R$3.49
R$-0.08 (-2.24%)
End-of-day quote: 05/15/2024
BOVESPA:DASA3

Diagnósticos da América Annual Report

Year Year 2023 2022 2021 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
R$14.25B R$13.13B R$10.42B R$2.79B R$2.70B R$2.45B R$2.26B R$2.18B R$1.50B R$1.39B R$1.14B R$858.82M R$670.45M R$528.28M R$447.99M
GM % Gross Margin %
27.27% 28.93% 29.92% 27.50% 31.16% 31.24% 30.88% 35.81% 36.99% 32.91% 31.42% 31.93% 33.85% 31.40% 31.59%
OM Operating Margin
6.41% 7.74% 0.85% 5.64% 9.22% 11.76% 10.82% 17.18% 20.41% 11.98% 6.96% 5.99% 7.09% 7.99% 2.41%
EPS Earnings Per Share
R$0.00 R$-1.48 R$-0.62 R$-0.12 R$0.08 R$0.28 R$0.42 R$0.27 R$0.47 R$0.71 R$0.46 R$0.24 R$0.33 R$0.07 R$0.16 R$0.09
Div. Dividends
R$0.00 R$0.20 R$0.30 R$0.02 R$0.10 R$0.10 R$0.07 R$0.12 R$0.12 R$0.37 R$0.00 R$0.06 R$0.00 R$0.05 R$0.00
PR % Payout Ratio %
-0.00% -32.26% -250.00% 25.00% 35.71% 23.81% 25.93% 25.53% 16.90% 80.43% 0.00% 18.18% 0.00% 31.25% 0.00%
Sha. Shares
747.05m 536.63m 560.42m 310.89m 310.75m 310.64m 310.64m 310.64m 229.15m 229.61m 229.61m 229.61m 229.61m 214.43m 214.43m
OCF Operating Cash Flow
R$-963.62M R$1.34B R$1.30B R$489.39M R$459.22M R$254.98M R$310.42M R$-25.64M R$168.89M R$96.46M R$279.04M R$55.39M R$156.55M R$104.27M R$51.84M
FCF Free Cash Flow
R$-657.00M R$-4781.00M R$-3653.54M R$245.68M R$253.42M R$140.52M R$81.10M R$-202.33M R$101.00M R$29.12M R$145.83M R$-118.49M R$28.81M R$34.66M R$-7.29M
FCFS Free Cash Flow Per Share
R$-2.38 R$0.36 R$0.70 R$0.77 R$0.81 R$0.36 R$0.23 R$-0.75 R$0.19 R$0.02 R$0.57 R$-0.58 R$0.13 R$0.16 R$-0.03