BRF SA
NYSE:BRFS

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BRF SA
NYSE:BRFS
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Price: 3.38 USD -11.52% Market Closed
Market Cap: $5.7B

Balance Sheet

Balance Sheet Decomposition
BRF SA

Balance Sheet
BRF SA

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Balance Sheet
Currency: BRL
Dec-2001 Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024
Assets
Cash & Cash Equivalents
12
51
11
12
779
337
1 108
1 233
1 899
2 310
1 367
1 930
3 128
6 007
5 363
6 357
6 011
4 870
4 238
7 577
7 529
8 131
9 265
11 165
Cash
0
0
0
0
0
0
0
0
94
157
130
255
1 028
1 839
1 618
1 730
1 670
723
2 290
2 439
2 194
1 865
1 607
1 378
Cash Equivalents
12
51
11
12
779
337
1 108
1 233
1 805
2 153
1 237
1 675
2 100
4 168
3 745
4 627
4 341
4 147
1 948
5 138
5 335
6 266
7 657
9 787
Short-Term Investments
391
853
638
261
39
784
666
743
2 346
864
1 373
622
460
587
735
622
228
507
418
314
347
418
448
894
Total Receivables
320
306
261
346
650
870
997
2 003
2 566
3 303
4 173
4 215
4 879
4 324
5 512
4 522
5 295
3 794
3 717
5 079
5 155
5 618
6 349
8 322
Accounts Receivables
256
198
153
245
556
702
804
1 378
1 787
2 565
3 208
3 131
3 338
3 057
3 890
3 101
3 933
2 615
3 041
4 106
4 054
4 213
4 795
6 114
Other Receivables
64
108
108
101
94
168
193
625
779
738
965
1 084
1 541
1 267
1 623
1 420
1 363
1 179
676
973
1 102
1 405
1 554
2 208
Inventory
319
594
681
581
646
737
865
1 689
3 101
3 036
3 835
4 390
4 317
4 072
5 363
6 437
6 459
5 390
5 491
8 932
12 555
11 812
9 331
9 573
Other Current Assets
1
58
76
70
75
118
133
317
535
339
376
433
459
2 498
2 208
956
1 192
4 470
1 182
1 010
658
525
561
876
Total Current Assets
1 043
1 862
1 667
1 269
2 189
2 845
3 768
5 985
10 446
9 852
11 124
11 590
13 243
17 488
19 180
18 894
19 186
19 031
15 045
22 912
26 243
26 504
25 954
30 830
PP&E Net
904
934
915
918
1 117
1 582
2 137
2 918
9 275
9 445
10 186
11 099
11 391
10 743
11 677
12 664
13 094
11 758
13 358
13 437
14 455
15 940
16 467
16 855
PP&E Gross
904
934
915
918
1 117
1 582
2 137
2 918
9 275
9 445
0
0
11 391
10 743
11 677
12 664
13 094
11 758
13 358
13 437
14 455
15 940
16 467
16 855
Accumulated Depreciation
255
315
388
463
532
712
878
1 617
3 511
3 343
0
0
4 355
4 518
4 955
5 613
6 342
6 304
7 356
8 357
9 412
10 754
11 059
12 088
Intangible Assets
0
0
0
0
0
0
0
0
77
1 414
1 412
1 668
1 656
1 803
2 233
2 329
3 005
2 324
2 194
2 285
2 725
2 961
2 750
2 902
Goodwill
0
0
0
0
0
0
0
1 546
3 021
2 833
2 974
3 083
3 102
2 525
2 778
4 344
4 192
2 695
2 714
2 936
3 425
3 474
3 391
3 771
Note Receivable
23
28
55
67
57
82
89
214
760
867
894
1 590
1 359
1 434
1 278
1 745
2 561
3 247
5 510
4 973
5 021
5 188
5 008
4 576
Long-Term Investments
329
48
6
134
107
100
198
7
742
395
174
111
164
501
642
586
637
377
322
353
455
507
418
453
Other Long-Term Assets
126
135
137
136
163
220
351
549
1 393
2 945
3 220
1 630
1 461
1 609
2 601
2 384
2 553
2 950
2 557
2 769
3 579
3 280
3 284
3 287
Other Assets
0
0
0
0
0
0
0
1 546
3 021
2 833
2 974
3 083
3 102
2 525
2 778
4 344
4 192
2 695
2 714
2 936
3 425
3 474
3 391
3 771
Total Assets
2 424
N/A
3 007
+24%
2 779
-8%
2 525
-9%
3 632
+44%
4 829
+33%
6 543
+35%
11 220
+71%
25 714
+129%
27 752
+8%
29 983
+8%
30 772
+3%
32 375
+5%
36 104
+12%
40 388
+12%
42 945
+6%
45 228
+5%
42 382
-6%
41 701
-2%
49 665
+19%
55 903
+13%
57 854
+3%
57 272
-1%
62 675
+9%
Liabilities
Accounts Payable
151
279
323
327
333
487
576
1 083
1 905
2 059
2 681
3 381
3 675
3 977
5 920
5 840
6 445
5 552
5 784
8 996
11 702
12 736
12 592
13 558
Accrued Liabilities
62
50
73
62
57
37
62
52
196
197
326
190
900
1 143
1 114
948
1 149
1 042
1 320
1 402
1 273
1 147
1 416
2 286
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
697
1 262
812
508
549
547
1 052
1 646
2 914
2 228
3 452
2 441
2 697
3 247
2 628
3 245
5 031
5 679
3 509
1 443
3 675
4 557
3 396
2 245
Other Current Liabilities
104
77
112
140
192
181
251
299
861
1 202
1 528
1 452
1 165
1 202
1 959
2 608
2 249
2 215
2 711
3 599
4 575
3 859
1 986
2 731
Total Current Liabilities
1 014
1 667
1 320
1 037
1 130
1 252
1 941
3 081
5 877
5 686
7 988
7 464
8 436
9 569
11 621
12 640
14 874
14 489
13 324
15 440
21 225
22 298
19 390
20 821
Long-Term Debt
599
529
582
375
1 125
1 287
1 214
3 720
5 884
4 975
4 601
7 078
7 485
8 850
12 551
15 717
15 413
17 618
15 488
23 498
24 260
22 005
20 421
22 488
Deferred Income Tax
8
8
2
2
19
25
30
69
257
1 636
1 792
28
21
90
188
156
155
66
85
27
24
111
60
2
Minority Interest
0
0
0
0
0
39
0
1
5
8
40
38
41
99
319
379
513
567
253
228
363
553
720
1 414
Other Liabilities
130
128
111
141
135
122
132
239
556
1 818
1 493
1 627
1 737
1 904
2 192
2 212
3 073
2 678
4 655
1 887
1 569
1 617
1 757
2 865
Total Liabilities
1 751
N/A
2 332
+33%
2 016
-14%
1 555
-23%
2 409
+55%
2 725
+13%
3 317
+22%
7 109
+114%
12 580
+77%
14 123
+12%
15 913
+13%
16 234
+2%
17 719
+9%
20 513
+16%
26 871
+31%
31 105
+16%
34 028
+9%
35 418
+4%
33 805
-5%
41 079
+22%
47 441
+15%
46 584
-2%
42 349
-9%
47 589
+12%
Equity
Common Stock
415
490
490
490
800
1 600
2 500
3 445
12 462
12 460
12 460
12 460
12 460
12 460
12 460
12 460
12 460
12 460
12 460
12 553
12 553
13 053
13 653
13 653
Retained Earnings
257
186
273
480
423
505
727
705
725
1 071
1 786
2 314
2 538
3 991
6 190
1 539
323
4 057
3 742
2 338
1 784
171
2 967
4 974
Additional Paid In Capital
0
0
0
0
0
0
0
0
0
63
63
63
63
63
174
166
166
166
166
73
93
218
304
304
Unrealized Security Profit/Loss
0
0
0
0
0
0
0
0
0
0
0
0
5
17
8
26
56
98
4
7
0
0
0
47
Treasury Stock
0
0
0
0
0
0
1
1
28
1
65
52
77
305
3 948
722
71
57
38
124
127
110
96
1 346
Other Equity
0
0
0
0
0
0
0
38
24
35
174
247
323
602
1 351
1 578
1 621
1 450
956
1 586
2 086
1 627
1 296
1 846
Total Equity
673
N/A
676
+0%
763
+13%
970
+27%
1 223
+26%
2 105
+72%
3 226
+53%
4 111
+27%
13 135
+220%
13 629
+4%
14 070
+3%
14 539
+3%
14 655
+1%
15 590
+6%
13 517
-13%
11 840
-12%
11 200
-5%
6 965
-38%
7 896
+13%
8 586
+9%
8 463
-1%
11 270
+33%
14 923
+32%
15 086
+1%
Total Liabilities & Equity
2 424
N/A
3 007
+24%
2 779
-8%
2 525
-9%
3 632
+44%
4 829
+33%
6 543
+35%
11 220
+71%
25 714
+129%
27 752
+8%
29 983
+8%
30 772
+3%
32 375
+5%
36 104
+12%
40 388
+12%
42 945
+6%
45 228
+5%
42 382
-6%
41 701
-2%
49 665
+19%
55 903
+13%
57 854
+3%
57 272
-1%
62 675
+9%
Shares Outstanding
Common Shares Outstanding
180
180
180
180
180
331
371
413
870
872
869
870
871
867
810
799
811
811
812
808
807
1 078
1 679
1 621
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