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StoneCo (STNE)

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  • 12.220
  • +0.200+1.66%
Close Apr 24 16:00 ET
  • 12.312
  • +0.092+0.75%
Post 20:01 ET
2.97BMarket Cap7.23P/E (TTM)

StoneCo (STNE) 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
118.68%676.57M
336.10%710.15M
-695.29%-1.05B
154.13%387.6M
125.25%624.33M
-319.78%-3.62B
27.80%-300.79M
-307.26%-131.46M
-186.01%-716.07M
-311.66%-2.47B
Net income from continuing operations
255.21%2.34B
117.26%504.18M
31.75%715.25M
21.01%602.98M
38.32%516.75M
-194.17%-1.51B
-545.28%-2.92B
31.98%542.88M
62.20%498.3M
65.53%373.6M
Operating gains losses
-147.15%-266.77M
-90.77%24.2M
-122.50%-52.81M
-37,478.22%-160.46M
-212.05%-77.7M
456.73%565.78M
699.09%262.19M
1,666.32%234.67M
-101.22%-427K
237.24%69.35M
Depreciation and amortization
5.63%1B
-1.01%241.53M
-12.06%232.02M
20.81%270.89M
18.89%258.4M
8.11%949.39M
10.39%244M
18.33%263.83M
1.14%224.22M
2.28%217.34M
Deferred tax
-285.69%-148.48M
32.04%-40.4M
-266.25%-23.9M
-3,683.28%-71.99M
-366.91%-12.2M
-256.59%-38.5M
-447.37%-59.45M
133.44%14.37M
-95.08%2.01M
-87.84%4.57M
Other non cash items
905.30%1.16B
447.01%321.82M
3,073.17%390.84M
615.83%275.5M
3,049.05%167.5M
151.18%114.96M
379.31%58.83M
192.95%12.32M
186.84%38.49M
103.64%5.32M
Change In working capital
3.89%-10.46B
0.44%-2.38B
-81.55%-3.99B
-5.76%-2.36B
57.39%-1.73B
-245.69%-10.88B
-16.72%-2.39B
-71.66%-2.2B
-6,909.98%-2.23B
-2,048.46%-4.07B
-Change in receivables
18.21%-2.3B
37.85%-1.13B
-242.08%-2.4B
73.19%-79.35M
154.33%1.3B
-3,452.93%-2.81B
21.79%-1.81B
217.02%1.69B
-122.89%-295.91M
-193.89%-2.39B
-Change in prepaid assets
-121.33%-11.62M
174.75%24.93M
-143.99%-8.55M
-12.98%71.69M
-614.27%-99.69M
31.92%54.5M
-31.51%-33.36M
-3.13%19.44M
315.71%82.37M
-152.09%-13.96M
-Change in payables and accrued expense
0.33%-8.13B
-147.69%-1.27B
58.28%-1.67B
-14.91%-2.42B
-79.62%-2.77B
-147.61%-8.15B
-261.88%-513.59M
-4,326.53%-3.99B
-48.97%-2.1B
32.72%-1.54B
-Change in other current liabilities
-167.52%-20.25M
92.03%-2.17M
-9.16%80.62M
-24.45%63.9M
-40.07%-162.59M
55.52%29.99M
42.43%-27.24M
19.56%88.74M
25.67%84.57M
-54.93%-116.08M
Cash from discontinued investing activities
Operating cash flow
118.68%676.57M
336.10%710.15M
-695.29%-1.05B
154.13%387.6M
125.25%624.33M
-319.78%-3.62B
27.80%-300.79M
-307.26%-131.46M
-186.01%-716.07M
-311.66%-2.47B
Investing cash flow
Cash flow from continuing investing activities
-210.84%-1.76B
-120.37%-1.06B
32.24%-384.05M
-496.32%-398.63M
-97.06%79.31M
287.77%1.59B
71.90%-479.28M
-143.06%-566.81M
86.84%-66.85M
5,131.77%2.7B
Net PPE purchase and sale
7.71%-705.57M
21.62%-159.44M
9.14%-154.59M
-0.49%-211.31M
0.22%-180.22M
-3.84%-764.48M
-40.84%-203.43M
-207.71%-170.14M
-7.19%-210.29M
46.93%-180.62M
Net intangibles purchase and sale
4.79%-482.99M
-25.03%-148.84M
6.79%-119.2M
19.85%-107.66M
14.86%-107.3M
-7.01%-507.28M
15.51%-119.04M
-5.61%-127.89M
1.24%-134.32M
-65.69%-126.03M
Net business purchase and sale
99.61%-761K
92.57%-1.42M
197.11%10.03M
98.54%-2.09M
67.07%-7.28M
-414.79%-194.62M
-405.90%-19.13M
-606.02%-10.33M
-398.04%-143.05M
-476.04%-22.11M
Net investment purchase and sale
-118.68%-570.23M
-452.77%-746.48M
53.52%-120.22M
-118.63%-77.62M
-87.65%374.09M
658.99%3.05B
90.47%-135.04M
-117.31%-258.62M
383.06%416.64M
542.26%3.03B
Net other investing changes
-99.89%2K
99.92%-2K
-134.83%-62K
-98.83%49K
-58.54%17K
225.75%1.75M
-12,709.52%-2.65M
-34.07%178K
10,605.13%4.18M
-80.10%41K
Cash from discontinued investing activities
Investing cash flow
-210.84%-1.76B
-120.37%-1.06B
32.24%-384.05M
-496.32%-398.63M
-97.06%79.31M
287.77%1.59B
71.90%-479.28M
-143.06%-566.81M
86.84%-66.85M
5,131.77%2.7B
Financing cash flow
Cash flow from continuing financing activities
-81.54%930.58M
-120.33%-405.88M
2,927.54%1.65B
-108.30%-42.98M
-110.39%-268.59M
3,487.58%5.04B
226.19%2B
-152.53%-58.29M
3,254.67%517.69M
391.30%2.58B
Net issuance payments of debt
-3.13%2.79B
10.28%1.12B
353.58%1.38B
79.89%-26.4M
-87.58%315.43M
308.35%2.88B
490.80%1.01B
-114.88%-544.55M
-908.17%-131.3M
387.02%2.54B
Net common stock issuance
-88.18%-2.99B
-110.50%-1.28B
37.34%-465.23M
-68.21%-397.86M
---843.41M
-442.22%-1.59B
-107.81%-608.34M
---742.47M
---236.53M
--0
Net other financing activities
-69.89%1.13B
-115.36%-244.28M
-40.39%732.39M
-56.94%381.28M
482.68%259.4M
145.72%3.75B
36.56%1.59B
237.21%1.23B
108,885.50%885.51M
2,038.94%44.52M
Cash from discontinued financing activities
Financing cash flow
-81.54%930.58M
-120.33%-405.88M
2,927.54%1.65B
-108.30%-42.98M
-110.39%-268.59M
3,487.58%5.04B
226.19%2B
-152.53%-58.29M
3,254.67%517.69M
391.30%2.58B
Net cash flow
Beginning cash position
140.20%5.23B
44.46%5.8B
17.76%5.59B
13.27%5.65B
140.20%5.23B
43.89%2.18B
8.67%4.01B
115.34%4.74B
168.83%4.99B
43.89%2.18B
Current changes in cash
-105.07%-152.4M
-161.81%-751.91M
128.88%218.47M
79.63%-54.02M
-84.53%435.05M
360.11%3.01B
180.56%1.22B
-150.75%-756.55M
-178.04%-265.23M
745.12%2.81B
Effect of exchange rate changes
-151.43%-22.91M
426.55%6.85M
-125.52%-6.79M
-152.79%-10.63M
-14,253.49%-12.34M
330.96%44.54M
68.67%-2.1M
5,734.96%26.6M
176.83%20.13M
-100.84%-86K
End cash Position
-3.35%5.05B
-3.35%5.05B
44.46%5.8B
17.76%5.59B
13.27%5.65B
140.20%5.23B
140.20%5.23B
8.67%4.01B
115.34%4.74B
168.83%4.99B
Free cash flow
89.54%-511.99M
164.48%401.88M
-207.17%-1.32B
106.47%68.63M
112.12%336.82M
-1,218.66%-4.89B
11.21%-623.26M
-280.22%-429.5M
-312.00%-1.06B
-469.64%-2.78B
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
--
--
--
--
(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 118.68%676.57M336.10%710.15M-695.29%-1.05B154.13%387.6M125.25%624.33M-319.78%-3.62B27.80%-300.79M-307.26%-131.46M-186.01%-716.07M-311.66%-2.47B
Net income from continuing operations 255.21%2.34B117.26%504.18M31.75%715.25M21.01%602.98M38.32%516.75M-194.17%-1.51B-545.28%-2.92B31.98%542.88M62.20%498.3M65.53%373.6M
Operating gains losses -147.15%-266.77M-90.77%24.2M-122.50%-52.81M-37,478.22%-160.46M-212.05%-77.7M456.73%565.78M699.09%262.19M1,666.32%234.67M-101.22%-427K237.24%69.35M
Depreciation and amortization 5.63%1B-1.01%241.53M-12.06%232.02M20.81%270.89M18.89%258.4M8.11%949.39M10.39%244M18.33%263.83M1.14%224.22M2.28%217.34M
Deferred tax -285.69%-148.48M32.04%-40.4M-266.25%-23.9M-3,683.28%-71.99M-366.91%-12.2M-256.59%-38.5M-447.37%-59.45M133.44%14.37M-95.08%2.01M-87.84%4.57M
Other non cash items 905.30%1.16B447.01%321.82M3,073.17%390.84M615.83%275.5M3,049.05%167.5M151.18%114.96M379.31%58.83M192.95%12.32M186.84%38.49M103.64%5.32M
Change In working capital 3.89%-10.46B0.44%-2.38B-81.55%-3.99B-5.76%-2.36B57.39%-1.73B-245.69%-10.88B-16.72%-2.39B-71.66%-2.2B-6,909.98%-2.23B-2,048.46%-4.07B
-Change in receivables 18.21%-2.3B37.85%-1.13B-242.08%-2.4B73.19%-79.35M154.33%1.3B-3,452.93%-2.81B21.79%-1.81B217.02%1.69B-122.89%-295.91M-193.89%-2.39B
-Change in prepaid assets -121.33%-11.62M174.75%24.93M-143.99%-8.55M-12.98%71.69M-614.27%-99.69M31.92%54.5M-31.51%-33.36M-3.13%19.44M315.71%82.37M-152.09%-13.96M
-Change in payables and accrued expense 0.33%-8.13B-147.69%-1.27B58.28%-1.67B-14.91%-2.42B-79.62%-2.77B-147.61%-8.15B-261.88%-513.59M-4,326.53%-3.99B-48.97%-2.1B32.72%-1.54B
-Change in other current liabilities -167.52%-20.25M92.03%-2.17M-9.16%80.62M-24.45%63.9M-40.07%-162.59M55.52%29.99M42.43%-27.24M19.56%88.74M25.67%84.57M-54.93%-116.08M
Cash from discontinued investing activities
Operating cash flow 118.68%676.57M336.10%710.15M-695.29%-1.05B154.13%387.6M125.25%624.33M-319.78%-3.62B27.80%-300.79M-307.26%-131.46M-186.01%-716.07M-311.66%-2.47B
Investing cash flow
Cash flow from continuing investing activities -210.84%-1.76B-120.37%-1.06B32.24%-384.05M-496.32%-398.63M-97.06%79.31M287.77%1.59B71.90%-479.28M-143.06%-566.81M86.84%-66.85M5,131.77%2.7B
Net PPE purchase and sale 7.71%-705.57M21.62%-159.44M9.14%-154.59M-0.49%-211.31M0.22%-180.22M-3.84%-764.48M-40.84%-203.43M-207.71%-170.14M-7.19%-210.29M46.93%-180.62M
Net intangibles purchase and sale 4.79%-482.99M-25.03%-148.84M6.79%-119.2M19.85%-107.66M14.86%-107.3M-7.01%-507.28M15.51%-119.04M-5.61%-127.89M1.24%-134.32M-65.69%-126.03M
Net business purchase and sale 99.61%-761K92.57%-1.42M197.11%10.03M98.54%-2.09M67.07%-7.28M-414.79%-194.62M-405.90%-19.13M-606.02%-10.33M-398.04%-143.05M-476.04%-22.11M
Net investment purchase and sale -118.68%-570.23M-452.77%-746.48M53.52%-120.22M-118.63%-77.62M-87.65%374.09M658.99%3.05B90.47%-135.04M-117.31%-258.62M383.06%416.64M542.26%3.03B
Net other investing changes -99.89%2K99.92%-2K-134.83%-62K-98.83%49K-58.54%17K225.75%1.75M-12,709.52%-2.65M-34.07%178K10,605.13%4.18M-80.10%41K
Cash from discontinued investing activities
Investing cash flow -210.84%-1.76B-120.37%-1.06B32.24%-384.05M-496.32%-398.63M-97.06%79.31M287.77%1.59B71.90%-479.28M-143.06%-566.81M86.84%-66.85M5,131.77%2.7B
Financing cash flow
Cash flow from continuing financing activities -81.54%930.58M-120.33%-405.88M2,927.54%1.65B-108.30%-42.98M-110.39%-268.59M3,487.58%5.04B226.19%2B-152.53%-58.29M3,254.67%517.69M391.30%2.58B
Net issuance payments of debt -3.13%2.79B10.28%1.12B353.58%1.38B79.89%-26.4M-87.58%315.43M308.35%2.88B490.80%1.01B-114.88%-544.55M-908.17%-131.3M387.02%2.54B
Net common stock issuance -88.18%-2.99B-110.50%-1.28B37.34%-465.23M-68.21%-397.86M---843.41M-442.22%-1.59B-107.81%-608.34M---742.47M---236.53M--0
Net other financing activities -69.89%1.13B-115.36%-244.28M-40.39%732.39M-56.94%381.28M482.68%259.4M145.72%3.75B36.56%1.59B237.21%1.23B108,885.50%885.51M2,038.94%44.52M
Cash from discontinued financing activities
Financing cash flow -81.54%930.58M-120.33%-405.88M2,927.54%1.65B-108.30%-42.98M-110.39%-268.59M3,487.58%5.04B226.19%2B-152.53%-58.29M3,254.67%517.69M391.30%2.58B
Net cash flow
Beginning cash position 140.20%5.23B44.46%5.8B17.76%5.59B13.27%5.65B140.20%5.23B43.89%2.18B8.67%4.01B115.34%4.74B168.83%4.99B43.89%2.18B
Current changes in cash -105.07%-152.4M-161.81%-751.91M128.88%218.47M79.63%-54.02M-84.53%435.05M360.11%3.01B180.56%1.22B-150.75%-756.55M-178.04%-265.23M745.12%2.81B
Effect of exchange rate changes -151.43%-22.91M426.55%6.85M-125.52%-6.79M-152.79%-10.63M-14,253.49%-12.34M330.96%44.54M68.67%-2.1M5,734.96%26.6M176.83%20.13M-100.84%-86K
End cash Position -3.35%5.05B-3.35%5.05B44.46%5.8B17.76%5.59B13.27%5.65B140.20%5.23B140.20%5.23B8.67%4.01B115.34%4.74B168.83%4.99B
Free cash flow 89.54%-511.99M164.48%401.88M-207.17%-1.32B106.47%68.63M112.12%336.82M-1,218.66%-4.89B11.21%-623.26M-280.22%-429.5M-312.00%-1.06B-469.64%-2.78B
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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