Petróleo Brasileiro S.A. - Petrobras

Bilans


dane w mln

index 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25
Rok finansowy 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Aktywa (mln) 33 733.0 39 215.0 36 864.0 32 018.0 53 612.0 63 082.0 78 625.0 98 680.0 129 715.0 125 695.0 200 270.0 308 683.0 599 150.0 331 645.0 321 423.0 298 687.0 230 521.0 246 983.0 251 366.0 222 068.0 229 740.0 190 010.0 174 348.0 187 191.0 1 053 469.5644 181 645.0
Aktywa trwałe (mln) 25 566.0 26 689.0 22 538.0 21 821.0 35 712.0 43 656.0 52 847.0 67 725.0 100 575.0 98 937.0 157 626.0 244 820.0 477 986.0 273 851.0 268 768.0 247 855.0 187 093.0 202 214.0 204 235.0 185 006.0 201 928.0 162 622.0 144 199.0 155 941.0 896 007.4904 159 809.0
Rzeczowe aktywa trwałe netto 18 426.0 19 237.0 19 179.0 18 224.0 30 805.0 37 020.0 45 920.0 58 897.0 84 523.0 84 719.0 136 167.0 218 567.0 342 267.0 204 901.0 227 901.0 218 730.0 161 297.0 175 470.0 176 650.0 157 383.0 159 266.0 124 201.0 125 330.0 130 169.0 744 597.3568 136 285.0
Wartość firmy 0.0 0.0 0.0 0.0 0.0 0.0 237.0 243.0 313.0 118.0 139.0 192.0 504.0 461.0 400.0 366.0 284.0 220.0 218.0 203.0 63.0 24.0 22.0 24.0 121.33 20.0
Wartości niematerialne i prawne 0.0 0.0 0.0 0.0 183.0 211.0 0.0 0.0 0.0 0.0 0.0 0.0 82 284.0 39 278.0 15 019.0 4 143.0 2 808.0 3 052.0 2 122.0 2 602.0 19 410.0 14 924.0 3 003.0 2 962.0 14 642.1044 2 235.0
Wartość firmy i wartości niematerialne i prawne 0.0 0.0 0.0 0.0 183.0 211.0 237.0 243.0 313.0 118.0 139.0 192.0 82 284.0 39 739.0 15 419.0 4 509.0 3 092.0 3 272.0 2 340.0 2 805.0 19 473.0 14 948.0 3 025.0 2 986.0 14 763.4344 2 255.0
Należności netto 1 575.0 2 211.0 2 759.0 2 267.0 2 905.0 4 285.0 8 271.0 8 904.0 10 026.0 9 894.0 12 055.0 15 832.0 34 899.0 16 671.0 14 641.0 11 780.0 8 551.0 7 271.0 7 409.0 7 781.0 7 306.0 7 326.0 7 714.0 6 317.0 35 491.4516 5 532.0
Inwestycje długoterminowe 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 7 256.0 4 936.0 7 009.0 9 411.0 17 995.0 6 282.0 6 797.0 5 862.0 3 615.0 3 142.0 3 859.0 2 812.0 5 557.0 3 317.0 1 554.0 3 130.0 18 282.0044 1 241.0
Aktywa obrotowe 8 167.0 12 526.0 14 326.0 10 197.0 17 900.0 19 426.0 25 778.0 30 955.0 29 140.0 26 758.0 42 644.0 63 863.0 121 164.0 57 794.0 52 655.0 50 832.0 43 428.0 44 769.0 47 131.0 37 062.0 27 812.0 27 388.0 30 149.0 31 250.0 157 462.074 21 836.0
Środki pieniężne i Inwestycje 3 247.0 5 826.0 7 360.0 3 301.0 9 610.0 7 244.0 10 327.0 13 034.0 7 254.0 6 623.0 16 241.0 33 245.0 52 555.0 23 951.0 19 753.0 25 978.0 25 838.0 21 989.0 24 404.0 14 982.0 8 260.0 12 370.0 11 117.0 10 769.0 75 447.8472 7 534.0
Zapasy 2 270.0 3 087.0 2 399.0 2 540.0 2 947.0 4 904.0 5 305.0 6 573.0 9 231.0 7 990.0 11 227.0 11 834.0 28 447.0 14 552.0 14 225.0 11 466.0 7 441.0 8 475.0 8 489.0 8 987.0 8 189.0 5 677.0 7 255.0 8 779.0 37 277.4292 6 710.0
Inwestycje krótkoterminowe 232.0 0.0 0.0 0.0 0.0 388.0 456.0 346.0 267.0 124.0 72.0 15 612.0 16 808.0 10 431.0 3 885.0 9 323.0 780.0 784.0 1 885.0 1 083.0 888.0 659.0 650.0 2 773.0 13 681.1708 4 263.0
Środki pieniężne i inne aktywa pieniężne 3 015.0 5 826.0 7 360.0 3 301.0 9 610.0 6 856.0 9 871.0 12 688.0 6 987.0 6 499.0 16 169.0 17 633.0 35 747.0 13 520.0 15 868.0 16 655.0 25 058.0 21 205.0 22 519.0 13 899.0 7 372.0 11 711.0 10 467.0 7 996.0 61 766.6764 3 271.0
Należności krótkoterminowe 1 314.0 1 996.0 1 783.0 1 702.0 2 261.0 3 284.0 3 838.0 5 418.0 7 816.0 7 763.0 9 882.0 10 468.0 22 252.0 12 124.0 11 919.0 9 760.0 6 380.0 5 762.0 5 767.0 6 327.0 5 601.0 6 859.0 5 483.0 5 464.0 23 358.4516 6 082.0
Dług krótkoterminowy 6 179.0 4 881.0 3 019.0 1 986.0 3 694.0 3 325.0 5 030.0 5 812.0 2 958.0 4 181.0 8 780.0 9 065.0 18 966.0 7 497.0 8 017.0 11 884.0 14 695.0 9 773.0 7 026.0 3 690.0 10 206.0 9 884.0 9 073.0 9 133.0 55 918.5704 11 108.0
Zobowiązania krótkoterminowe 9 566.0 9 640.0 8 044.0 6 945.0 11 221.0 13 328.0 18 155.0 21 786.0 24 468.0 24 756.0 30 965.0 33 552.0 68 212.0 34 070.0 35 226.0 31 118.0 28 573.0 24 903.0 24 948.0 25 051.0 28 816.0 26 225.0 24 176.0 31 380.0 164 329.352 31 460.0
Rozliczenia międzyokresowe 0.0 0.0 104.0 120.0 181.0 204.0 221.0 255.0 276.0 11 032.0 9 432.0 6 033.0 19 456.0 12 090.0 11 788.0 7 173.0 5 427.0 6 772.0 9 256.0 3 767.0 7 790.0 7 194.0 6 878.0 0.0 67 794.3508 0.0
Zobowiązania długoterminowe 13 208.0 14 638.0 15 494.0 15 908.0 24 872.0 26 371.0 26 479.0 30 629.0 37 736.0 38 371.0 73 885.0 91 734.0 198 714.0 128 536.0 137 074.0 150 591.0 135 893.0 144 530.0 144 916.0 123 842.0 126 709.0 103 909.0 80 360.0 85 975.0 505 858.7424 90 835.0
Rezerwy z tytułu odroczonego podatku 874.0 1 722.0 717.0 123.0 1 122.0 1 558.0 2 159.0 2 916.0 4 802.0 7 080.0 9 844.0 12 704.0 33 268.0 19 213.0 9 906.0 3 031.0 232.0 263.0 1 196.0 654.0 1 760.0 195.0 1 229.0 6 750.0 52 948.412 nan
Zobowiązania z tytułu leasingu 0.0 1370.0 1930.0 1907.0 1242.0 1069.0 1015.0 824.0 738.0 595.0 430.0 222.0 142.0 104.0 89.0 72.0 51.0 244.0 229.0 185.0 23861.0 21650.0 23043.0 23845.0 164033.3068 37149.0
Zobowiązania ogółem 22 774.0 24 278.0 23 538.0 22 853.0 36 093.0 39 699.0 44 634.0 52 415.0 62 204.0 63 127.0 104 850.0 125 286.0 266 926.0 162 606.0 172 300.0 181 709.0 164 466.0 169 433.0 169 864.0 148 893.0 155 525.0 130 134.0 104 536.0 117 355.0 670 188.0944 122 295.0
Kapitał własny 10 959.0 14 937.0 13 326.0 9 165.0 17 519.0 23 383.0 33 991.0 46 265.0 67 511.0 62 568.0 95 420.0 183 397.0 332 224.0 169 039.0 149 123.0 116 978.0 66 055.0 77 550.0 81 502.0 73 175.0 74 215.0 59 876.0 69 812.0 69 836.0 383 281.47 59 350.0
Udziały mniejszościowe 237.0 232.0 79.0 (136.0) 367.0 877.0 1 074.0 1 966.0 2 332.0 659.0 1 362.0 1 903.0 2 385.0 1 152.0 596.0 706.0 819.0 771.0 1 700.0 1 631.0 892.0 528.0 405.0 344.0 1 902.4544 244.0
Pasywa 33 733.0 39 215.0 36 864.0 32 018.0 53 612.0 63 082.0 78 625.0 98 680.0 129 715.0 125 695.0 200 270.0 308 683.0 599 150.0 331 645.0 321 423.0 298 687.0 230 521.0 246 983.0 251 366.0 222 068.0 229 740.0 190 010.0 174 348.0 187 191.0 1 053 469.5644 nan
Inwestycje 232.0 0.0 0.0 0.0 0.0 388.0 456.0 346.0 7 523.0 5 060.0 7 081.0 25 023.0 18 555.0 16 713.0 10 682.0 15 185.0 4 395.0 3 926.0 5 744.0 3 895.0 6 445.0 3 976.0 2 204.0 5 903.0 31 963.1752 5 504.0
Dług (mln) 12 057.0 13 140.0 14 010.0 14 680.0 21 890.0 20 938.0 21 177.0 21 338.0 15 617.0 20 556.0 57 132.0 69 653.0 155 554.0 96 067.0 114 325.0 132 158.0 126 216.0 118 370.0 109 275.0 84 360.0 87 121.0 75 538.0 58 743.0 53 799.0 303 810.32 60 311.0
Środki pieniężne i inne aktywa pieniężne 3 015.0 5 826.0 7 360.0 3 301.0 9 610.0 6 856.0 9 871.0 12 688.0 6 987.0 6 499.0 16 169.0 17 633.0 35 747.0 13 520.0 15 868.0 16 655.0 25 058.0 21 205.0 22 519.0 13 899.0 7 372.0 11 711.0 10 467.0 7 996.0 61 766.6764 3 271.0
Dług netto 9 042.0 7 314.0 6 650.0 11 379.0 12 280.0 14 082.0 11 306.0 8 650.0 8 630.0 14 057.0 40 963.0 52 020.0 119 807.0 82 547.0 98 457.0 115 503.0 101 158.0 97 165.0 86 756.0 70 461.0 79 749.0 63 827.0 48 276.0 45 803.0 242 043.6436 57 040.0
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