OceanPact Serviços Marítimos S.A. (BVMF:OPCT3)
Brazil flag Brazil · Delayed Price · Currency is BRL
10.00
-0.13 (-1.28%)
Jun 8, 2026, 5:05 PM GMT-3

BVMF:OPCT3 Balance Sheet

Millions BRL. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
513.02696.56515.1214.2984.25491.33
Short-Term Investments
17.216.118.6142.1963.8349.47
Cash & Short-Term Investments
530.23712.66533.71256.47148.08540.8
Cash Growth
25.65%33.53%108.10%73.19%-72.62%224.73%
Accounts Receivable
489463.18369.11341.12257.16202.36
Other Receivables
74.6470.1381.4958.6280.5775.48
Receivables
563.64533.31450.59399.73337.73277.84
Inventory
7.0110.455.024.946.685.78
Prepaid Expenses
22.2311.7314.1919.7716.72-
Other Current Assets
24.7530.8518.114.4915.29-
Total Current Assets
1,1481,2991,022695.41524.5824.42
Property, Plant & Equipment
1,9471,8571,7131,3731,4611,281
Long-Term Investments
9.7510.0910.027.2914.0226.97
Goodwill
-2.52-0.220.222.76
Other Intangible Assets
25.8323.816.5414.110.1814.06
Long-Term Accounts Receivable
33.6330.3540.4136.2722.56-
Long-Term Deferred Tax Assets
162.07167.69162.5173.62169.53142.02
Other Long-Term Assets
68.4687.3767.383.372.61194.06
Total Assets
3,3943,4783,0312,3832,2742,485
Accounts Payable
108.17134.86103.38110.7191.85114.15
Accrued Expenses
148.15118.7794.53123.7669.657.85
Current Portion of Long-Term Debt
144.62150.21276.63260.08333.84125.03
Current Portion of Leases
31.3331.452.7816.6118.0841.38
Current Income Taxes Payable
25.5936.2531.1118.8215.3425.19
Other Current Liabilities
37.3829.2845.6435.0218.8510.98
Total Current Liabilities
495.23500.82554.06564.99647.57374.58
Long-Term Debt
1,7361,7941,402897.64722.3956.41
Long-Term Leases
102.64113.2226.9626.0831.27151.76
Long-Term Deferred Tax Liabilities
3.110.111.451.041.40.76
Other Long-Term Liabilities
54.3156.4852.4105.15108.01103.65
Total Liabilities
2,3922,4642,0371,5951,5111,587
Common Stock
803.66803.66803.66803.66803.66803.66
Additional Paid-In Capital
-7.87----
Retained Earnings
45.251.02-85.09-69.5-142.81-49.84
Treasury Stock
-2.16---0.34-0.8-2.86
Comprehensive Income & Other
156.61201.57275.754.54103.61147.02
Total Common Equity
1,0031,014994.27788.37763.66897.99
Minority Interest
-0.71-0.66----
Shareholders' Equity
1,0031,013994.27788.37763.66897.99
Total Liabilities & Equity
3,3943,4783,0312,3832,2742,485
Total Debt
2,0152,0881,7091,2001,2051,275
Net Cash (Debt)
-1,485-1,376-1,175-943.92-1,057-712.52
Net Cash Per Share
-7.46-6.90-5.92-4.74-5.23-3.71
Filing Date Shares Outstanding
199.35199.35198.26198.59197.95198.03
Total Common Shares Outstanding
199.35199.35198.26198.59197.95198.03
Working Capital
652.62798.17467.55130.42-123.06449.84
Book Value Per Share
5.035.095.023.973.864.53
Tangible Book Value
977.54987.8977.73774.05753.26881.16
Tangible Book Value Per Share
4.904.964.933.903.814.45
Machinery
3,1002,9482,6631,9501,7751,404
Leasehold Improvements
-29.3515.4668.7553.6940.18
Order Backlog
-13,600----