BANCO SANTANDER (BRASIL) S.A.
Rank #4
B3
BRL
CIIU 20532
Bancos
90400888000142
BRL 29.75
SANB11
-0.37%
B3 · H 29.94 · L 29.53 · Vol 9,341
Activos 2025: BRL 1.27T
Patrimonio: BRL 126.55B
Pasivos: BRL 1.14T
Ingresos: BRL 162.49B
Utilidad: BRL 12.97B
FCF: BRL 1.67B
📊 Quality Score
38
Below Avg
5/6 dimensiones
| Dimensión | Métrica | Valor | Bar | Score |
| Rentabilidad | ROIC | 1.0% | | 3 |
| Liquidez | Current Ratio | — | | — |
| Apalancamiento | D/E | 9.04x | | 20 |
| Eficiencia | Asset Turnover | 0.13x | | 26 |
| Crecimiento | Revenue YoY | 18.5% | | 84 |
| Margen | Net Margin | 8.0% | | 58 |
💰 Capital Allocation (2025)
| Componente | Valor |
| Capex (de CFI) | BRL 3.32B |
| Distribución a accionistas (proxy de CFF) | — |
Aproximación: capex = abs(CFI), dividendos = abs(CFF) cuando es negativo.
📊 Ratios financieros
| Métrica | Valor |
| Margen Neto | 8.0% |
| ROE (Return on Equity) | 10.2% |
| ROA (Return on Assets) | 1.0% |
| Debt / Equity | 9.04x |
| Asset Turnover | 0.13x |
| Free Cash Flow | BRL 1.67B |
| FCF Margin | 1.0% |
💰 Cash Flow Breakdown (2025)
| Componente | Valor |
| Cash Flow Operativo | +BRL 4.99B |
| Cash Flow Inversión | -BRL 3.32B |
| Cash Flow Financiamiento | +BRL 4.40B |
| Free Cash Flow (CFO + CFI) | +BRL 1.67B |
📈 Activos por año
💵 Ingresos por año
📉 Utilidad Neta por año
🏛️ Patrimonio por año
📜 Historial completo (16 años)
| Año | Activos | Pasivos | Patrimonio |
Ingresos | Utilidad Neta | CFO |
| 2025 | BRL 1.27T | BRL 1.14T | BRL 126.55B | BRL 162.49B | BRL 12.97B | BRL 4.99B |
| 2024 | BRL 1.24T | BRL 1.12T | BRL 119.83B | BRL 137.18B | BRL 13.41B | -BRL 21.13B |
| 2023 | BRL 1.12T | BRL 1.00T | BRL 114.86B | BRL 128.28B | BRL 9.50B | BRL 36.63B |
| 2022 | BRL 985.45B | BRL 874.77B | BRL 110.68B | BRL 115.23B | BRL 14.34B | BRL 6.85B |
| 2021 | BRL 931.21B | BRL 825.23B | BRL 105.97B | BRL 77.99B | BRL 15.56B | BRL 6.81B |
| 2020 | BRL 936.20B | BRL 830.11B | BRL 106.09B | BRL 62.77B | BRL 13.45B | BRL 42.32B |
| 2019 | BRL 762.24B | BRL 665.03B | BRL 97.21B | BRL 72.84B | BRL 16.63B | BRL 24.87B |
| 2018 | BRL 723.87B | BRL 632.27B | BRL 91.60B | BRL 70.48B | BRL 12.80B | BRL 8.28B |
| 2017 | BRL 645.70B | BRL 558.62B | BRL 87.09B | BRL 71.42B | BRL 9.14B | BRL 50.29B |
| 2016 | BRL 634.39B | BRL 549.58B | BRL 84.81B | BRL 77.15B | BRL 7.46B | BRL 6.75B |
| 2015 | BRL 605.39B | BRL 525.56B | BRL 79.84B | BRL 69.87B | BRL 9.83B | BRL 4.03B |
| 2014 | BRL 520.23B | BRL 441.55B | BRL 78.68B | BRL 58.92B | BRL 5.71B | -BRL 4.09B |
| 2013 | BRL 453.05B | BRL 371.40B | BRL 81.66B | BRL 51.22B | BRL 5.85B | BRL 21.72B |
| 2012 | BRL 421.08B | BRL 339.52B | BRL 81.57B | BRL 52.66B | BRL 5.46B | BRL 4.58B |
| 2011 | BRL 399.89B | BRL 321.85B | BRL 78.03B | BRL 51.74B | BRL 7.76B | -BRL 11.11B |
| 2010 | BRL 374.66B | BRL 301.30B | BRL 73.36B | BRL 40.91B | BRL 7.38B | -BRL 10.33B |
ℹ️ Cobertura de datos
Fuente: CVM (Brasil) ·
Estados disponibles: balance_assets, balance_liab, cashflow, cashflow_alt, income, income_alt, patrimony ·
Años: 2010–2025 (16 años)
Tier1 (Balance + P&L + CF): ✅ ·
Tier2 (Cambios Patrimonio): ✅ ·
Tier3 (Notas): ❌ pendiente ·
Tier4 (Governance): ❌ pendiente