Blau Farmacêutica S.A. (BVMF: BLAU3)
Brazil flag Brazil · Delayed Price · Currency is BRL
13.83
+0.28 (2.07%)
Sep 11, 2024, 4:51 PM GMT-3

Blau Farmacêutica Balance Sheet

Millions BRL. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 2018 - 2014
Period Ending
Jun '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 2018 - 2014
Cash & Equivalents
20.4231.514.1151.8670.26.42
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Short-Term Investments
-375.82629.53870.96144.15152.65
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Cash & Short-Term Investments
376.38407.31643.65922.82214.35159.06
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Cash Growth
-3.92%-36.72%-30.25%330.52%34.76%40.83%
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Accounts Receivable
521.8453.56420.61331.79247.55140.82
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Other Receivables
76.5664.3544.5813.669.2213.71
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Receivables
598.37517.91465.19345.45256.78154.52
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Inventory
523.53628.65569.02416.85327.49187.57
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Other Current Assets
---11.351.88-
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Total Current Assets
1,4981,5541,6781,696800.5501.16
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Property, Plant & Equipment
767.28738.71542.48371.58244.05154.65
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Long-Term Investments
265.19265.19-0.040.030.03
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Goodwill
151.66151.66143.24143.24144.647.07
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Other Intangible Assets
47.3524.8316.575.753.483
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Long-Term Deferred Tax Assets
87.9881.53--15.879.48
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Long-Term Deferred Charges
214.55177.5874.2549.8221.6411.32
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Other Long-Term Assets
65.8160.1744.6561.1442.4351.75
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Total Assets
3,0983,0542,4992,3281,273738.44
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Accounts Payable
152.48179.92163.64116.4313385.24
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Accrued Expenses
98.6855.6256.7855.242.1618.27
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Short-Term Debt
5.162.3-41.7315.81-
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Current Portion of Long-Term Debt
64.3267.9279.8749.8247.0174.83
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Current Portion of Leases
6.074.83.672.111.44-
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Current Income Taxes Payable
2.21-19.4419.9936.2321.01
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Other Current Liabilities
47.425.3847.7157.7288.1963.23
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Total Current Liabilities
376.32335.93371.11343.01363.83262.57
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Long-Term Debt
450500200272.5626.33203.89
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Long-Term Leases
34.8433.5228.178.350.380.21
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Long-Term Deferred Tax Liabilities
144.09125.6435.0218.25--
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Other Long-Term Liabilities
58.8963.246.8151.0560.746.02
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Total Liabilities
1,0641,058681.11693.161,051472.69
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Common Stock
1,3171,3171,3171,317100.64100.64
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Retained Earnings
785.94744.37562.8325.1384.64163.34
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Treasury Stock
-42.89-42.89-39.9---
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Comprensive Income & Other
-16.94-16.62-17.36-5.4536.071.78
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Total Common Equity
2,0432,0011,8221,636221.34265.76
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Minority Interest
-8.77-6.22-4.22-1.4--
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Shareholders' Equity
2,0341,9951,8181,635221.34265.76
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Total Liabilities & Equity
3,0983,0542,4992,3281,273738.44
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Total Debt
560.39608.54311.71374.52690.96278.92
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Net Cash (Debt)
-184.01-201.22331.93548.3-476.61-119.86
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Net Cash Growth
---39.46%---
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Net Cash Per Share
-1.04-1.131.873.06-3.02-0.79
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Filing Date Shares Outstanding
177.68177.68177.83179.39148148
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Total Common Shares Outstanding
177.68177.68177.83179.39148148
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Working Capital
1,1221,2181,3071,353436.67238.59
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Book Value Per Share
11.5011.2610.259.121.501.80
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Tangible Book Value
1,8441,8251,6621,48773.22255.69
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Tangible Book Value Per Share
10.3810.279.358.290.491.73
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Machinery
324.17302.14170.92135.22121.5286.89
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Construction In Progress
263.42257.03210.19194.0684.2869.08
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Source: S&P Capital IQ. Standard template. Financial Sources.