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CSN Mineracao SA
BOVESPA:CMIN3

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CSN Mineracao SA
BOVESPA:CMIN3
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Price: 4.84 BRL
Market Cap: R$26.5B

Balance Sheet

Balance Sheet Decomposition
CSN Mineracao SA

Balance Sheet
CSN Mineracao SA

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Balance Sheet
Currency: BRL
Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
1 444
2 761
1 443
428
2 973
10 717
6 490
9 796
15 186
8 872
Cash
10
12
861
222
1 538
7 131
5 350
8 113
11 823
5 527
Cash Equivalents
1 434
2 749
582
206
1 435
3 585
1 139
1 683
3 363
3 345
Short-Term Investments
0
4
9
36
1
217
247
12
14
18
Total Receivables
627
874
799
1 488
2 892
856
1 723
1 940
1 577
2 020
Accounts Receivables
627
611
738
1 434
2 826
750
1 545
1 713
1 507
1 915
Other Receivables
0
262
60
54
66
106
178
228
71
105
Inventory
466
461
453
468
512
855
924
936
778
825
Other Current Assets
260
58
157
226
219
153
233
303
277
350
Total Current Assets
2 797
4 158
2 862
2 646
6 597
12 798
9 617
12 988
17 832
12 085
PP&E Net
6 421
6 412
6 574
7 187
6 853
7 692
8 356
8 959
9 705
10 994
PP&E Gross
6 421
6 412
6 574
7 187
6 853
7 692
8 356
8 959
9 705
10 994
Accumulated Depreciation
1 955
2 548
2 931
3 423
4 636
5 363
6 442
7 404
8 426
8 259
Intangible Assets
1 078
1 060
1 045
1 046
1 039
985
1 151
1 116
1 120
1 095
Goodwill
3 197
3 197
3 197
3 197
3 197
3 236
3 236
3 236
3 236
3 236
Note Receivable
0
146
100
74
77
117
114
291
282
551
Long-Term Investments
1 084
1 119
1 162
1 198
1 225
1 313
1 426
1 577
1 774
3 061
Other Long-Term Assets
356
199
197
530
634
850
1 153
1 523
2 442
2 531
Other Assets
3 197
3 197
3 197
3 197
3 197
3 236
3 236
3 236
3 236
3 236
Total Assets
14 932
N/A
16 290
+9%
15 135
-7%
15 878
+5%
19 622
+24%
26 991
+38%
25 054
-7%
29 691
+19%
36 391
+23%
33 554
-8%
Liabilities
Accounts Payable
355
697
763
826
1 393
1 150
1 384
1 843
2 067
2 172
Accrued Liabilities
59
59
58
67
66
75
82
93
102
107
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
82
779
639
47
53
606
1 064
457
1 352
1 668
Other Current Liabilities
1 595
1 830
513
1 237
3 086
4 700
2 113
3 677
4 024
6 093
Total Current Liabilities
2 091
3 365
1 974
2 177
4 598
6 533
4 643
6 070
7 546
10 039
Long-Term Debt
3 139
2 439
2 144
1 519
1 354
4 254
7 468
7 847
8 899
7 653
Deferred Income Tax
251
391
389
433
436
352
81
114
0
133
Minority Interest
0
0
0
0
0
0
0
0
0
1
Other Liabilities
201
209
294
2 392
2 632
1 854
1 468
4 961
9 677
9 047
Total Liabilities
5 681
N/A
6 403
+13%
4 801
-25%
6 520
+36%
9 021
+38%
12 993
+44%
13 660
+5%
18 992
+39%
26 122
+38%
26 873
+3%
Equity
Common Stock
6 104
6 104
6 104
6 104
6 104
7 474
7 474
7 474
7 474
7 474
Retained Earnings
2 783
1 199
1 642
1 180
1 288
3 588
1 847
1 393
1 620
729
Unrealized Security Profit/Loss
0
2 253
2 259
1 746
2 883
3 262
2 247
2 008
2 072
324
Treasury Stock
0
0
0
0
0
651
0
0
324
324
Other Equity
364
331
330
328
326
326
174
176
573
65
Total Equity
9 251
N/A
9 887
+7%
10 335
+5%
9 358
-9%
10 602
+13%
13 998
+32%
11 393
-19%
10 699
-6%
10 269
-4%
6 680
-35%
Total Liabilities & Equity
14 932
N/A
16 290
+9%
15 135
-7%
15 878
+5%
19 622
+24%
26 991
+38%
25 054
-7%
29 691
+19%
36 391
+23%
33 554
-8%
Shares Outstanding
Common Shares Outstanding
5 591
5 591
5 591
5 591
5 591
5 486
5 485
5 485
5 432
5 432
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