|
(+) Ajustes (millones de R$) |
3,930 |
10,800 |
(12,360) |
5,872 |
9,238 |
9,015 |
3,306 |
1,939 |
4,823 |
6,508 |
4,964 |
1,950 |
5,529 |
9,378 |
954 |
6,543 |
9,427 |
2,161 |
3,105 |
3,442 |
|
|
Ganancia neta atribuible a los accionistas de Petrobras (millones de R$) |
7,747 |
5,567 |
(1,346) |
9,214 |
5,049 |
6,336 |
10,942 |
10,985 |
10,602 |
8,566 |
8,295 |
7,726 |
- |
- |
8,160 |
5,816 |
6,189 |
- |
8,783 |
7,239 |
|
|
Depreciación, agotamiento y amortización (millones de R$) |
5,925 |
5,775 |
5,317 |
4,749 |
2,904 |
4,350 |
4,087 |
3,558 |
3,930 |
4,063 |
3,624 |
3,265 |
4,201 |
3,746 |
3,504 |
3,203 |
3,568 |
3,099 |
2,629 |
2,567 |
|
|
Variaciones cambiarias y monetarias y cargas sobre financ. (millones de R$) |
612 |
1,329 |
7,146 |
(503) |
23 |
7,945 |
(1,225) |
(771) |
- |
(1,896) |
1,265 |
1,116 |
471 |
(719) |
(1,392) |
666 |
1,288 |
5,429 |
- |
876 |
|
|
Participación de los accionistas no controlantes (millones de R$) |
20 |
68 |
525 |
213 |
179 |
(1,062) |
468 |
209 |
34 |
565 |
41 |
71 |
(395) |
928 |
2,484 |
342 |
(1,948) |
(961) |
630 |
230 |
|
|
Participación en Inversiones (millones de R$) |
(182) |
(192) |
426 |
(136) |
(95) |
472 |
(166) |
(277) |
- |
(229) |
231 |
179 |
396 |
(310) |
(380) |
371 |
1,106 |
(138) |
143 |
(20) |
|
|
Impuesto sobre la renta y contribuciones diferidos (millones de R$) |
676 |
1,786 |
(537) |
2,331 |
2,947 |
(925) |
1,751 |
2,373 |
1,923 |
2,775 |
1,541 |
(446) |
1,330 |
679 |
(1,408) |
453 |
3,797 |
(206) |
321 |
702 |
|
|
Variación de existencias (millones de R$) |
100 |
(1,315) |
(1,093) |
(1,252) |
(794) |
(1,152) |
(2,213) |
(4,266) |
1,403 |
(1,932) |
191 |
(563) |
(896) |
(1,782) |
(2,141) |
1,821 |
6,102 |
(2,917) |
(3,085) |
(1,898) |
|
|
Variación de proveedores (millones de R$) |
(1,621) |
3,026 |
1,190 |
(479) |
571 |
- |
- |
- |
(2,183) |
- |
69 |
(837) |
1,564 |
1,105 |
(444) |
(997) |
(2,589) |
394 |
1,926 |
400 |
|
|
Variación de plan de pensión y salud (millones de R$) |
113 |
824 |
539 |
733 |
236 |
438 |
- |
- |
173 |
364 |
243 |
600 |
194 |
384 |
211 |
265 |
505 |
346 |
366 |
330 |
|
|
Variación de impuestos, tasas y contribuciones (millones de R$) |
289 |
(1,422) |
(1,826) |
618 |
(1,651) |
(1,298) |
(258) |
(237) |
173 |
(856) |
(2,097) |
(1,077) |
(2,305) |
1,721 |
870 |
335 |
(6,840) |
2,635 |
- |
470 |
|
|
Baja de pozos secos (millones de R$) |
1,502 |
844 |
2,737 |
545 |
989 |
270 |
708 |
538 |
- |
356 |
274 |
632 |
1,202 |
305 |
203 |
562 |
590 |
- |
- |
266 |
|
|
Pérdida en la recuperación de activos (millones de R$) |
665 |
170 |
769 |
143 |
1,070 |
385 |
205 |
163 |
- |
200 |
204 |
310 |
594 |
412 |
(106) |
244 |
2,687 |
- |
- |
4 |
|
|
Otros Ajustes (millones de R$) |
- |
- |
(1,190) |
(1,005) |
- |
- |
410 |
- |
1,107 |
- |
(634) |
762 |
(848) |
2,521 |
449 |
(722) |
1,161 |
3,871 |
(1,178) |
(485) |
|
|
(=) Recursos generados por las actividades operativas (millones de R$) |
11,677 |
16,367 |
11,014 |
15,086 |
14,287 |
15,351 |
14,248 |
12,924 |
15,425 |
15,074 |
13,259 |
9,676 |
13,658 |
16,681 |
9,114 |
12,359 |
15,616 |
13,013 |
11,888 |
10,681 |
|
|
(-) Recursos utilizados en actividades de inversión (millones de R$) |
(21,121) |
(16,324) |
(20,175) |
(17,318) |
(16,440) |
(13,323) |
(19,090) |
(9,395) |
(32,942) |
(36,974) |
(19,638) |
(16,013) |
(19,658) |
(18,446) |
(17,750) |
(14,427) |
(18,891) |
(14,127) |
(10,969) |
(10,761) |
|
|
Inversiones en área de negocios (millones de R$) |
(23,386) |
(19,778) |
(19,521) |
(16,577) |
(21,523) |
- |
- |
- |
(18,276) |
(15,348) |
(7,252) |
(7,286) |
(8,100) |
9,333 |
(7,628) |
(7,035) |
(8,897) |
(6,533) |
(5,412) |
(5,475) |
|
|
Inversiones en abastecimento (millones de R$) |
(8,614) |
(6,405) |
(6,379) |
(5,495) |
- |
- |
- |
- |
- |
(6,903) |
(9,044) |
(4,934) |
(6,227) |
5,077 |
(3,879) |
(4,190) |
(5,210) |
(3,505) |
(2,255) |
(2,563) |
|
|
Inversiones en Gás y Energia (millones de R$) |
592 |
(956) |
(852) |
(671) |
- |
- |
- |
- |
- |
(1,857) |
(1,399) |
(2,294) |
(3,377) |
2,533 |
(2,753) |
(1,816) |
(1,658) |
(1,520) |
(1,481) |
(1,421) |
|
|
Inversiones en Distribuição (millones de R$) |
824 |
(281) |
(254) |
(286) |
- |
- |
- |
- |
- |
(201) |
(136) |
(90) |
(222) |
(141) |
(116) |
(102) |
(235) |
(71) |
(797) |
(78) |
|
|
Inversiones en el Segmento Internacional (millones de R$) |
6 |
(1,543) |
(1,084) |
(643) |
- |
- |
- |
- |
- |
(943) |
(899) |
(1,395) |
(1,158) |
(1,208) |
(3,074) |
(951) |
(1,753) |
(1,832) |
(1,155) |
(1,183) |
|
|
Títulos y valores mobiliarios (millones de R$) |
2,265 |
3,454 |
(654) |
(741) |
- |
- |
(3,777) |
- |
- |
- |
- |
- |
13 |
43 |
- |
85 |
(910) |
(84) |
206 |
149 |
|
|
Dividendos (millones de R$) |
- |
- |
- |
(2,162) |
(2,394) |
- |
- |
- |
- |
- |
- |
- |
22 |
12 |
- |
18 |
146 |
(166) |
216 |
37 |
|
|
Otras inversiones (millones de R$) |
- |
(310) |
34 |
(866) |
- |
- |
- |
- |
- |
(982) |
(908) |
(14) |
(569) |
(209) |
(562) |
(436) |
(374) |
(416) |
(291) |
(227) |
|
|
(=) Flujo de efectivo neto (millones de R$) |
(9,444) |
43 |
(9,161) |
(2,232) |
(2,153) |
2,028 |
4,842 |
3,529 |
- |
(21,900) |
(6,379) |
(6,337) |
(6,000) |
(1,765) |
(8,636) |
(2,068) |
(3,275) |
(1,114) |
919 |
(80) |
|
|
(-) Recursos utilizados en actividades de financiación (millones de R$) |
6,874 |
3,784 |
(5,450) |
6,441 |
5,275 |
(4,038) |
(3,128) |
9,704 |
- |
45,331 |
3,581 |
4,188 |
4,475 |
22,015 |
(461) |
5,598 |
8,230 |
844 |
(1,433) |
(1,416) |
|
|
Financiamento (millones de R$) |
13,069 |
13,721 |
7,627 |
14,514 |
- |
- |
- |
- |
585 |
57 |
7,292 |
4,212 |
10,080 |
25,441 |
5,937 |
5,609 |
8,256 |
846 |
678 |
2,658 |
|
|
Dividendos (millones de R$) |
(1) |
(14) |
(4,010) |
(2,162) |
(2,394) |
(2,393) |
(4,034) |
(1,838) |
(4,075) |
(1,605) |
(3,711) |
(24) |
(5,605) |
(3,426) |
(6,398) |
(11) |
(26) |
(2) |
(2,111) |
(4,074) |
|
|
Efecto de variación cambiaria sobre efectivo y equivalentes (millones de R$) |
11 |
42 |
1,024 |
(52) |
(83) |
997 |
(702) |
(211) |
(210) |
(349) |
57 |
66 |
233 |
(234) |
(382) |
113 |
158 |
- |
- |
(15) |
|
|
(=) Variación neta de efectivo y equivalentes en el Periodo (millones de R$) |
(2,559) |
3,869 |
(13,587) |
4,157 |
3,039 |
(1,013) |
(8,672) |
13,022 |
- |
23,082 |
(2,741) |
(2,083) |
(1,292) |
20,016 |
(9,479) |
3,643 |
5,113 |
(270) |
(514) |
(1,511) |
|
|
Efectivo y equivalentes de efectivo al inicio del período (millones de R$) |
30,187 |
26,318 |
39,904 |
35,747 |
32,708 |
34,673 |
43,345 |
30,323 |
- |
24,210 |
26,951 |
29,034 |
30,088 |
10,072 |
19,776 |
15,889 |
10,776 |
11,046 |
11,560 |
13,071 |
|
|
Efectivo y equivalentes de efectivo al final del período (millones de R$) |
27,628 |
30,187 |
26,318 |
39,904 |
35,747 |
33,659 |
34,673 |
43,345 |
- |
47,292 |
24,210 |
26,951 |
28,796 |
30,088 |
10,297 |
19,532 |
15,889 |
10,776 |
11,046 |
11,560 |
|
|