Resumo — Ultimo Exercicio
Resultado
Tabela — DRE
Nome da ContaJune 30, 2025June 30, 2024June 30, 2023June 30, 2022June 30, 2021June 30, 2020June 30, 2019June 30, 2018June 30, 2017June 30, 2016
3.01 Receita Bruta21972.0414989.257123.485196.13557.423339.283500.363360.492484.932225.02
3.01 Receita Bruta YoY%0.471.10.370.460.07-0.050.040.350.12nan
3.02 Custo das Mercadorias Vendidas19542.1212927.845840.474396.13022.882813.073004.842930.52134.971884.05
3.02 Custo das Mercadorias Vendidas % Receita0.890.860.820.850.850.840.860.870.860.85
3.03 Lucro Bruto2429.922061.411283.01800.0534.54526.21495.52429.99349.96331.52
3.03 Lucro Bruto YoY%0.180.610.60.50.020.060.150.230.06nan
3.03 Lucro Bruto Margem %0.110.140.180.150.150.160.140.130.140.15
3.04.01 Despesas com Vendas273.14189.74115.0290.1385.6885.1477.1571.5866.4462.84
3.04.01 Despesas com Vendas % Receita0.010.010.020.020.020.030.020.020.030.03
3.04.02 Despesas Gerais e Administrativas267.24197.3599.58102.44100.54133.94141.2398.644.6537.84
3.04.02 Despesas Gerais e Administrativas % Receita0.010.010.010.020.030.040.040.030.020.02
3.04.03 Perdas pela nao recuperabilidade de ativos % Receitanannannannannannannannannannan
3.04.04 Outras Receitas Operacionais % Receitanannannannannannannannannannan
3.04.05 Outras Despesas Operacionais636.55463.55307.26272.27224.37221.48179.91165.1143.99123.99
3.04.05 Outras Despesas Operacionais % Receita0.030.030.040.050.060.070.050.050.060.06
3.04.06 Equivalência Patrimonial-6.211.82-3.631.210.172.4-2.72-3.61-0.30.0
3.04.06 Equivalência Patrimonial % Receita-0.00.0-0.00.00.00.0-0.0-0.0-0.00.0
3.05 EBIT1252.991210.77761.14335.17123.9585.6597.2394.7194.88106.85
3.05 EBIT YoY%0.030.591.271.70.45-0.120.03-0.0-0.11nan
3.05 EBIT Margem %0.060.080.110.060.030.030.030.030.040.05
3.06.02 Despesas Financeirasnannan10.496.412.482.246.695.732.31.59
3.07 EBT1211.921214.14754.3336.83118.6384.8389.5288.2291.29105.43
3.08 Imposto de Renda156.8563.29110.6752.886.942.9214.8838.4424.4333.41
3.08 Imposto de Renda % EBT0.130.050.150.160.060.030.170.440.270.32
3.09 Lucro Líquido1048.851152.67640.0285.16111.8684.3171.9246.1666.8572.02
3.09 Lucro Líquido Margem %0.050.080.090.050.030.030.020.010.030.03
3.09 Lucro Líquido YoY%-0.090.81.241.550.330.170.56-0.31-0.07nan
Custos e Despesas
Capital de Giro
Tabela — Capital de Giro
Nome da ContaJune 30, 2025June 30, 2024June 30, 2023June 30, 2022June 30, 2021June 30, 2020June 30, 2019June 30, 2018June 30, 2017June 30, 2016
Contas a receber2203.942737.331148.26834.51463.83403.74393.62451.39324.0288.94
# dias Contas a receber36.6166.6658.8458.6247.5944.1341.0549.0347.5947.4
Estoques4680.384333.031445.561545.611040.96851.5670.19853.25736.67448.98
# dias Estoques-87.42-122.34-90.34-128.33-125.69-110.48-81.41-106.27-125.94-86.98
Tributos a Recuperarnannannannannannannannannannan
# dias Tributos a Recuperarnannannannannannannannannannan
Outros ativos correntesnannannan6.956.126.324.435.811.911.1
# dias Outros ativos correntesnannannan0.490.630.690.460.630.280.18
Fornecedores1281.981472.38776.83655.4612.34417.67360.47527.16396.9249.24
# dias Fornecedores-23.94-41.57-48.55-54.42-73.94-54.19-43.79-65.66-67.85-48.29
Obrigacoes fiscais39.1614.06129.1741.7412.744.713.027.191.365.17
# dias Obrigacoes fiscais0.650.346.622.931.310.511.360.780.20.85
Outros passivos correntesnannannannannannannannannannan
# dias Outros passivos correntesnannannannannannannannannannan
Capital de Giro5602.345597.981816.991724.72892.46837.57703.34777.49663.78488.68
Variacao Capital de Giro4.363780.9992.28832.2554.89134.23-74.15113.71175.1nan
Capital de Giro % Receita Bruta0.250.370.260.330.250.250.20.230.270.22
# dias Capital de Giro93.07136.3293.1121.1591.5791.5573.3484.4597.580.17
CAPEX e Depreciacao
Tabela — Ativos Fixos
Nome da ContaJune 30, 2025June 30, 2024June 30, 2023June 30, 2022June 30, 2021June 30, 2020June 30, 2019June 30, 2018June 30, 2017June 30, 2016
Imobilizado no Inicio do Periodonannannannannannannannannannan
CAPEX183.21194.2539.4946.2858.0243.5924.8525.9229.735.13
CAPEX % Lucro Bruto0.080.090.030.060.110.080.050.060.080.11
Depreciacao-41.0-30.1-34.9-32.47-28.18-28.47-24.2-21.85-16.36-13.28
Depreciacao % Imobilizado0.10.10.120.120.120.140.120.110.09nan
Imobilizado no Fim do Periodonannannannannannannannannannan
Balanco Patrimonial
Tabela — Ativos
Nome da ContaJune 30, 2025June 30, 2024June 30, 2023June 30, 2022June 30, 2021June 30, 2020June 30, 2019June 30, 2018June 30, 2017June 30, 2016
1 Total do Ativo14018.439826.093674.733205.082241.961918.651682.591769.51515.131165.6
1.01 Ativo Circulante12301.658931.963179.432806.321867.261592.761421.771530.881261.17938.0
1.01.01 Caixas e Equivalentes de Caixa5169.911669.77440.46267.4232.27210.53248.16115.38110.61180.96
1.01.03 Contas a Receber2203.942737.331148.26834.51463.83403.74393.62451.39324.0288.94
1.01.04 Estoques4680.384333.031445.561545.611040.96851.5670.19853.25736.67448.98
1.01.07 Despesas Antecipadas247.43191.83145.14158.8130.2126.98109.8110.8689.2113.44
1.01.08 Outros ativos correntesnannannan6.956.126.324.435.811.911.1
1.02.02 Investimentos112.3761.0nannannannannannan2.622.64
1.02.03 Imobilizado504.49414.01290.24285.97274.71233.78207.34196.63195.58187.95
Tabela — Passivos e Patrimonio
Nome da ContaJune 30, 2025June 30, 2024June 30, 2023June 30, 2022June 30, 2021June 30, 2020June 30, 2019June 30, 2018June 30, 2017June 30, 2016
2.01 Passivo Circulante2344.792345.721374.651470.02968.9707.64605.97811.56672.53363.62
2.01.01 Obrigacoes sociais e trabalhistas82.1662.01nan57.7445.7733.5825.5525.5319.3716.02
2.01.02 Fornecedores1281.981472.38776.83655.4612.34417.67360.47527.16396.9249.24
2.01.03 Obrigacoes fiscais39.1614.06129.1741.7412.744.713.027.191.365.17
2.01.04 Empréstimos e Financiamentosnannan170.12449.1563.4923.723.65116.18nannan
2.01.06 Provisoes565.64259.67163.86212.42178.85155.4114.68102.48112.8255.62
2.02.01 Empréstimos e Financiamentosnannan120.18147.6234.75.70.0nan0.040.0
2.02.02 Outras Obrigacoes326.5367.8837.9539.1441.1342.026.1824.5668.7540.6
2.03 Patrimônio Líquido6301.695417.211972.01425.581096.221065.54941.02843.5773.68721.2