Banco BTG Pactual S.A. (BPAC5.SA)

BRL 6.86

(-7.3%)

Annual Cash Flows

(In BRL)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -18.66 Billion 21.9 Billion -15.64 Billion 2.34 Billion -12.34 Billion 2.85 Billion
Net Income 9.92 Billion 7.84 Billion 6.34 Billion 3.97 Billion 3.75 Billion 2.36 Billion
Depreciation & Amortization 990.46 Million 833.66 Million 113.47 Million 60.71 Million 74.66 Million 56.68 Million
Deferred income taxes - - - - - -
Stock-based compensation - - - - - -
Change in working capital -33.19 Billion 7.64 Billion -23.75 Billion -1.78 Billion -16.46 Billion 304.9 Million
Other non-cash items 3.61 Billion 5.58 Billion 1.65 Billion 92.99 Million 291.73 Million 137.33 Million
Investing Cash Flow 435.01 Million -517.52 Million -3.76 Billion 226.71 Million 2.25 Billion -122.13 Million
Investments in PPE -534.17 Million -1.57 Billion -4.43 Billion -213.57 Million -20.89 Million -2.52 Million
Acquisitions 264.27 Million -459.21 Million -178.3 Million -91.15 Million 1.01 Billion -339.8 Million
Investment purchases - -161.41 Million -388 Thousand -4.9 Million - -
Sales/Maturities of investments - 1.57 Billion 4.43 Billion 213.57 Million 5.05 Million -
Other Investing Activities 704.91 Million 103.1 Million -3.58 Billion 322.77 Million 1.25 Billion 220.2 Million
Financing Cash Flow 14.65 Billion 7.68 Billion 22.43 Billion 20.31 Billion 4.48 Billion 720.66 Million
Debt repayment -17.48 Billion -10.64 Billion -15.74 Billion -1.38 Billion -3.11 Billion -1.86 Billion
Dividends payments -2.84 Billion -2.02 Billion -1.74 Billion -541 Million -624 Million -1.2 Billion
Common Stock Repurchased -301.17 Million -231.25 Million - -92.71 Million -37.24 Million -328.08 Million
Common Stock Issuance - - 5.79 Billion 2.65 Billion - 4.1 Billion
Other Financing Activities 17.79 Billion 9.93 Billion 16.64 Billion 38.19 Billion 7.64 Billion 6.26 Million
Accounts receivables 25.57 Billion - - - - -
Accounts payables - - - - - -
Inventory - - - - - -
Other working capital -33.19 Billion 7.64 Billion -23.75 Billion -1.78 Billion -16.46 Billion -10.99 Billion
Cash at beginning of period 76.55 Billion 47.43 Billion 44.4 Billion 21.51 Billion 26 Billion 23.2 Billion
Cash at end of period 72.87 Billion 76.55 Billion 47.43 Billion 44.4 Billion 20.4 Billion 26.65 Billion
Capital Expenditure -534.17 Million -1.57 Billion -4.43 Billion -213.57 Million -20.89 Million -2.52 Million
Effect of forex changes on cash -101.83 Million 55.67 Million - - - -
Net cash flow / Change in cash -3.67 Billion 29.12 Billion 3.02 Billion 22.88 Billion -5.6 Billion 3.45 Billion
Free Cash Flow -19.19 Billion 20.32 Billion -20.08 Billion 2.13 Billion -12.36 Billion 2.85 Billion

Cash Flow Charts