Blau Farmacêutica S.A. (BVMF:BLAU3)
Brazil flag Brazil · Delayed Price · Currency is BRL
9.83
-0.47 (-4.56%)
At close: Feb 6, 2026

Blau Farmacêutica Balance Sheet

Millions BRL. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
43.233.3231.514.1151.8670.2
Short-Term Investments
-459.56375.82629.53870.96144.15
Cash & Short-Term Investments
310.78492.87407.31643.65922.82214.35
Cash Growth
-28.05%21.00%-36.72%-30.25%330.52%34.76%
Accounts Receivable
521.76476.75453.56420.61331.79247.55
Other Receivables
100.78100.3464.3544.5813.669.22
Receivables
622.54577.09517.91465.19345.45256.78
Inventory
710.4606.19628.65569.02416.85327.49
Other Current Assets
325.44---11.351.88
Total Current Assets
1,9691,6761,5541,6781,696800.5
Property, Plant & Equipment
937.88829.04738.71542.48371.58244.05
Long-Term Investments
-265.16265.19-0.040.03
Goodwill
151.66151.66151.66143.24143.24144.64
Other Intangible Assets
62.5153.8124.8316.575.753.48
Long-Term Deferred Tax Assets
78.2584.5281.53--15.87
Long-Term Deferred Charges
377.28282.28177.5874.2549.8221.64
Other Long-Term Assets
44.3269.1260.1744.6561.1442.43
Total Assets
3,6213,4123,0542,4992,3281,273
Accounts Payable
268.5286179.92163.64116.43133
Accrued Expenses
98.8190.2155.6256.7855.242.16
Short-Term Debt
51.951.872.3-41.7315.81
Current Portion of Long-Term Debt
172.3265.167.9279.8749.8247.01
Current Portion of Leases
6.656.394.83.672.111.44
Current Income Taxes Payable
32.938.92-19.4419.9936.23
Other Current Liabilities
48.4479.4625.3847.7157.7288.19
Total Current Liabilities
679.59537.94335.93371.11343.01363.83
Long-Term Debt
283.33450500200272.5626.33
Long-Term Leases
30.9235.5933.5228.178.350.38
Long-Term Deferred Tax Liabilities
215.45170.2125.6435.0218.25-
Other Long-Term Liabilities
76.9967.3363.246.8151.0560.74
Total Liabilities
1,2861,2611,058681.11693.161,051
Common Stock
1,3171,3171,3171,3171,317100.64
Retained Earnings
1,096899.32744.37562.8325.1384.64
Treasury Stock
-42.89-42.89-42.89-39.9--
Comprehensive Income & Other
-19.58-9.05-16.62-17.36-5.4536.07
Total Common Equity
2,3502,1642,0011,8221,636221.34
Minority Interest
-15.38-13.33-6.22-4.22-1.4-
Shareholders' Equity
2,3352,1511,9951,8181,635221.34
Total Liabilities & Equity
3,6213,4123,0542,4992,3281,273
Total Debt
545.17558.95608.54311.71374.52690.96
Net Cash (Debt)
-234.39-66.08-201.22331.93548.3-476.61
Net Cash Growth
----39.46%--
Net Cash Per Share
-1.01-0.29-0.871.442.35-2.33
Filing Date Shares Outstanding
230.98230.98230.98231.18233.21192.4
Total Common Shares Outstanding
230.98230.98230.98231.18233.21192.4
Working Capital
1,2901,1381,2181,3071,353436.67
Book Value Per Share
10.179.378.667.887.021.15
Tangible Book Value
2,1361,9591,8251,6621,48773.22
Tangible Book Value Per Share
9.258.487.907.196.380.38
Machinery
426.27338.57302.14170.92135.22121.52
Construction In Progress
297.86296.26257.03210.19194.0684.28
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.