Resumo — Ultimo Exercicio
Resultado
Tabela — DRE
Nome da ContaNov. 30, 2025Nov. 30, 2024Nov. 30, 2023Nov. 30, 2022Nov. 30, 2021Nov. 30, 2020Nov. 30, 2019Nov. 30, 2018Nov. 30, 2017Nov. 30, 2016
3.01 Receita Bruta26622.025021.021593.012168.01908.05595.020825.018881.017510.016389.0
3.01 Receita Bruta YoY%0.060.160.775.38-0.66-0.730.10.080.07nan
3.02 Custo das Mercadorias Vendidasnan15638.014317.011757.04655.0nan12909.011089.010501.09383.0
3.02 Custo das Mercadorias Vendidas % Receitanan0.620.660.972.44nan0.620.590.60.57
3.03 Lucro Bruto YoY%nannannannannannannannannannan
3.03 Lucro Bruto Margem %nannannannannannannannannannan
3.04.01 Despesas com Vendas % Receitanannannannannannannannannannan
3.04.02 Despesas Gerais e Administrativas % Receitanannannannannannannannannannan
3.04.03 Perdas pela nao recuperabilidade de ativos % Receitanannannannannannannannannannan
3.04.04 Outras Receitas Operacionais % Receitanannannannannannannannannannan
3.04.05 Outras Despesas Operacionais % Receitanannannannannannannannannannan
3.04.06 Equivalência Patrimonialnan9.0-13.0-38.0-129.0-20.015.0nannannan
3.04.06 Equivalência Patrimonial % Receitanan0.0-0.0-0.0-0.07-0.00.0nannannan
3.05 EBIT4483.03574.01956.0-4379.0-7089.0-8865.03276.03325.02809.03071.0
3.05 EBIT YoY%0.250.83-1.45-0.38-0.2-3.71-0.010.18-0.09nan
3.05 EBIT Margem %0.170.140.09-0.36-3.72-1.580.160.180.160.19
3.06.01 Receitas Financeiras51.093.0233.074.012.018.023.014.09.06.0
3.06.02 Despesas Financeirasnannan2066.01609.01601.0895.0206.0194.0198.0223.0
3.07 EBT2772.01915.0-62.0-6080.0-9522.0-10253.03060.03207.02666.02828.0
3.08 Imposto de Renda12.0-1.013.014.0-21.0-17.071.054.060.049.0
3.08 Imposto de Renda % EBT0.0-0.0-0.21-0.00.00.00.020.020.020.02
3.09 Lucro Líquido2760.01916.0-74.0-6093.0-9501.0-10236.02990.03152.02606.02779.0
3.09 Lucro Líquido Margem %0.10.08-0.0-0.5-4.98-1.830.140.170.150.17
3.09 Lucro Líquido YoY%0.44-26.89-0.99-0.36-0.07-4.42-0.050.21-0.06nan
Custos e Despesas
Capital de Giro
Tabela — Capital de Giro
Nome da ContaNov. 30, 2025Nov. 30, 2024Nov. 30, 2023Nov. 30, 2022Nov. 30, 2021Nov. 30, 2020Nov. 30, 2019Nov. 30, 2018Nov. 30, 2017Nov. 30, 2016
Contas a receber678.0590.0556.0395.0246.0273.0444.0358.0312.0298.0
# dias Contas a receber9.38.619.411.8547.0617.817.786.926.56.64
Estoques505.0507.0528.0428.0356.0335.0427.0450.0387.0322.0
# dias Estoquesnan-11.83-13.46-13.29-27.91nan-12.07-14.81-13.45-12.53
Tributos a Recuperarnannannannannannannannannannan
# dias Tributos a Recuperarnannannannannannannannannannan
Outros ativos correntes1108.01070.01757.0652.0392.0443.0671.0436.0502.0466.0
# dias Outros ativos correntes15.1915.6129.719.5674.9928.911.768.4310.4610.38
Fornecedores1245.01133.01168.01050.0797.0624.0756.0730.0762.0713.0
# dias Fornecedoresnan-26.44-29.78-32.6-62.49nan-21.38-24.03-26.49-27.74
Obrigacoes fiscaisnannannannannannannannannannan
# dias Obrigacoes fiscaisnannannannannannannannannannan
Outros passivos correntesnannannannannannannannannannan
# dias Outros passivos correntesnannannannannannannannannannan
Capital de Giro-62.0-36.0-84.0-227.0-195.0-16.0115.078.0-63.0-93.0
Variacao Capital de Giro-26.048.0143.0-32.0-179.0-131.037.0141.030.0nan
Capital de Giro % Receita Bruta-0.0-0.0-0.0-0.02-0.1-0.00.010.0-0.0-0.01
# dias Capital de Giro-0.85-0.53-1.42-6.81-37.3-1.042.021.51-1.31-2.07
CAPEX e Depreciacao
Tabela — Ativos Fixos
Nome da ContaNov. 30, 2025Nov. 30, 2024Nov. 30, 2023Nov. 30, 2022Nov. 30, 2021Nov. 30, 2020Nov. 30, 2019Nov. 30, 2018Nov. 30, 2017Nov. 30, 2016
Imobilizado no Inicio do Periodo42958.041285.039843.039288.039259.039305.036512.035630.033704.0nan
CAPEX3321.04535.02810.04767.03543.03240.05277.03502.03089.03323.0
CAPEX % Lucro Brutonannannannannannannannannannan
Depreciacao-2790.0-2557.0-2370.0-2275.0-2233.0-2241.0-2160.0-2017.0-1846.0-1738.0
Depreciacao % Imobilizado0.070.060.060.060.060.060.060.060.06nan
Imobilizado no Fim do Periodo43489.043263.040283.041780.040569.040304.039629.037115.034947.0nan
Balanco Patrimonial
Tabela — Ativos
Nome da ContaNov. 30, 2025Nov. 30, 2024Nov. 30, 2023Nov. 30, 2022Nov. 30, 2021Nov. 30, 2020Nov. 30, 2019Nov. 30, 2018Nov. 30, 2017Nov. 30, 2016
1 Total do Ativo51687.049057.049120.051703.053344.053593.045058.042401.040778.038936.0
1.01 Ativo Circulante4219.03378.05266.07492.010133.010563.02059.02225.01596.01689.0
1.01.01 Caixas e Equivalentes de Caixa1928.01210.02415.04029.08939.09513.0518.0982.0395.0603.0
1.01.02 Aplicacoes Financeirasnannannan0.0200.00.0nannannannan
1.01.03 Contas a Receber678.0590.0556.0395.0246.0273.0444.0358.0312.0298.0
1.01.04 Estoques505.0507.0528.0428.0356.0335.0427.0450.0387.0322.0
1.01.08 Outros ativos correntes1108.01070.01757.0652.0392.0443.0671.0436.0502.0466.0
1.02.03 Imobilizado43494.041795.040116.038687.038107.038073.038131.035336.034430.032429.0
1.02.04 Intangível1177.01163.01169.01156.01181.01186.01174.01176.01200.01275.0
Tabela — Passivos e Patrimonio
Nome da ContaNov. 30, 2025Nov. 30, 2024Nov. 30, 2023Nov. 30, 2022Nov. 30, 2021Nov. 30, 2020Nov. 30, 2019Nov. 30, 2018Nov. 30, 2017Nov. 30, 2016
2.01 Passivo Circulante13092.011617.011481.010605.010408.08686.09127.09204.08800.07072.0
2.01.02 Fornecedores1245.01133.01168.01050.0797.0624.0756.0730.0762.0713.0
2.01.04 Empréstimos e Financiamentos2603.01538.00.0200.02790.03084.0231.0848.0485.0457.0
2.01.06 Provisoes2239.02358.02003.01942.01641.01144.01809.01654.01877.01740.0
2.02.01 Empréstimos e Financiamentos24037.025936.028483.031953.028509.022130.09675.07897.06993.08357.0
2.02.02 Outras Obrigacoes1097.01012.01105.0891.01043.0949.0890.0856.0769.0910.0
2.03 Patrimônio Líquido12284.09251.06882.07065.012144.020555.025365.024443.024216.022597.0