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Petroleo Brasileiro SA Petrobras

US · PBR #150 by market cap Listed 1970
23.99 +0.19 +0.80%
Live - 5344 symbols - heartbeat 24s ago · 2026-10-08 09:19
Pre-market 24.37 +1.59%
After-hours 24.03 +0.15%
Overnight 24.30 +1.29%
Market cap
154.60B
P/B
1.66
EPS
3.04
Reader sentiment Are you bullish or bearish on PBR?

Anonymous reader poll. Unscientific, not investment advice.

Revenue annual, last 8 years

Latest year -2.43% YoY

Margins

Gross margin
47.60%
Operating margin
31.12%
Net margin
22.01%

Key ratios & quality

Income statement

Line item 2018 2019 2020 2021 2022 2023 2024 2025
Revenue 84.64B76.59B53.68B83.97B124.47B102.41B91.42B89.20B
Gross profit 32.45B30.86B24.49B40.80B64.99B53.97B45.97B42.46B
Selling & admin expenses 8.18B7.26B4.52B6.78B7.00B8.06B9.03B8.87B
Research & development 641.00M576.00M355.00M563.00M792.00M726.00M789.00M864.00M
Operating profit 22.77B20.92B20.13B31.00B53.27B39.47B25.69B27.76B
Pretax profit 10.83B12.00B-226.00M28.23B53.53B35.40B11.14B26.80B
Tax 4.26B4.20B-1.17B8.24B16.77B10.40B3.54B7.08B
Net profit 7.41B10.36B948.00M19.99B36.76B25.00B7.61B19.72B
Basic EPS 12036413
Diluted EPS 1.101.560.183.045.623.821.163.04

Balance sheet

Line item 2018 2019 2020 2021 2022 2023 2024 2025
Total current assets 37.06B27.81B27.39B30.15B31.25B32.45B21.84B25.45B
Cash & ST investments 14.98B8.26B12.37B11.12B10.77B15.55B7.53B9.20B
Inventory 8.99B8.19B5.68B7.26B8.78B7.68B6.71B8.21B
Total assets 222.07B229.74B190.01B174.35B187.19B217.07B181.65B222.34B
Total current liabilities 25.05B28.82B26.23B24.18B31.38B33.86B31.46B36.05B
Short-term debt 3.69B10.21B9.88B9.07B9.13B11.52B11.11B12.22B
Long-term debt 80.51B58.79B49.70B32.06B26.38B24.48B20.60B24.26B
Total liabilities 148,893,000,000.00155,525,000,000.00130,134,000,000.00104,536,000,000.00117,355,000,000.00138,092,000,000.00122,295,000,000.00146,446,000,000.00
Total equity 73.18B74.22B59.88B69.81B69.84B78.98B59.35B75.89B
Retained earnings ----------------

Cash flow

Line item 2018 2019 2020 2021 2022 2023 2024 2025
Operating cash flow 26.35B25.60B28.89B37.79B49.72B43.21B37.98B36.05B
Depreciation & amortization 11.91B14.84B11.45B11.70B13.22B13.28B12.48B15.15B
Free cash flow 14.45B1.70B23.02B31.47B40.14B31.10B23.34B16.53B
Dividends paid -625.00M-1.88B-1.37B-13.08B-37.70B-19.67B-18.33B-8.11B
Stock buybacks / issuance ------00-735.00M-380.00M--
Ending cash balance 13.90B7.38B11.73B10.48B8.00B12.73B3.27B6.47B

Returns & efficiency

Line item 2018 2019 2020 2021 2022 2023 2024 2025
ROE % 9.4814.011.7230.8752.7333.6110.9329.16
ROA % 3.034.490.5410.9120.2612.313.789.72
ROIC % 5.459.163.3217.8030.5720.757.7916.88
5-year avg ROE % -2.471.453.6611.1921.7626.5925.9731.46
EBIT margin % 17.0624.4010.3339.5445.6638.1016.3934.63
FCF / sales % 14.992.2242.8737.4732.2430.3725.5318.53
Current ratio 1.480.971.041.251.000.960.690.71
Quick ratio 0.910.540.750.780.540.680.420.44
Debt / assets 37.9937.9239.7533.6928.7428.8433.2031.39
LT debt / equity 112.76104.90110.6371.5664.2865.0083.2576.19
Interest coverage 3.882.800.966.6717.1710.783.907.54
Revenue CAGR (3Y) % -4.55-2.01-11.67-0.2717.5724.022.87-10.51
Net income CAGR (3Y) % ------40.4553.37179.39-27.65-18.76
FCF CAGR (3Y) % 49.38-47.8819.2729.62186.7110.55-9.48-25.60

✦ Quant Revenue Concentration how this is computed

Single-engine
  • Refining, Transportation & Marketing (RT&M) is the largest reported line at 96.26% of revenue, across 5 reported segments.
  • The next-largest line, Exploration and Production (E&P), is a distant second at 67.80% - a sharp slowdown here would have little to offset it.

Revenue breakdown most recent period

Business

Refining, Transportation & Marketing (RT&M)96.26%
Exploration and Production (E&P)67.80%
Gas and Low Carbon Energies (G&LCE)7.16%
Corporate and other businesses0.29%

Quote time 2026-10-08 09:19:52 · For reference only, not investment advice and not tailored to your situation.