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CCRO3 CCR SA

11.53
-0.08 (-0.69%)
11 Mar 2025 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)
Total Assets 50.78B54.69B52.91B54.64B56.41B55.41B59.08B59.1B
Total Current Assets 10.91B13.8B11.32B10.99B12.39B10.28B12.57B10.44B
Cash and Equivalents 4.59B9.15B6.98B4.55B5.9B4.46B6.8B4.19B
Total Non-Current Assets 40.54B41.59B42.35B44.49B44.9B46.04B47.51B49.83B
Total Liabilities 38.33B42.03B39.75B41.57B42.9B41.53B45.18B45.1B
Total Current Liabilities 12.82B11.55B10.03B8.48B8.43B6.75B6.36B6.13B
Total Non-Current Liabilities 44.57B54.43B52.96B59.57B62.19B62.81B70.99B71.39B
Common Equity 6.02B6.02B6.02B6.02B6.02B6.02B6.02B6.02B
Retained Earnings 629.33M899.54M1.15B0340.91M608.84M1.03B0
Year End 31 December 2024 20172018201920202021202220232024
BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)
Total Assets 30.61B30.82B33.26B33.45B41.36B50.55B54.64B59.1B
Total Current Assets 6.42B4.74B7.13B8.13B7.91B12.62B10.99B10.44B
Cash and Equivalents 161.08M324.65M1.26B3.55B4.59B5.23B4.55B4.19B
Total Non-Current Assets 8.49B8.43B8.44B7.94B8.57B11.82B13.08B14B
Total Liabilities 22.12B22.38B24.82B25.51B32.79B38.72B41.57B45.1B
Total Current Liabilities 5.91B5.06B6.52B7.62B5.85B10.77B8.48B6.13B
Total Non-Current Liabilities 29.65B31.41B33.28B32.73B50.2B49.68B59.57B71.39B
Total Equity 8.49B8.43B8.44B7.94B8.57B11.82B13.08B14B
Common Equity 6.02B6.02B6.02B6.02B6.02B6.02B6.02B6.02B
Retained Earnings 00000000

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