Company: BBD
Filing Date: 2025-10-30
Form Type: 6-K
Source: 0001292814-25-003701
Chunk: 71

Company: BANK BRADESCO
Filing Date: 2025-10-30
Form: 6-K
Chunk 71
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 on Financial Assets 12 (26,036,232) -Expected loss from loans and finance
lease (25,683,001) - Expected loss on other financial assets (353,231) Gross Income from Financial Intermediation Net of Expected Losses
39,558,958 Other operating income/(expenses) (22,520,801) - Fee and commission income 28 23,023,199 - Other income from insurance, pension
plans and capitalization bonds 23a III 10,552,329 - Personnel expenses 29 (19,570,286) - Administrative Expenses 30 (16,444,771) - Tax
expenses 31 (6,098,570) - Share of profit (loss) of associates and jointly controlled entities 14a 1,335,724 - Other operating income
32 8,491,120 - Other operating expenses 33 (16,703,683) Tax, Civil and Labor Provisions and Others 24 (7,105,863) Operating profit 17,038,157
Non-operating income/(expense) 34 (178,732) Income before income tax and non-controlling interests 16,859,425 - Income tax benefit / (expense)
35 1,424,812 - Non-controlling shareholders (210,728) Net income 18,073,509 Basic and diluted earnings per share based on the weighted
average number of shares (expressed in R$ per share): – Earnings per common share 26e i 1.62 – Earnings per preferred share
26e i 1.79 The accompanying Notes are an integral part of these Consolidated Financial Statements. BRADESCO | Consolidated Financial Statements
64 Consolidated Financial Statements | Statement of Comprehensive Income R$ thousands For the nine-month period ended September 30, 2025
Net income for the period 18,073,509 Non-controlling shareholders’ 210,728 Net income attributable to shareholders of the parent
and non-controlling interest 18,284,237 Items that may be subsequently reclassified to the income statement 684,081 Financial assets at
fair value through other comprehensive income 860,924 Bradesco and subsidiaries 1,693,508 Associates and jointly controlled entities (235,767)
Tax effect (596,817) Hedge Operations 111,450 Cash flow hedge (345,635) Hedge of investment abroad 575,413 Tax effect (118,328) Foreign
exchange differences