BRF S.A (P5Y) — Cash Flow Quality Index

Latest as of June 2025: 3.48x

BRF S.A (P5Y) has a Cash Flow Quality Index of 3.48x as of June 2025. Operating cash flow of €2.57 Billion exceeds net income of €740.62 Million, indicating high earnings quality where cash backs reported profits. Explore investment intensity of BRF S.A to see how much of total assets are deployed in long-term investments.

Cash Flow Quality Index

3.48x
Operating CF / Net Income

Operating Cash Flow

€2.57 Billion
EUR

Net Income

€740.62 Million
EUR

Data as of

Jun 2025
Most recent filing

BRF S.A Cash Flow Quality Index (2019–2024)

Historical Cash Flow Quality Index for BRF S.A across 4 annual periods. Values consistently above 1.0x indicate high-quality earnings. Check BRF S.A (P5Y) tangible net worth to evaluate the tangible quality of the company's equity base.

Annual Cash Flow Quality Index for BRF S.A (2019–2024)

Year-by-year earnings quality comparison for BRF S.A. For live market cap and the full company financial profile, see P5Y market cap overview.

Year Quality Index Operating CF (EUR) Net Income YoY Change
2024 3.35x €10.78 Billion €3.21 Billion ▼ -64.1%
2021 9.35x €3.92 Billion €419.45 Million ▲ +121.6%
2020 4.22x €5.84 Billion €1.38 Billion ▼ -50.2%
2019 8.47x €2.52 Billion €297.61 Million
Cash Flow Quality Index = Operating Cash Flow / Net Income. Ratios above 1.0x indicate cash-backed earnings.