Blau Farmacêutica S.A. (BVMF:BLAU3)
Brazil flag Brazil · Delayed Price · Currency is BRL
11.17
+0.09 (0.81%)
Apr 14, 2026, 5:06 PM GMT-3

Blau Farmacêutica Balance Sheet

Millions BRL. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
45.633.3231.514.1151.86
Short-Term Investments
--375.82629.53870.96
Trading Asset Securities
569.49459.56---
Cash & Short-Term Investments
615.09492.87407.31643.65922.82
Cash Growth
24.80%21.00%-36.72%-30.25%330.52%
Accounts Receivable
458.47476.75453.56420.61331.79
Other Receivables
129.5442.564.3544.5813.66
Receivables
588.02519.25517.91465.19345.45
Inventory
694.13606.19628.65569.02416.85
Other Current Assets
-57.85--11.35
Total Current Assets
1,8971,6761,5541,6781,696
Property, Plant & Equipment
997.08829.04738.71542.48371.58
Long-Term Investments
-265.16265.19-0.04
Goodwill
151.66151.66151.66143.24143.24
Other Intangible Assets
67.8653.8124.8316.575.75
Long-Term Deferred Tax Assets
77.884.5281.53--
Long-Term Deferred Charges
397.6282.28177.5874.2549.82
Other Long-Term Assets
45.8169.1260.1744.6561.14
Total Assets
3,6353,4123,0542,4992,328
Accounts Payable
266.38286179.92163.64116.43
Accrued Expenses
89.2190.2155.6256.7855.2
Short-Term Debt
94.491.872.3-41.73
Current Portion of Long-Term Debt
184.0365.167.9279.8749.82
Current Portion of Leases
7.076.394.83.672.11
Current Income Taxes Payable
0.038.92-19.4419.99
Other Current Liabilities
127.2479.4625.3847.7157.72
Total Current Liabilities
768.45537.94335.93371.11343.01
Long-Term Debt
283.33450500200272.5
Long-Term Leases
30.2135.5933.5228.178.35
Long-Term Deferred Tax Liabilities
221.98170.2125.6435.0218.25
Other Long-Term Liabilities
75.3267.3363.246.8151.05
Total Liabilities
1,3791,2611,058681.11693.16
Common Stock
1,7171,3171,3171,3171,317
Retained Earnings
612.28899.32744.37562.8325.13
Treasury Stock
-42.89-42.89-42.89-39.9-
Comprehensive Income & Other
-14.23-9.05-16.62-17.36-5.45
Total Common Equity
2,2722,1642,0011,8221,636
Minority Interest
-16.02-13.33-6.22-4.22-1.4
Shareholders' Equity
2,2562,1511,9951,8181,635
Total Liabilities & Equity
3,6353,4123,0542,4992,328
Total Debt
599.13558.95608.54311.71374.52
Net Cash (Debt)
15.95-66.08-201.22331.93548.3
Net Cash Growth
----39.46%-
Net Cash Per Share
0.07-0.29-0.871.442.35
Filing Date Shares Outstanding
230.98230.98230.98231.18233.21
Total Common Shares Outstanding
230.98230.98230.98231.18233.21
Working Capital
1,1291,1381,2181,3071,353
Book Value Per Share
9.849.378.667.887.02
Tangible Book Value
2,0521,9591,8251,6621,487
Tangible Book Value Per Share
8.888.487.907.196.38
Machinery
440.23338.57302.14170.92135.22
Construction In Progress
335.21296.26257.03210.19194.06
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.