Plataforma especialista para investimento em ações com foco no longo prazo.

 04/05/2021 - BBDC3 - Comunicado ao Mercado - * REPORT ON ECONOMIC AND FINANCIAL ANALYSIS - 1Q21 + TABLE OF CONTENTS + MANAGERIAL ANALYSIS OF RESULTS

Publicado por: Austrux

     * REPORT ON ECONOMIC AND FINANCIAL ANALYSIS - 1Q21
          + TABLE OF CONTENTS
          + MANAGERIAL ANALYSIS OF RESULTS
               o Corporate Strategy
               o 1Q21 Highlights
               o Press Release
               o Main Information
               o Summarized Analysis of Recurring Income
               o Net Interest Income
               o Loan Portfolio
               o Expenses with Expanded ALL
               o Renegotiation and Extension
               o Loan Indicators
               o Main Funding Sources
               o Fee and Commission Income
               o Operating Expenses
               o Income from Insurance
               o Revenue and Operating Income from Insurance
               o Technical Provisions and Insurance Activity Indicators
               o Insurance ? Income by Segments
               o Dynamics of the Insurance Business
               o Profit Reconciliation
               o Basel Ratio and Indicators
               o Guidance and Economic Perspectives
          + ADDITIONAL INFORMATION
               o 100% Client
               o Customer Experience / Digital Transformation
               o Digital Channels / BIA
               o next
               o Ágora
               o Launches/Highlights
               o Service Network
               o Service Points and Clients
               o Market Share
               o Return to Shareholders
               o Additional Information
               o Covid-19 Pandemic
               o Selected Information ? History
               o Consolidated Balance Sheet ? Bradesco
               o Consolidated Balance Sheet ? Insurance
               o Analytical Breakdown of Statement of Income
          + INDEPENDENT AUDITOR?S REPORT
               o Limited Assurance Report on the process of compilation
                 and presentation on the Consolidated Supplementary
                 Accounting information included within the Economic and
                 Financial Analysis Report
          + CONSOLIDATED FINANCIAL STATEMENTS
               o Consolidated Financial Statements Management Report
               o Consolidated Financial Statements Statement of Financial
                 Position
               o Consolidated Financial Statements Income Statements
               o Consolidated Financial Statements Statements of
                 Comprehensive Income
               o Consolidated Financial Statements Statements of C hanges
                 in Shareholders? Equity
               o Consolidated Financial Statements Statements of Added
                 Value
               o Consolidated Financial Statements Statements of Cash Flow
               o Consolidated Financial Statements Index of Notes
                    # 1) OPERATIONS
                    # 2) PRESENTATION OF THE CONSOLIDATED FINANCIAL
                      STATEMENTS
                    # 3) SIGNIFICANT ACCOUNTING POLICES
                    # 4) USE OF SIGNIFICANT ACCOUNTING ESTIMATES AND
                      JUDGMENTS
                    # 5) MANAGERIAL STATEMENTS OF FINANCIAL POSITION AND
                      INCOME BY OPERATING SEGMENT
                    # 6) CASH AND CASH EQUIVALENTS
                    # 7) INTERBANK INVESTMENTS
                    # 8) COMPULSORY DEPOSITS WITH THE BRAZILIAN CENTRAL
                      BANK
                    # 9) SECURITIES
                    # 10) DERIVATIVE FINANCIAL INSTRUMENTS
                    # 11) LOANS AND OTHER CREDIT EXPOSURES
                    # 12) OTHER FINANCIAL INSTRUMENTS
                    # 13) INVESTMENTS IN ASSOCIATES AND JOINTLY CONTROLLED
                      ENTITIES
                    # 14) PREMISES AND EQUIPMENT
                    # 15) INTANGIBLE ASSETS
                    # 16) OTHER ASSETS
                    # 17) DEPOSITS FROM BANKS
                    # 18) DEPOSITS FROM CUSTOMERS
                    # 19) SECURITIES ISSUED
                    # 20) SUBORDINATED DEBT
                    # 21) OTHER FINANCIAL LIABILITIES
                    # 22) PROVISIONS
                    # 23) PROVISIONS, CONTINGENT ASSETS AND LIABILITIES
                      AND LEGAL OBLIGATIONS ? TAX AND SOCIAL SECURITY
                    # 24) OTHER LIABILITIES
                    # 25) SHAREHOLDERS? EQUITY (PARENT COMPANY)
                    # 26) NON-CONTROLLING INTERESTS IN SUBSIDIARIES
                    # 27) FEE AND COMMISSION INCOME
                    # 28) PAYROLL AND RELATED BENEFITS
                    # 29) OTHER ADMINISTRATIVE EXPENSES
                    # 30) TAX EXPENSES
                    # 31) OTHER OPERATING INCOME
                    # 32) OTHER OPERATING EXPENSES
                    # 33) NON-OPERATING INCOME (LOSS)
                    # 34) RELATED-PARTY TRANSACTIONS
                    # 35) RISK AND CAPITAL MANAGEMENT
                    # 36) EMPLOYEE BENEFITS
                    # 37) INCOME TAXES
                    # 38) OTHER INFORMATION
               o Notes to the Consolidated Management Bodies
               o Independent Auditors? Report on the Consolidated
                 Financial Statements
               o Fiscal Council?s Report on the Consolidated Financial
                 Statements

   Table of Contents
   3
   Report on
   Economic and
   Financial Analysis
   1Q21

Veja mais na fonte: B3 / Bovespa


Plataforma especialista para investimento em ações com foco no longo prazo.


BBDC3
BCO BRADESCO S.A.
CNPJ: 60.746.948/0001-12
http://www.bradesco.com.br

Informações Gerais

Setor: Financeiro
Segmento: Bancos
Data: 2021-05-10
Fechamento: R$ 21,47
Preço de mercado:
R$ 208.668.638.410,84
N. Ações: 9.719.079.572
Sócio Maj.: Cidade de Deus Cia Cial Participações (45.64%)



Investir em ações nunca foi tão simples!
Vamos aprender agora investir em ações?


Indicadores Fundamentalistas:

Preço/Lucro: 9.82 Preço/Vpa: 1.54
Div. Yield: 7.08%
Lpa: R$ 2,19
Vpa: R$ 13,95 Margem Líq. anual: 17,03%
Roe anual: 15,62% Liquidez corrente anual: 0,12
Div. Bruta / Patri. Líq. anual: 9,17

Balanço Patrimonial:

Ativo Total anual:
R$ 1.378.527.685.000,00
Disponivel anual:
R$ 109.610.999.000,00
Ativo Circulante anual:
R$ 169.181.054.000,00
Dívida Bruta anual:
R$ 1.242.984.111.000,00
Dívida Líq. anual:
R$ 1.133.373.112.000,00
Patrimônio Líq. anual:
R$ 135.543.574.000,00

Demonstrativos de resultados

Último Anual (2019-12-31)
Receita Líq. anual:
R$ 65.688.408.000,00
Lucro Líq. anual:
R$ 21.173.207.000,00
Último Trimestral (2020-06-30)
Receita Líq. Trimestral:
R$ -1.311.742.000,00
Lucro Líq. Trimestral:
R$ 3.506.055.000,00