U
BB Seguridade Participações S.A. BBSEY
$6.91 -$0.14-1.99%
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Weiss Ratings BBSEY - OTC PK Click to
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Rating U
Reward Index Unrated
Risk Index Unrated
Risk Grade U
Reward Grade U
Rating Factors BBSEY - OTC PK Click to
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Dividend Index Unrated
Growth Index Unrated
Efficiency Index Unrated
Solvency Index Unrated
Total Return Index Unrated
Volatility Index Unrated
Beta / Standard Deviation BBSEY - OTC PK Click to
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Beta --
Price History BBSEY - OTC PK Click to
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7-Day Total Return --
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Price BBSEY - OTC PK Click to
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Valuation BBSEY - OTC PK Click to
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Market Cap --
Enterprise Value 12.55B
Price/Earnings (TTM) --
Earnings Per Share (TTM) 0.81
Earnings Per Share Growth --
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Market Cap Category Large Cap
Dividends and Shares BBSEY - OTC PK Click to
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Shares Outstanding 2.10B
Dividend Yield --
Div. Per Share (Most Recent) --
Dividend Per Share (TTM) --
Payout Ratio (TTM) 61.26%
Dividend Per Share (Most Recent) --
Company Info BBSEY - OTC PK Click to
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Phone Number --
Address --
Website www.bbseguridaderi.com.br
Country Brazil
Year Founded 2012
Profitability BBSEY - OTC PK Click to
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Operating Margin (TTM) 95.95%
Profit Margin 88.50%
Management Effectiveness BBSEY - OTC PK Click to
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Return on Assets 30.18%
Return on Equity 90.06%
Income Statement BBSEY - OTC PK Click to
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Revenue (TTM) 905.84M
Total Revenue (TTM) 1.83B
Revenue Per Share --
Gross Profit (TTM) 1.79B
EBITDA (TTM) 1.75B
EBIT (TTM) 1.75B
Net Income (TTM) 1.62B
Net Income Avl. to Common (TTM) 1.62B
Total Revenue Growth (Q YOY) -8.24%
Earnings Growth (Q YOY) -7.77%
EPS Diluted (TTM) 0.81
EPS Diluted Growth (Q YOY) -12.69%
Balance Sheet BBSEY - OTC PK Click to
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Cash and Short-Term Inv. (Q) 1.38B
Cash Per Share (Q) $0.66
Total Current Assets (Q) 1.60B
Total Preferred Equity (Q) --
Total Equity (Q) 1.57B
Current Ratio (Q) 1.197
Book Value Per Share (Q) $0.81
Total Assets (Q) 3.49B
Total Current Liabilities (Q) 1.34B
Total Debt (Q) 0.00
Total Liabilities (Q) 1.93B
Total Common Equity (Q) 1.57B
Cash Flow BBSEY - OTC PK Click to
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Cash from Investing (TTM) 954.44M
Cash from Financing (TTM) -1.22B
Net Change in Cash (TTM) 508.03M
Levered Free Cash Flow (TTM) 1.49B
Cash from Operations (TTM) 770.94M
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