Braskem S.A Financial Ratios for Analysis 2009-2024 | BAK

Fifteen years of historical annual and quarterly financial ratios and margins for Braskem S.A (BAK).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.531.421.561.201.440.920.940.711.051.051.101.001.121.040.97
0.940.890.891.090.910.820.820.930.950.770.690.640.580.510.63
17.078.128.23-14.8110.566.706.4214.5021.593.582.422.021.521.222.06
4.2811.7730.3519.1512.3219.9526.5626.6921.9512.9812.579.3011.6316.0216.94
-3.964.4324.66-0.120.2914.2818.6912.4914.917.756.694.415.828.719.31
-3.964.4324.66-0.120.2914.2818.6912.4914.917.756.694.415.828.719.31
3.429.3328.616.797.2419.4324.6418.1219.3912.2211.719.8211.0115.0116.27
-8.770.0517.00-16.54-8.806.2210.69-0.299.642.562.35-5.16-2.647.4012.11
-6.49-0.3513.24-11.43-4.864.887.85-0.866.641.881.24-2.08-1.567.416.02
0.771.101.140.680.770.990.930.920.790.930.850.860.890.740.69
5.396.074.505.656.025.475.456.676.697.467.127.858.097.106.60
12.5417.5210.247.3811.4313.2610.8218.0510.989.0112.5415.2717.9913.4611.76
29.1120.8335.6549.4931.9427.5333.7320.2233.2640.5229.1123.9120.2927.1231.05
-149.13-13.43225181-66.9450.7271.39-43.9421712.325.87-11.82-4.7519.1119.33
-2,859.69-26.58420105-223.2798.4414269.47-187.0323.759.46-17.89-6.8227.1438.09
-5.33-0.9315.08-8.15-3.884.887.41-1.464.831.470.93-2.49-1.275.774.15
-8.66-1.5425.04-15.82-5.998.8913.16-3.1410.262.841.80-4.21-1.999.297.23
1.652.972.88-1.882.513.894.311.241.026.32-----
-1.144.356.873.071.446.361.946.036.234.072.893.304.263.872.65
-3.382.005.301.74-0.264.560.182.423.12-1.61-3.76-0.130.841.471.05

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.311.461.531.541.491.521.551.631.561.331.262171.201.481.461.291.440.770.790.930.920.900.870.940.940.860.820.780.711.261.231.131.051.081.030.941.051.181.131.151.101.020.880.971.000.980.971.051.121.141.141.131.041.201.231.020.971.171.091.05
1.020.960.940.920.880.870.860.800.890.790.841.031.091.121.101.230.910.820.770.790.820.810.850.760.820.740.230.260.930.840.820.870.950.940.830.860.770.770.390.720.690.660.670.640.640.650.640.570.580.560.490.500.510.560.600.650.630.590.640.73
-65.1824.1817.0712.857.477.306.154.348.234.426.74-40.06-14.81-9.80-12.03-6.7010.566.605.075.296.706.028.014.586.424.762.071.0214.505.605.187.4021.5917.815.146.903.583.470.812.712.422.222.402.042.021.991.921.461.521.411.111.171.221.461.672.132.061.752.123.30
7.296.766.093.412.585.0616.0519.1923.4029.3537.1431.9027.9022.3013.709.2910.1412.8412.4613.5712.8322.2323.8120.7427.4524.9624.3629.2726.1526.5827.3826.6823.8224.3323.8515.7412.2213.7511.8410.4413.7715.8512.2810.627.738.588.238.526.689.6314.7712.8713.7011.8617.7717.7612.9319.3116.4012.22
-0.82-0.23-5.79-3.72-9.242.556.5114.1012.6423.0334.3029.705.65-3.66-8.903.02-28.024.186.3215.477.4717.0717.6714.6916.1915.8819.4823.07-9.3618.9419.9420.3212.6218.7318.289.5014.1211.613.6026.34-1.6910.23-4.444.4129.1518.7416.34-9.1916.0213.628.4311.137.1630.3410.8210.974.8931.9014.477.91
-0.82-0.23-5.79-3.72-9.242.556.5114.1012.6423.0334.3029.705.65-3.66-8.903.02-28.024.186.3215.477.4717.0717.6714.6916.1915.8819.4823.07-9.3618.9419.9420.3212.6218.7318.289.5014.1211.613.6026.34-1.6910.23-4.444.4129.1518.7416.34-9.1916.0213.628.4311.137.1630.3410.8210.974.8931.9014.477.91
------------------------------------------------------------
-31.56-11.56-10.28-18.17-8.330.74-6.8418.773.6512.0737.9314.4415.58-15.11-30.56-46.55-35.83-11.03-0.579.07-0.2111.372.1410.950.598.1513.7720.02-23.419.554.098.203.4817.4112.973.720.852.781.483.911.985.36-1.483.59-1.82-1.62-16.312.84-3.40-17.227.915.7914.768.691.52-3.58-11.3316.9639.271.03
-19.58-7.51-8.90-14.50-4.340.95-5.5314.531.1312.5028.1010.997.29-8.84-22.13-28.90-23.52-6.640.637.92-1.168.223.978.091.106.579.1814.35-20.286.733.476.361.9511.959.462.47-0.211.711.142.910.133.68-1.342.442.52-1.10-9.541.85-1.95-10.075.024.135.045.960.69-2.75-24.5124.3231.340.32
0.200.190.180.180.200.220.280.310.290.300.300.000.210.190.130.160.180.200.210.210.240.270.240.250.230.230.220.240.230.230.230.210.180.220.220.190.240.250.230.310.210.230.200.220.260.270.260.190.250.260.240.220.220.290.200.200.220.230.180.14
1.311.261.271.291.331.341.251.271.271.391.310.011.531.541.311.461.411.481.411.381.451.421.291.551.351.591.521.611.671.831.721.731.501.921.691.831.741.971.881.861.901.841.941.801.822.171.831.942.072.251.931.952.122.011.641.932.161.531.501.22
3.093.853.012.803.233.012.702.712.622.082.130.012.243.211.902.892.622.442.642.823.232.773.052.962.722.893.264.184.484.063.893.412.532.582.701.992.273.423.784.073.122.463.743.774.623.735.003.065.113.764.404.133.984.382.642.593.694.133.162.30
29.1523.3629.9432.1627.9029.9533.3833.2434.3143.2442.288,00340.2628.0347.2531.1134.4036.8334.0631.9127.8832.4729.4730.3833.1531.1127.6421.5220.1022.1623.1426.4035.6234.8633.3145.1939.6026.3323.8022.1428.8836.5824.0823.8819.4624.1417.9929.3817.6323.9420.4621.8122.6020.5634.0834.7024.4121.7828.4639.16
404-58.70-51.15-58.43-12.213.39-18.3138.363.8631.59106-161.99-36.0420.8546.77142-70.49-15.900.7614.13-4.7522.4910.1615.691.1310.9119.9042.04-150.2518.625.7620.5111.5890.1422.855.83-0.412.761.455.040.174.81-1.472.54-1.74-1.44-11.461.36-1.85-9.563.792.983.656.190.52-2.67-24.7221.7424.510.27
92.65185-980.78-201.28-22.475.96-28.4852.857.2042.361730.01-20.8214.5030.7471.96-235.14-28.531.1922.77-9.2239.3623.3624.902.2617.9538.6610923851.9213.7792.40-10.00-124.3058.4631.11-0.784.452.207.690.287.47-2.333.79-2.63-2.20-17.491.93-2.65-13.675.214.165.1810.270.89-2.67-48.7321.7324.510.78
-4.02-1.49-1.83-2.78-0.940.27-1.594.540.263.738.600.011.62-1.55-2.95-5.26-4.08-1.510.091.65-0.462.370.852.180.121.442.093.66-4.991.540.531.310.262.482.010.38-0.050.420.260.910.030.86-0.270.53-0.37-0.30-2.460.35-0.49-2.611.190.921.101.740.14-0.54-5.305.545.510.04
-6.60-2.42-2.97-4.40-1.510.43-2.657.510.436.7416.395.023.14-2.49-4.62-32.98-6.31-2.930.172.97-0.834.381.563.740.212.8115.3931.09-10.743.041.022.640.555.153.990.79-0.090.640.881.420.051.65-0.480.92-0.62-0.51-4.150.58-0.77-4.201.931.481.772.720.21-0.94-9.258.868.920.07
-0.461.201.652.253.423.464.084.942.885.353.40-0.68-1.88-2.99-2.50-1.622.513.934.844.793.894.093.395.674.315.564.503.631.243.403.492.351.021.184.383.58------------------------
1.160.49-1.14-1.69-0.42-1.351.890.826.875.072.281.063.071.150.691.221.440.990.350.706.365.264.291.391.940.90-0.270.456.033.120.850.496.237.302.261.9710.802.440.960.234.581.602.04-0.053.372.741.732.044.153.871.830.233.783.091.811.682.672.101.32-0.11
0.280.05-3.38-3.37-1.45-1.910.970.495.304.111.721.061.740.250.010.70-0.26-0.32-0.220.394.564.163.481.080.18-0.30-0.860.242.421.57-0.210.003.123.600.761.25-4.27-2.29-2.11-1.04-5.96-2.67-0.14-1.31-0.140.24-0.060.860.821.580.53-0.241.431.710.961.141.051.280.93-0.34