Grupo SBF SA
BOVESPA:SBFG3

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Grupo SBF SA Logo
Grupo SBF SA
BOVESPA:SBFG3
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Price: 13.47 BRL 3.22% Market Closed
Market Cap: 3.3B BRL
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Cash Flow Statement

Cash Flow Statement
Grupo SBF SA

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Cash Flow Statement
Currency: BRL
Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024
Operating Cash Flow
Net Income
(132)
(176)
(50)
205
498
551
559
352
205
206
140
205
190
224
507
553
Depreciation & Amortization
248
268
286
312
324
340
324
338
354
366
414
410
415
424
417
425
Change in Deffered Taxes
(89)
55
71
57
(373)
(351)
(366)
(374)
(114)
(95)
0
0
0
0
0
0
Other Non-Cash Items
238
240
234
262
423
426
521
550
500
453
461
511
513
537
72
14
Cash Taxes Paid
0
0
0
0
40
0
0
0
0
(1)
0
0
0
0
0
0
Cash Interest Paid
112
113
127
129
171
202
273
303
273
277
245
246
204
209
212
0
Change in Working Capital
(47)
(430)
(591)
(634)
(464)
(686)
(690)
(868)
(807)
(995)
(806)
(1 024)
(492)
(252)
51
496
Cash from Operating Activities
218
N/A
(43)
N/A
(51)
-16%
202
N/A
407
+102%
280
-31%
347
+24%
(2)
N/A
138
N/A
(64)
N/A
164
N/A
105
-36%
625
+498%
933
+49%
1 048
+12%
1 489
+42%
Investing Cash Flow
Capital Expenditures
(154)
(255)
(275)
(265)
(289)
(242)
(230)
(262)
(372)
(373)
(395)
(403)
(260)
(244)
(200)
(180)
Other Items
(1 019)
(1 033)
(1 024)
(1 018)
(220)
(210)
(229)
(243)
(22)
(17)
(8)
(0)
0
0
0
0
Cash from Investing Activities
(1 172)
N/A
(1 248)
-6%
(1 300)
-4%
(1 284)
+1%
(509)
+60%
(453)
+11%
(459)
-1%
(505)
-10%
(394)
+22%
(390)
+1%
(402)
-3%
(403)
0%
(260)
+36%
(244)
+6%
(200)
+18%
(180)
+10%
Financing Cash Flow
Net Issuance of Common Stock
908
0
3
8
8
0
7
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
503
475
450
182
129
113
160
234
156
463
4
237
125
(550)
(243)
(665)
Cash Paid for Dividends
0
0
0
0
0
0
(29)
(29)
(29)
0
0
0
(33)
0
(75)
(75)
Other
(48)
13
(2)
(3)
0
(0)
(9)
(4)
(3)
0
0
(32)
0
0
0
35
Cash from Financing Activities
1 363
N/A
1 396
+2%
451
-68%
188
-58%
137
-27%
121
-12%
129
+7%
202
+57%
125
-38%
432
+246%
4
-99%
205
+4 875%
92
-55%
(583)
N/A
(318)
+45%
(706)
-122%
Change in Cash
Net Change in Cash
409
N/A
104
-74%
(900)
N/A
(894)
+1%
35
N/A
(51)
N/A
17
N/A
(304)
N/A
(131)
+57%
(22)
+83%
(234)
-953%
(94)
+60%
458
N/A
106
-77%
530
+401%
602
+14%
Free Cash Flow
Free Cash Flow
65
N/A
(299)
N/A
(326)
-9%
(64)
+80%
118
N/A
38
-68%
117
+206%
(264)
N/A
(234)
+11%
(436)
-87%
(230)
+47%
(299)
-30%
366
N/A
689
+88%
848
+23%
1 309
+54%

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