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CBDBY Cia Brasileira de Distribuicao

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  • 0.5550
  • +0.0150+2.78%
15min DelayTrading May 15 12:58 ET
272.01MMarket Cap-0.58P/E (TTM)

Cia Brasileira de Distribuicao Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-29.40%2.65B
-29.40%2.65B
-38.40%2.3B
-23.62%2.46B
-18.97%2.85B
-0.08%3.75B
-0.08%3.75B
-3.11%3.74B
-17.89%3.22B
-2.60%3.52B
-Cash and cash equivalents
-11.44%2.63B
-11.44%2.63B
-24.43%2.29B
-24.06%2.44B
--2.83B
-20.79%2.97B
-20.79%2.97B
--3.03B
-17.89%3.22B
----
-Short-term investments
-98.07%15M
-98.07%15M
-97.89%15M
--14M
--17M
--777M
--777M
--711M
----
----
Receivables
-33.25%1.1B
-33.25%1.1B
-46.08%1.09B
-20.23%1.36B
-25.40%1.39B
-8.78%1.65B
-8.78%1.65B
-45.07%2.03B
-69.37%1.71B
-59.91%1.86B
-Accounts receivable
-10.92%408M
-10.92%408M
-8.81%321M
24.66%364M
26.17%405M
9.83%458M
9.83%458M
-49.43%352M
-55.56%292M
-57.54%321M
-Taxes receivable
-39.98%647M
-39.98%647M
-49.15%720M
-27.50%688M
-42.82%605M
-3.23%1.08B
-3.23%1.08B
-22.07%1.42B
-52.53%949M
-49.23%1.06B
-Related party accounts receivable
----
----
----
--0
--0
----
----
----
----
--0
-Other receivables
-59.13%47M
-59.13%47M
-79.69%53M
-33.48%312M
-21.50%376M
-58.78%115M
-58.78%115M
--261M
-41.88%469M
--479M
Inventory
3.18%2.01B
3.18%2.01B
0.95%2.01B
1.58%2B
-9.43%1.88B
-4.59%1.95B
-4.59%1.95B
-64.04%1.99B
-63.24%1.97B
-57.41%2.08B
Other current assets
34.88%232M
34.88%232M
50.29%263M
----
----
57.80%172M
57.80%172M
--175M
-30.00%189M
----
Total current assets
-18.70%6.12B
-18.70%6.12B
-25.96%5.88B
-79.21%6.02B
-77.03%6.43B
-73.66%7.52B
-73.66%7.52B
-42.68%7.94B
88.09%28.95B
99.39%27.98B
Non current assets
Net PPE
-6.55%6.15B
-6.55%6.15B
-5.18%6.12B
-7.77%6.22B
-9.40%6.26B
-3.90%6.58B
-3.90%6.58B
-58.04%6.45B
-56.91%6.74B
-55.57%6.91B
-Gross PPE
-2.09%13.74B
-2.09%13.74B
-2.62%13.54B
----
--13.38B
-0.10%14.04B
-0.10%14.04B
--13.91B
-56.91%6.74B
----
-Accumulated depreciation
-1.84%-7.6B
-1.84%-7.6B
0.42%-7.43B
----
---7.13B
-3.51%-7.46B
-3.51%-7.46B
---7.46B
----
----
Goodwill and other intangible assets
-11.61%1.74B
-11.61%1.74B
-2.80%1.88B
-4.31%1.91B
-2.70%1.95B
-0.65%1.97B
-0.65%1.97B
-63.20%1.93B
-63.49%1.99B
-63.21%2B
-Goodwill
-6.84%504M
-6.84%504M
0.00%541M
----
--541M
0.00%541M
0.00%541M
--541M
----
----
-Other intangible assets
-13.41%1.24B
-13.41%1.24B
-3.88%1.34B
----
--1.41B
-0.90%1.43B
-0.90%1.43B
-73.50%1.39B
-63.49%1.99B
----
Investments and advances
-6.94%804M
-6.94%804M
-7.07%789M
-4.18%802M
-5.87%786M
3.72%864M
3.72%864M
-31.48%849M
-32.61%837M
-32.28%835M
Non current accounts receivable
-5.41%3.21B
-5.41%3.21B
-3.19%3.31B
-32.33%2.57B
-4.74%2.92B
-11.42%3.4B
-11.42%3.4B
42.11%3.42B
-2.09%3.8B
-16.66%3.06B
Related parties assets
----
----
----
--0
--0
----
----
----
----
--0
Financial assets
2,200.00%23M
2,200.00%23M
--0
----
----
--1M
--1M
--1M
-75.00%1M
----
Non current deferred assets
9.83%1.18B
9.83%1.18B
-13.90%1.16B
-11.33%1.14B
-0.63%1.1B
16.92%1.08B
16.92%1.08B
107.88%1.35B
132.25%1.29B
137.85%1.11B
Other non current assets
-25.79%472M
-25.79%472M
-27.47%544M
76.12%1.38B
-8.40%1.43B
-25.96%636M
-25.96%636M
-57.60%750M
-10.31%783M
9.87%1.56B
Total non current assets
-6.47%13.59B
-6.47%13.59B
-6.45%13.8B
-9.23%14.02B
-6.69%14.43B
-4.93%14.53B
-4.93%14.53B
-50.08%14.75B
-49.62%15.45B
-49.65%15.47B
Total assets
-10.64%19.7B
-10.64%19.7B
-13.27%19.67B
-54.86%20.04B
-51.99%20.86B
-49.70%22.05B
-49.70%22.05B
-47.72%22.69B
-3.60%44.4B
-2.91%43.45B
Liabilities
Current liabilities
Payables
2.88%4.25B
2.88%4.25B
0.27%3.29B
-4.76%3.02B
2.18%3.1B
0.34%4.13B
0.34%4.13B
-54.39%3.28B
-67.05%3.17B
-58.49%3.03B
-accounts payable
2.92%3.35B
2.92%3.35B
0.69%2.48B
4.31%2.61B
2.16%2.51B
4.16%3.25B
4.16%3.25B
-63.07%2.47B
-64.72%2.51B
-62.20%2.45B
-Total tax payable
13.02%894M
13.02%894M
9.29%800M
-30.62%401M
124.24%592M
20.40%791M
20.40%791M
42.41%732M
-57.59%578M
-67.61%264M
-Dividends payable
----
----
----
----
----
----
----
--1M
-90.00%1M
----
-Due to related parties current
-92.94%6M
-92.94%6M
-92.59%6M
-93.10%6M
----
-74.63%85M
-74.63%85M
--81M
-87.78%87M
--315M
Current accrued expenses
----
----
----
--394M
38.33%397M
----
----
----
----
-54.44%287M
Current provisions
----
----
----
--7M
133.33%14M
----
----
----
----
-45.45%6M
Current debt and capital lease obligation
-10.10%1.3B
-10.10%1.3B
0.04%2.49B
-39.63%1.59B
-8.70%1.48B
-3.02%1.45B
-3.02%1.45B
-27.17%2.49B
-28.81%2.63B
-45.64%1.62B
-Current debt
-12.65%849M
-12.65%849M
17.65%1.66B
-28.49%1.13B
-8.27%1.03B
-2.90%972M
-2.90%972M
-45.81%1.41B
-44.74%1.58B
-46.63%1.12B
-Current capital lease obligation
-4.85%451M
-4.85%451M
-22.98%831M
-56.32%460M
-9.66%449M
-3.27%474M
-3.27%474M
32.39%1.08B
25.21%1.05B
-43.26%497M
Current deferred liabilities
2.98%173M
2.98%173M
61.25%258M
0.00%167M
-22.62%171M
7.69%168M
7.69%168M
-21.95%160M
-35.52%167M
-11.24%221M
Other current liabilities
31.74%635M
31.74%635M
151.96%257M
-94.59%659M
-94.77%604M
-95.98%482M
-95.98%482M
-92.68%102M
1,142.14%12.17B
671.99%11.55B
Current liabilities
2.10%6.36B
2.10%6.36B
4.36%6.3B
-67.84%5.83B
-65.52%5.76B
-64.92%6.23B
-64.92%6.23B
-53.47%6.03B
24.61%18.14B
31.93%16.72B
Non current liabilities
Long term provisions
-5.07%2.04B
-5.07%2.04B
-49.12%1.47B
-60.89%1.46B
-54.89%1.61B
-38.40%2.15B
-38.40%2.15B
19.36%2.89B
414.90%3.73B
68.92%3.57B
Long term debt and capital lease obligation
-12.98%7.07B
-12.98%7.07B
-42.76%2.66B
51.73%6.95B
-17.61%7.41B
-3.34%8.13B
-3.34%8.13B
-56.52%4.64B
-57.98%4.58B
-23.33%8.99B
-Long term debt
-25.71%3.2B
-25.71%3.2B
-42.76%2.66B
-32.36%3.1B
-34.95%3.54B
-11.52%4.3B
-11.52%4.3B
-17.42%4.64B
-19.95%4.58B
-16.79%5.44B
-Long term capital lease obligation
1.33%3.88B
1.33%3.88B
----
--3.85B
8.92%3.87B
7.87%3.83B
7.87%3.83B
----
----
-31.56%3.56B
Non current deferred liabilities
360.00%345M
360.00%345M
1,400.00%60M
1,525.00%65M
-26.32%70M
-22.68%75M
-22.68%75M
-99.58%4M
-99.84%4M
-89.72%95M
Due to related parties non current
----
----
----
--0
--0
--0
--0
----
----
-65.56%31M
Employee benefits
----
----
--280M
----
----
----
----
----
----
----
Other non current liabilities
-20.24%327M
-20.24%327M
798.94%4.25B
50.00%711M
143.21%681M
44.88%410M
44.88%410M
27.84%473M
7.48%474M
-6.98%280M
Total non current liabilities
-6.22%10.41B
-6.22%10.41B
-19.68%9.35B
-21.30%9.87B
-20.18%10.43B
-10.16%11.1B
-10.16%11.1B
-19.85%11.63B
-14.79%12.54B
-14.48%13.07B
Total liabilities
-3.23%16.77B
-3.23%16.77B
-11.47%15.64B
-48.82%15.7B
-45.62%16.2B
-42.44%17.33B
-42.44%17.33B
-35.72%17.67B
4.80%30.68B
6.55%29.79B
Shareholders'equity
Share capital
38.96%2.51B
38.96%2.51B
38.96%2.51B
-70.34%2.51B
-70.34%2.51B
-69.17%1.81B
-69.17%1.81B
-69.16%1.81B
44.47%8.47B
44.50%8.47B
-common stock
38.96%2.51B
38.96%2.51B
38.96%2.51B
-70.34%2.51B
-70.34%2.51B
-69.17%1.81B
-69.17%1.81B
-69.16%1.81B
44.47%8.47B
44.50%8.47B
Retained earnings
----
----
39.11%-1.3B
----
----
-1,320.35%-2.44B
-1,320.35%-2.44B
---2.14B
-188.02%-845M
----
Gains losses not affecting retained earnings
-92.25%415M
-92.25%415M
-47.77%2.78B
-49.15%1.82B
-27.76%2.15B
-7.77%5.35B
-7.77%5.35B
-30.63%5.33B
-49.94%3.58B
-64.67%2.98B
Other equity interest
----
----
66.67%35M
-95.00%1M
---1M
----
----
2,200.00%21M
-93.33%20M
----
Total stockholders'equity
-37.97%2.93B
-37.97%2.93B
-19.74%4.03B
-61.39%4.33B
-59.27%4.66B
-58.96%4.72B
-58.96%4.72B
-62.95%5.02B
-21.37%11.22B
-19.89%11.44B
Noncontrolling interests
80.00%9M
80.00%9M
166.67%8M
-99.72%7M
-99.73%6M
-99.78%5M
-99.78%5M
-99.87%3M
-0.60%2.5B
-11.64%2.23B
Total equity
-37.84%2.94B
-37.84%2.94B
-19.63%4.03B
-68.37%4.34B
-65.86%4.67B
-65.62%4.72B
-65.62%4.72B
-68.45%5.02B
-18.26%13.72B
-18.65%13.67B
Currency Unit
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
BRL
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -29.40%2.65B-29.40%2.65B-38.40%2.3B-23.62%2.46B-18.97%2.85B-0.08%3.75B-0.08%3.75B-3.11%3.74B-17.89%3.22B-2.60%3.52B
-Cash and cash equivalents -11.44%2.63B-11.44%2.63B-24.43%2.29B-24.06%2.44B--2.83B-20.79%2.97B-20.79%2.97B--3.03B-17.89%3.22B----
-Short-term investments -98.07%15M-98.07%15M-97.89%15M--14M--17M--777M--777M--711M--------
Receivables -33.25%1.1B-33.25%1.1B-46.08%1.09B-20.23%1.36B-25.40%1.39B-8.78%1.65B-8.78%1.65B-45.07%2.03B-69.37%1.71B-59.91%1.86B
-Accounts receivable -10.92%408M-10.92%408M-8.81%321M24.66%364M26.17%405M9.83%458M9.83%458M-49.43%352M-55.56%292M-57.54%321M
-Taxes receivable -39.98%647M-39.98%647M-49.15%720M-27.50%688M-42.82%605M-3.23%1.08B-3.23%1.08B-22.07%1.42B-52.53%949M-49.23%1.06B
-Related party accounts receivable --------------0--0------------------0
-Other receivables -59.13%47M-59.13%47M-79.69%53M-33.48%312M-21.50%376M-58.78%115M-58.78%115M--261M-41.88%469M--479M
Inventory 3.18%2.01B3.18%2.01B0.95%2.01B1.58%2B-9.43%1.88B-4.59%1.95B-4.59%1.95B-64.04%1.99B-63.24%1.97B-57.41%2.08B
Other current assets 34.88%232M34.88%232M50.29%263M--------57.80%172M57.80%172M--175M-30.00%189M----
Total current assets -18.70%6.12B-18.70%6.12B-25.96%5.88B-79.21%6.02B-77.03%6.43B-73.66%7.52B-73.66%7.52B-42.68%7.94B88.09%28.95B99.39%27.98B
Non current assets
Net PPE -6.55%6.15B-6.55%6.15B-5.18%6.12B-7.77%6.22B-9.40%6.26B-3.90%6.58B-3.90%6.58B-58.04%6.45B-56.91%6.74B-55.57%6.91B
-Gross PPE -2.09%13.74B-2.09%13.74B-2.62%13.54B------13.38B-0.10%14.04B-0.10%14.04B--13.91B-56.91%6.74B----
-Accumulated depreciation -1.84%-7.6B-1.84%-7.6B0.42%-7.43B-------7.13B-3.51%-7.46B-3.51%-7.46B---7.46B--------
Goodwill and other intangible assets -11.61%1.74B-11.61%1.74B-2.80%1.88B-4.31%1.91B-2.70%1.95B-0.65%1.97B-0.65%1.97B-63.20%1.93B-63.49%1.99B-63.21%2B
-Goodwill -6.84%504M-6.84%504M0.00%541M------541M0.00%541M0.00%541M--541M--------
-Other intangible assets -13.41%1.24B-13.41%1.24B-3.88%1.34B------1.41B-0.90%1.43B-0.90%1.43B-73.50%1.39B-63.49%1.99B----
Investments and advances -6.94%804M-6.94%804M-7.07%789M-4.18%802M-5.87%786M3.72%864M3.72%864M-31.48%849M-32.61%837M-32.28%835M
Non current accounts receivable -5.41%3.21B-5.41%3.21B-3.19%3.31B-32.33%2.57B-4.74%2.92B-11.42%3.4B-11.42%3.4B42.11%3.42B-2.09%3.8B-16.66%3.06B
Related parties assets --------------0--0------------------0
Financial assets 2,200.00%23M2,200.00%23M--0----------1M--1M--1M-75.00%1M----
Non current deferred assets 9.83%1.18B9.83%1.18B-13.90%1.16B-11.33%1.14B-0.63%1.1B16.92%1.08B16.92%1.08B107.88%1.35B132.25%1.29B137.85%1.11B
Other non current assets -25.79%472M-25.79%472M-27.47%544M76.12%1.38B-8.40%1.43B-25.96%636M-25.96%636M-57.60%750M-10.31%783M9.87%1.56B
Total non current assets -6.47%13.59B-6.47%13.59B-6.45%13.8B-9.23%14.02B-6.69%14.43B-4.93%14.53B-4.93%14.53B-50.08%14.75B-49.62%15.45B-49.65%15.47B
Total assets -10.64%19.7B-10.64%19.7B-13.27%19.67B-54.86%20.04B-51.99%20.86B-49.70%22.05B-49.70%22.05B-47.72%22.69B-3.60%44.4B-2.91%43.45B
Liabilities
Current liabilities
Payables 2.88%4.25B2.88%4.25B0.27%3.29B-4.76%3.02B2.18%3.1B0.34%4.13B0.34%4.13B-54.39%3.28B-67.05%3.17B-58.49%3.03B
-accounts payable 2.92%3.35B2.92%3.35B0.69%2.48B4.31%2.61B2.16%2.51B4.16%3.25B4.16%3.25B-63.07%2.47B-64.72%2.51B-62.20%2.45B
-Total tax payable 13.02%894M13.02%894M9.29%800M-30.62%401M124.24%592M20.40%791M20.40%791M42.41%732M-57.59%578M-67.61%264M
-Dividends payable ------------------------------1M-90.00%1M----
-Due to related parties current -92.94%6M-92.94%6M-92.59%6M-93.10%6M-----74.63%85M-74.63%85M--81M-87.78%87M--315M
Current accrued expenses --------------394M38.33%397M-----------------54.44%287M
Current provisions --------------7M133.33%14M-----------------45.45%6M
Current debt and capital lease obligation -10.10%1.3B-10.10%1.3B0.04%2.49B-39.63%1.59B-8.70%1.48B-3.02%1.45B-3.02%1.45B-27.17%2.49B-28.81%2.63B-45.64%1.62B
-Current debt -12.65%849M-12.65%849M17.65%1.66B-28.49%1.13B-8.27%1.03B-2.90%972M-2.90%972M-45.81%1.41B-44.74%1.58B-46.63%1.12B
-Current capital lease obligation -4.85%451M-4.85%451M-22.98%831M-56.32%460M-9.66%449M-3.27%474M-3.27%474M32.39%1.08B25.21%1.05B-43.26%497M
Current deferred liabilities 2.98%173M2.98%173M61.25%258M0.00%167M-22.62%171M7.69%168M7.69%168M-21.95%160M-35.52%167M-11.24%221M
Other current liabilities 31.74%635M31.74%635M151.96%257M-94.59%659M-94.77%604M-95.98%482M-95.98%482M-92.68%102M1,142.14%12.17B671.99%11.55B
Current liabilities 2.10%6.36B2.10%6.36B4.36%6.3B-67.84%5.83B-65.52%5.76B-64.92%6.23B-64.92%6.23B-53.47%6.03B24.61%18.14B31.93%16.72B
Non current liabilities
Long term provisions -5.07%2.04B-5.07%2.04B-49.12%1.47B-60.89%1.46B-54.89%1.61B-38.40%2.15B-38.40%2.15B19.36%2.89B414.90%3.73B68.92%3.57B
Long term debt and capital lease obligation -12.98%7.07B-12.98%7.07B-42.76%2.66B51.73%6.95B-17.61%7.41B-3.34%8.13B-3.34%8.13B-56.52%4.64B-57.98%4.58B-23.33%8.99B
-Long term debt -25.71%3.2B-25.71%3.2B-42.76%2.66B-32.36%3.1B-34.95%3.54B-11.52%4.3B-11.52%4.3B-17.42%4.64B-19.95%4.58B-16.79%5.44B
-Long term capital lease obligation 1.33%3.88B1.33%3.88B------3.85B8.92%3.87B7.87%3.83B7.87%3.83B---------31.56%3.56B
Non current deferred liabilities 360.00%345M360.00%345M1,400.00%60M1,525.00%65M-26.32%70M-22.68%75M-22.68%75M-99.58%4M-99.84%4M-89.72%95M
Due to related parties non current --------------0--0--0--0---------65.56%31M
Employee benefits ----------280M----------------------------
Other non current liabilities -20.24%327M-20.24%327M798.94%4.25B50.00%711M143.21%681M44.88%410M44.88%410M27.84%473M7.48%474M-6.98%280M
Total non current liabilities -6.22%10.41B-6.22%10.41B-19.68%9.35B-21.30%9.87B-20.18%10.43B-10.16%11.1B-10.16%11.1B-19.85%11.63B-14.79%12.54B-14.48%13.07B
Total liabilities -3.23%16.77B-3.23%16.77B-11.47%15.64B-48.82%15.7B-45.62%16.2B-42.44%17.33B-42.44%17.33B-35.72%17.67B4.80%30.68B6.55%29.79B
Shareholders'equity
Share capital 38.96%2.51B38.96%2.51B38.96%2.51B-70.34%2.51B-70.34%2.51B-69.17%1.81B-69.17%1.81B-69.16%1.81B44.47%8.47B44.50%8.47B
-common stock 38.96%2.51B38.96%2.51B38.96%2.51B-70.34%2.51B-70.34%2.51B-69.17%1.81B-69.17%1.81B-69.16%1.81B44.47%8.47B44.50%8.47B
Retained earnings --------39.11%-1.3B---------1,320.35%-2.44B-1,320.35%-2.44B---2.14B-188.02%-845M----
Gains losses not affecting retained earnings -92.25%415M-92.25%415M-47.77%2.78B-49.15%1.82B-27.76%2.15B-7.77%5.35B-7.77%5.35B-30.63%5.33B-49.94%3.58B-64.67%2.98B
Other equity interest --------66.67%35M-95.00%1M---1M--------2,200.00%21M-93.33%20M----
Total stockholders'equity -37.97%2.93B-37.97%2.93B-19.74%4.03B-61.39%4.33B-59.27%4.66B-58.96%4.72B-58.96%4.72B-62.95%5.02B-21.37%11.22B-19.89%11.44B
Noncontrolling interests 80.00%9M80.00%9M166.67%8M-99.72%7M-99.73%6M-99.78%5M-99.78%5M-99.87%3M-0.60%2.5B-11.64%2.23B
Total equity -37.84%2.94B-37.84%2.94B-19.63%4.03B-68.37%4.34B-65.86%4.67B-65.62%4.72B-65.62%4.72B-68.45%5.02B-18.26%13.72B-18.65%13.67B
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

Market Insights

Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.

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