Below are the financial statements of Porto Seguro, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
| All figures in millions of BRL | 2024 as of 2024-12-31 | 2023 as of 2023-12-31 |
|---|---|---|
| Current assets | 26,288.83a | 26,456.06a |
| Cash and cash equivalents | 2,191.49a | 1,105.4a |
| Financial investments | — | — |
| Financial investments measured at fair value through profit or loss | 7,414.56a | 10,906a |
| Loans and receivables (at amortized cost) | 13,829.75a | 12,108.17a |
| Reinsurance contract assets | 98.29a | 107.98a |
| Accounts receivable from provision of services | 598.62a | 478.9a |
| Recoverable taxes and contributions | 295.59a | 220.33a |
| Goods for sale | 190.04a | 297.26a |
| Deferred acquisition costs | 508.96a | 311.62a |
| Derivative financial instruments | 160.19a | 12.97a |
| Other assets | 1,001.33a | 907.44a |
| Non-current assets | 21,624.91a | 17,783.54a |
| Non-current receivables | — | — |
| Financial investments | — | — |
| Financial investments at fair value through profit or loss | 2.61a | 2.4a |
| Financial investments at fair value through other comprehensive income | 2,024.62a | 3,358.48a |
| Financial investments measured at amortized cost | 8,986.43a | 3,713.08a |
| Loans and receivables (at amortized cost) | 1,026.88a | 1,029.84a |
| Reinsurance contract assets | 2.67a | 7.5a |
| Deferred income tax and social contribution | 1,553.4a | 1,212.49a |
| Recoverable taxes and contributions | 1.47a | 1.47a |
| Deferred acquisition costs | 1,033.43a | 695.78a |
| Judicial deposits | 1,519.54a | 1,622.62a |
| Other assets | 105.05a | 102.95a |
| Investments | — | — |
| Interest in subsidiaries | 0a | 0a |
| Interest in associated companies and jointly controlled entities | 226.85a | 193.57a |
| Other investments | 32.78a | 48.43a |
| Real estate for investments | 273.54a | 307.02a |
| Property, plant and equipment | 930.5a | 1,568.43a |
| Intangible assets | 3,817.93a | 3,817.06a |
| Right-of-use assets | 87.2a | 102.43a |
| Total assets | 47,913.74a | 44,239.6a |
| Current liabilities | 22,875.03a | 23,490.25a |
| Insurance contract liabilities | 5,806.88a | 5,853.59a |
| Financial liabilities | 13,664.21a | 14,973.87a |
| Taxes and contributions payable | 545.34a | 366.93a |
| Dividends and interest on capital payable | 606.73a | 522.19a |
| Derivative financial instruments | 0.72a | 50.31a |
| Lease liabilities | 20.2a | 18.89a |
| Other liabilities | 2,230.95a | 1,704.47a |
| Non-current liabilities | 10,893.31a | 8,251.56a |
| Insurance contract liabilities | 4,621.88a | 4,782.57a |
| Financial liabilities | 3,559.96a | 873.66a |
| Deferred income tax and social contribution | 534.42a | 329.23a |
| Taxes and contributions payable | 0a | 0.07a |
| Derivative financial instruments | 11.28a | 0a |
| Lease liabilities | 114.32a | 126.64a |
| Legal provisions | 1,431.45a | 1,513.15a |
| Other liabilities | 619.99a | 626.23a |
| Shareholders' equity | 14,145.4a | 12,497.8a |
| Capital | 8,500a | 8,500a |
| Revenue reserves | 4,241.5a | 2,920.85a |
| (-) Treasury shares | -155.61a | -123.19a |
| Revenue reserves - other | 4,397.11a | 3,044.05a |
| Capital reserves | 808.33a | 808.33a |
| Additional dividends proposed | 559.34a | 288.15a |
| Other comprehensive income | -58.37a | -102.08a |
| Non-controlling interest | 94.6a | 82.54a |
| Total liabilities and shareholders' equity | 47,913.74a | 44,239.6a |
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