US Stock MarketDetailed Quotes

National Steel (SID)

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  • 1.290
  • 0.0000.00%
Close Apr 24 15:59 ET
  • 1.290
  • 0.0000.00%
Post 20:01 ET
1.71BMarket Cap-4.29P/E (TTM)

National Steel (SID) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-111.25%-973.18M
-84.78%539.86M
-103.29%-113.87M
-111.12%-245.58M
-87.24%-1.15B
18.62%8.65B
114.50%3.55B
63.70%3.47B
98.15%2.21B
-211.19%-616.09M
Net income from continuing operations
2.04%-1.51B
-747.55%-721.21M
99.95%-367K
25.43%-166M
-4.99%-619.15M
-482.01%-1.54B
-106.55%-85.09M
-926.90%-750.77M
-178.58%-222.61M
36.34%-589.7M
Operating gains losses
-108.34%-206.13M
-69.38%460.84M
-104.42%-15.6M
-157.90%-400.38M
-361.88%-250.99M
463.71%2.47B
605.11%1.51B
3,340.73%353.01M
224.74%691.46M
-106.13%-54.34M
Depreciation and amortization
9.47%4.15B
6.91%1.06B
8.21%1.04B
11.50%1.05B
11.42%999.19M
12.20%3.79B
10.72%993.49M
11.11%963.37M
15.62%938.65M
11.68%896.76M
Deferred tax
-24.98%-1.6B
-13.41%-333.8M
71.20%-96.21M
-108.24%-748.25M
-44.26%-419.47M
-135.26%-1.28B
-242.06%-294.33M
-7.35%-334M
-4.06%-359.33M
-208.77%-290.77M
Other non cash items
5.37%4.2B
1.57%1.26B
39.44%1.19B
-37.28%1.02B
60.25%732.58M
64.76%3.98B
5,269.86%1.24B
-70.74%851.41M
136.37%1.62B
88.33%457.13M
Change In working capital
-146.26%-2.04B
-132.27%-417.91M
-130.37%-889M
-120.09%-102.55M
-98.00%-632.26M
-5.89%4.41B
256.95%1.29B
213.53%2.93B
-56.22%510.35M
-195.82%-319.32M
-Change in receivables
-204.09%-573.56M
136.07%183.96M
-14,576.39%-670.69M
-1,832.21%-555.94M
43.68%469.11M
174.89%551.03M
26.96%-510.02M
101.53%4.63M
-102.96%-28.77M
195.00%326.51M
-Change in inventory
57.09%-388.8M
-91.14%26.46M
98.09%-13.84M
-91.30%-398.17M
98.80%-3.24M
-169.52%-906.03M
196.97%298.68M
-558.85%-725.81M
-135.09%-208.14M
-131.49%-270.76M
-Change in prepaid assets
----
----
----
-64.06%434.05M
510.30%10.79M
----
----
----
--1.21B
---2.63M
-Change in payables and accrued expense
87.21%-298.28M
163.00%524.31M
-320.47%-591.85M
206.07%136.99M
29.25%-367.74M
-304.27%-2.33B
-146.37%-832.31M
-70.91%268.45M
85.95%-129.15M
79.13%-519.78M
-Change in other current assets
----
----
---148.87M
--174.81M
-312.94%-148.69M
----
----
----
----
--69.83M
-Change in other current liabilities
-104.41%-14.8M
-200.70%-183.95M
-107.97%-81.06M
--104.85M
-65.73%145.36M
--335.43M
--182.67M
--1.02B
----
--424.15M
-Change in other working capital
-111.33%-766.27M
-144.19%-1.09B
-81.74%617.31M
234.48%445.7M
-112.86%-737.84M
43.96%6.76B
637.45%2.47B
2,068.15%3.38B
-163.89%-331.43M
-115.02%-346.64M
Cash from discontinued investing activities
Operating cash flow
-111.25%-973.18M
-99.06%33.49M
-88.67%392.5M
-110.90%-245.58M
-87.25%-1.15B
18.62%8.65B
114.50%3.55B
-12.71%3.47B
102.17%2.25B
-211.19%-616.09M
Investing cash flow
Cash flow from continuing investing activities
-446.86%-6.12B
-165.10%-1.51B
-40.69%-1.87B
-22.83%-1.56B
-41.73%-1.18B
75.60%-1.12B
230.99%2.32B
-1.92%-1.33B
-60.42%-1.27B
0.46%-834.5M
Net PPE purchase and sale
-8.04%-5.94B
0.77%-2.04B
-9.66%-1.44B
0.87%-1.33B
-43.70%-1.13B
-24.64%-5.49B
-31.78%-2.06B
-9.88%-1.31B
-46.11%-1.34B
-6.56%-784.08M
Net business purchase and sale
-107.65%-335.5M
-101.73%-76.26M
---23.6M
---212.95M
---22.69M
3,723.35%4.39B
1,658.62%4.42B
--0
--0
--0
Net investment purchase and sale
201.24%211.88M
2,661.86%623.2M
-17,528.50%-395.94M
-100.56%-558K
57.02%-14.83M
134.84%70.34M
94.70%-24.33M
98.06%-2.25M
-30.00%99.41M
-69.32%-34.5M
Net other investing changes
23.56%-63.84M
41.92%-12.06M
14.28%-16.05M
38.92%-17.18M
-16.58%-18.56M
11.03%-83.52M
-1,208.87%-20.76M
-116.04%-18.72M
-80.63%-28.12M
80.63%-15.92M
Cash from discontinued investing activities
Investing cash flow
-446.86%-6.12B
-165.10%-1.51B
-40.69%-1.87B
-22.83%-1.56B
-41.73%-1.18B
75.60%-1.12B
230.99%2.32B
-11.76%-1.33B
-60.42%-1.27B
0.46%-834.5M
Financing cash flow
Cash flow from continuing financing activities
-1,610.70%-1.78B
37.30%-596.91M
-129.01%-323.22M
270.03%357.9M
-546.98%-1.21B
-107.84%-103.83M
-210.05%-951.96M
101.46%1.11B
89.76%-210.49M
-86.15%271.6M
Net issuance payments of debt
-133.22%-967.53M
-182.79%-343.4M
-705.54%-6.9B
596.31%7.44B
-499.74%-1.16B
-47.10%2.91B
-80.79%414.78M
85.51%1.14B
39.43%1.07B
-85.27%289.66M
Net common stock issuance
--0
----
----
----
--0
---336.16M
---9.09M
----
----
--0
Cash dividends paid
72.58%-695.23M
80.55%-253.3M
---1.43B
--0
--0
36.31%-2.54B
-3.30%-1.3B
--0
54.68%-1.23B
---78K
Net other financing activities
21.83%-113.49M
99.61%-213K
2,100.61%7.07B
-15,436.00%-7.12B
-212.40%-56.15M
28.10%-145.19M
-66.39%-55.26M
-473.50%-353.18M
55.03%-45.85M
-251.14%-17.98M
Cash from discontinued financing activities
Financing cash flow
-1,610.70%-1.78B
37.30%-596.91M
-141.07%-323.22M
270.03%357.9M
-546.98%-1.21B
-107.84%-103.83M
-210.05%-951.96M
42.31%787.02M
89.76%-210.49M
-86.15%271.6M
Net cash flow
Beginning cash position
45.27%23.31B
-10.44%16.53B
17.75%18.31B
-51.00%7.28B
-9.91%10.8B
33.81%16.05B
20.58%18.45B
29.81%15.55B
8.67%14.86B
0.00%11.99B
Current changes in cash
-219.47%-8.87B
-142.17%-2.07B
-161.64%-1.8B
-287.99%-1.45B
-201.14%-3.55B
84.43%7.43B
554.16%4.91B
-12.31%2.92B
144.47%771.12M
-170.30%-1.18B
Effect of exchange rate changes
89.95%-16.38M
37.96%-33.75M
243.34%22.34M
61.28%-32.57M
411.31%27.6M
-686.25%-162.96M
-643.81%-54.4M
-165.58%-15.59M
-330.51%-84.11M
-297.26%-8.87M
End cash Position
-38.13%14.42B
-38.13%14.42B
-10.44%16.53B
17.75%18.31B
-32.61%7.28B
45.27%23.31B
45.27%23.31B
20.58%18.45B
29.81%15.55B
-20.99%10.8B
Free cash flow
-318.91%-6.91B
-234.90%-2.01B
-148.35%-1.04B
-273.22%-1.58B
-62.86%-2.28B
9.42%3.16B
1,519.25%1.49B
-22.39%2.16B
365.84%910.32M
-670.49%-1.4B
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
--
--
--
--
(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(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -111.25%-973.18M-84.78%539.86M-103.29%-113.87M-111.12%-245.58M-87.24%-1.15B18.62%8.65B114.50%3.55B63.70%3.47B98.15%2.21B-211.19%-616.09M
Net income from continuing operations 2.04%-1.51B-747.55%-721.21M99.95%-367K25.43%-166M-4.99%-619.15M-482.01%-1.54B-106.55%-85.09M-926.90%-750.77M-178.58%-222.61M36.34%-589.7M
Operating gains losses -108.34%-206.13M-69.38%460.84M-104.42%-15.6M-157.90%-400.38M-361.88%-250.99M463.71%2.47B605.11%1.51B3,340.73%353.01M224.74%691.46M-106.13%-54.34M
Depreciation and amortization 9.47%4.15B6.91%1.06B8.21%1.04B11.50%1.05B11.42%999.19M12.20%3.79B10.72%993.49M11.11%963.37M15.62%938.65M11.68%896.76M
Deferred tax -24.98%-1.6B-13.41%-333.8M71.20%-96.21M-108.24%-748.25M-44.26%-419.47M-135.26%-1.28B-242.06%-294.33M-7.35%-334M-4.06%-359.33M-208.77%-290.77M
Other non cash items 5.37%4.2B1.57%1.26B39.44%1.19B-37.28%1.02B60.25%732.58M64.76%3.98B5,269.86%1.24B-70.74%851.41M136.37%1.62B88.33%457.13M
Change In working capital -146.26%-2.04B-132.27%-417.91M-130.37%-889M-120.09%-102.55M-98.00%-632.26M-5.89%4.41B256.95%1.29B213.53%2.93B-56.22%510.35M-195.82%-319.32M
-Change in receivables -204.09%-573.56M136.07%183.96M-14,576.39%-670.69M-1,832.21%-555.94M43.68%469.11M174.89%551.03M26.96%-510.02M101.53%4.63M-102.96%-28.77M195.00%326.51M
-Change in inventory 57.09%-388.8M-91.14%26.46M98.09%-13.84M-91.30%-398.17M98.80%-3.24M-169.52%-906.03M196.97%298.68M-558.85%-725.81M-135.09%-208.14M-131.49%-270.76M
-Change in prepaid assets -------------64.06%434.05M510.30%10.79M--------------1.21B---2.63M
-Change in payables and accrued expense 87.21%-298.28M163.00%524.31M-320.47%-591.85M206.07%136.99M29.25%-367.74M-304.27%-2.33B-146.37%-832.31M-70.91%268.45M85.95%-129.15M79.13%-519.78M
-Change in other current assets -----------148.87M--174.81M-312.94%-148.69M------------------69.83M
-Change in other current liabilities -104.41%-14.8M-200.70%-183.95M-107.97%-81.06M--104.85M-65.73%145.36M--335.43M--182.67M--1.02B------424.15M
-Change in other working capital -111.33%-766.27M-144.19%-1.09B-81.74%617.31M234.48%445.7M-112.86%-737.84M43.96%6.76B637.45%2.47B2,068.15%3.38B-163.89%-331.43M-115.02%-346.64M
Cash from discontinued investing activities
Operating cash flow -111.25%-973.18M-99.06%33.49M-88.67%392.5M-110.90%-245.58M-87.25%-1.15B18.62%8.65B114.50%3.55B-12.71%3.47B102.17%2.25B-211.19%-616.09M
Investing cash flow
Cash flow from continuing investing activities -446.86%-6.12B-165.10%-1.51B-40.69%-1.87B-22.83%-1.56B-41.73%-1.18B75.60%-1.12B230.99%2.32B-1.92%-1.33B-60.42%-1.27B0.46%-834.5M
Net PPE purchase and sale -8.04%-5.94B0.77%-2.04B-9.66%-1.44B0.87%-1.33B-43.70%-1.13B-24.64%-5.49B-31.78%-2.06B-9.88%-1.31B-46.11%-1.34B-6.56%-784.08M
Net business purchase and sale -107.65%-335.5M-101.73%-76.26M---23.6M---212.95M---22.69M3,723.35%4.39B1,658.62%4.42B--0--0--0
Net investment purchase and sale 201.24%211.88M2,661.86%623.2M-17,528.50%-395.94M-100.56%-558K57.02%-14.83M134.84%70.34M94.70%-24.33M98.06%-2.25M-30.00%99.41M-69.32%-34.5M
Net other investing changes 23.56%-63.84M41.92%-12.06M14.28%-16.05M38.92%-17.18M-16.58%-18.56M11.03%-83.52M-1,208.87%-20.76M-116.04%-18.72M-80.63%-28.12M80.63%-15.92M
Cash from discontinued investing activities
Investing cash flow -446.86%-6.12B-165.10%-1.51B-40.69%-1.87B-22.83%-1.56B-41.73%-1.18B75.60%-1.12B230.99%2.32B-11.76%-1.33B-60.42%-1.27B0.46%-834.5M
Financing cash flow
Cash flow from continuing financing activities -1,610.70%-1.78B37.30%-596.91M-129.01%-323.22M270.03%357.9M-546.98%-1.21B-107.84%-103.83M-210.05%-951.96M101.46%1.11B89.76%-210.49M-86.15%271.6M
Net issuance payments of debt -133.22%-967.53M-182.79%-343.4M-705.54%-6.9B596.31%7.44B-499.74%-1.16B-47.10%2.91B-80.79%414.78M85.51%1.14B39.43%1.07B-85.27%289.66M
Net common stock issuance --0--------------0---336.16M---9.09M----------0
Cash dividends paid 72.58%-695.23M80.55%-253.3M---1.43B--0--036.31%-2.54B-3.30%-1.3B--054.68%-1.23B---78K
Net other financing activities 21.83%-113.49M99.61%-213K2,100.61%7.07B-15,436.00%-7.12B-212.40%-56.15M28.10%-145.19M-66.39%-55.26M-473.50%-353.18M55.03%-45.85M-251.14%-17.98M
Cash from discontinued financing activities
Financing cash flow -1,610.70%-1.78B37.30%-596.91M-141.07%-323.22M270.03%357.9M-546.98%-1.21B-107.84%-103.83M-210.05%-951.96M42.31%787.02M89.76%-210.49M-86.15%271.6M
Net cash flow
Beginning cash position 45.27%23.31B-10.44%16.53B17.75%18.31B-51.00%7.28B-9.91%10.8B33.81%16.05B20.58%18.45B29.81%15.55B8.67%14.86B0.00%11.99B
Current changes in cash -219.47%-8.87B-142.17%-2.07B-161.64%-1.8B-287.99%-1.45B-201.14%-3.55B84.43%7.43B554.16%4.91B-12.31%2.92B144.47%771.12M-170.30%-1.18B
Effect of exchange rate changes 89.95%-16.38M37.96%-33.75M243.34%22.34M61.28%-32.57M411.31%27.6M-686.25%-162.96M-643.81%-54.4M-165.58%-15.59M-330.51%-84.11M-297.26%-8.87M
End cash Position -38.13%14.42B-38.13%14.42B-10.44%16.53B17.75%18.31B-32.61%7.28B45.27%23.31B45.27%23.31B20.58%18.45B29.81%15.55B-20.99%10.8B
Free cash flow -318.91%-6.91B-234.90%-2.01B-148.35%-1.04B-273.22%-1.58B-62.86%-2.28B9.42%3.16B1,519.25%1.49B-22.39%2.16B365.84%910.32M-670.49%-1.4B
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------
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