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BRBI

BRBI BR Partners S.A.

Price Chart
Latest Quote

$11.74

+0.00 (+0.00%)
Current Price
Previous Close $11.74
Open $11.97
Day High $11.74
Day Low $11.74
Volume 17
Fetched: 2026-07-15T18:13:05
Stock Information
Note: Financial values converted from BRL to USD
Quarterly Dividend / Yield $0.90 / 7.70%
Shares Outstanding 26.25M
Quarterly Dividend Yield 7.70%
Quarterly Dividend $0.90
Total Debt $3.33B
Cash Equivalents $2.86B
Revenue $-2.28B
Net Income $33.43M
Sector Financial Services
Industry Capital Markets
Market Cap $308.16M
P/E Ratio 27.95
EPS (TTM) $0.42
Exchange NCM
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Recent Price History
Date Close Volume
2026-07-17 $11.74 0
2026-07-16 $11.74 0
2026-07-15 $11.74 0
2026-07-14 $11.74 0
2026-07-13 $11.74 200
2026-07-10 $11.50 0
2026-07-09 $11.50 0
2026-07-08 $11.50 0
2026-07-07 $11.50 0
2026-07-06 $11.50 5,500
2026-07-02 $11.29 0
2026-07-01 $11.29 300
2026-06-30 $11.35 4,100
2026-06-29 $11.17 1,000
2026-06-26 $11.17 200
2026-06-25 $10.91 0
2026-06-24 $10.91 2,400
2026-06-23 $11.20 500
2026-06-22 $11.28 500
2026-06-18 $11.49 1,000
About BRBI BR Partners S.A.

BRBI BR Partners S.A., through its subsidiaries, operates as an investment bank that provides investment banking, capital market, treasury sales and structuring, investment, and wealth management services in Brazil. The company offers financial and strategic advisory services for mergers and acquisitions, capital markets and solutions, boards and shareholders, Pre-IPO, and privatizations. It also originates, structures, and distributes real estate receivables certificates, structured real estate receivables certificates, agribusiness receivables certificates, real estate investment funds, investment funds in agro-industrial production chains, credit rights investment funds, bank credit notes, and debentures. In addition, the company offers multi-product platform across foreign exchange, interest rates, commodities, and fixed income markets; derivative products comprising futures, swaps, forwards, and options; foreign exchange consisting of spot transactions and forward settlements; asset and liability management; fixed income, which include funding products, as well as trading in the secondary market for government bonds, debentures, and securitizations; and bank guarantees. Further, it manages the wealth of high-net-worth families; and makes minority investments in small and medium-sized companies through privately negotiated deals and structure vehicles. The company was formerly known as BR Advisory Partners ParticipaçÃĩes S.A. The company was founded in 2009 and is headquartered in SÃŖo Paulo, Brazil.

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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $2,368,669,662 $1,374,584,241 $1,230,030,680 $659,992,484
Cost Of Revenue $2,368,669,662 $1,374,584,241 $1,230,030,680 $659,992,484
Total Revenue $2,448,431,075 $1,460,741,691 $1,291,757,498 $724,657,165
Operating Revenue $2,448,431,075 $1,460,741,691 $1,291,757,498 $724,657,165
Expenses
Total Expenses $2,402,595,741 $1,413,570,803 $1,252,309,728 $678,906,743
Rent Expense Supplemental $774,853 $878,088 $749,635 $615,863
Operating Expense $33,926,079 $38,986,562 $22,279,049 $18,914,259
Other Operating Expenses $-257,299 $359,155 $560,306 $768,352
Selling And Marketing Expense $631,625 $487,017 $319,950 $623,153
General And Administrative Expense $19,405,019 $24,373,891 $11,887,190 $8,653,611
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $34,491,704 $38,155,560 $30,553,606 $28,980,849
Normalized Income $34,491,704 $38,155,560 $30,553,606 $28,980,849
Net Income From Continuing And Discontinued Operation $34,491,704 $38,155,560 $30,553,606 $28,980,849
Net Income Common Stockholders $34,491,704 $38,155,560 $30,553,606 $28,980,849
Net Income $34,491,704 $38,155,560 $30,553,606 $28,980,849
Net Income Including Noncontrolling Interests $34,491,704 $38,155,560 $30,553,606 $28,980,849
Net Income Continuous Operations $34,491,704 $38,155,560 $30,553,606 $28,980,849
Pretax Income $45,835,334 $47,170,887 $39,447,770 $45,750,422
Earnings From Equity Interest $0 - - -
Operating Income $45,835,334 $47,170,887 $39,447,770 $45,750,422
Depreciation Amortization Depletion Income Statement $2,135,033 $1,479,373 $1,325,308 $878,285
Depreciation And Amortization In Income Statement $2,135,033 $1,479,373 $1,325,308 $878,285
Gross Profit $79,761,413 $86,157,449 $61,726,819 $64,664,681
Per Share
Diluted EPS $0.44 $0.48 $0.39 $1.11
Basic EPS $0.44 $0.48 $0.39 $1.11
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $47,970,367 $48,650,260 $40,773,078 $46,628,707
Reconciled Depreciation $2,135,033 $1,479,373 $1,325,308 $878,285
EBITDA (Bullshit earnings) $47,970,367 $48,650,260 $40,773,078 $46,628,707
EBIT $45,835,334 $47,170,887 $39,447,770 $45,750,422
Diluted Average Shares $15,514,155 $15,514,155 $15,514,155 $15,514,155
Basic Average Shares $15,514,155 $15,514,155 $15,514,155 $15,514,155
Diluted NI Availto Com Stockholders $34,491,704 $38,155,560 $30,553,606 $28,980,849
Tax Provision $11,343,630 $9,015,327 $8,894,164 $16,769,573
Other Taxes $9,426,100 $9,459,001 $7,892,746 $8,039,915
Provision For Doubtful Accounts $2,585,602 $2,828,125 $293,550 $-49,056
Selling General And Administration $20,036,644 $24,860,908 $12,207,139 $9,276,764
Other Gand A $18,630,166 $23,495,803 $11,137,554 $7,991,055
Rent And Landing Fees $774,853 $878,088 $749,635 $615,863
Insurance And Claims - $50,238 $58,907 $46,692
Fetched: 2026-07-15
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31
Assets
Net Tangible Assets $151,900,186 $155,456,867 $158,069,657
Total Assets $3,444,300,845 $2,966,327,739 $2,117,046,875
Total Non Current Assets $2,698,344,181 $2,298,251,603 $1,776,406,399
Other Non Current Assets $5,294,535 $5,370,582 $5,378,856
Non Current Deferred Assets $18,208,951 $18,842,152 $4,970,448
Non Current Deferred Taxes Assets $18,208,951 $18,842,152 $4,970,448
Financial Assets $201,613,333 $211,038,645 $46,531,776
Investmentin Financial Assets $2,462,086,656 $2,051,602,809 $1,707,202,139
Financial Assets Designatedas Fair Value Through Profitor Loss Total $2,307,547,477 $1,826,946,805 $1,520,596,883
Goodwill And Other Intangible Assets $2,419,914 $3,058,040 $3,642,184
Current Assets $745,956,664 $668,076,136 $340,640,475
Hedging Assets Current $38,458,172 - -
Restricted Cash $4,785,452 $1,139,722 $190,315
Prepaid Assets $1,036,684 $1,139,722 $190,315
Receivables $62,155,717 $84,783,479 $49,335,866
Other Receivables $25,716,536 $16,513,849 $9,995,074
Loans Receivable $36,439,180 $68,269,629 $39,340,792
Cash Cash Equivalents And Short Term Investments $679,015,495 $582,152,935 $291,114,294
Cash And Cash Equivalents $27,146,852 $113,328,928 $56,579,847
Cash Equivalents $25,620,197 $107,738,086 $34,213,718
Cash Financial $1,526,656 $5,590,843 $22,366,128
Debt
Net Debt $2,660,621,459 $1,836,662,317 $1,182,318,991
Total Debt $2,694,184,640 $1,955,791,513 $1,244,749,935
Long Term Debt And Capital Lease Obligation $445,965,739 $368,611,631 $125,572,712
Long Term Debt $439,549,411 $362,811,363 $119,721,615
Current Debt And Capital Lease Obligation $2,248,218,901 $1,587,179,882 $1,119,177,223
Current Debt $2,248,218,901 $1,587,179,882 $1,119,177,223
Other Current Borrowings - $1,587,179,882 $1,119,177,223
Liabilities
Total Liabilities Net Minority Interest $3,289,980,745 $2,807,812,832 $1,955,335,033
Total Non Current Liabilities Net Minority Interest $661,044,535 $685,130,590 $409,672,940
Other Non Current Liabilities $126,065,245 $224,451,899 $185,968,115
Derivative Product Liabilities $54,171,557 $62,515,266 $83,836,436
Tradeand Other Payables Non Current $0 - -
Non Current Deferred Liabilities $34,693,249 $29,177,468 $13,835,848
Non Current Deferred Taxes Liabilities $34,693,249 $29,177,468 $13,835,848
Current Liabilities $2,628,936,209 $2,122,682,242 $1,545,662,093
Other Current Liabilities $370,868,418 $517,646,654 $405,336,087
Current Notes Payable $2,248,218,901 $1,587,179,882 -
Payables And Accrued Expenses $9,848,890 $17,855,707 $21,148,783
Payables $9,848,890 $17,855,707 $21,148,783
Other Payable $1,769,770 $8,896,134 $10,104,417
Dividends Payable $75,850 $144,805 $144,805
Total Tax Payable $5,788,250 $5,658,221 $9,968,280
Accounts Payable $2,215,020 $3,156,547 $931,282
Equity
Common Stock Equity $154,320,100 $158,514,907 $161,711,841
Total Equity Gross Minority Interest $154,320,100 $158,514,907 $161,711,841
Stockholders Equity $154,320,100 $158,514,907 $161,711,841
Gains Losses Not Affecting Retained Earnings $21,347,964 $25,542,770 $28,739,705
Other Equity Adjustments $21,347,964 $25,542,770 $28,739,705
Long Term Equity Investment $0 - -
Other
Ordinary Shares Number $20,685,547 $20,685,547 $20,685,547
Share Issued $20,685,547 $20,685,547 $20,685,547
Tangible Book Value $151,900,186 $155,456,867 $158,069,657
Invested Capital $2,842,088,412 $2,108,506,152 $1,400,610,679
Working Capital $-1,882,979,546 $-1,454,606,106 $-1,205,021,618
Capital Lease Obligations $6,416,328 $5,800,268 $5,851,097
Total Capitalization $593,869,512 $521,326,270 $281,433,456
Capital Stock $132,972,136 $132,972,136 $132,972,136
Common Stock $132,972,136 $132,972,136 $132,972,136
Dueto Related Parties Non Current $0 - -
Long Term Capital Lease Obligation $6,416,328 $5,800,268 $5,851,097
Long Term Provisions $148,745 $374,325 $459,829
Investments And Advances $2,462,086,656 $2,051,602,809 $1,707,202,139
Available For Sale Securities $154,539,179 $224,656,005 $186,605,256
Net PPE $8,720,792 $8,339,375 $8,680,996
Other Short Term Investments $651,868,642 $468,824,007 $234,534,447
Fetched: 2026-07-15
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $-83,777,332 $17,211,867 $44,286,022 $19,633,357
Operating Activities
Operating Cash Flow $-83,664,640 $17,765,475 $45,862,128 $30,596,358
Cash Flow From Continuing Operating Activities $-83,664,640 $17,765,475 $45,862,128 $30,596,358
Operating Gains Losses $-7,765,475 $-9,088,419 $-10,503,565 $565,428
Investing Activities
Capital Expenditure $-112,692 $-553,607 $-1,576,106 $-10,963,000
Investing Cash Flow $-112,692 $-553,607 $-1,576,106 $-10,963,000
Cash Flow From Continuing Investing Activities $-112,692 $-553,607 $-1,576,106 $-10,963,000
Financing Activities
Financing Cash Flow $-10,170,219 $30,448,795 $-13,472,358 $-22,350,564
Cash Flow From Continuing Financing Activities $-10,170,219 $30,448,795 $-13,472,358 $-22,350,564
Net Other Financing Charges $38,299,380 $73,466,248 $14,303,163 $-242,326
Cash Dividends Paid $0 $0 $0 $0
Dividends Received Cfi $0 - - -
Issuance Of Capital Stock - $0 $0 $1,122,385
Net Common Stock Issuance - $0 $0 $1,122,385
Common Stock Issuance - $0 $0 $1,122,385
Other
Repayment Of Debt $-40,083,138 $-41,601,716 $-27,775,522 $-29,250,166
Interest Paid Supplemental Data $267,367,103 $273,095,855 $129,429,247 $67,987,506
End Cash Position $27,146,852 $113,328,928 $56,579,847 $15,262,618
Beginning Cash Position $113,328,928 $56,579,847 $15,262,618 $18,545,253
Effect Of Exchange Rate Changes $7,765,475 $9,088,419 $10,503,565 $-565,428
Changes In Cash $-93,947,551 $47,660,662 $30,813,663 $-2,717,207
Interest Paid Cff $-8,386,461 $-1,415,737 $0 $0
Net Issuance Payments Of Debt $-40,083,138 $-41,601,716 $-27,775,522 $-23,230,623
Net Long Term Debt Issuance $-40,083,138 $-41,601,716 $-27,775,522 $-23,230,623
Long Term Debt Payments $-40,083,138 $-41,601,716 $-27,775,522 $-29,250,166
Net Business Purchase And Sale $0 - - -
Purchase Of Business $0 - - -
Net Intangibles Purchase And Sale $0 $0 $-1,136,176 $-1,965,601
Purchase Of Intangibles $0 $0 $-1,136,176 $-1,965,601
Net PPE Purchase And Sale $-112,692 $-553,607 $-439,931 $-8,997,399
Purchase Of PPE $-112,692 $-553,607 $-439,931 $-8,997,399
Taxes Refund Paid $-6,292,604 $-7,138,973 $-11,550,494 $-12,835,809
Change In Working Capital $-133,581,301 $-14,998,029 $36,876,944 $7,772,174
Change In Other Working Capital $-194,946,010 $112,310,567 $149,807,511 $123,186,093
Change In Other Current Liabilities $625,277,761 $672,499,675 $337,263,471 $819,651,447
Change In Other Current Assets $-591,740,586 $-772,993,583 $-470,749,615 $-900,403,049
Change In Payables And Accrued Expense $-1,417,313 $4,942,275 $13,391,977 $891,682
Change In Payable $-1,417,313 $4,942,275 $13,391,977 $891,682
Change In Account Payable $-941,526 $2,225,265 $272,272 $-9,218,054
Change In Tax Payable $6,422,633 $2,828,914 $11,721,107 $13,182,552
Change In Income Tax Payable $6,422,633 $2,828,914 $11,721,107 $13,182,552
Change In Receivables $29,244,847 $-31,756,963 $7,163,600 $-35,554,000
Other Non Cash Items $18,677,646 $5,026,006 $32,507 -
Provisionand Write Offof Assets $-64,226 $31,916 $28,173 $136,727
Asset Impairment Charge $2,585,602 $2,828,125 $293,550 $-49,056
Deferred Tax $6,148,981 $1,469,916 $-1,193,900 $5,147,760
Deferred Income Tax $6,148,981 $1,469,916 $-1,193,900 $5,147,760
Depreciation Amortization Depletion $2,135,033 $1,479,373 $1,325,308 $878,285
Depreciation And Amortization $2,135,033 $1,479,373 $1,325,308 $878,285
Earnings Losses From Equity Investments $0 - - -
Net Foreign Currency Exchange Gain Loss $-7,765,475 $-9,088,419 $-10,503,565 $565,428
Net Income From Continuing Operations $34,491,704 $38,155,560 $30,553,606 $28,980,849
Issuance Of Debt - - - $6,019,543
Long Term Debt Issuance - - - $6,019,543
Fetched: 2026-07-15