US Stock MarketDetailed Quotes

Suzano (SUZ)

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  • 8.710
  • -0.160-1.80%
Close May 1 15:59 ET
  • 8.760
  • +0.050+0.57%
Post 20:01 ET
10.77BMarket Cap4.70P/E (TTM)

Suzano (SUZ) 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
-34.34%2.9B
-11.90%18.15B
-13.59%5.36B
-23.58%4.03B
-28.47%4.34B
44.65%4.42B
19.26%20.6B
37.14%6.2B
112.37%5.28B
1.64%6.07B
Net income from continuing operations
-32.08%4.31B
290.75%13.44B
101.72%116.17M
-39.41%1.96B
233.10%5.01B
2,785.12%6.35B
-149.94%-7.04B
-249.21%-6.74B
544.23%3.24B
-174.16%-3.77B
Operating gains losses
32.68%-5.95B
-156.03%-14.1B
-83.86%2.31B
-9.60%-2.19B
-151.67%-5.4B
-469.42%-8.83B
403.22%25.17B
630.15%14.33B
-170.88%-1.99B
301.00%10.45B
Depreciation and amortization
12.38%2.81B
22.48%11.3B
9.29%3.07B
25.45%2.89B
33.38%2.84B
26.00%2.5B
25.99%9.22B
57.16%2.81B
18.75%2.3B
15.33%2.13B
Deferred tax
-38.78%2.17B
186.86%6.46B
99.42%-27.61M
-23.21%898.02M
167.03%2.04B
530.54%3.54B
-312.62%-7.43B
-717.38%-4.73B
203.13%1.17B
-225.55%-3.05B
Other non cash items
-0.62%1.32B
25.11%4.26B
-98.42%7.76M
21.35%1.48B
135.31%1.44B
23.40%1.33B
59.19%3.4B
110.11%492.19M
13.16%1.22B
313.82%610.15M
Change In working capital
-107.90%-99.47M
25.14%1.3B
5.18%591.78M
-21.35%383.52M
-529.80%-936.94M
643.00%1.26B
-56.03%1.04B
20.61%562.64M
1,296.09%487.61M
-91.32%218M
-Change in receivables
-75.88%521.63M
229.75%1.17B
57.83%-369.18M
328.95%862.89M
-4,362.53%-1.48B
466.91%2.16B
-160.73%-904.2M
-82.66%-875.55M
-39.73%-376.89M
-101.49%-33.24M
-Change in inventory
71.05%-124.71M
74.95%-216.36M
196.63%514.58M
11.10%-328.58M
107.69%28.43M
-44.53%-430.78M
-1,674.39%-863.65M
-44.88%173.48M
-4,249.34%-369.62M
-66,228.90%-369.45M
-Change in payables and accrued expense
25.92%-455.6M
-89.41%299.36M
-93.66%75.33M
-110.29%-124.78M
35.89%963.8M
-116.70%-614.99M
226.44%2.83B
136.88%1.19B
168.80%1.21B
262.11%709.26M
-Change in other current assets
-87.12%23.6M
4,098.95%259.71M
1,642.54%388.32M
-295.93%-34.55M
-1,433.68%-277.26M
1,269.97%183.19M
-98.12%6.19M
-78.86%22.29M
245.90%17.64M
-114.33%-18.08M
-Change in other current liabilities
-55.35%-64.38M
-690.09%-218.9M
-131.58%-17.27M
121.16%8.55M
-139.33%-168.74M
-162.85%-41.44M
90.02%-27.71M
125.29%54.7M
102.70%3.87M
-62.63%-70.5M
Cash from discontinued investing activities
Operating cash flow
-34.34%2.9B
-11.90%18.15B
-13.59%5.36B
-23.58%4.03B
-28.47%4.34B
44.65%4.42B
18.99%20.6B
35.98%6.2B
112.37%5.28B
1.64%6.07B
Investing cash flow
Cash flow from continuing investing activities
-196.81%-3.22B
52.07%-9.83B
13.09%-5.03B
36.34%-3.27B
-36.81%-4.86B
155.06%3.32B
21.21%-20.51B
-134.07%-5.79B
54.09%-5.14B
-0.45%-3.55B
Capital expenditure reported
-14.79%-2.11B
-10.21%-7.91B
10.49%-1.63B
-39.03%-2.64B
1.17%-1.81B
-12.55%-1.84B
-24.27%-7.18B
-26.08%-1.82B
-32.47%-1.9B
-21.38%-1.83B
Net PPE purchase and sale
33.77%-787.04M
50.61%-4.46B
41.52%-1.15B
63.77%-770.39M
43.86%-1.35B
53.02%-1.19B
21.48%-9.02B
30.31%-1.96B
29.53%-2.13B
25.63%-2.41B
Net intangibles purchase and sale
65.50%-4.08M
49.09%-82.49M
-18.89%-22.92M
35.57%-37.5M
65.23%-10.24M
78.52%-11.84M
-54.43%-162.04M
80.57%-19.28M
-952.61%-58.2M
-16,264.44%-29.46M
Net business purchase and sale
----
0.85%-21.98M
--0
-259.69%-14.64M
12.75%-7.34M
--0
97.99%-22.17M
69.99%-4.02M
-23.21%9.17M
99.22%-8.41M
Net investment purchase and sale
-100.98%-62.15M
337.54%2.93B
-42.12%-2.15B
-75.34%289.71M
-334.28%-1.57B
506.54%6.37B
76.69%-1.23B
-175.89%-1.51B
117.78%1.17B
-83.43%671.29M
Net other investing changes
-3,575.36%-257.2M
89.62%-300.04M
83.81%-75.37M
95.54%-100.03M
-327.20%-117.64M
97.03%-7M
-25.36%-2.89B
-239.78%-465.66M
-1,458.23%-2.24B
102.94%51.78M
Cash from discontinued investing activities
Investing cash flow
-196.81%-3.22B
52.07%-9.83B
13.09%-5.03B
36.34%-3.27B
-36.81%-4.86B
155.06%3.32B
21.21%-20.51B
-134.07%-5.79B
54.09%-5.14B
-0.45%-3.55B
Financing cash flow
Cash flow from continuing financing activities
66.90%-2.18B
-2,072.30%-1.82B
-159.36%-1.43B
299.25%3.13B
761.93%3.09B
-411.75%-6.6B
-101.07%-83.77M
203.49%2.42B
-173.18%-1.57B
-92.69%358.19M
Net issuance payments of debt
83.38%-746.5M
-98.58%70.46M
-154.57%-1.59B
365.95%3.06B
107.56%3.1B
-3,834.35%-4.49B
-8.72%4.96B
1,655.20%2.92B
-61.05%655.72M
-64.72%1.49B
Net common stock issuance
--0
93.16%-191.92M
--0
--0
---153.25M
87.53%-38.66M
-218.62%-2.81B
--0
-1,461.85%-2.5B
--0
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Net other financing activities
-146.64%-58.09M
183.74%509.99M
180.62%159.87M
-73.96%70.84M
113.73%154.72M
-71.95%124.56M
-117.69%-609.05M
-116.89%-198.31M
-56.14%272.05M
-186.74%-1.13B
Cash from discontinued financing activities
Financing cash flow
66.90%-2.18B
-2,072.30%-1.82B
-159.36%-1.43B
299.25%3.13B
761.93%3.09B
-411.75%-6.6B
-101.07%-83.77M
203.49%2.42B
-173.18%-1.57B
-92.69%358.19M
Net cash flow
Beginning cash position
68.31%15.18B
8.06%9.02B
172.24%15.84B
69.51%12.28B
135.88%9.91B
8.06%9.02B
-12.20%8.35B
5.28%5.82B
-38.90%7.25B
-11.72%4.2B
Current changes in cash
-318.85%-2.5B
81,958.09%6.5B
-138.90%-1.1B
371.82%3.89B
-10.63%2.57B
126.76%1.14B
100.86%7.92M
-1.81%2.83B
78.21%-1.43B
-60.78%2.88B
Effect of exchange rate changes
-102.98%-502.14M
-150.96%-338.89M
20.88%443.35M
-17,002.34%-332.98M
-221.11%-201.87M
-290.89%-247.39M
378.11%665.03M
648.40%366.77M
-99.15%1.97M
170.71%166.69M
End cash Position
22.81%12.18B
68.31%15.18B
68.31%15.18B
172.24%15.84B
69.51%12.28B
135.88%9.91B
8.06%9.02B
8.06%9.02B
5.28%5.82B
-38.90%7.25B
Free cash flow
-107.60%-101.68M
36.99%5.58B
8.71%2.55B
-52.93%551.27M
-34.71%1.14B
212.55%1.34B
1,785.24%4.07B
1,305.07%2.35B
158.04%1.17B
50.83%1.74B
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 -34.34%2.9B-11.90%18.15B-13.59%5.36B-23.58%4.03B-28.47%4.34B44.65%4.42B19.26%20.6B37.14%6.2B112.37%5.28B1.64%6.07B
Net income from continuing operations -32.08%4.31B290.75%13.44B101.72%116.17M-39.41%1.96B233.10%5.01B2,785.12%6.35B-149.94%-7.04B-249.21%-6.74B544.23%3.24B-174.16%-3.77B
Operating gains losses 32.68%-5.95B-156.03%-14.1B-83.86%2.31B-9.60%-2.19B-151.67%-5.4B-469.42%-8.83B403.22%25.17B630.15%14.33B-170.88%-1.99B301.00%10.45B
Depreciation and amortization 12.38%2.81B22.48%11.3B9.29%3.07B25.45%2.89B33.38%2.84B26.00%2.5B25.99%9.22B57.16%2.81B18.75%2.3B15.33%2.13B
Deferred tax -38.78%2.17B186.86%6.46B99.42%-27.61M-23.21%898.02M167.03%2.04B530.54%3.54B-312.62%-7.43B-717.38%-4.73B203.13%1.17B-225.55%-3.05B
Other non cash items -0.62%1.32B25.11%4.26B-98.42%7.76M21.35%1.48B135.31%1.44B23.40%1.33B59.19%3.4B110.11%492.19M13.16%1.22B313.82%610.15M
Change In working capital -107.90%-99.47M25.14%1.3B5.18%591.78M-21.35%383.52M-529.80%-936.94M643.00%1.26B-56.03%1.04B20.61%562.64M1,296.09%487.61M-91.32%218M
-Change in receivables -75.88%521.63M229.75%1.17B57.83%-369.18M328.95%862.89M-4,362.53%-1.48B466.91%2.16B-160.73%-904.2M-82.66%-875.55M-39.73%-376.89M-101.49%-33.24M
-Change in inventory 71.05%-124.71M74.95%-216.36M196.63%514.58M11.10%-328.58M107.69%28.43M-44.53%-430.78M-1,674.39%-863.65M-44.88%173.48M-4,249.34%-369.62M-66,228.90%-369.45M
-Change in payables and accrued expense 25.92%-455.6M-89.41%299.36M-93.66%75.33M-110.29%-124.78M35.89%963.8M-116.70%-614.99M226.44%2.83B136.88%1.19B168.80%1.21B262.11%709.26M
-Change in other current assets -87.12%23.6M4,098.95%259.71M1,642.54%388.32M-295.93%-34.55M-1,433.68%-277.26M1,269.97%183.19M-98.12%6.19M-78.86%22.29M245.90%17.64M-114.33%-18.08M
-Change in other current liabilities -55.35%-64.38M-690.09%-218.9M-131.58%-17.27M121.16%8.55M-139.33%-168.74M-162.85%-41.44M90.02%-27.71M125.29%54.7M102.70%3.87M-62.63%-70.5M
Cash from discontinued investing activities
Operating cash flow -34.34%2.9B-11.90%18.15B-13.59%5.36B-23.58%4.03B-28.47%4.34B44.65%4.42B18.99%20.6B35.98%6.2B112.37%5.28B1.64%6.07B
Investing cash flow
Cash flow from continuing investing activities -196.81%-3.22B52.07%-9.83B13.09%-5.03B36.34%-3.27B-36.81%-4.86B155.06%3.32B21.21%-20.51B-134.07%-5.79B54.09%-5.14B-0.45%-3.55B
Capital expenditure reported -14.79%-2.11B-10.21%-7.91B10.49%-1.63B-39.03%-2.64B1.17%-1.81B-12.55%-1.84B-24.27%-7.18B-26.08%-1.82B-32.47%-1.9B-21.38%-1.83B
Net PPE purchase and sale 33.77%-787.04M50.61%-4.46B41.52%-1.15B63.77%-770.39M43.86%-1.35B53.02%-1.19B21.48%-9.02B30.31%-1.96B29.53%-2.13B25.63%-2.41B
Net intangibles purchase and sale 65.50%-4.08M49.09%-82.49M-18.89%-22.92M35.57%-37.5M65.23%-10.24M78.52%-11.84M-54.43%-162.04M80.57%-19.28M-952.61%-58.2M-16,264.44%-29.46M
Net business purchase and sale ----0.85%-21.98M--0-259.69%-14.64M12.75%-7.34M--097.99%-22.17M69.99%-4.02M-23.21%9.17M99.22%-8.41M
Net investment purchase and sale -100.98%-62.15M337.54%2.93B-42.12%-2.15B-75.34%289.71M-334.28%-1.57B506.54%6.37B76.69%-1.23B-175.89%-1.51B117.78%1.17B-83.43%671.29M
Net other investing changes -3,575.36%-257.2M89.62%-300.04M83.81%-75.37M95.54%-100.03M-327.20%-117.64M97.03%-7M-25.36%-2.89B-239.78%-465.66M-1,458.23%-2.24B102.94%51.78M
Cash from discontinued investing activities
Investing cash flow -196.81%-3.22B52.07%-9.83B13.09%-5.03B36.34%-3.27B-36.81%-4.86B155.06%3.32B21.21%-20.51B-134.07%-5.79B54.09%-5.14B-0.45%-3.55B
Financing cash flow
Cash flow from continuing financing activities 66.90%-2.18B-2,072.30%-1.82B-159.36%-1.43B299.25%3.13B761.93%3.09B-411.75%-6.6B-101.07%-83.77M203.49%2.42B-173.18%-1.57B-92.69%358.19M
Net issuance payments of debt 83.38%-746.5M-98.58%70.46M-154.57%-1.59B365.95%3.06B107.56%3.1B-3,834.35%-4.49B-8.72%4.96B1,655.20%2.92B-61.05%655.72M-64.72%1.49B
Net common stock issuance --093.16%-191.92M--0--0---153.25M87.53%-38.66M-218.62%-2.81B--0-1,461.85%-2.5B--0
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Net other financing activities -146.64%-58.09M183.74%509.99M180.62%159.87M-73.96%70.84M113.73%154.72M-71.95%124.56M-117.69%-609.05M-116.89%-198.31M-56.14%272.05M-186.74%-1.13B
Cash from discontinued financing activities
Financing cash flow 66.90%-2.18B-2,072.30%-1.82B-159.36%-1.43B299.25%3.13B761.93%3.09B-411.75%-6.6B-101.07%-83.77M203.49%2.42B-173.18%-1.57B-92.69%358.19M
Net cash flow
Beginning cash position 68.31%15.18B8.06%9.02B172.24%15.84B69.51%12.28B135.88%9.91B8.06%9.02B-12.20%8.35B5.28%5.82B-38.90%7.25B-11.72%4.2B
Current changes in cash -318.85%-2.5B81,958.09%6.5B-138.90%-1.1B371.82%3.89B-10.63%2.57B126.76%1.14B100.86%7.92M-1.81%2.83B78.21%-1.43B-60.78%2.88B
Effect of exchange rate changes -102.98%-502.14M-150.96%-338.89M20.88%443.35M-17,002.34%-332.98M-221.11%-201.87M-290.89%-247.39M378.11%665.03M648.40%366.77M-99.15%1.97M170.71%166.69M
End cash Position 22.81%12.18B68.31%15.18B68.31%15.18B172.24%15.84B69.51%12.28B135.88%9.91B8.06%9.02B8.06%9.02B5.28%5.82B-38.90%7.25B
Free cash flow -107.60%-101.68M36.99%5.58B8.71%2.55B-52.93%551.27M-34.71%1.14B212.55%1.34B1,785.24%4.07B1,305.07%2.35B158.04%1.17B50.83%1.74B
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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