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RCSL4 Recrusul Sa

0.80
0.05 (6.67%)
23 Feb 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End Dec 2021Mar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023
BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)
Total Assets 66.21M63.87M64.32M65.72M58.16M65.74M61.08M61.32M
Total Current Assets 34.22M28.89M29.02M30.27M29.44M35.79M31.21M30.06M
Cash and Equivalents 4.55M662k645k911k1.56M1.14M266k49k
Total Non-Current Assets 35.26M38.99M39.89M40.33M38.06M40.68M40.91M42.36M
Total Liabilities 107.39M100.95M102.59M104.88M63.83M64.76M60.65M61.2M
Total Current Liabilities 29.76M23.8M25.61M24.18M22.38M26.68M21.28M21.73M
Total Non-Current Liabilities 77.63M77.14M76.98M80.7M41.45M38.08M39.38M39.47M
Common Equity 220M220M220M220M350M350M350M350M
Retained Earnings -257.52M-257.41M-258.6M-259.56M-270.36M-270.64M-271.38M-273.42M
Year End 31 December 2022 20152016201720182019202020212022
BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)BRL (R$)
Total Assets 35.21M47.98M37.47M40.98M38.82M44.05M66.21M58.16M
Total Current Assets 1.07M815k1.17M15.33M15.61M19.06M34.22M29.44M
Cash and Equivalents 02k1,0002.84M193k1.26M4.55M1.56M
Total Non-Current Assets -104.15M-81.82M-116.3M-63.93M-67.26M-64.88M-41.19M-5.68M
Total Liabilities 139.36M129.8M153.77M104.91M106.08M108.93M107.39M63.83M
Total Current Liabilities 77.43M67.43M45.13M29.78M28.06M24.7M29.76M22.38M
Total Non-Current Liabilities 65.29M65.97M112.37M75.12M78.02M84.22M77.63M41.45M
Total Equity -104.15M-81.82M-116.3M-63.93M-67.26M-64.88M-41.19M-5.68M
Common Equity 72M124.5M124.5M220M220M220M220M350M
Retained Earnings -182.78M-212.85M-241.15M-254.25M-257.77M-259.21M-257.52M-270.36M

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