Petróleo Brasileiro S.A. - Petrobras Cash Flow Statement Analysis

Operating, investing, and financing activities in billions USD

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Cash flow statement showing operating, investing, and financing activities for Petróleo Brasileiro S.A. - Petrobras (PBR.A) - Annual data in billions USD
BreakdownFY 2024FY 2023FY 2022FY 2021FY 2020
Period EndingDec 2024Dec 2023Dec 2022Dec 2021Dec 2020
Operating Activities
Net Income36.61124.61188.33106.677.11
Depreciation & Amortization12.4869.3313.2254.3274.78
Deferred Income Tax3.5410.4016.777.250.00
Change in Working Capital-3.67-18.64-9.17-41.5913.28
Change in Accounts Receivable9.210.671.89-10.78-0.91
Change in Inventory-0.307.93-1.22-12.654.31
Change in Accounts Payable-2.00-4.74-2.805.672.18
Change in Other Working Capital3.97-22.50-2.81-27.05-8.80
Other Operating Activities3.9733.15-2.81109.8031.27
Net Cash from Operating Activities37.98215.7049.72203.13148.11
Investing Activities
Capital Expenditures-14.64-60.32-9.58-34.13-29.97
Acquisitions-0.02-0.02-0.03-0.020.00
Purchases of Investments-0.110.12-3.33-0.13-4.96
Sales/Maturities of Investments0.000.100.000.000.00
Other Investing Activities2.742.4737.6719.841.26
Net Cash from Investing Activities-13.37-39.50-0.4311.07-23.46
Financing Activities
Debt Repayment-14.43-10.48-14.76-27.240.00
Common Stock Repurchased-0.38-3.640.000.000.00
Dividends Paid-18.33-97.93-37.70-72.15-6.21
Other Financing Activities-0.16-10.17-0.02-12.84-16.73
Net Cash from Financing Activities-33.09-153.44-51.45-220.30-101.77
Summary
Effect of Forex Changes on Cash-0.980.17-0.32-0.400.00
Net Change in Cash-8.4719.89-2.17-2.4531.20
Cash at Beginning of Period12.738.0010.4811.730.00
Cash at End of Period3.2712.738.0010.480.00
Free Cash Flow23.34155.3840.14168.99118.13
Supplemental Disclosures
Interest Paid10.289.909.6612.1615.83
Income Taxes Paid36.4050.7159.1511.651.66