R$29.94
+ R$0.07 (0.23%)
End-of-day quote: 05/03/2024
BOVESPA:PSSA3

Porto Seguro Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
R$29.70B R$22.89B R$20.71B R$19.82B R$19.35B R$18.73B R$17.26B R$17.11B R$15.63B R$13.46B R$12.51B R$10.30B R$9.90B R$7.24B R$6.00B R$5.19B R$4.77B R$4.12B
GM % Gross Margin %
33.83% 38.78% 44.22% 38.89% 38.24% 35.91% 34.35% 38.41% 35.81% 35.18% 35.84% 30.37% 35.71% 33.46% 33.21% 49.65% 52.04% 48.60%
OM Operating Margin
8.23% 11.06% 16.98% 13.63% 14.16% 11.72% 7.14% 11.58% 10.99% 16.13% 10.67% 3.55% 12.06% 8.37% 9.43% 15.23% 17.45% 11.98%
EPS Earnings Per Share
R$0.00 R$1.76 R$1.76 R$1.83 R$2.70 R$2.14 R$2.03 R$1.72 R$1.42 R$1.60 R$1.38 R$1.09 R$1.05 R$0.95 R$1.01 R$0.50 R$0.63 R$0.30 R$0.81 R$0.54
Div. Dividends
R$1.00 R$0.00 R$1.31 R$1.07 R$1.01 R$0.75 R$0.50 R$0.54 R$0.67 R$1.30 R$0.53 R$0.42 R$0.36 R$0.15 R$0.19 R$0.28 R$0.47 R$0.16
PR % Payout Ratio %
56.82% 0.00% 48.52% 50.00% 49.75% 43.60% 35.21% 33.75% 48.55% 119.27% 50.48% 44.21% 35.64% 30.00% 30.16% 93.33% 58.02% 29.63%
Sha. Shares
638.02m 637.71m 639.85m 645.84m 646.59m 646.59m 646.59m 646.59m 646.59m 646.59m 646.54m 649.34m 655.28m 655.28m 458.7m 461.29m 461.29m 461.29m
OCF Operating Cash Flow
R$2.85B R$1.85B R$1.44B R$1.23B R$1.03B R$1.25B R$620.70M R$1.04B R$898.28M R$1.36B R$-182.18M R$670.82M R$314.43M R$461.09M R$402.49M R$300.71M R$133.51M R$375.44M
FCF Free Cash Flow
R$2.00B R$1.08B R$1.07B R$950.71M R$812.59M R$950.67M R$466.00M R$786.04M R$629.49M R$1.13B R$-435.73M R$364.79M R$177.82M R$354.05M R$181.97M R$171.78M R$92.63M R$0.00M
FCFS Free Cash Flow Per Share
R$0.91 R$1.13 R$1.23 R$1.19 R$0.99 R$1.11 R$0.25 R$0.86 R$0.77 R$1.52 R$-0.85 R$0.46 R$0.20 R$0.66 R$0.34 R$0.34 R$0.19 R$0.81