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Petróleo Brasileiro S.A. - Petrobras (PBR-A)

NYSE - NYSE Delayed price. Currency in USD
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9.71-0.01 (-0.10%)
At close: 04:00PM EST
9.77 +0.06 (+0.62%)
After hours: 07:51PM EST
Currency in USD

Valuation measures4

Market cap (intra-day) 67.51B
Enterprise value 115.00B
Trailing P/E 1.86
Forward P/E 3.24
PEG ratio (5-yr expected) 1.69
Price/sales (ttm)0.54
Price/book (mrq)0.92
Enterprise value/revenue 0.97
Enterprise value/EBITDA 1.73

Trading information

Stock price history

Beta (5Y monthly) 1.01
52-week change 3-20.61%
S&P500 52-week change 3-7.75%
52-week high 315.04
52-week low 37.86
50-day moving average 39.44
200-day moving average 311.42

Share statistics

Avg vol (3-month) 313.08M
Avg vol (10-day) 39.64M
Shares outstanding 56.52B
Implied shares outstanding 6N/A
Float 84.13B
% held by insiders 10.00%
% held by institutions 17.82%
Shares short (12 Jan 2023) 414.34M
Short ratio (12 Jan 2023) 41.12
Short % of float (12 Jan 2023) 4N/A
Short % of shares outstanding (12 Jan 2023) 40.22%
Shares short (prior month 14 Dec 2022) 49.05M

Dividends & splits

Forward annual dividend rate 47.59
Forward annual dividend yield 474.45%
Trailing annual dividend rate 35.28
Trailing annual dividend yield 354.36%
5-year average dividend yield 4N/A
Payout ratio 4120.76%
Dividend date 325 Jan 2023
Ex-dividend date 421 Nov 2022
Last split factor 22:1
Last split date 307 May 2008

Financial highlights

Currency in BRL.

Fiscal year

Fiscal year ends 30 Dec 2021
Most-recent quarter (mrq)29 Sept 2022


Profit margin 29.47%
Operating margin (ttm)47.54%

Management effectiveness

Return on assets (ttm)18.51%
Return on equity (ttm)47.27%

Income statement

Revenue (ttm)598.85B
Revenue per share (ttm)91.82
Quarterly revenue growth (yoy)42.10%
Gross profit (ttm)219.64B
Net income avi to common (ttm)176.49B
Diluted EPS (ttm)5.22
Quarterly earnings growth (yoy)48.00%

Balance sheet

Total cash (mrq)36.69B
Total cash per share (mrq)5.62
Total debt (mrq)293.4B
Total debt/equity (mrq)78.43
Current ratio (mrq)1.17
Book value per share (mrq)57.11

Cash flow statement

Operating cash flow (ttm)239.23B
Levered free cash flow (ttm)178.03B