ADVFN Logo
Registration Strip Icon for discussion Register to chat with like-minded investors on our interactive forums.
Pratica Produtos S.A

Pratica Produtos S.A (PTCA3)

0.00
0.00
(0.00%)
Closed July 30 4:55PM

Income Statement

Balance Sheet

Cash Flow

Quarter End Mar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)
Total Assets 179.04M202.71M215.25M221.9M225.96M225.5M255.97M248.09M
Total Current Assets 116.09M138.97M152.93M157.96M157.29M156.38M187.11M179.13M
Cash and Equivalents 18.2M28.57M30.2M34.68M33.69M28.08M47.46M33.86M
Total Non-Current Assets 87.05M89.5M86.98M92.58M102.58M103.65M102.98M102.37M
Total Liabilities 113.45M134.11M139.72M144.4M143.32M138.88M159.31M170.46M
Total Current Liabilities 64.38M76.09M87.62M97.15M96.7M90.99M95.55M105.75M
Total Non-Current Liabilities 91.79M109.93M98.95M89.03M87.08M91.29M123.38M126.25M
Common Equity 29.07M29.07M29.07M29.07M29.07M29.07M29.07M29.07M
Retained Earnings 00000000
Year End December 30 2023 2017201820192020202120222023
BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)
Total Assets 93.04M108.92M125.66M138.88M176.65M221.9M248.09M
Total Current Assets 50.32M65.05M80.42M92.65M112.77M157.96M179.13M
Cash and Equivalents 1.8M1.02M1.93M1.54M21.36M34.68M33.86M
Total Non-Current Assets 45.6M41.18M47.08M48.94M63.88M77.51M77.63M
Total Liabilities 47.44M67.74M78.58M89.94M112.77M144.4M170.46M
Total Current Liabilities 36.59M37.46M46.65M54.12M74.15M97.15M105.75M
Total Non-Current Liabilities 19.75M58.57M63.36M70.14M70.59M89.03M126.25M
Total Equity 45.6M41.18M47.08M48.94M63.88M77.51M77.63M
Common Equity 29.07M29.07M29.07M29.07M29.07M29.07M29.07M
Retained Earnings -17k-451k00000

Your Recent History

Delayed Upgrade Clock