BB Seguridade Participações S.A. / Fundamentals

    Income statement

    Net revenue
    €939.04M
    Cost of goods sold
    €0.00
    Gross profit
    €939.04M
    SG&A expenses
    €31.57M
    R&D expenses
    €0.00
    EBITDA
    €1.72B
    D&A
    €203.33K
    EBIT
    €1.72B
    Interest expenses
    €340.48K
    EBT
    €1.72B
    Tax expenses
    €288.43M
    Net income
    €1.43B

    Cash flow statement

    Net deferred tax
    €0.00
    Non-cash items
    -€928.39M
    Changes in working capital
    €152.31M
    Operating cash flow
    €652.69M
    Capex
    €0.00
    Other investing cash flow
    €948.36M
    Net investing cash flow
    €948.36M
    Total cash dividends paid
    -€1.15B
    Issuance of common stock
    €0.00
    Debt repayment
    €0.00
    Other financing cash flow
    €0.00
    Net financing cash flow
    -€1.15B
    Foreign exchange effects
    €0.00
    Net change in cash
    €446.81M
    Cash at end of period
    €1.13B
    Free cash flow
    €652.69M

    Balance sheet

    Cash and cash equivalents
    €567.37K
    Cash and short-term investments
    €567.37K
    Total receivables
    €0.00
    Inventory
    €0.00
    Other current assets
    -€567.37K
    Total current assets
    €0.00
    Property, plant & equipment
    €1.44K
    Goodwill
    €0.00
    Intangible assets
    €374.45K
    Long-term investments
    €1.79B
    Other non-current assets
    -€1.82B
    Total non-current assets
    €0.00
    Total assets
    €3.43B
    Accounts payable
    €0.00
    Short-term debt
    €0.00
    Other current liabilities
    -€102.04M
    Total current liabilities
    €0.00
    Long-term debt
    €0.00
    Deferred tax liabilities
    €36.62M
    Other non-current liabilities
    -€1.01B
    Total non-current liabilities
    €0.00
    Total liabilities
    €1.74B
    Common stock
    €1.00B
    Retained earnings
    €98.07M
    Other equity
    €0.00
    Total equity
    €1.68B
    Total liabilities and shareholders' equity
    €3.43B

    Company information

    Market capitalization
    €10.56B
    Employees
    222
    Enterprise Value
    €68.19B

    Company ratios

    Gross margin
    100.0% Much better than peer group: 71.2%
    EBITDA margin
    182.9% Much better than peer group: 35.5%
    EBIT margin
    182.9% Much better than peer group: 36.1%
    EBT margin
    182.9% Much better than peer group: 33.5%
    Net margin
    152.2% Much better than peer group: 27.0%
    ROE
    85.0% Much better than peer group: 18.8%
    ROA
    41.7% Much better than peer group: 7.3%
    Asset turnover
    27.4% Even with peer group: 25.6%
    FCF margin
    69.5% Much better than peer group: 22.3%
    FCF yield
    6.2%
    Efficiency ratio
    -82.9%
    Net sales per employee
    €4.23M
    Net income per employee
    €6.44M

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