Petroleo Brasileiro S.A.- Petrobras Financial Ratios for Analysis 2009-2024 | PBR

Fifteen years of historical annual and quarterly financial ratios and margins for Petroleo Brasileiro S.A.- Petrobras (PBR).

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
0.961.001.251.040.971.481.891.801.511.631.491.701.781.891.38
0.390.390.420.520.510.520.560.580.630.510.420.350.300.250.34
0.790.770.841.261.171.151.341.531.911.130.770.590.480.370.61
52.7052.2148.5945.6240.2938.3432.2931.9230.6523.7923.0624.8631.7435.9540.73
37.1445.8844.7618.7526.9219.8421.015.29-1.16-5.1610.109.2518.7021.8925.15
37.1445.8844.7618.7526.9219.8421.015.29-1.16-5.1610.109.2518.7021.8925.15
50.1156.5058.6940.0646.2933.9135.9922.4510.753.9119.4216.9725.9228.7932.97
34.5643.0033.61-0.4215.6712.792.25-4.50-10.02-6.149.4810.0618.3122.6424.44
24.3029.4223.672.1313.258.47-0.10-5.94-8.68-5.137.847.6613.7916.6516.80
0.470.670.480.280.330.380.350.330.420.480.440.440.460.390.46
6.316.785.955.145.585.817.096.549.079.557.657.446.576.534.86
14.0019.7010.887.3310.4810.8811.9911.2011.7212.209.668.647.847.487.56
26.0618.5233.5349.8134.8233.5630.4432.6031.1429.9337.7842.2346.5448.8148.28
31.6552.6328.631.5810.518.980.21-5.61-13.04-6.417.266.7511.5811.0020.99
32.9254.9829.932.1114.259.340.21-5.86-13.68-6.678.108.9515.4814.9317.69
11.5119.6411.460.503.402.960.07-1.76-3.74-2.513.373.346.326.598.42
19.2232.1016.730.765.164.270.09-2.34-4.85-3.164.244.368.158.3011.65
12.1110.7110.709.1811.3811.2212.5011.8910.1317.9422.8624.82-28.5121.75
6.647.625.794.433.934.044.164.003.984.104.034.285.166.105.90
5.336.905.563.842.613.102.072.180.70-0.66-2.89-1.98-1.18-2.90-1.91

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-03-312020-09-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.901.080.960.950.901.221.001.171.311.531.251.201.241.081.210.971.101.311.151.481.601.701.861.892.022.041.711.801.751.581.361.511.611.591.521.631.701.921.911.491.962.121.711.701.961.851.921.781.812.012.011.891.761.161.271.381.471.051.06
0.410.380.390.390.380.350.390.400.360.350.420.420.530.600.630.510.510.530.570.520.530.540.540.560.560.570.560.580.580.570.590.630.610.550.540.510.460.440.450.420.400.400.350.350.330.320.300.300.280.260.260.250.230.340.330.340.320.260.27
0.880.750.790.790.750.670.770.780.680.630.840.861.261.791.971.171.101.271.431.151.191.231.231.341.361.441.401.531.521.441.691.911.741.341.311.130.950.850.870.770.730.730.580.590.540.530.480.480.440.390.410.370.380.650.620.610.540.430.46
49.9751.5754.0653.1150.6452.7248.3251.0256.0853.0044.0248.9951.0147.7642.3742.1738.9441.6335.0540.3137.1940.5135.9532.9429.5731.9034.7932.3633.1332.0029.8731.5528.8831.9730.1425.8923.1322.8723.5019.3721.3525.4126.0020.4824.5123.5430.6126.5231.5832.7436.5919.8540.1841.0744.6426.2444.5449.6744.98
28.5737.8029.5939.0636.8943.1536.8543.7256.3645.1242.9553.2938.0626.84-57.6028.173.8732.2219.104.2418.1830.9223.9238.5912.2410.8020.8816.71-15.6810.0811.58-34.14-5.1311.8317.49-38.00-5.5410.7510.063.537.0715.4114.15-0.7211.667.7617.8013.8619.1219.4722.6625.0818.4021.1522.8626.7920.4130.4023.37
28.5737.8029.5939.0636.8943.1536.8543.7256.3645.1242.9553.2938.0626.84-57.6028.173.8732.2219.104.2418.1830.9223.9238.5912.2410.8020.8816.71-15.6810.0811.58-34.14-5.1311.8317.49-38.00-5.5410.7510.063.537.0715.4114.15-0.7211.667.7617.8013.8619.1219.4722.6625.0818.4021.1522.8626.7920.4130.4023.37
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-1.5029.2530.4330.3236.7140.9637.4039.1247.1148.6033.0633.633.31-6.27-77.446.874.4542.257.915.0711.6618.5614.88-11.141.1110.0910.437.37-25.992.14-0.22-54.55-6.334.4710.16-39.51-6.089.569.304.756.3910.7915.7111.8611.15-2.2818.7112.2310.2724.6827.1926.5922.7119.3221.5023.6423.2328.7222.22
-1.4720.1223.0921.3525.3627.4227.3327.0431.7331.6523.4525.531.15-1.80-56.6710.8711.7926.005.693.007.4613.469.34-7.160.370.466.523.52-24.800.52-1.77-42.54-4.580.667.17-29.10-5.546.036.617.754.378.4210.6010.557.54-1.9813.937.749.9717.9320.2120.8915.3014.3315.6619.4214.4318.4914.47
0.120.110.120.120.110.140.160.180.180.130.140.130.090.080.090.170.000.070.080.080.100.090.090.090.090.090.090.090.090.080.070.100.100.090.100.110.110.100.100.110.100.110.110.110.110.110.110.110.130.110.100.100.100.140.140.130.140.140.14
1.601.411.621.521.391.591.781.621.601.251.851.631.101.301.642.770.001.211.441.221.461.341.661.861.961.761.721.711.701.561.542.042.011.631.822.162.081.681.692.021.771.891.701.951.841.781.611.761.821.571.422.201.471.611.361.691.371.191.43
3.263.613.714.074.044.604.785.885.493.903.123.774.072.023.075.370.002.892.652.362.572.823.183.182.943.023.102.942.742.482.172.672.942.692.742.842.922.562.192.432.062.212.212.142.042.022.021.952.171.971.902.011.922.282.142.112.321.841.95
27.6324.9224.2822.1322.2719.5918.8415.3016.4023.0728.8923.8822.1244.6129.3016.7531,48331.1533.9538.1034.9931.9328.2628.2930.5629.8429.0230.5732.8036.3441.4433.7430.6233.4232.8531.7330.8735.1641.1037.0243.7040.6740.8042.0744.0144.6544.4946.1941.4645.5847.4544.7646.7739.4542.0142.5938.7348.9946.27
-0.485.867.957.097.589.2811.8512.7014.019.378.138.620.36-0.58-22.082.620.006.021.350.392.003.512.63-2.030.240.111.861.07-6.610.30-0.13-13.73-1.940.291.66-8.43-1.561.421.561.751.011.792.342.331.64-0.572.871.682.494.474.583.673.805.185.346.185.377.595.48
-0.506.088.277.367.939.6512.3812.7014.619.758.509.020.47-0.84-33.163.560.006.221.400.402.073.602.70-2.090.250.121.941.12-6.900.31-0.14-14.40-2.020.311.73-8.77-1.641.571.731.961.312.343.083.092.15-0.753.792.251.843.483.494.972.854.294.525.214.506.184.22
-0.172.252.892.682.853.834.425.025.764.103.263.320.11-0.15-5.340.850.001.930.410.130.681.190.89-0.660.080.040.620.34-2.160.10-0.04-3.93-0.610.110.61-3.30-0.660.640.690.810.460.811.141.150.87-0.311.580.921.042.042.032.201.692.012.142.482.193.172.08
-0.283.654.834.314.695.997.237.668.976.104.754.980.17-0.23-8.111.290.002.850.580.180.931.611.21-0.900.110.050.820.45-2.780.13-0.05-5.11-0.760.130.76-4.16-0.840.790.861.020.601.071.521.511.09-0.382.001.181.332.592.572.772.182.833.013.433.044.563.09
10.3712.5812.1111.8611.8412.1710.7110.6112.0814.1410.7010.598.626.816.9311.3811.4012.3811.3711.2211.3411.4312.8112.5012.8012.1012.6111.8912.3813.1511.4810.1311.2315.2914.6117.9423.7625.2224.1022.8623.5923.5325.7124.8226.0225.7128.51-26.9031.5729.5128.5127.5122.5522.0721.7521.0318.4514.88
2.861.456.644.843.061.597.625.653.801.585.794.381.113.351.193.932.791.520.724.042.992.141.054.165.082.071.134.002.891.640.683.983.282.020.884.103.281.680.614.033.202.351.164.283.402.061.315.163.992.541.186.104.182.991.245.904.152.201.34
2.091.105.334.082.781.506.905.333.701.495.564.120.892.820.952.611.960.970.533.101.561.250.942.073.511.520.732.181.440.550.100.700.450.24-0.06-0.66-0.77-1.12-0.73-2.89-1.32-0.79-0.28-1.98-0.90-0.66-0.03-1.183.99-0.34-0.24-2.90-3.31-1.39-0.98-1.91-1.46-1.01-0.10