BRKM5BRASKEM S.A.Company Data · 2T26updated 2026-08-24
1 Overview 4T10 — 2T26 · 63 quarters
BRASKEM S.A.
BRKM5Petroquímicos e Borracha

Braskem S.A., together with its subsidiaries, engages in the manufacture, sale, import, and export of chemicals, petrochemicals, and fuels in Brazil. The company supplies electricity and other inputs to second-generation producers; sells utilities, such as steam, water, compressed air and industrial gases; industrial services; and engages in the production, supply, and sale of electric energy and gas. It also produces and sells polyethylene, including the production of green PE made from renewable resources, and polypropylene; and polyvinyl chloride and caustic soda. In addition, the company provides thermoplastic resins; and other basic petrochemicals. It has operations in the United States, Europe, Asia, and internationally. The company was formerly known as Copene Petroquímica do Nordeste S.A. and changed its name to Braskem S.A. in 2002. Braskem S.A. was founded in 1972 and is headquartered in São Paulo, Brazil.

SectorPetroquímicos e Borracha
Company HeadquartersSão Paulo, SP
Full Time Employees8.233
CEODr. Helcio Tokeshi
Listing SegmentNível 1 de Governança Corporativa
Foundation1972
Customer Rating
Employee Rating
Estrutura Acionária
13%Free Float
Petróleo Brasileiro S.A. - Petrobras36%
Shine Fundo De Investimento Em Participações Responsabilidade Limitada34%
ADR's13%
NSP Investimentos S.A. - Em Recuperação Judicial4%
Victor Adler0%
Free Float13%
Valuation
PriceR$ 5,07
Shares Outstanding797.208
Market Capitalization4.042
( - ) Cash & Equivalents5.928
( + ) Total Debt49.336
( = ) Enterprise Value47.450
P/E15,8x
EV / EBITDA6,9x
R$ 5,07
Adj close · daily
▼ 0,6%
Income Statement
Revenue70.603
EBITDA6.838
EBIT2.261
Net Income(6.634)
SG&A %(7,3%)
Balance Sheet
Assets79.240
Cash5.928
Total Debt49.336
Net Debt43.408
Fixed Assets42.832
Working Capital(4.661)
Equity(13.087)
Invested Capital & Reinvestment
Invested Capital Turnover2,12x
Marginal IC Turnover(6,07x)
Reinvestment % NOPAT53,2%
Working Capital Turnover(10,80x)
Cash Conv. Cycle26,7
Fixed Assets Turnover1,62x
D&A % Fixed Assets10,3%
Capex % Revenue2,8%
-33,2 %
RoIC · LTM
RoIC (LTM)
Margins & Returns
Revenue Growth(9,2%)
Gross Margin8,9%
EBITDA Margin9,7%
Net Income Margin(9,4%)
Effective Tax Rate579,7%
Operating Leverage30,10x
RoIC(33,2%)
RoE54,2%
Capital Structure
Current Ratio0,77x
Financial Leverage(6,05x)
Asset Turnover0,87x
Net Debt / EBITDA6,35x
Net Debt & Lease / EBITDA6,94x
Cash Flow
CFO Conversion(26,8%)
FCFF Yield(7,3%)
FCFE Yield253,7%
Payout Ratio0,0%
Dividend Yield0,0%
Interest % FCFF(106,0%)
Latest CVM filings
  • 2026-08-14reported 2T26
  • 2026-05-14reported 1T26
  • 2026-03-27reported 4T25
  • 2025-11-11reported 3T25
  • 2025-08-07reported 2T25
  • 2025-05-10reported 1T25