US Stock MarketDetailed Quotes

Braskem (BAK)

Watchlist
  • 4.900
  • -0.060-1.21%
Close May 15 15:59 ET
  • 4.650
  • -0.250-5.10%
Post 20:01 ET
1.95BMarket Cap-1.07P/E (TTM)

Braskem (BAK) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
-57.76%5.5B
-29.42%11.84B
-29.42%11.84B
-48.33%7.41B
-40.54%10.3B
-28.31%13.03B
-12.39%16.77B
-12.39%16.77B
-23.25%14.34B
11.23%17.33B
-Cash and cash equivalents
-58.66%4.68B
-29.93%10.5B
-29.93%10.5B
-44.10%6.66B
-35.39%9.18B
-20.39%11.32B
5.63%14.99B
5.63%14.99B
-12.60%11.92B
7.35%14.21B
-Short-term investments
-51.81%825M
-25.20%1.34B
-25.20%1.34B
-69.19%745M
-64.02%1.12B
-56.77%1.71B
-63.96%1.79B
-63.96%1.79B
-52.04%2.42B
33.16%3.12B
Receivables
34.43%8.54B
20.31%7.83B
20.31%7.83B
25.68%5.96B
22.60%6.7B
18.28%6.36B
15.54%6.5B
15.54%6.5B
-0.06%4.74B
26.89%5.47B
-Accounts receivable
13.72%3.93B
-3.00%3.46B
-3.00%3.46B
-11.63%3.11B
-0.08%3.55B
2.46%3.45B
22.41%3.56B
22.41%3.56B
-1.43%3.52B
16.13%3.55B
-Taxes receivable
34.11%2.93B
48.51%3.2B
48.51%3.2B
67.11%2.03B
76.18%2.35B
70.86%2.19B
14.03%2.15B
14.03%2.15B
4.11%1.22B
6.80%1.34B
-Other receivables
135.57%1.68B
48.60%1.17B
48.60%1.17B
--811M
38.10%801M
-1.11%714M
-5.06%788M
-5.06%788M
----
--580M
Inventory
-20.79%11.27B
-22.65%10.42B
-22.65%10.42B
-12.87%12.15B
-1.55%13.3B
7.36%14.23B
8.86%13.47B
8.86%13.47B
11.80%13.95B
4.06%13.51B
Prepaid assets
----
--0
--0
3.98%496M
-72.79%194M
-66.10%180M
37.58%216M
37.58%216M
1.49%477M
44.33%713M
Restricted cash
--543M
----
----
----
----
----
----
----
----
----
Other current assets
----
----
----
----
--801M
----
----
----
-37.08%470M
----
Total current assets
-23.20%26.19B
-17.79%30.45B
-17.79%30.45B
-23.33%26.27B
-18.75%30.74B
-10.46%34.1B
-1.08%37.04B
-1.08%37.04B
-8.08%34.27B
10.18%37.84B
Non current assets
Net PPE
-6.37%39.6B
-6.06%41.46B
-6.06%41.46B
0.17%41.6B
-3.01%42.01B
-0.39%42.29B
4.52%44.14B
4.52%44.14B
-1.40%41.53B
4.13%43.31B
-Gross PPE
-0.76%89.39B
0.15%91.27B
0.15%91.27B
116.70%89.99B
107.22%89.75B
112.15%90.07B
8.34%91.13B
8.34%91.13B
-1.40%41.53B
4.13%43.31B
-Accumulated depreciation
-4.22%-49.8B
-5.99%-49.81B
-5.99%-49.81B
---48.39B
---47.74B
---47.78B
-12.19%-47B
-12.19%-47B
----
----
Goodwill and other intangible assets
-9.50%3B
-9.57%3.06B
-9.57%3.06B
-4.92%3.04B
-1.29%3.21B
6.35%3.32B
8.98%3.39B
8.98%3.39B
2.74%3.19B
5.55%3.25B
-Goodwill
-10.71%1.94B
-11.00%1.94B
-11.00%1.94B
--1.95B
--2.14B
--2.18B
--2.18B
--2.18B
----
----
-Other intangible assets
-7.18%1.06B
-6.97%1.12B
-6.97%1.12B
--1.09B
--1.07B
--1.14B
--1.21B
--1.21B
----
----
Investments and advances
18.78%544M
12.79%494M
12.79%494M
-12.65%518M
218.29%522M
179.27%458M
165.45%438M
165.45%438M
259.39%593M
5.81%164M
Non current accounts receivable
74.43%4.37B
67.68%4.35B
67.68%4.35B
22.36%2.44B
70.79%3B
47.21%2.51B
20.80%2.6B
20.80%2.6B
7.28%1.99B
-3.14%1.76B
Financial assets
72.39%462M
406.06%501M
406.06%501M
39.11%281M
43.56%234M
12.13%268M
-52.86%99M
-52.86%99M
7.45%202M
10.14%163M
Non current deferred assets
-86.37%1.7B
-88.78%1.56B
-88.78%1.56B
27.78%13.24B
15.12%11.59B
71.17%12.48B
115.46%13.88B
115.46%13.88B
52.88%10.37B
59.75%10.07B
Other non current assets
----
----
----
----
10.94%568M
----
----
----
-2.28%514M
-11.88%512M
Total non current assets
-18.99%49.68B
-20.31%51.43B
-20.31%51.43B
4.67%61.11B
2.26%60.56B
10.58%61.32B
18.85%64.54B
18.85%64.54B
6.66%58.38B
10.35%59.22B
Total assets
-20.49%75.87B
-19.39%81.88B
-19.39%81.88B
-5.68%87.38B
-5.93%91.3B
2.01%95.42B
10.72%101.58B
10.72%101.58B
0.69%92.65B
10.29%97.06B
Liabilities
Current liabilities
Payables
-29.31%13.24B
-21.43%15.59B
-21.43%15.59B
-9.92%16.21B
-7.62%18.41B
4.31%18.73B
25.38%19.84B
25.38%19.84B
13.71%18B
40.43%19.93B
-accounts payable
-29.07%11.25B
-21.95%13.18B
-21.95%13.18B
-10.69%13.87B
-5.53%15.66B
6.46%15.86B
27.70%16.88B
27.70%16.88B
16.98%15.53B
38.59%16.58B
-Total tax payable
-38.68%550M
-44.93%478M
-44.93%478M
-14.92%553M
37.44%936M
59.89%897M
118.09%868M
118.09%868M
-17.20%650M
-4.62%681M
-Other payable
-27.04%1.44B
-7.48%1.93B
-7.48%1.93B
-1.54%1.79B
-32.13%1.81B
-21.00%1.97B
-5.27%2.09B
-5.27%2.09B
2.83%1.82B
76.27%2.67B
Current accrued expenses
43.32%1.01B
-21.59%810M
-21.59%810M
-2.93%894M
-3.19%729M
-30.50%704M
24.76%1.03B
24.76%1.03B
29.72%921M
23.65%753M
Current provisions
-33.98%1.76B
-40.49%1.82B
-40.49%1.82B
-47.97%2.09B
-37.80%2.4B
-28.08%2.67B
-24.40%3.06B
-24.40%3.06B
8.12%4.02B
-9.51%3.85B
Current debt and capital lease obligation
493.16%20.63B
424.16%21.67B
424.16%21.67B
-15.86%2.94B
-3.44%3.73B
9.99%3.48B
10.38%4.14B
10.38%4.14B
3.84%3.49B
10.27%3.87B
-Current debt
684.48%19.76B
562.58%20.77B
562.58%20.77B
-20.81%2.06B
-1.93%2.8B
13.78%2.52B
13.26%3.14B
13.26%3.14B
3.70%2.6B
7.26%2.85B
-Current capital lease obligation
-9.38%869M
-9.80%902M
-9.80%902M
-1.35%876M
-7.71%934M
1.16%959M
2.25%1B
2.25%1B
4.23%888M
19.76%1.01B
Other current liabilities
-16.04%267M
56.13%331M
56.13%331M
-33.02%217M
-55.63%205M
8.90%318M
265.52%212M
265.52%212M
-42.35%324M
-16.15%462M
Current liabilities
42.50%36.91B
42.25%40.22B
42.25%40.22B
-16.45%22.35B
-11.74%25.47B
-0.90%25.9B
15.42%28.27B
15.42%28.27B
10.65%26.75B
24.87%28.86B
Non current liabilities
Long term provisions
-15.15%4.36B
-17.22%3.94B
-17.22%3.94B
25.93%4.39B
37.13%5B
36.78%5.14B
30.06%4.76B
30.06%4.76B
-16.79%3.48B
-20.38%3.64B
Long term debt and capital lease obligation
-28.21%47.02B
-28.66%49.64B
-28.66%49.64B
-1.48%60.3B
-2.19%61.64B
13.20%65.5B
23.90%69.59B
23.90%69.59B
8.04%61.2B
24.58%63.02B
-Long term debt
-29.00%44.12B
-30.01%46.39B
-30.01%46.39B
-1.96%57.15B
-2.44%58.65B
12.90%62.15B
24.57%66.28B
24.57%66.28B
8.45%58.29B
25.98%60.11B
-Long term capital lease obligation
-13.58%2.9B
-1.72%3.25B
-1.72%3.25B
8.21%3.15B
2.86%2.99B
19.09%3.35B
11.88%3.31B
11.88%3.31B
0.48%2.91B
1.25%2.91B
Non current deferred liabilities
20.71%1.42B
12.46%1.9B
12.46%1.9B
-12.47%1.02B
-9.83%1.06B
-34.56%1.18B
-28.08%1.69B
-28.08%1.69B
-6.96%1.16B
-31.54%1.17B
Due to related parties non current
----
----
----
----
----
--0
----
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Employee benefits
-9.38%493M
-10.12%666M
-10.12%666M
-7.71%551M
-6.89%554M
-5.06%544M
-1.59%741M
-1.59%741M
20.36%597M
20.93%595M
Derivative product liabilities
35.96%431M
392.08%497M
392.08%497M
2.53%284M
28.06%251M
74.18%317M
-28.37%101M
-28.37%101M
229.76%277M
97,900.00%196M
Total non current liabilities
-24.72%55.19B
-25.03%58.16B
-25.03%58.16B
1.21%68.2B
-0.11%69.09B
12.73%73.32B
21.28%77.58B
21.28%77.58B
6.20%67.39B
18.94%69.17B
Total liabilities
-7.17%92.1B
-7.06%98.38B
-7.06%98.38B
-3.81%90.56B
-3.54%94.56B
8.82%99.22B
19.66%105.85B
19.66%105.85B
7.42%94.14B
20.63%98.03B
Shareholders'equity
Share capital
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
-common stock
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
0.00%8.04B
Retained earnings
-68.42%-22.46B
-70.31%-23.9B
-70.31%-23.9B
-79.29%-13.62B
-81.44%-13.6B
-226.71%-13.33B
-412.56%-14.03B
-412.56%-14.03B
-153.91%-7.6B
-1,198.79%-7.49B
Paid-in capital
0.00%-488M
0.00%-488M
0.00%-488M
---488M
---488M
---488M
0.00%-488M
0.00%-488M
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----
Less: Treasury stock
----
----
----
----
---3M
---16M
0.00%10M
0.00%10M
----
----
Gains losses not affecting retained earnings
-154.15%-835M
-88.21%200M
-88.21%200M
14,800.00%2.53B
20,236.36%2.24B
494.37%1.54B
299.18%1.7B
299.18%1.7B
-96.30%17M
-95.69%11M
Other equity interest
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----
----
----
-2.74%-488M
----
-37.84%23M
-37.84%23M
0.00%-488M
2.66%-475M
Total stockholders'equity
-271.48%-15.74B
-237.66%-16.15B
-237.66%-16.15B
-14,032.00%-3.53B
-4,576.47%-3.81B
-237.40%-4.24B
-219.79%-4.78B
-219.79%-4.78B
-100.50%-25M
-98.82%85M
Noncontrolling interests
-212.70%-497M
-170.44%-355M
-170.44%-355M
124.52%360M
152.05%547M
161.68%441M
170.69%504M
170.69%504M
-127.60%-1.47B
-114.93%-1.05B
Total equity
-327.75%-16.23B
-285.74%-16.5B
-285.74%-16.5B
-112.53%-3.17B
-237.27%-3.26B
-260.26%-3.8B
-230.47%-4.28B
-230.47%-4.28B
-134.10%-1.49B
-114.32%-966M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments -57.76%5.5B-29.42%11.84B-29.42%11.84B-48.33%7.41B-40.54%10.3B-28.31%13.03B-12.39%16.77B-12.39%16.77B-23.25%14.34B11.23%17.33B
-Cash and cash equivalents -58.66%4.68B-29.93%10.5B-29.93%10.5B-44.10%6.66B-35.39%9.18B-20.39%11.32B5.63%14.99B5.63%14.99B-12.60%11.92B7.35%14.21B
-Short-term investments -51.81%825M-25.20%1.34B-25.20%1.34B-69.19%745M-64.02%1.12B-56.77%1.71B-63.96%1.79B-63.96%1.79B-52.04%2.42B33.16%3.12B
Receivables 34.43%8.54B20.31%7.83B20.31%7.83B25.68%5.96B22.60%6.7B18.28%6.36B15.54%6.5B15.54%6.5B-0.06%4.74B26.89%5.47B
-Accounts receivable 13.72%3.93B-3.00%3.46B-3.00%3.46B-11.63%3.11B-0.08%3.55B2.46%3.45B22.41%3.56B22.41%3.56B-1.43%3.52B16.13%3.55B
-Taxes receivable 34.11%2.93B48.51%3.2B48.51%3.2B67.11%2.03B76.18%2.35B70.86%2.19B14.03%2.15B14.03%2.15B4.11%1.22B6.80%1.34B
-Other receivables 135.57%1.68B48.60%1.17B48.60%1.17B--811M38.10%801M-1.11%714M-5.06%788M-5.06%788M------580M
Inventory -20.79%11.27B-22.65%10.42B-22.65%10.42B-12.87%12.15B-1.55%13.3B7.36%14.23B8.86%13.47B8.86%13.47B11.80%13.95B4.06%13.51B
Prepaid assets ------0--03.98%496M-72.79%194M-66.10%180M37.58%216M37.58%216M1.49%477M44.33%713M
Restricted cash --543M------------------------------------
Other current assets ------------------801M-------------37.08%470M----
Total current assets -23.20%26.19B-17.79%30.45B-17.79%30.45B-23.33%26.27B-18.75%30.74B-10.46%34.1B-1.08%37.04B-1.08%37.04B-8.08%34.27B10.18%37.84B
Non current assets
Net PPE -6.37%39.6B-6.06%41.46B-6.06%41.46B0.17%41.6B-3.01%42.01B-0.39%42.29B4.52%44.14B4.52%44.14B-1.40%41.53B4.13%43.31B
-Gross PPE -0.76%89.39B0.15%91.27B0.15%91.27B116.70%89.99B107.22%89.75B112.15%90.07B8.34%91.13B8.34%91.13B-1.40%41.53B4.13%43.31B
-Accumulated depreciation -4.22%-49.8B-5.99%-49.81B-5.99%-49.81B---48.39B---47.74B---47.78B-12.19%-47B-12.19%-47B--------
Goodwill and other intangible assets -9.50%3B-9.57%3.06B-9.57%3.06B-4.92%3.04B-1.29%3.21B6.35%3.32B8.98%3.39B8.98%3.39B2.74%3.19B5.55%3.25B
-Goodwill -10.71%1.94B-11.00%1.94B-11.00%1.94B--1.95B--2.14B--2.18B--2.18B--2.18B--------
-Other intangible assets -7.18%1.06B-6.97%1.12B-6.97%1.12B--1.09B--1.07B--1.14B--1.21B--1.21B--------
Investments and advances 18.78%544M12.79%494M12.79%494M-12.65%518M218.29%522M179.27%458M165.45%438M165.45%438M259.39%593M5.81%164M
Non current accounts receivable 74.43%4.37B67.68%4.35B67.68%4.35B22.36%2.44B70.79%3B47.21%2.51B20.80%2.6B20.80%2.6B7.28%1.99B-3.14%1.76B
Financial assets 72.39%462M406.06%501M406.06%501M39.11%281M43.56%234M12.13%268M-52.86%99M-52.86%99M7.45%202M10.14%163M
Non current deferred assets -86.37%1.7B-88.78%1.56B-88.78%1.56B27.78%13.24B15.12%11.59B71.17%12.48B115.46%13.88B115.46%13.88B52.88%10.37B59.75%10.07B
Other non current assets ----------------10.94%568M-------------2.28%514M-11.88%512M
Total non current assets -18.99%49.68B-20.31%51.43B-20.31%51.43B4.67%61.11B2.26%60.56B10.58%61.32B18.85%64.54B18.85%64.54B6.66%58.38B10.35%59.22B
Total assets -20.49%75.87B-19.39%81.88B-19.39%81.88B-5.68%87.38B-5.93%91.3B2.01%95.42B10.72%101.58B10.72%101.58B0.69%92.65B10.29%97.06B
Liabilities
Current liabilities
Payables -29.31%13.24B-21.43%15.59B-21.43%15.59B-9.92%16.21B-7.62%18.41B4.31%18.73B25.38%19.84B25.38%19.84B13.71%18B40.43%19.93B
-accounts payable -29.07%11.25B-21.95%13.18B-21.95%13.18B-10.69%13.87B-5.53%15.66B6.46%15.86B27.70%16.88B27.70%16.88B16.98%15.53B38.59%16.58B
-Total tax payable -38.68%550M-44.93%478M-44.93%478M-14.92%553M37.44%936M59.89%897M118.09%868M118.09%868M-17.20%650M-4.62%681M
-Other payable -27.04%1.44B-7.48%1.93B-7.48%1.93B-1.54%1.79B-32.13%1.81B-21.00%1.97B-5.27%2.09B-5.27%2.09B2.83%1.82B76.27%2.67B
Current accrued expenses 43.32%1.01B-21.59%810M-21.59%810M-2.93%894M-3.19%729M-30.50%704M24.76%1.03B24.76%1.03B29.72%921M23.65%753M
Current provisions -33.98%1.76B-40.49%1.82B-40.49%1.82B-47.97%2.09B-37.80%2.4B-28.08%2.67B-24.40%3.06B-24.40%3.06B8.12%4.02B-9.51%3.85B
Current debt and capital lease obligation 493.16%20.63B424.16%21.67B424.16%21.67B-15.86%2.94B-3.44%3.73B9.99%3.48B10.38%4.14B10.38%4.14B3.84%3.49B10.27%3.87B
-Current debt 684.48%19.76B562.58%20.77B562.58%20.77B-20.81%2.06B-1.93%2.8B13.78%2.52B13.26%3.14B13.26%3.14B3.70%2.6B7.26%2.85B
-Current capital lease obligation -9.38%869M-9.80%902M-9.80%902M-1.35%876M-7.71%934M1.16%959M2.25%1B2.25%1B4.23%888M19.76%1.01B
Other current liabilities -16.04%267M56.13%331M56.13%331M-33.02%217M-55.63%205M8.90%318M265.52%212M265.52%212M-42.35%324M-16.15%462M
Current liabilities 42.50%36.91B42.25%40.22B42.25%40.22B-16.45%22.35B-11.74%25.47B-0.90%25.9B15.42%28.27B15.42%28.27B10.65%26.75B24.87%28.86B
Non current liabilities
Long term provisions -15.15%4.36B-17.22%3.94B-17.22%3.94B25.93%4.39B37.13%5B36.78%5.14B30.06%4.76B30.06%4.76B-16.79%3.48B-20.38%3.64B
Long term debt and capital lease obligation -28.21%47.02B-28.66%49.64B-28.66%49.64B-1.48%60.3B-2.19%61.64B13.20%65.5B23.90%69.59B23.90%69.59B8.04%61.2B24.58%63.02B
-Long term debt -29.00%44.12B-30.01%46.39B-30.01%46.39B-1.96%57.15B-2.44%58.65B12.90%62.15B24.57%66.28B24.57%66.28B8.45%58.29B25.98%60.11B
-Long term capital lease obligation -13.58%2.9B-1.72%3.25B-1.72%3.25B8.21%3.15B2.86%2.99B19.09%3.35B11.88%3.31B11.88%3.31B0.48%2.91B1.25%2.91B
Non current deferred liabilities 20.71%1.42B12.46%1.9B12.46%1.9B-12.47%1.02B-9.83%1.06B-34.56%1.18B-28.08%1.69B-28.08%1.69B-6.96%1.16B-31.54%1.17B
Due to related parties non current ----------------------0----------------
Employee benefits -9.38%493M-10.12%666M-10.12%666M-7.71%551M-6.89%554M-5.06%544M-1.59%741M-1.59%741M20.36%597M20.93%595M
Derivative product liabilities 35.96%431M392.08%497M392.08%497M2.53%284M28.06%251M74.18%317M-28.37%101M-28.37%101M229.76%277M97,900.00%196M
Total non current liabilities -24.72%55.19B-25.03%58.16B-25.03%58.16B1.21%68.2B-0.11%69.09B12.73%73.32B21.28%77.58B21.28%77.58B6.20%67.39B18.94%69.17B
Total liabilities -7.17%92.1B-7.06%98.38B-7.06%98.38B-3.81%90.56B-3.54%94.56B8.82%99.22B19.66%105.85B19.66%105.85B7.42%94.14B20.63%98.03B
Shareholders'equity
Share capital 0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B
-common stock 0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B0.00%8.04B
Retained earnings -68.42%-22.46B-70.31%-23.9B-70.31%-23.9B-79.29%-13.62B-81.44%-13.6B-226.71%-13.33B-412.56%-14.03B-412.56%-14.03B-153.91%-7.6B-1,198.79%-7.49B
Paid-in capital 0.00%-488M0.00%-488M0.00%-488M---488M---488M---488M0.00%-488M0.00%-488M--------
Less: Treasury stock -------------------3M---16M0.00%10M0.00%10M--------
Gains losses not affecting retained earnings -154.15%-835M-88.21%200M-88.21%200M14,800.00%2.53B20,236.36%2.24B494.37%1.54B299.18%1.7B299.18%1.7B-96.30%17M-95.69%11M
Other equity interest -----------------2.74%-488M-----37.84%23M-37.84%23M0.00%-488M2.66%-475M
Total stockholders'equity -271.48%-15.74B-237.66%-16.15B-237.66%-16.15B-14,032.00%-3.53B-4,576.47%-3.81B-237.40%-4.24B-219.79%-4.78B-219.79%-4.78B-100.50%-25M-98.82%85M
Noncontrolling interests -212.70%-497M-170.44%-355M-170.44%-355M124.52%360M152.05%547M161.68%441M170.69%504M170.69%504M-127.60%-1.47B-114.93%-1.05B
Total equity -327.75%-16.23B-285.74%-16.5B-285.74%-16.5B-112.53%-3.17B-237.27%-3.26B-260.26%-3.8B-230.47%-4.28B-230.47%-4.28B-134.10%-1.49B-114.32%-966M
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion------
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