US Stock MarketDetailed Quotes

Sabesp (SBS)

Watchlist
  • 6.040
  • -0.220-3.51%
Close May 12 15:59 ET
  • 6.030
  • -0.010-0.17%
Post 19:37 ET
21.18BMarket Cap59.80P/E (TTM)

Sabesp (SBS) Cash Flow

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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-30.79%761.64M
12.92%8.36B
-65.97%906.75M
102.11%3.17B
79.43%3.18B
-21.25%1.1B
52.53%7.4B
55.88%2.66B
-3.80%1.57B
58.59%1.77B
Net income from continuing operations
4.74%2.36B
-14.23%11.7B
142.34%2.98B
-65.28%3.24B
83.96%3.23B
70.03%2.25B
186.98%13.64B
-4.35%1.23B
630.53%9.33B
66.03%1.75B
Operating gains losses
65.60%-144.03M
244.57%251.51M
-97.50%206.56M
97.40%-219.05M
1,447.95%682.74M
-1,147.22%-418.74M
-184.31%-173.97M
11,106.51%8.26B
-18,726.51%-8.42B
-154.00%-50.65M
Depreciation and amortization
19.52%697.47M
-17.48%2.21B
5.04%546.76M
-9.75%535.08M
-31.17%543.37M
-24.58%583.56M
-4.09%2.68B
-30.55%520.53M
-16.90%592.89M
17.69%789.44M
Other non cash items
45.88%1.07B
90.15%-572.55M
61.87%-3.91B
-10.27%3.18B
-201.62%-571.49M
110.71%733.56M
-424.65%-5.81B
-1,064.52%-10.27B
685.87%3.54B
436.26%562.4M
Change In working capital
-68.23%-1.55B
90.50%-101.99M
40.55%2.89B
-12.80%-2.5B
255.11%432.04M
-45.55%-919.28M
59.60%-1.07B
698.51%2.05B
-1,096.21%-2.22B
61.34%-278.53M
-Change in receivables
-80.33%-313.41M
342.67%1.88B
95.82%-74.06M
116.91%1.98B
114.11%146.44M
-1,044.82%-173.8M
29.10%-773.9M
-243.53%-1.77B
635.70%912.61M
134.57%68.4M
-Change in inventory
-95.42%-99.02M
275.71%24.22M
649.19%9.19M
-258.96%-28.56M
1,450.97%94.27M
-40.14%-50.67M
-136.05%-13.79M
-104.84%-1.67M
299,366.67%17.97M
283.18%6.08M
-Change in payables and accrued expense
-78.37%-1.14B
-653.13%-1.57B
-192.85%-1.1B
-25.97%-277.19M
455.23%454.13M
-14.87%-640.7M
179.53%283.44M
193.73%1.19B
-219.24%-220.04M
-331.53%-127.84M
-Change in other current assets
15.04%118.99M
4,696.85%122.64M
61.66%38.25M
-26.06%27.43M
-107.43%-46.47M
352.13%103.43M
-107.39%-2.67M
-55.99%23.66M
93.17%37.1M
-63.34%-22.4M
-Change in other current liabilities
38.23%-73.96M
100.57%1.91M
158.13%179.24M
83.13%12.7M
35.70%-70.3M
-259.66%-119.73M
61.35%-335.73M
-19.21%-308.33M
105.08%6.93M
54.69%-109.33M
-Change in other working capital
4.16%-36.23M
-142.46%-561.05M
31.24%3.84B
-41.82%-4.22B
-56.30%-146.04M
58.01%-37.81M
44.36%-231.39M
4,847.76%2.92B
-3,507.00%-2.97B
60.19%-93.43M
Cash from discontinued investing activities
Operating cash flow
-30.79%761.64M
12.92%8.36B
-65.97%906.75M
102.10%3.17B
79.43%3.18B
-21.25%1.1B
52.53%7.4B
55.88%2.66B
-3.80%1.57B
58.59%1.77B
Investing cash flow
Cash flow from continuing investing activities
-766.50%-12.77B
-57.42%-15.7B
-5.88%-4.72B
-65.73%-6.47B
-548.40%-3.03B
35.48%-1.47B
-103.36%-9.98B
-60.90%-4.46B
-177.25%-3.91B
582.26%676.41M
Net PPE purchase and sale
-226.25%-5.06B
-71.10%-13.74B
-95.96%-4.08B
----
----
-9,641.20%-1.55B
-94.04%-8.03B
48.62%-2.08B
----
----
Net business purchase and sale
---302.29M
----
----
----
----
--0
----
----
----
----
Net investment purchase and sale
-9,707.19%-7.41B
0.49%-1.95B
72.18%-660.06M
-1,101.33%-2.68B
-28.88%1.32B
104.52%77.18M
-161.81%-1.96B
-119.54%-2.37B
154.59%268.14M
132.91%1.85B
Net other investing changes
-473.19%-8M
-259.67%-27.51M
63.51%-2.96M
-109.78%-3.66M
-103.54%-19.49M
99.75%-1.4M
198.62%17.23M
-100.34%-8.12M
104.31%37.47M
159.47%550.04M
Cash from discontinued investing activities
Investing cash flow
-766.50%-12.77B
-57.42%-15.7B
-5.88%-4.72B
-65.73%-6.47B
-548.40%-3.03B
35.48%-1.47B
-103.36%-9.98B
-60.90%-4.46B
-177.25%-3.91B
582.26%676.41M
Financing cash flow
Cash flow from continuing financing activities
367.10%10.89B
202.27%10.32B
223.08%3.51B
93.17%3.71B
146.61%773.31M
12.71%2.33B
449.26%3.42B
252.14%1.09B
4,362.78%1.92B
-240.84%-1.66B
Net issuance payments of debt
281.46%13.87B
203.61%14.04B
402.85%4.31B
269.88%2.54B
343.76%3.55B
59.53%3.64B
670.72%4.62B
76.86%856.73M
243.10%687.95M
56.97%800.14M
Net common stock issuance
----
---475.39M
----
----
----
----
--0
----
----
----
Cash dividends paid
----
--0
--0
--0
----
----
--0
--0
--0
----
Net other financing activities
-128.56%-2.98B
-213.05%-877.94M
-239.29%-320.78M
-5.59%1.16B
72.97%-413.63M
-517.71%-1.31B
62.86%-280.44M
230.46%230.3M
881.52%1.23B
-785.58%-1.53B
Cash from discontinued financing activities
Financing cash flow
367.10%10.89B
202.27%10.32B
223.08%3.51B
93.17%3.71B
146.61%773.31M
12.71%2.33B
449.26%3.42B
252.14%1.09B
4,362.78%1.92B
-240.84%-1.66B
Net cash flow
Beginning cash position
177.14%4.66B
100.67%1.68B
107.62%4.97B
62.35%4.56B
80.26%3.64B
100.67%1.68B
-55.10%838.48M
50.17%2.39B
111.69%2.81B
141.42%2.02B
Current changes in cash
-157.37%-1.12B
253.10%2.98B
56.97%-305.79M
198.05%408M
16.56%920.86M
65.77%1.96B
182.03%844.12M
5.89%-710.7M
-256.13%-416.13M
61.00%790.04M
End cash Position
-2.74%3.54B
177.14%4.66B
177.14%4.66B
107.62%4.97B
62.35%4.56B
80.26%3.64B
100.67%1.68B
100.67%1.68B
50.17%2.39B
111.69%2.81B
Free cash flow
-855.73%-4.3B
-759.16%-5.38B
-643.82%-3.17B
76.90%-610.1M
-2,406.81%-1.15B
-132.53%-449.4M
-187.47%-626.11M
124.91%583.22M
-266.69%-2.64B
-95.51%49.77M
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, 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -30.79%761.64M12.92%8.36B-65.97%906.75M102.11%3.17B79.43%3.18B-21.25%1.1B52.53%7.4B55.88%2.66B-3.80%1.57B58.59%1.77B
Net income from continuing operations 4.74%2.36B-14.23%11.7B142.34%2.98B-65.28%3.24B83.96%3.23B70.03%2.25B186.98%13.64B-4.35%1.23B630.53%9.33B66.03%1.75B
Operating gains losses 65.60%-144.03M244.57%251.51M-97.50%206.56M97.40%-219.05M1,447.95%682.74M-1,147.22%-418.74M-184.31%-173.97M11,106.51%8.26B-18,726.51%-8.42B-154.00%-50.65M
Depreciation and amortization 19.52%697.47M-17.48%2.21B5.04%546.76M-9.75%535.08M-31.17%543.37M-24.58%583.56M-4.09%2.68B-30.55%520.53M-16.90%592.89M17.69%789.44M
Other non cash items 45.88%1.07B90.15%-572.55M61.87%-3.91B-10.27%3.18B-201.62%-571.49M110.71%733.56M-424.65%-5.81B-1,064.52%-10.27B685.87%3.54B436.26%562.4M
Change In working capital -68.23%-1.55B90.50%-101.99M40.55%2.89B-12.80%-2.5B255.11%432.04M-45.55%-919.28M59.60%-1.07B698.51%2.05B-1,096.21%-2.22B61.34%-278.53M
-Change in receivables -80.33%-313.41M342.67%1.88B95.82%-74.06M116.91%1.98B114.11%146.44M-1,044.82%-173.8M29.10%-773.9M-243.53%-1.77B635.70%912.61M134.57%68.4M
-Change in inventory -95.42%-99.02M275.71%24.22M649.19%9.19M-258.96%-28.56M1,450.97%94.27M-40.14%-50.67M-136.05%-13.79M-104.84%-1.67M299,366.67%17.97M283.18%6.08M
-Change in payables and accrued expense -78.37%-1.14B-653.13%-1.57B-192.85%-1.1B-25.97%-277.19M455.23%454.13M-14.87%-640.7M179.53%283.44M193.73%1.19B-219.24%-220.04M-331.53%-127.84M
-Change in other current assets 15.04%118.99M4,696.85%122.64M61.66%38.25M-26.06%27.43M-107.43%-46.47M352.13%103.43M-107.39%-2.67M-55.99%23.66M93.17%37.1M-63.34%-22.4M
-Change in other current liabilities 38.23%-73.96M100.57%1.91M158.13%179.24M83.13%12.7M35.70%-70.3M-259.66%-119.73M61.35%-335.73M-19.21%-308.33M105.08%6.93M54.69%-109.33M
-Change in other working capital 4.16%-36.23M-142.46%-561.05M31.24%3.84B-41.82%-4.22B-56.30%-146.04M58.01%-37.81M44.36%-231.39M4,847.76%2.92B-3,507.00%-2.97B60.19%-93.43M
Cash from discontinued investing activities
Operating cash flow -30.79%761.64M12.92%8.36B-65.97%906.75M102.10%3.17B79.43%3.18B-21.25%1.1B52.53%7.4B55.88%2.66B-3.80%1.57B58.59%1.77B
Investing cash flow
Cash flow from continuing investing activities -766.50%-12.77B-57.42%-15.7B-5.88%-4.72B-65.73%-6.47B-548.40%-3.03B35.48%-1.47B-103.36%-9.98B-60.90%-4.46B-177.25%-3.91B582.26%676.41M
Net PPE purchase and sale -226.25%-5.06B-71.10%-13.74B-95.96%-4.08B---------9,641.20%-1.55B-94.04%-8.03B48.62%-2.08B--------
Net business purchase and sale ---302.29M------------------0----------------
Net investment purchase and sale -9,707.19%-7.41B0.49%-1.95B72.18%-660.06M-1,101.33%-2.68B-28.88%1.32B104.52%77.18M-161.81%-1.96B-119.54%-2.37B154.59%268.14M132.91%1.85B
Net other investing changes -473.19%-8M-259.67%-27.51M63.51%-2.96M-109.78%-3.66M-103.54%-19.49M99.75%-1.4M198.62%17.23M-100.34%-8.12M104.31%37.47M159.47%550.04M
Cash from discontinued investing activities
Investing cash flow -766.50%-12.77B-57.42%-15.7B-5.88%-4.72B-65.73%-6.47B-548.40%-3.03B35.48%-1.47B-103.36%-9.98B-60.90%-4.46B-177.25%-3.91B582.26%676.41M
Financing cash flow
Cash flow from continuing financing activities 367.10%10.89B202.27%10.32B223.08%3.51B93.17%3.71B146.61%773.31M12.71%2.33B449.26%3.42B252.14%1.09B4,362.78%1.92B-240.84%-1.66B
Net issuance payments of debt 281.46%13.87B203.61%14.04B402.85%4.31B269.88%2.54B343.76%3.55B59.53%3.64B670.72%4.62B76.86%856.73M243.10%687.95M56.97%800.14M
Net common stock issuance -------475.39M------------------0------------
Cash dividends paid ------0--0--0----------0--0--0----
Net other financing activities -128.56%-2.98B-213.05%-877.94M-239.29%-320.78M-5.59%1.16B72.97%-413.63M-517.71%-1.31B62.86%-280.44M230.46%230.3M881.52%1.23B-785.58%-1.53B
Cash from discontinued financing activities
Financing cash flow 367.10%10.89B202.27%10.32B223.08%3.51B93.17%3.71B146.61%773.31M12.71%2.33B449.26%3.42B252.14%1.09B4,362.78%1.92B-240.84%-1.66B
Net cash flow
Beginning cash position 177.14%4.66B100.67%1.68B107.62%4.97B62.35%4.56B80.26%3.64B100.67%1.68B-55.10%838.48M50.17%2.39B111.69%2.81B141.42%2.02B
Current changes in cash -157.37%-1.12B253.10%2.98B56.97%-305.79M198.05%408M16.56%920.86M65.77%1.96B182.03%844.12M5.89%-710.7M-256.13%-416.13M61.00%790.04M
End cash Position -2.74%3.54B177.14%4.66B177.14%4.66B107.62%4.97B62.35%4.56B80.26%3.64B100.67%1.68B100.67%1.68B50.17%2.39B111.69%2.81B
Free cash flow -855.73%-4.3B-759.16%-5.38B-643.82%-3.17B76.90%-610.1M-2,406.81%-1.15B-132.53%-449.4M-187.47%-626.11M124.91%583.22M-266.69%-2.64B-95.51%49.77M
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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