US Stock MarketDetailed Quotes

BAK Braskem

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  • 7.515
  • -0.055-0.73%
Trading May 15 15:56 ET
3.00BMarket Cap-3353P/E (TTM)

Braskem Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
134.44%965M
-125.39%-2.27B
-56.20%1.01B
-183.95%-2.46B
-0.85%1.98B
-263.96%-2.8B
-39.47%8.95B
-45.48%2.31B
-48.25%2.94B
-20.92%2B
Net income from continuing operations
-1,538.19%-2.07B
-13,274.47%-6.19B
18.01%-1.83B
-201.49%-3.03B
14.84%-1.48B
-97.13%144M
-99.74%47M
-278.45%-2.23B
-129.42%-1.01B
-117.34%-1.74B
Operating gains losses
109.09%1M
80.00%-7M
-3,011.11%-280M
816.00%229M
120.00%2M
35.29%-11M
-600.00%-35M
-50.00%-9M
525.00%25M
-900.00%-10M
Depreciation and amortization
-0.08%1.23B
9.99%5.21B
-3.14%1.39B
9.27%1.29B
16.85%1.3B
21.78%1.23B
13.28%4.73B
4.76%1.43B
22.63%1.18B
20.91%1.12B
Other non cash items
18,150.00%2.19B
-0.81%2.68B
329.54%645M
30.70%2.48B
-112.20%-449M
100.46%12M
-57.13%2.71B
-113.92%-281M
-44.38%1.9B
246.22%3.68B
Change In working capital
141.82%1.13B
-148.80%-1.94B
-77.29%692M
-168.50%-2.11B
220.91%2.16B
-641.05%-2.69B
142.59%3.97B
320.32%3.05B
434.75%3.07B
53.17%-1.79B
-Change in receivables
96.55%-35M
-97.03%138M
-86.02%455M
-87.46%79M
-66.21%618M
4.06%-1.02B
79.69%4.65B
-17.91%3.25B
-37.99%630M
223.33%1.83B
-Change in inventory
-193.93%-526M
-15.29%1.81B
-101.04%-9M
-65.67%736M
35.05%524M
144.52%560M
128.23%2.14B
148.21%864M
251.63%2.14B
135.24%388M
-Change in payables and accrued expense
225.42%1.56B
275.51%1.56B
125.27%93M
262.65%810M
110.54%171M
-70.02%480M
11.58%-886M
77.42%-368M
34.90%-498M
-385.63%-1.62B
-Change in other current assets
171.91%1.05B
-248.95%-2.28B
-11.52%238M
-278.98%-2.61B
193.12%1.54B
-199.52%-1.46B
415.15%1.53B
155.24%269M
58.43%1.46B
-1,942.22%-1.66B
-Change in other current liabilities
35.83%-437M
----
----
--0
--0
-114.15%-681M
----
--0
--0
--0
-Change in other working capital
15.92%-486M
8.80%-3.16B
54.42%-443M
-70.56%-1.12B
4.41%-694M
27.11%-578M
4.52%-3.47B
23.28%-972M
18.94%-659M
9.14%-726M
Cash from discontinued investing activities
Operating cash flow
134.44%965M
-125.38%-2.27B
-56.12%1.01B
-183.92%-2.46B
-0.85%1.98B
-263.96%-2.8B
-39.46%8.95B
-45.41%2.31B
-48.82%2.94B
-20.54%2B
Investing cash flow
Cash flow from continuing investing activities
29.81%-871M
8.53%-4.53B
22.39%-1.19B
21.15%-1.22B
24.37%-868.2M
-74.42%-1.24B
-46.32%-4.95B
-11.56%-1.54B
5.31%-1.55B
-62.13%-1.15B
Net PPE purchase and sale
25.19%-870M
8.01%-4.46B
21.82%-1.2B
18.89%-1.22B
21.17%-874.2M
-66.74%-1.16B
-43.33%-4.85B
-11.10%-1.53B
-84.25%-1.51B
-56.62%-1.11B
Net business purchase and sale
----
27.10%-78M
--0
--0
--0
-457.14%-78M
---107M
---9M
---42M
---42M
Net investment purchase and sale
--0
----
----
----
--0
--0
----
--0
----
--0
Net other investing changes
---1M
----
----
---1M
-77.78%200K
----
----
-300.00%-1.2M
----
190.00%900K
Cash from discontinued investing activities
Investing cash flow
29.81%-871M
8.53%-4.53B
22.45%-1.19B
21.08%-1.22B
24.32%-868M
-74.30%-1.24B
-46.32%-4.95B
-11.62%-1.54B
-89.38%-1.55B
-61.78%-1.15B
Financing cash flow
Cash flow from continuing financing activities
-106.52%-263M
3,843.56%8.87B
481.50%843M
511.21%3.94B
103.25%61.3M
205.11%4.03B
101.33%225M
102.27%144.97M
121.39%644M
51.82%-1.89B
Net issuance payments of debt
-107.55%-278M
433.08%8.28B
455.86%806M
514.13%3.83B
94.41%-28M
178.37%3.68B
114.16%1.55B
135.71%145M
120.70%623M
87.19%-501M
Cash dividends paid
--0
99.48%-7M
--0
---3.8M
99.80%-2.7M
--0
77.47%-1.35B
100.00%-30K
--0
-1,349,900.00%-1.35B
Net other financing activities
-96.03%14M
2,738.10%596M
3,492.23%37M
469.00%113.8M
372.65%92.7M
42,123.81%353M
--21M
203.00%1.03M
1,900.00%20M
-34,100.00%-34M
Cash from discontinued financing activities
Financing cash flow
-106.55%-264M
3,843.56%8.87B
477.40%843M
512.13%3.94B
103.29%62M
205.30%4.03B
101.33%225M
102.28%146M
121.36%643M
51.81%-1.89B
Net cash flow
Beginning cash position
13.81%14.19B
43.60%12.47B
16.19%13.64B
38.96%13.24B
22.42%12.38B
43.60%12.47B
-37.38%8.68B
-2.40%11.74B
-2.43%9.53B
-19.03%10.12B
Current changes in cash
-1,600.00%-170M
-50.91%2.08B
-27.83%664M
-87.72%249M
213.22%1.17B
-100.43%-10M
176.06%4.23B
125.97%920M
6.18%2.03B
50.85%-1.04B
Effect of exchange rate changes
371.23%198M
20.05%-355M
40.31%-114M
-18.68%148M
-170.38%-316M
91.74%-73M
-217.46%-444M
-196.95%-191M
-48.30%182M
172.42%449M
End cash Position
14.79%14.22B
13.81%14.19B
13.81%14.19B
16.19%13.64B
38.96%13.24B
22.42%12.38B
43.60%12.47B
43.60%12.47B
-2.40%11.74B
-2.43%9.53B
Free cash flow
102.40%95M
-265.74%-6.8B
-128.08%-219M
-358.63%-3.69B
20.74%1.07B
-492.28%-3.97B
-63.89%4.1B
-72.68%780M
-71.00%1.43B
-50.14%887M
Currency Unit
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 134.44%965M-125.39%-2.27B-56.20%1.01B-183.95%-2.46B-0.85%1.98B-263.96%-2.8B-39.47%8.95B-45.48%2.31B-48.25%2.94B-20.92%2B
Net income from continuing operations -1,538.19%-2.07B-13,274.47%-6.19B18.01%-1.83B-201.49%-3.03B14.84%-1.48B-97.13%144M-99.74%47M-278.45%-2.23B-129.42%-1.01B-117.34%-1.74B
Operating gains losses 109.09%1M80.00%-7M-3,011.11%-280M816.00%229M120.00%2M35.29%-11M-600.00%-35M-50.00%-9M525.00%25M-900.00%-10M
Depreciation and amortization -0.08%1.23B9.99%5.21B-3.14%1.39B9.27%1.29B16.85%1.3B21.78%1.23B13.28%4.73B4.76%1.43B22.63%1.18B20.91%1.12B
Other non cash items 18,150.00%2.19B-0.81%2.68B329.54%645M30.70%2.48B-112.20%-449M100.46%12M-57.13%2.71B-113.92%-281M-44.38%1.9B246.22%3.68B
Change In working capital 141.82%1.13B-148.80%-1.94B-77.29%692M-168.50%-2.11B220.91%2.16B-641.05%-2.69B142.59%3.97B320.32%3.05B434.75%3.07B53.17%-1.79B
-Change in receivables 96.55%-35M-97.03%138M-86.02%455M-87.46%79M-66.21%618M4.06%-1.02B79.69%4.65B-17.91%3.25B-37.99%630M223.33%1.83B
-Change in inventory -193.93%-526M-15.29%1.81B-101.04%-9M-65.67%736M35.05%524M144.52%560M128.23%2.14B148.21%864M251.63%2.14B135.24%388M
-Change in payables and accrued expense 225.42%1.56B275.51%1.56B125.27%93M262.65%810M110.54%171M-70.02%480M11.58%-886M77.42%-368M34.90%-498M-385.63%-1.62B
-Change in other current assets 171.91%1.05B-248.95%-2.28B-11.52%238M-278.98%-2.61B193.12%1.54B-199.52%-1.46B415.15%1.53B155.24%269M58.43%1.46B-1,942.22%-1.66B
-Change in other current liabilities 35.83%-437M----------0--0-114.15%-681M------0--0--0
-Change in other working capital 15.92%-486M8.80%-3.16B54.42%-443M-70.56%-1.12B4.41%-694M27.11%-578M4.52%-3.47B23.28%-972M18.94%-659M9.14%-726M
Cash from discontinued investing activities
Operating cash flow 134.44%965M-125.38%-2.27B-56.12%1.01B-183.92%-2.46B-0.85%1.98B-263.96%-2.8B-39.46%8.95B-45.41%2.31B-48.82%2.94B-20.54%2B
Investing cash flow
Cash flow from continuing investing activities 29.81%-871M8.53%-4.53B22.39%-1.19B21.15%-1.22B24.37%-868.2M-74.42%-1.24B-46.32%-4.95B-11.56%-1.54B5.31%-1.55B-62.13%-1.15B
Net PPE purchase and sale 25.19%-870M8.01%-4.46B21.82%-1.2B18.89%-1.22B21.17%-874.2M-66.74%-1.16B-43.33%-4.85B-11.10%-1.53B-84.25%-1.51B-56.62%-1.11B
Net business purchase and sale ----27.10%-78M--0--0--0-457.14%-78M---107M---9M---42M---42M
Net investment purchase and sale --0--------------0--0------0------0
Net other investing changes ---1M-----------1M-77.78%200K---------300.00%-1.2M----190.00%900K
Cash from discontinued investing activities
Investing cash flow 29.81%-871M8.53%-4.53B22.45%-1.19B21.08%-1.22B24.32%-868M-74.30%-1.24B-46.32%-4.95B-11.62%-1.54B-89.38%-1.55B-61.78%-1.15B
Financing cash flow
Cash flow from continuing financing activities -106.52%-263M3,843.56%8.87B481.50%843M511.21%3.94B103.25%61.3M205.11%4.03B101.33%225M102.27%144.97M121.39%644M51.82%-1.89B
Net issuance payments of debt -107.55%-278M433.08%8.28B455.86%806M514.13%3.83B94.41%-28M178.37%3.68B114.16%1.55B135.71%145M120.70%623M87.19%-501M
Cash dividends paid --099.48%-7M--0---3.8M99.80%-2.7M--077.47%-1.35B100.00%-30K--0-1,349,900.00%-1.35B
Net other financing activities -96.03%14M2,738.10%596M3,492.23%37M469.00%113.8M372.65%92.7M42,123.81%353M--21M203.00%1.03M1,900.00%20M-34,100.00%-34M
Cash from discontinued financing activities
Financing cash flow -106.55%-264M3,843.56%8.87B477.40%843M512.13%3.94B103.29%62M205.30%4.03B101.33%225M102.28%146M121.36%643M51.81%-1.89B
Net cash flow
Beginning cash position 13.81%14.19B43.60%12.47B16.19%13.64B38.96%13.24B22.42%12.38B43.60%12.47B-37.38%8.68B-2.40%11.74B-2.43%9.53B-19.03%10.12B
Current changes in cash -1,600.00%-170M-50.91%2.08B-27.83%664M-87.72%249M213.22%1.17B-100.43%-10M176.06%4.23B125.97%920M6.18%2.03B50.85%-1.04B
Effect of exchange rate changes 371.23%198M20.05%-355M40.31%-114M-18.68%148M-170.38%-316M91.74%-73M-217.46%-444M-196.95%-191M-48.30%182M172.42%449M
End cash Position 14.79%14.22B13.81%14.19B13.81%14.19B16.19%13.64B38.96%13.24B22.42%12.38B43.60%12.47B43.60%12.47B-2.40%11.74B-2.43%9.53B
Free cash flow 102.40%95M-265.74%-6.8B-128.08%-219M-358.63%-3.69B20.74%1.07B-492.28%-3.97B-63.89%4.1B-72.68%780M-71.00%1.43B-50.14%887M
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

No Data

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