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HBTS5 Cia Habitasul Participacoes

28.01
-0.77 (-2.68%)
01 Feb 2025 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)
Total Assets 1.4B1.34B1.37B1.44B1.41B1.59B1.59B1.58B
Total Current Assets 153.36M115.67M133.57M175.52M123.7M231.07M219.97M209.37M
Cash and Equivalents 59.86M24.55M4.44M90.88M38.59M48.7M36.6M31.67M
Total Non-Current Assets 1.28B1.26B1.28B1.31B1.33B1.41B1.42B1.42B
Total Liabilities 896.35M854.44M870.89M870.74M835.71M908.1M915.58M901.35M
Total Current Liabilities 113.38M206.98M215.88M226.65M73.98M137.64M138.36M99.6M
Total Non-Current Liabilities 998.15M748.92M763.97M744.31M983.07M988.54M995.65M1.05B
Common Equity 177.18M177.18M177.18M177.18M177.18M177.18M177.18M277.18M
Retained Earnings 54.21M026.29M102.41M109.1M01.98M0
Year End 31 December 2023 20162017201820192020202120222023
BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)
Total Assets 1.29B1.18B1.18B1.2B1.33B1.32B1.34B1.59B
Total Current Assets 64.18M137.51M135.79M134.82M196.65M147.05M115.67M231.07M
Cash and Equivalents 2.41M2.14M7.76M5.22M1.39M55.87M24.55M48.7M
Total Non-Current Assets 463.51M350.6M280.39M233.16M294.11M454.95M482.64M683.81M
Total Liabilities 826.89M831.27M900.07M964.33M1.04B867.45M854.44M908.1M
Total Current Liabilities 116.34M118.45M52.09M159.64M366.67M139.32M206.98M137.64M
Total Non-Current Liabilities 724.63M742.8M944.56M911M678.55M901.61M748.92M988.54M
Total Equity 463.51M350.6M280.39M233.16M294.11M454.95M482.64M683.81M
Common Equity 127.18M127.18M127.18M127.18M127.18M127.18M177.18M177.18M
Retained Earnings 00000000