BSLI4

BSLI4 BRB - Banco de Brasília S.A.

Ação
R$ 3,93 -0,51%
Fonte: B3 Atualizado: 14/04/2026 09:40

Valores em R$ milhões. Fonte: CVM Dados Abertos

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202420232022202120202019201820172016201520142013201220112010
Receitas da Intermediação Financeira8.909,364.290,066.126,003.456,123.373,123.101,883.012,802.748,522.929,562.742,852.181,591.910,791.749,821.679,101.425,29
Despesas da Intermediação Financeira-5.135,61-2.273,18-4.266,73-994,97-807,84-808,63-794,88-1.147,53-1.596,36-1.493,65-808,07-544,22-483,98-800,04-448,28
Resultado Bruto da Intermediação Financeira3.773,742.016,881.860,272.461,152.565,282.293,252.217,921.600,991.333,201.249,201.373,511.366,561.265,85879,06977,00
Outras Receitas/Despesas Operacionais-3.363,74-1.781,85-1.966,01-2.778,49-1.947,96-1.713,04-1.649,25-1.257,96-1.137,34-1.101,17-1.050,88-1.047,71-983,13-697,23-616,59
Resultado Financeiro-98,98-45,50223,32-90,10-193,95-163,06-244,46-123,96-25,412,00-95,76-107,62-87,07-52,89-98,23
LAIR311,02189,54117,58-407,45423,38417,15324,21219,07170,44151,03226,88211,22195,64128,94262,18
IR/CSLL0,000,00-26,680,000,000,000,000,000,000,000,000,000,000,000,00
Lucro Liquido311,02189,5490,90-407,45423,38417,15324,21219,07170,44151,03226,88211,22195,64128,94262,18

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202420232022202120202019201820172016201520142013201220112010
Ativo Total62.504,4149.960,1141.360,8931.751,7625.496,0017.058,7515.308,8614.183,8313.667,3813.746,8512.814,8211.576,739.773,478.711,357.796,22
Ativo Circulante2.029,25201,20409,64657,052.973,13562,64894,021.342,28621,67680,07554,18506,89366,70504,1989,52
 Caixa179,07190,40266,630,002.973,13--------102,7989,52
 Contas a Receber---------------
 Estoques---------------
Ativo Não Circulante55.014,0945.547,3837.139,0527.850,5820.175,5314.020,5511.978,001.409,731.384,871.119,42867,481.019,261.336,441.581,942.550,21
 Imobilizado5.255,177.417,855.766,605.773,813.506,5413.911,4311.876,33--------
 Intangíveis47.806,8837.245,7830.758,5121.285,7815.882,58----------
Passivo Total58.968,8747.647,8339.090,2429.262,0923.381,8315.144,9213.708,6812.715,6512.254,2512.251,8811.435,1510.386,488.738,417.815,316.979,94
Passivo Circulante0,000,000,000,000,000,000,0010.973,200,000,000,000,000,006.731,556.062,21
Passivo Não Circulante53.912,8343.764,2435.538,7625.586,460,000,000,000,000,000,000,000,000,000,000,00
Patrimônio Líquido3.535,542.312,282.270,652.489,672.115,171.913,831.600,181.468,181.413,131.494,971.379,671.190,251.035,06896,04816,29

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202420232022202120202019201820172016201520142013201220112010
FCO (Operacional)1.476,68-4.422,76-1.014,30-1.655,812.774,18-110,40-353,94868,70-41,92139,80-356,62-1.119,18-1.070,28-489,27-911,51
FCI (Investimentos)-187,72-252,76-257,11-140,50-306,61-55,70-45,63-79,22-42,26-58,85-96,22-39,01-54,98-6,34-45,02
FCF (Financiamento)546,60113,801.033,20-519,77-57,07-165,28-48,70-68,8725,7844,93500,131.298,38645,38647,41714,53

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202420232022202120202019201820172016201520142013201220112010
Receitas2.762,272.596,281.769,382.216,462.111,081.992,072.537,702.452,382.576,662.339,572.207,721.893,851.644,401.444,571.400,15
Insumos de Terceiros0,000,000,00199,220,000,00-658,28-806,65-1.088,10-1.053,14-808,07-544,22-483,98-569,12-448,28
Valor Adicionado Bruto-448,11-396,71-313,24-206,95-217,50-185,35-186,81-199,46-181,53-206,92-206,53-193,33-160,07-128,87-124,85
Retencoes2.314,162.199,571.456,142.208,731.893,581.806,731.692,601.446,261.307,031.079,511.193,121.156,301.000,35746,58827,02
VA Liquido Produzido-185,94-214,96-156,17-131,56-110,20-83,31-62,93-50,11-43,02-30,54-30,00-24,66-18,85-18,54-34,34
VA Recebido em Transferencia2.128,221.984,621.299,972.077,171.783,381.723,421.629,671.396,151.264,011.048,961.162,121.131,64981,50728,04792,68
VA Total a Distribuir0,000,000,000,000,000,000,000,000,000,000,000,005,68-12,7415,14
Pessoal---------------
Impostos e Contribuicoes---------------
Juros e Alugueis---------------
Remuneracao de Capitais Proprios---------------