BRF S.A Financial Ratios for Analysis 2009-2024 | BRFS

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

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
1.341.191.241.481.111.311.291.491.651.831.571.551.391.731.78
0.530.620.720.710.660.700.570.560.480.360.340.330.250.270.31
1.281.992.882.542.322.941.751.551.100.740.690.650.570.530.67
16.4815.1221.0324.0024.1516.1220.6322.3131.3429.3424.8022.6325.9125.2622.85
1.57-0.266.237.738.22-0.742.135.2913.4611.906.384.797.756.530.57
1.57-0.266.237.738.22-0.742.135.2913.4611.906.384.797.756.530.57
7.585.3011.9113.8015.105.057.8610.0515.8516.1510.238.1811.2010.234.28
-3.70-5.21-0.073.432.64-8.11-4.02-0.947.958.583.972.875.924.422.10
-3.78-5.890.873.850.49-14.73-3.36-1.109.667.673.502.885.313.550.76
0.940.930.860.790.800.710.740.790.800.800.940.930.860.820.62
4.803.873.043.364.624.704.114.074.125.037.385.037.117.943.96
8.539.629.387.779.008.216.497.816.287.136.589.118.018.848.90
42.7837.9338.9246.9740.5644.4856.2046.7458.1551.1755.5040.0845.5541.2841.02
-11.95-26.145.8617.3013.46-28.07-9.38-3.0121.3111.526.625.4810.256.202.18
-19.67-57.3619.3342.4434.73-84.16-24.34-6.6233.4015.919.788.1314.889.012.86
-3.26-5.340.933.072.58-4.99-2.43-0.867.305.013.002.604.833.051.12
-5.61-9.821.665.064.59-8.41-4.05-1.3211.177.374.383.697.734.551.51
1.872.122.032.122.502.544.524.315.22------
0.580.350.901.060.790.100.250.651.502.451.781.450.792.110.27
0.27-0.170.270.650.46-0.29-0.31-0.180.911.780.970.360.021.44-0.09

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-09-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.451.451.371.341.291.101.191.191.281.301.351.241.201.301.511.481.321.261.191.111.251.151.211.311.201.081.081.291.521.621.541.491.411.381.631.83-1.831.781.651.681.571.611.601.591.551.531.511.411.391.581.721.871.731.942.002.051.781.981.721.81
0.510.550.520.530.540.660.650.620.620.610.610.720.740.700.730.710.750.750.740.660.710.680.690.700.650.610.530.570.590.630.580.560.530.510.500.47-0.360.350.330.320.340.330.330.310.330.310.310.240.250.260.260.270.270.290.310.310.310.320.440.48
1.111.331.241.281.502.482.261.991.911.801.782.883.152.682.872.543.543.533.382.322.842.792.962.942.392.341.791.751.852.041.681.551.471.321.241.05-0.740.700.680.650.690.660.670.610.650.640.680.560.570.570.530.520.530.540.590.600.670.681.171.39
27.1226.3224.1021.9617.9812.1712.7014.2418.4818.169.2422.8221.1819.1320.7225.0623.5821.7425.1825.7324.7725.0920.6125.9216.008.0818.7321.1022.1320.5118.5620.0522.1522.5325.0131.4130.7031.5632.0430.0024.3626.5024.1827.3423.2525.3321.6722.5422.6228.2527.2924.8052.7020.7527.8427.2421.8124.2919.1316.8018.60
13.0111.439.386.293.27-2.95-1.36-4.924.004.99-4.387.895.904.995.9310.487.486.456.206.5512.6111.162.157.38-1.06-9.563.54-0.136.361.280.782.195.406.167.9212.229.9334.623.06-1.0312.801.6110.03-2.288.508.691.151.47-2.203.891.768.15-87.4511.206.286.2717.429.048.3823.368.92
13.0111.439.386.293.27-2.95-1.36-4.924.004.99-4.387.895.904.995.9310.487.486.456.206.5512.6111.162.157.38-1.06-9.563.54-0.136.361.280.782.195.406.167.9212.229.9334.623.06-1.0312.801.6110.03-2.288.508.691.151.47-2.203.891.768.15-87.4511.206.286.2717.429.048.3823.368.92
-------------------------------------------------------------
9.688.805.344.91-1.60-11.97-7.89-7.66-0.85-1.54-10.812.91-2.05-1.540.246.843.094.36-0.580.769.573.73-3.94-1.08-6.78-19.20-2.70-7.132.38-7.30-4.41-4.930.510.290.625.377.5716.609.624.374.702.394.273.555.886.281.63-0.113.254.554.567.2716.127.285.462.720.860.394.144.73-4.09
6.606.623.775.03-2.80-11.13-7.85-7.80-0.87-2.10-13.066.72-2.28-1.710.239.962.183.34-0.516.663.473.87-13.60-43.58-9.11-19.37-1.52-9.221.49-2.08-3.60-5.190.210.360.4810.596.5912.328.553.874.292.543.792.764.986.911.270.092.411.705.807.9113.085.633.332.390.910.413.994.13-8.68
0.260.240.230.250.230.220.230.270.240.200.220.240.230.230.210.220.190.190.190.210.200.200.170.110.200.180.180.190.180.170.180.210.200.200.200.21-0.180.220.200.240.230.250.220.240.260.220.210.200.220.200.220.110.240.230.220.240.230.230.340.26
1.121.191.121.211.061.041.011.150.900.800.940.810.820.900.800.900.921.021.041.211.051.121.040.621.051.161.041.071.030.960.981.100.951.041.011.04-0.821.231.301.781.871.551.801.731.321.651.781.631.801.631.971.852.431.401.421.231.311.241.381.29
2.342.042.232.312.442.492.502.842.742.342.752.572.712.982.702.123.012.562.422.402.882.302.001.221.801.591.591.691.631.581.712.041.981.791.681.72-1.611.701.602.601.621.852.092.382.562.652.392.242.022.402.621.242.632.552.612.933.342.723.082.19
38.4444.1140.4338.9336.9236.0836.0731.7432.7938.5332.7235.0733.1630.2133.3942.4929.8635.1237.2237.5331.2739.2045.1173.8449.9656.6256.4853.1555.3657.0652.6944.0845.5750.2253.6652.20-55.9852.8456.3834.6655.6148.5943.1437.7835.1933.9937.6340.1944.4837.4934.3672.3734.2835.2934.5030.7526.9633.1429.1941.15
6.446.513.704.68-1.76-13.92-9.43-10.32-1.09-1.55-12.1711.07-3.53-2.360.2712.082.984.36-0.567.006.012.57-1.554.90-8.79-16.37-0.98-6.681.10-1.42-2.40-3.590.130.130.304.77-5.134.061.742.201.302.011.302.423.800.630.041.000.782.413.502.732.781.401.000.390.191.743.63-6.44
10.1010.606.037.70-3.03-38.52-23.08-22.63-2.24-3.13-22.4836.53-18.93-5.910.7429.6211.3319.58-2.7518.0618.777.66-4.9914.69-52.40-69.84-2.59-17.322.57-3.66-5.36-7.920.270.270.557.38-7.095.822.543.191.922.961.933.545.630.930.061.441.143.444.993.924.031.841.320.530.251.995.90-10.70
1.881.771.041.28-0.44-2.46-1.77-2.11-0.23-0.35-2.781.75-0.51-0.400.042.140.430.63-0.081.341.030.45-0.260.87-1.83-3.46-0.25-1.730.28-0.35-0.66-1.020.040.040.101.70-2.231.850.791.040.590.940.601.201.800.280.020.480.371.161.721.371.370.760.530.210.100.901.40-2.29
3.142.961.772.20-0.81-4.73-3.29-3.88-0.41-0.60-4.773.14-0.93-0.700.073.530.761.10-0.152.391.760.81-0.481.47-3.09-6.39-0.46-2.880.45-0.53-1.01-1.570.060.070.152.52-3.282.651.161.490.861.360.871.682.560.430.030.760.591.782.602.012.041.000.690.270.131.192.04-3.34
1.891.941.961.871.821.801.942.122.232.422.262.031.821.961.902.121.691.631.892.502.312.342.392.542.893.30-4.524.894.584.754.314.904.604.414.89-------------------------
0.870.480.230.580.290.250.110.350.11-0.18-0.320.900.700.280.341.061.180.820.790.790.680.190.000.100.040.110.070.25-0.13-0.17-0.420.650.39-0.01-0.041.260.002.461.691.100.461.771.150.700.311.450.900.650.410.800.000.000.042.100.580.390.010.32-0.200.05-0.01
0.710.370.180.270.090.050.00-0.17-0.27-0.54-0.450.270.240.010.220.650.900.660.700.460.470.570.05-0.29-0.30-0.14-0.09-0.31-0.59-0.50-0.60-0.18-0.28-0.45-0.220.84-1.791.270.850.380.970.770.430.070.360.180.100.110.02--0.26-0.141.430.290.14-0.05-0.11-0.44-0.12-0.09