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GGB Gerdau

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  • 2.610
  • -0.100-3.69%
Close Apr 30 16:00 ET
  • 2.740
  • +0.130+4.98%
Post 16:15 ET
5.29BMarket Cap9.29P/E (TTM)

Gerdau Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
8.37%900.86M
2.18%11.38B
-22.88%2.79B
148.53%5.83B
-39.83%1.94B
-57.67%831.29M
-0.10%11.14B
109.55%3.61B
-27.81%2.34B
-16.61%3.22B
Net income from continuing operations
-63.09%757.8M
-38.98%4.6B
-44.96%322.96M
-14.81%1.36B
-59.54%866.98M
-36.15%2.05B
-34.34%7.54B
-51.84%586.8M
-47.32%1.59B
-50.15%2.14B
Operating gains losses
130.27%143.59M
-7.65%424.1M
1,396.48%416.13M
-79.96%56.41M
118.20%425.87M
-949.87%-474.31M
317.88%459.23M
-89.43%27.81M
148.61%281.43M
171.68%195.17M
Depreciation and amortization
20.40%873.84M
2.59%3.13B
5.31%832.87M
0.90%796.28M
2.51%771.32M
1.54%725.79M
6.30%3.05B
2.82%790.84M
7.00%789.15M
7.31%752.45M
Deferred tax
32.67%347.83M
11.75%974.1M
-21.75%131.94M
36.24%471.18M
-71.61%108.8M
1,107.13%262.19M
-81.35%871.65M
-82.03%168.61M
-63.86%345.86M
-68.10%383.22M
Other non cash items
17.27%414.41M
134.51%2.75B
-49.57%494.58M
189.46%1.23B
-61.71%670.85M
288.38%353.37M
98.67%1.17B
338.80%980.73M
-691.27%-1.37B
72.28%1.75B
Change In working capital
12.29%-1.23B
1,102.63%1.37B
-38.28%762.41M
107.20%2.04B
95.66%-27.56M
4.67%-1.4B
102.47%114.23M
377.40%1.24B
438.83%985.82M
51.15%-634.43M
-Change in receivables
-117.52%-1.2B
705.29%2.43B
62.47%1.15B
6,583.22%1.85B
-108.46%-10.39M
56.10%-551.89M
-7,082.10%-401.68M
-52.39%704.92M
-95.85%27.66M
159.91%122.86M
-Change in inventory
18.59%-504.06M
-58.44%542.5M
127.57%334.42M
-58.14%485.12M
209.36%342.08M
-298.15%-619.12M
164.02%1.31B
-76.11%146.95M
417.05%1.16B
78.84%-312.79M
-Change in payables and accrued expense
303.39%473.28M
-102.66%-1.6B
-287.05%-717.3M
-44.94%-290.82M
19.18%-359.25M
55.92%-232.7M
69.55%-789.52M
115.09%383.48M
66.06%-200.65M
-215.59%-444.5M
Cash from discontinued investing activities
Operating cash flow
8.37%900.86M
2.18%11.38B
-22.88%2.79B
148.53%5.83B
-39.83%1.94B
-57.67%831.29M
-0.10%11.14B
109.55%3.61B
-27.81%2.34B
-16.61%3.22B
Investing cash flow
Cash flow from continuing investing activities
-756.39%-2.38B
12.79%-5.03B
-22.82%-2.42B
-13.33%-1.72B
-3.73%-1.26B
133.79%362.64M
-29.45%-5.77B
-13.86%-1.97B
-33.33%-1.51B
-24.32%-1.21B
Net PPE purchase and sale
-533.58%-1.82B
18.38%-4.22B
-21.40%-1.83B
-10.46%-1.64B
4.74%-1.17B
144.36%420.9M
-21.80%-5.17B
9.71%-1.51B
-40.54%-1.48B
-31.01%-1.23B
Net intangibles purchase and sale
-26.32%-33.39M
-32.11%-168.04M
-22.70%-44.4M
-33.86%-42.21M
-72.85%-55M
4.44%-26.43M
32.84%-127.2M
40.72%-36.19M
41.50%-31.53M
16.76%-31.82M
Net business purchase and sale
-1,539.79%-521.98M
-35.72%-647.63M
-27.84%-546.56M
---36.03M
-170.65%-33.21M
67.07%-31.83M
-1,683.78%-477.18M
---427.53M
--0
--47.01M
Cash from discontinued investing activities
Investing cash flow
-756.39%-2.38B
12.79%-5.03B
-22.82%-2.42B
-13.33%-1.72B
-3.73%-1.26B
133.79%362.64M
-29.45%-5.77B
-13.86%-1.97B
-33.33%-1.51B
-24.32%-1.21B
Financing cash flow
Cash flow from continuing financing activities
215.18%594.41M
34.86%-2.69B
-52.79%-1.42B
-57.60%-838.19M
104.37%85.05M
28.26%-516.07M
50.03%-4.13B
72.89%-928.09M
72.43%-531.85M
24.83%-1.95B
Net issuance payments of debt
415.73%1.08B
111.37%163.94M
170.41%70.3M
-208.17%-236.73M
157.22%671.78M
11.81%-341.41M
-15.80%-1.44B
-146.04%-99.84M
271.23%218.86M
13.71%-1.17B
Net common stock issuance
---280.89M
---1.19B
---844.94M
----
----
--0
--0
--0
----
----
Cash dividends paid
-16.02%-202.63M
38.27%-1.66B
22.32%-643.36M
66.48%-251.67M
24.01%-586.73M
47.43%-174.66M
54.46%-2.68B
76.22%-828.26M
37.30%-750.71M
11.29%-772.11M
Cash from discontinued financing activities
Financing cash flow
215.18%594.41M
34.86%-2.69B
-52.79%-1.42B
-57.60%-838.19M
104.37%85.05M
28.26%-516.07M
50.03%-4.13B
72.89%-928.09M
72.43%-531.85M
24.83%-1.95B
Net cash flow
Beginning cash position
158.44%7.77B
21.40%3.01B
177.03%8.07B
91.29%4.89B
44.98%3.74B
21.40%3.01B
-40.49%2.48B
-52.88%2.91B
-55.75%2.56B
-47.26%2.58B
Current changes in cash
-230.56%-885.04M
195.03%3.66B
-248.35%-1.06B
993.43%3.27B
1,206.20%763.08M
296.14%677.86M
179.23%1.24B
120.73%711.46M
62.70%299.45M
-80.07%58.42M
Effect of exchange rate changes
-776.31%-403.23M
255.13%1.1B
220.77%749.18M
-251.73%-89.59M
554.86%383.26M
191.59%59.62M
-496.40%-710.66M
-123.95%-620.35M
-73.74%59.04M
-114.32%-84.26M
End cash Position
73.11%6.48B
158.44%7.77B
158.44%7.77B
177.03%8.07B
91.29%4.89B
44.98%3.74B
21.40%3.01B
21.40%3.01B
-52.88%2.91B
-55.75%2.56B
Free cash flow
-249.10%-971.25M
-6.33%5.43B
-57.03%875.14M
398.76%4.13B
-63.71%709.95M
-128.34%-278.21M
-13.00%5.8B
9,880.84%2.04B
-61.30%827.64M
-31.60%1.96B
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
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 8.37%900.86M2.18%11.38B-22.88%2.79B148.53%5.83B-39.83%1.94B-57.67%831.29M-0.10%11.14B109.55%3.61B-27.81%2.34B-16.61%3.22B
Net income from continuing operations -63.09%757.8M-38.98%4.6B-44.96%322.96M-14.81%1.36B-59.54%866.98M-36.15%2.05B-34.34%7.54B-51.84%586.8M-47.32%1.59B-50.15%2.14B
Operating gains losses 130.27%143.59M-7.65%424.1M1,396.48%416.13M-79.96%56.41M118.20%425.87M-949.87%-474.31M317.88%459.23M-89.43%27.81M148.61%281.43M171.68%195.17M
Depreciation and amortization 20.40%873.84M2.59%3.13B5.31%832.87M0.90%796.28M2.51%771.32M1.54%725.79M6.30%3.05B2.82%790.84M7.00%789.15M7.31%752.45M
Deferred tax 32.67%347.83M11.75%974.1M-21.75%131.94M36.24%471.18M-71.61%108.8M1,107.13%262.19M-81.35%871.65M-82.03%168.61M-63.86%345.86M-68.10%383.22M
Other non cash items 17.27%414.41M134.51%2.75B-49.57%494.58M189.46%1.23B-61.71%670.85M288.38%353.37M98.67%1.17B338.80%980.73M-691.27%-1.37B72.28%1.75B
Change In working capital 12.29%-1.23B1,102.63%1.37B-38.28%762.41M107.20%2.04B95.66%-27.56M4.67%-1.4B102.47%114.23M377.40%1.24B438.83%985.82M51.15%-634.43M
-Change in receivables -117.52%-1.2B705.29%2.43B62.47%1.15B6,583.22%1.85B-108.46%-10.39M56.10%-551.89M-7,082.10%-401.68M-52.39%704.92M-95.85%27.66M159.91%122.86M
-Change in inventory 18.59%-504.06M-58.44%542.5M127.57%334.42M-58.14%485.12M209.36%342.08M-298.15%-619.12M164.02%1.31B-76.11%146.95M417.05%1.16B78.84%-312.79M
-Change in payables and accrued expense 303.39%473.28M-102.66%-1.6B-287.05%-717.3M-44.94%-290.82M19.18%-359.25M55.92%-232.7M69.55%-789.52M115.09%383.48M66.06%-200.65M-215.59%-444.5M
Cash from discontinued investing activities
Operating cash flow 8.37%900.86M2.18%11.38B-22.88%2.79B148.53%5.83B-39.83%1.94B-57.67%831.29M-0.10%11.14B109.55%3.61B-27.81%2.34B-16.61%3.22B
Investing cash flow
Cash flow from continuing investing activities -756.39%-2.38B12.79%-5.03B-22.82%-2.42B-13.33%-1.72B-3.73%-1.26B133.79%362.64M-29.45%-5.77B-13.86%-1.97B-33.33%-1.51B-24.32%-1.21B
Net PPE purchase and sale -533.58%-1.82B18.38%-4.22B-21.40%-1.83B-10.46%-1.64B4.74%-1.17B144.36%420.9M-21.80%-5.17B9.71%-1.51B-40.54%-1.48B-31.01%-1.23B
Net intangibles purchase and sale -26.32%-33.39M-32.11%-168.04M-22.70%-44.4M-33.86%-42.21M-72.85%-55M4.44%-26.43M32.84%-127.2M40.72%-36.19M41.50%-31.53M16.76%-31.82M
Net business purchase and sale -1,539.79%-521.98M-35.72%-647.63M-27.84%-546.56M---36.03M-170.65%-33.21M67.07%-31.83M-1,683.78%-477.18M---427.53M--0--47.01M
Cash from discontinued investing activities
Investing cash flow -756.39%-2.38B12.79%-5.03B-22.82%-2.42B-13.33%-1.72B-3.73%-1.26B133.79%362.64M-29.45%-5.77B-13.86%-1.97B-33.33%-1.51B-24.32%-1.21B
Financing cash flow
Cash flow from continuing financing activities 215.18%594.41M34.86%-2.69B-52.79%-1.42B-57.60%-838.19M104.37%85.05M28.26%-516.07M50.03%-4.13B72.89%-928.09M72.43%-531.85M24.83%-1.95B
Net issuance payments of debt 415.73%1.08B111.37%163.94M170.41%70.3M-208.17%-236.73M157.22%671.78M11.81%-341.41M-15.80%-1.44B-146.04%-99.84M271.23%218.86M13.71%-1.17B
Net common stock issuance ---280.89M---1.19B---844.94M----------0--0--0--------
Cash dividends paid -16.02%-202.63M38.27%-1.66B22.32%-643.36M66.48%-251.67M24.01%-586.73M47.43%-174.66M54.46%-2.68B76.22%-828.26M37.30%-750.71M11.29%-772.11M
Cash from discontinued financing activities
Financing cash flow 215.18%594.41M34.86%-2.69B-52.79%-1.42B-57.60%-838.19M104.37%85.05M28.26%-516.07M50.03%-4.13B72.89%-928.09M72.43%-531.85M24.83%-1.95B
Net cash flow
Beginning cash position 158.44%7.77B21.40%3.01B177.03%8.07B91.29%4.89B44.98%3.74B21.40%3.01B-40.49%2.48B-52.88%2.91B-55.75%2.56B-47.26%2.58B
Current changes in cash -230.56%-885.04M195.03%3.66B-248.35%-1.06B993.43%3.27B1,206.20%763.08M296.14%677.86M179.23%1.24B120.73%711.46M62.70%299.45M-80.07%58.42M
Effect of exchange rate changes -776.31%-403.23M255.13%1.1B220.77%749.18M-251.73%-89.59M554.86%383.26M191.59%59.62M-496.40%-710.66M-123.95%-620.35M-73.74%59.04M-114.32%-84.26M
End cash Position 73.11%6.48B158.44%7.77B158.44%7.77B177.03%8.07B91.29%4.89B44.98%3.74B21.40%3.01B21.40%3.01B-52.88%2.91B-55.75%2.56B
Free cash flow -249.10%-971.25M-6.33%5.43B-57.03%875.14M398.76%4.13B-63.71%709.95M-128.34%-278.21M-13.00%5.8B9,880.84%2.04B-61.30%827.64M-31.60%1.96B
Currency Unit BRLBRLBRLBRLBRLBRLBRLBRLBRLBRL
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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