Company: BBD
Filing Date: 2025-10-30
Form Type: 6-K
Source: 0001292814-25-003700
Chunk: 18

Company: BANK BRADESCO
Filing Date: 2025-10-30
Form: 6-K
Chunk 18
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 reserves
- - - - - - - - - (234,365) (234,365) Transfers to reserves - - - 903,675 6,533,510 - - (7,437,185) - - - Acquisition of treasury shares
- (222,621) - - - - - - (222,621) - (222,621) Cancellation of treasury shares - 622,724 - - (622,724) - - - - - - Interest on Shareholders’
Equity Dividends paid and/or provisioned - - - - - - - (10,636,324) (10,636,324) - (10,636,324) Balance on September 30, 2025 87,100,000
(168,625) 35,973 15,198,653 76,148,011 70,496 661,657 (3,410,940) 175,635,225 509,202 176,144,427 The Notes are an integral part of the
Consolidated Financial Statements. BRADESCO | Consolidated Financial Statements in IFRS 15 Consolidated Financial Statements in IFRS |
Consolidated Statements of Cash Flows R$ thousands Nine-month period ended September 30 2025 2024 Operating activities Income before income
taxes 15,272,666 13,605,369 Adjustments to reconcile income before income tax to net cash flow from operating activities: Expected loss
on loans and advances 22,039,311 17,705,925 Change in insurance contract liabilities 27,594,306 38,551,994 Net Gains/(Losses) on financial
assets at fair value through other comprehensive income (40,357) (795,122) Expenses with provisions and contingent liabilities 7,952,885
4,402,013 (Gain)/Loss due to impairment of assets (322,604) 651,887 Depreciation 1,805,552 1,986,324 Amortization of intangible assets
3,448,239 2,991,793 Share of profit of associates and joint ventures (1,336,399) (1,304,045) (Gains)/Losses on disposal of non-current
assets held for sale (143,140) (4,993) (Gains)/Losses from disposal of premises and equipment 117,796 (111