RADL3.SA - Raia Drogasil S.A.

São Paulo - São Paulo Delayed price. Currency in BRL
Show:
Annual

Income statement

All numbers in thousands
Breakdown
ttm
31/12/2022
31/12/2021
31/12/2020
31/12/2019
Total revenue
29,067,380
29,067,380
24,127,002
20,066,840
17,565,600
Cost of revenue
20,257,912
20,257,912
16,920,834
14,175,708
12,367,239
Gross profit
8,809,468
8,809,468
7,206,168
5,891,132
5,198,361
Operating expenses
Selling general and administrative
7,055,839
7,055,839
5,879,153
4,956,179
4,303,483
Total operating expenses
6,975,303
6,975,303
5,831,670
4,963,538
4,303,483
Operating income or loss
1,834,165
1,834,165
1,374,498
927,594
894,878
Interest expense
292,690
292,690
228,230
234,085
224,498
Income before tax
1,193,209
1,193,209
987,262
616,368
784,168
Income tax expense
178,241
178,241
223,129
120,835
-4,567
Income from continuing operations
1,014,968
1,014,968
764,133
495,533
788,735
Net income
996,112
996,112
751,934
484,444
772,240
Net income available to common shareholders
996,112
996,112
751,934
484,444
772,240
Basic EPS
-
-
0.46
0.29
0.47
Diluted EPS
-
-
0.45
0.29
0.47
Basic average shares
-
-
1,649,271
1,649,216
1,647,045
Diluted average shares
-
-
1,653,785
1,653,424
1,651,450
EBITDA
-
3,001,437
2,542,602
2,027,735
2,049,699