Resumo — Ultimo Exercicio
Resultado
Tabela — DRE
Nome da ContaMarch 31, 2025March 31, 2024March 31, 2023March 31, 2022March 31, 2021March 31, 2020March 31, 2019April 1, 2018March 31, 2018March 31, 2017March 31, 2016
3.01 Receita Bruta4401.67634.48438.76820.95438.45274.25349.5nan3980.83407.82173.33
3.01 Receita Bruta YoY%-0.42-0.10.240.250.03-0.01nannan0.170.57nan
3.02 Custo das Mercadorias Vendidas1933.72638.72740.82371.32059.62032.12418.2nan1560.11650.6nan
3.02 Custo das Mercadorias Vendidas % Receita0.440.350.320.350.380.390.45nan0.390.48nan
3.03 Lucro Bruto2467.94995.75697.94449.63378.83242.12931.3nan2420.71757.21205.46
3.03 Lucro Bruto YoY%-0.51-0.120.280.320.040.11nannan0.380.46nan
3.03 Lucro Bruto Margem %0.560.650.680.650.620.610.55nan0.610.520.55
3.04.01 Despesas com Vendas % Receitanannannannannannannannannannannan
3.04.02 Despesas Gerais e Administrativas % Receitanannannannannannannannannannannan
3.04.03 Perdas pela nao recuperabilidade de ativos % Receitanannannannannannannannannannannan
3.04.04 Outras Receitas Operacionais % Receitanannannannannannannannannannannan
3.04.05 Outras Despesas Operacionais983.81097.41118.3989.1836.4877.8826.3nan529.3545.29372.6
3.04.05 Outras Despesas Operacionais % Receita0.220.140.130.150.150.170.15nan0.130.160.17
3.04.06 Equivalência Patrimonialnannannannan0.00.0-0.2nan-0.2-0.22-0.34
3.04.06 Equivalência Patrimonial % Receitanannannannan0.00.0-0.0nan-0.0-0.0-0.0
3.05 EBIT296.32571.03116.01849.6998.1647.1714.3nan936.3275.82352.34
3.05 EBIT YoY%-0.88-0.170.680.850.54-0.09nannan2.39-0.22nan
3.05 EBIT Margem %0.070.340.370.270.180.120.13nan0.240.080.16
3.06.01 Receitas Financeiras9.27.62.10.51.72.88.1nan22.03.0824.45
3.06.02 Despesas Financeirasnan198.3203.9257.0356.9497.3502.9nan199.0146.35104.02
3.07 EBT38.92365.92909.71482.5339.5150.4204.5nan737.389.79281.29
3.08 Imposto de Renda39.4459.0672.0197.0-9.9-420.2-151.4nan481.9-80.81-42.63
3.08 Imposto de Renda % EBT1.010.190.230.13-0.03-2.79-0.74nan0.65-0.9-0.15
3.09 Lucro Líquido-0.51906.92237.71285.5349.4570.6355.9nan255.4164.64324.13
3.09 Lucro Líquido Margem %-0.00.250.270.190.060.110.07nan0.060.050.15
3.09 Lucro Líquido YoY%-1.0-0.150.742.68-0.390.6nannan0.55-0.49nan
Custos e Despesas
Capital de Giro
Tabela — Capital de Giro
Nome da ContaMarch 31, 2025March 31, 2024March 31, 2023March 31, 2022March 31, 2021March 31, 2020March 31, 2019April 1, 2018March 31, 2018March 31, 2017March 31, 2016
Contas a receber689.71143.71305.31072.6997.7934.0880.6903.8563.7478.37290.18
# dias Contas a receber57.1954.6856.4657.466.9664.6460.08nan51.6951.2448.73
Estoques1293.51316.01324.9854.4665.0685.7711.7471.1476.2417.2306.82
# dias Estoques-244.16-182.04-176.44-131.51-117.85-123.16-107.42nan-111.41-92.26nan
Tributos a Recuperarnannannannannannannannannannannan
# dias Tributos a Recuperarnannannannannannannannannannannan
Outros ativos correntes236.4233.6205.1206.2200.5194.5191.6137.055.958.8811.69
# dias Outros ativos correntes19.611.178.8711.0313.4613.4613.07nan5.136.311.96
Fornecedores160.6213.0396.9344.7292.4246.8226.4nan144.1149.2379.31
# dias Fornecedores-30.31-29.46-52.86-53.06-51.82-44.33-34.17nan-33.71-33.0nan
Obrigacoes fiscais99.190.8106.2121.543.438.046.9nannannannan
# dias Obrigacoes fiscais8.224.344.596.52.912.633.2nannannannan
Outros passivos correntesnannannannannannannannannannannan
# dias Outros passivos correntesnannannannannannannannannannannan
Capital de Giro1822.62246.72233.31582.31370.31372.91365.9nan895.8746.34517.69
Variacao Capital de Giro-424.113.4651.0212.0-2.67.0nannan149.46228.66nan
Capital de Giro % Receita Bruta0.410.290.260.230.250.260.26nan0.230.220.24
# dias Capital de Giro151.14107.4196.684.6791.9795.0193.2nan82.1479.9486.94
CAPEX e Depreciacao
Tabela — Ativos Fixos
Nome da ContaMarch 31, 2025March 31, 2024March 31, 2023March 31, 2022March 31, 2021March 31, 2020March 31, 2019April 1, 2018March 31, 2018March 31, 2017March 31, 2016
Imobilizado no Inicio do Periodo3976.44546.95011.05649.56578.47682.3nan2429.92831.431215.74nan
CAPEX287.8392.1599.5477.7173.3133.26811.0nan1011.72837.97-800.4
CAPEX % Lucro Bruto0.120.080.110.110.050.042.32nan0.421.62-0.66
Depreciacao-750.1-879.5-998.4-1143.5-1153.3-1215.6-876.4nan-615.9-469.21-283.17
Depreciacao % Imobilizado0.630.751.031.341.321.22nannan0.90.77nan
Imobilizado no Fim do Periodo3514.14059.54612.14983.75598.46599.9nannan3227.233584.51nan
Balanco Patrimonial
Tabela — Ativos
Nome da ContaMarch 31, 2025March 31, 2024March 31, 2023March 31, 2022March 31, 2021March 31, 2020March 31, 2019April 1, 2018March 31, 2018March 31, 2017March 31, 2016
1 Total do Ativo15374.615873.216370.316199.516478.817426.118350.0nan8257.27686.885567.52
1.01 Ativo Circulante2991.33013.03069.32452.62145.22217.22214.8nan3356.32305.043096.71
1.01.01 Caixas e Equivalentes de Caixa771.7319.7234.0317.4280.0401.0428.6nan901.3908.682092.75
1.01.02 Aplicacoes Financeirasnannan0.02.02.02.02.3nan1295.3394.09353.28
1.01.03 Contas a Receber689.71143.71305.31072.6997.7934.0880.6903.8563.7478.37290.18
1.01.04 Estoques1293.51316.01324.9854.4665.0685.7711.7471.1476.2417.2306.82
1.01.07 Despesas Antecipadasnannannannannannannannan63.941.3541.99
1.01.08 Outros ativos correntes236.4233.6205.1206.2200.5194.5191.6137.055.958.8811.69
1.02.02 Investimentosnannannannannannannannan0.0107.46118.55
1.02.03 Imobilizado1183.71194.61177.9967.9854.7876.1996.7nan767.9683.34609.4
1.02.04 Intangível2389.02781.83369.04043.14794.85702.36685.6nan1662.02148.09606.35
Tabela — Passivos e Patrimonio
Nome da ContaMarch 31, 2025March 31, 2024March 31, 2023March 31, 2022March 31, 2021March 31, 2020March 31, 2019April 1, 2018March 31, 2018March 31, 2017March 31, 2016
2.01 Passivo Circulante1155.12519.43118.61399.02409.61637.42374.5nan2017.4704.45382.01
2.01.01 Obrigacoes sociais e trabalhistas108.1117.8nannannannannannannannannan
2.01.02 Fornecedores160.6213.0396.9344.7292.4246.8226.4nan144.1149.2379.31
2.01.03 Obrigacoes fiscais99.190.8106.2121.543.438.046.9nannannannan
2.01.04 Empréstimos e Financiamentos0.0999.41398.20.01322.9608.81360.8nan1309.949.950.0
2.01.06 Provisoes994.51307.01323.51054.3794.3781.8787.3633.8229.6212.45119.26
2.02.01 Empréstimos e Financiamentos5630.45000.45041.77687.47581.28873.48946.2nan1758.42900.522453.41
2.02.02 Outras Obrigacoes843.61017.6948.0473.9417.1342.9279.5239.2240.9217.2141.27
2.02.03 Tributos Diferidos33.828.842.739.843.9318.5706.1221.5205.8409.04399.22
2.03 Patrimônio Líquido7078.36657.86513.65894.85337.15585.55287.5nan3279.8-14.382150.92