Petróleo Brasileiro S.A. - Petrobras company logo
Petróleo Brasileiro S.A. - Petrobras logo

PBR.A Cash From Financing

Annual CFF

-$15.55B$15.83B+50.45%

Summary

Current Value
As of today, PBR.A annual cash from financing is -$15.55B, up +50.45% on
Historical Performance
PBR.A annual cash from financing is up +68.49% over the past 3 years, up +6.17% over the past 5 years
All-Time High Comparison
PBR.A annual cash from financing is currently -145.62% below its historical high of $34.09B set on
3-Year Low Comparison
PBR.A annual cash from financing is +68.49% above its 3-year low of -$49.34B reached on an earlier date
Sector Comparison
PBR.A annual cash from financing is higher than 2.49% of companies in Energy sector

Cash From Financing Chart

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Series
SUGGESTED SERIES

Performance

PBR.A Performance
MetricDateValue1Y3Y5Y15Y
Annual Cash From Financing-$15.55B+50.5%+68.5%+6.2%-145.6%
Quarterly Cash From Financing-$5.51B+45.6%+13.7%+20.1%-405.3%
TTM Cash From Financing-$15.63B+50.9%+68.5%+5.4%-145.9%
Price$17.90+39.5%+102.7%+106.2%-47.3%
Annual Cash From Operations$34.14B-5.4%-28.8%+31.9%+27.6%
Annual Cash From Investing-$15.53B-13.7%-1251.3%-218.2%+74.1%
Annual Dividends Paid$8.09B-56.5%-78.5%+572.2%+51.2%
Annual Total Debt$70.08B+15.9%+31.8%-7.3%+1.6%
Shares Outstanding6.72B+4.2%+3.0%+3.0%

Cash From Financing Highs

PBR.A Annual Cash From Financing Highs Comparison
PeriodHighDateCurrent
3Y-$15.55Bat high
5Y-$15.55Bat high
All$34.09B-145.6%

Cash From Financing Lows

PBR.A Annual Cash From Financing Lows Comparison
PeriodLowDateCurrent
3Y-$49.34BN/A+68.5%
5Y-$49.34B+68.5%
All-$49.34B+68.5%

Cash From Financing History

YearValueChange
-$15.55B+50.5%
-$31.38B-9.2%
-$28.73B+41.8%
-$49.34B-28.0%
-$38.55B-132.6%
-$16.57B+39.8%
-$27.53B-16.3%
-$23.68B-212.9%
-$7.57B+36.1%
-$11.84B-694.0%
$1.99B-88.3%
$17.10B-3.3%
$17.69B+65.1%
$10.71B+17.3%
$9.14B-73.2%
$34.09B+91.5%
$17.80B+480.8%
$3.07B+152.3%
YearValueChange
-$5.87B-91.8%
-$3.06B+30.8%
-$4.42B-59.8%
-$2.77B-273.8%
$1.59B+332.1%
-$685.78M+71.6%
-$2.42B+16.7%
-$2.90B-332.8%
-$670.05M-203.3%
$648.77M+336.4%
$148.66M-77.0%
$646.48M+251.9%
-$425.67M+1.8%
-$433.68M-113.0%
$3.33B+481.8%
-$873.19M-227.0%
$687.35M-

FAQ

  • What is the current annual cash from financing of PBR.A?

    As of today, PBR.A annual cash from financing is -$15.55B

  • What is 1-year change in PBR.A annual cash from financing?

    PBR.A annual cash from financing is up +50.45% year-over-year

  • What is 3-year change in PBR.A annual cash from financing?

    PBR.A annual cash from financing is up +68.49% over the past 3 years

  • How far is PBR.A annual cash from financing from its all-time high?

    PBR.A annual cash from financing is currently -145.62% below its historical high of $34.09B set on December 1, 2010

  • How does PBR.A annual cash from financing rank versus sector peers?

    PBR.A annual cash from financing is higher than 2.49% of companies in Energy sector

  • When is PBR.A next annual earnings release?

    As of today, the next annual earnings release for PBR.A has not been scheduled

Cash From Financing Formula

CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities

Data Sources & References

  1. PBR.A Official Website petrobras.com.br
  2. PBR.A Profile on Yahoo Finance finance.yahoo.com/quote/PBR-A
  3. PBR.A Profile on NASDAQ.com www.nasdaq.com/market-activity/stocks/pbr.a