 -0.14 1.50 -2.51 0.31 -0.65 -6.66 4.01 8.43 -6.75 -4.56 7.67 -4.52 1.16 -0.75 -2.67 -2.35 -32.23 -0.05 4.33 -2.03 -39.47 2.07 -2.39 -3.73 -40.55 -0.46 15.34 -5.17 -3.28 -5.55 -4.02 14.01 -1.33 -5.21 10.71 -0.21 -1.25 1.81 -7.44 2.38 1.62 -1.67 -4.98 7.85 -9.54 13.14 -1.50 -1.24 -0.37 9.54 -4.00 1.57 2.64 0.30 -0.56 -0.85 -0.90 -1.87 -1.22 -3.36 1.45 0.74 -0.07 -0.08
Change in exchange rate 0.00 0.00 0.00 0.00 0.00 0.00 0.00
about 3 hours ago
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