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 Bruta2375.292215.542077.71942.881758.221697.071552.691536.61431.121354.65
3.01 Receita Bruta YoY%0.070.070.070.110.040.090.010.070.06nan
3.02 Custo das Mercadorias Vendidas1360.751299.481219.061128.611063.41008.46923.03873.64819.03773.65
3.02 Custo das Mercadorias Vendidas % Receita0.570.590.590.580.60.590.590.570.570.57
3.03 Lucro Brutonannannannannannannannan612.08581.0
3.03 Lucro Bruto YoY%nannannannannannannannan0.05nan
3.03 Lucro Bruto Margem %nannannannannannannannan0.430.43
3.04.01 Despesas com Vendasnannannannannannannannan93.390.08
3.04.01 Despesas com Vendas % Receitanannannannannannannannan0.070.07
3.04.02 Despesas Gerais e Administrativasnannannannannannannannan69.667.51
3.04.02 Despesas Gerais e Administrativas % Receitanannannannannannannannan0.050.05
3.04.03 Perdas pela nao recuperabilidade de ativos % Receitanannannannannannannannannannan
3.04.04 Outras Receitas Operacionais % Receitanannannannannannannannannannan
3.04.05 Outras Despesas Operacionais162.77148.26142.68121.36109.05109.9996.3890.3484.7581.23
3.04.05 Outras Despesas Operacionais % Receita0.070.070.070.060.060.060.060.060.060.06
3.04.06 Equivalência Patrimonial % Receitanannannannannannannannannannan
3.05 EBIT568.72489.39480.69474.62398.72380.63347.28392.37367.7361.66
3.05 EBIT YoY%0.160.020.010.190.050.1-0.110.070.02nan
3.05 EBIT Margem %0.240.220.230.240.230.220.220.260.260.27
3.06.01 Receitas Financeirasnannan8.960.030.151.140.880.570.250.31
3.06.02 Despesas Financeirasnannan15.072.381.140.690.931.921.01.43
3.06 Resultado Financeiro Líquido17.328.63-6.11-2.35-0.990.45-0.05-1.34-0.75-1.12
3.07 EBT586.04498.02474.57472.27397.72381.08347.24391.02366.95360.54
3.08 Imposto de Renda130.29116.2107.93109.3586.2684.4175.3514.36121.16111.67
3.08 Imposto de Renda % EBT0.220.230.230.230.220.220.220.040.330.31
3.09 Lucro Líquido455.75381.82366.65362.92311.47296.67271.88376.66245.79248.87
3.09 Lucro Líquido Margem %0.190.170.180.190.180.170.180.250.170.18
3.09 Lucro Líquido YoY%0.190.040.010.170.050.09-0.280.53-0.01nan
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 receber317.98333.03361.25348.07306.56300.94310.08291.63276.92253.92
# dias Contas a receber48.8654.8763.4665.3963.6464.7372.8969.2770.6368.42
Estoquesnannannannannannannannannannan
# dias Estoquesnannannannannannannannannannan
Tributos a Recuperarnannannannannannannannannannan
# dias Tributos a Recuperarnannannannannannannannannannan
Outros ativos correntesnannannannannannannannannannan
# dias Outros ativos correntesnannannannannannannannannannan
Fornecedores28.1925.3119.1621.0318.489.889.8534.516.8414.6
# dias Fornecedores-7.56-7.11-5.74-6.8-6.34-3.58-3.9-14.42-3.05-6.89
Obrigacoes fiscais9.680.0nannannannannannannan0.0
# dias Obrigacoes fiscais1.490.0nannannannannannannan0.0
Outros passivos correntesnannannannannannannannannannan
# dias Outros passivos correntesnannannannannannannannannannan
Capital de Gironannannannannannannannannannan
Variacao Capital de Gironannannannannannannannannannan
Capital de Giro % Receita Brutanannannannannannannannannannan
# dias Capital de Gironannannannannannannannannannan
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 Periodo1019.871010.46899.17939.94959.77939.42936.78835.4851.42nan
CAPEX232.16240.16409.67196.34162.25197.91190.64291.83141.59135.96
CAPEX % Lucro Brutonannannannannannannannan0.230.23
Depreciacao-43.7-46.34-48.72-50.79-52.52-52.21-47.38-47.98-49.68-50.57
Depreciacao % Imobilizado0.20.230.230.20.190.190.170.170.17nan
Imobilizado no Fim do Periodo1208.331204.281260.121085.491069.51085.121080.041079.25943.33nan
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 Ativo3043.972924.482773.832455.562336.162428.472184.832050.31908.941815.51
1.01 Ativo Circulante681.46632.02627.96613.52543.74669.1569.45468.54520.03431.93
1.01.01 Caixas e Equivalentes de Caixanannannannan50.99213.3493.6331.44114.7670.31
1.01.03 Contas a Receber317.98333.03361.25348.07306.56300.94310.08291.63276.92253.92
1.01.07 Despesas Antecipadas180.15168.77169.18125.54109.7295.52106.4784.8166.8956.59
1.02 Ativo Não Circulante2141.542077.391940.21630.331539.941485.941342.911294.921105.981085.02
1.02.03 Imobilizado220.96215.07205.66211.71252.48273.43272.47286.85282.93298.56
1.02.04 Intangível804.8804.8804.8687.46687.46686.33666.94649.93552.46552.85
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 Circulante535.78633.81523.76543.83520.86494.84469.96487.9471.19443.73
2.01.02 Fornecedores28.1925.3119.1621.0318.489.889.8534.516.8414.6
2.01.03 Obrigacoes fiscais9.680.0nannannannannannannan0.0
2.01.04 Empréstimos e Financiamentos0.090.00.0nannannan0.00.0nannan
2.01.06 Provisoes207.43200.77172.63192.04182.52166.69120.3697.8581.5785.41
2.02 Passivo Não Circulante377.35448.3641.56530.11496.0383.94285.85295.58405.7375.57
2.02.01 Empréstimos e Financiamentos0.060.0275.0115.0nannan0.00.0nannan
2.02.02 Outras Obrigacoes64.4473.5854.3751.059.3168.2714.2912.877.559.44
2.02.03 Tributos Diferidos240.03243.52244.43292.63260.76244.0217.01189.61219.54188.6
2.03 Patrimônio Líquido2130.831842.361608.511381.621319.291549.691429.011266.831032.05996.21