Resumo — Ultimo Exercicio
Resultado
Tabela — DRE
Nome da ContaSept. 30, 2025Sept. 30, 2024Sept. 30, 2023Sept. 30, 2022Sept. 30, 2021Sept. 30, 2020Sept. 30, 2019Oct. 1, 2018Sept. 30, 2018Sept. 30, 2017Sept. 30, 2016
3.01 Receita Bruta8342.08264.29058.07760.46997.46329.86694.8nan6666.06311.35879.5
3.01 Receita Bruta YoY%0.01-0.090.170.110.11-0.05nannan0.060.07nan
3.02 Custo das Mercadorias Vendidas4326.05070.85341.04658.44099.73734.63794.7nan3793.83687.13404.0
3.02 Custo das Mercadorias Vendidas % Receita0.520.610.590.60.590.590.57nan0.570.580.58
3.03 Lucro Bruto4016.03193.43717.03102.02897.72595.22900.1nan2872.22624.22475.5
3.03 Lucro Bruto YoY%0.26-0.140.20.070.12-0.11nannan0.090.06nan
3.03 Lucro Bruto Margem %0.480.390.410.40.410.410.43nan0.430.420.42
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 Operacionais679.0477.3529.5440.9422.5371.5378.9nan371.8348.2319.3
3.04.05 Outras Despesas Operacionais % Receita0.080.060.060.060.060.060.06nan0.060.060.05
3.04.06 Equivalência Patrimonial0.00.9-1.1-15.60.00.0nannannannannan
3.04.06 Equivalência Patrimonial % Receita0.00.0-0.0-0.00.00.0nannannannannan
3.05 EBIT1703.01595.01929.0nannannannannannannannan
3.05 EBIT YoY%0.07-0.17nannannannannannannannannan
3.05 EBIT Margem %0.20.190.21nannannannannannannannan
3.06.01 Receitas Financeiras13.015.69.74.41.65.511.1nan24.419.612.7
3.06.02 Despesas Financeirasnannan135.3123.294.6103.598.2nan73.076.271.3
3.07 EBT917.01099.11608.51073.61526.21136.1901.0nan1330.81037.4943.1
3.08 Imposto de Renda168.0151.8330.5154.5181.9112.9205.2nan795.3211.7213.4
3.08 Imposto de Renda % EBT0.180.140.210.140.120.10.23nan0.60.20.23
3.09 Lucro Líquido869.0952.51387.4932.21358.11023.4695.8nan535.5825.7729.7
3.09 Lucro Líquido Margem %0.10.120.150.120.190.160.1nan0.080.130.12
3.09 Lucro Líquido YoY%-0.09-0.310.49-0.310.330.47nannan-0.350.13nan
Custos e Despesas
Capital de Giro
Tabela — Capital de Giro
Nome da ContaSept. 30, 2025Sept. 30, 2024Sept. 30, 2023Sept. 30, 2022Sept. 30, 2021Sept. 30, 2020Sept. 30, 2019Oct. 1, 2018Sept. 30, 2018Sept. 30, 2017Sept. 30, 2016
Contas a receber1931.01802.02167.41736.71424.51249.11178.71194.61190.11135.51079.0
# dias Contas a receber84.4979.5987.3481.6874.3172.0364.26nan65.1665.6766.98
Estoques1247.01293.11404.91054.2798.1584.0575.7nan581.6558.7526.6
# dias Estoques-105.21-93.08-96.01-82.6-71.06-57.08-55.37nan-55.96-55.31-56.47
Tributos a Recuperarnannannannannannannannannannannan
# dias Tributos a Recuperarnannannannannannannannannannannan
Outros ativos correntes265.0315.1266.7329.1178.6148.1173.3167.0149.3191.0150.2
# dias Outros ativos correntes11.5913.9210.7515.489.328.549.45nan8.1711.059.32
Fornecedores930.0860.41150.21028.0889.8687.8694.6nan713.4623.2543.1
# dias Fornecedores-78.47-61.93-78.6-80.55-79.22-67.22-66.81nan-68.64-61.69-58.23
Obrigacoes fiscais163.0138.8248.681.1188.479.862.9nan74.432.628.6
# dias Obrigacoes fiscais7.136.1310.023.819.834.63.43nan4.071.891.78
Outros passivos correntes505.0475.4567.4403.0484.4376.5227.9232.2226.6220.2447.6
# dias Outros passivos correntes22.121.022.8618.9525.2721.7112.43nan12.4112.7327.79
Capital de Giro2248.02234.72422.11762.91332.81145.31059.8nan1058.31071.01062.5
Variacao Capital de Giro13.3-187.4659.2430.1187.585.5nannan-12.78.5nan
Capital de Giro % Receita Bruta0.270.270.270.230.190.180.16nan0.160.170.18
# dias Capital de Giro98.3698.797.682.9269.5266.0457.78nan57.9561.9465.96
CAPEX e Depreciacao
Tabela — Ativos Fixos
Nome da ContaSept. 30, 2025Sept. 30, 2024Sept. 30, 2023Sept. 30, 2022Sept. 30, 2021Sept. 30, 2020Sept. 30, 2019Oct. 1, 2018Sept. 30, 2018Sept. 30, 2017Sept. 30, 2016
Imobilizado no Inicio do Periodo1843.01536.61488.51603.71053.7766.0nan792.0821.9833.6nan
CAPEX216.0982.5-854.37.82626.6618.0-225.0nan170.4516.7nan
CAPEX % Lucro Bruto0.050.31-0.230.00.910.24-0.08nan0.060.2nan
Depreciacao-325.0-317.4-250.4-238.9-189.8-172.7-152.2nan-164.6-168.9-172.2
Depreciacao % Imobilizado0.420.460.430.410.330.3nannan0.280.29nan
Imobilizado no Fim do Periodo1734.02201.7383.81372.63490.51211.3nannan827.71181.4nan
Balanco Patrimonial
Tabela — Ativos
Nome da ContaSept. 30, 2025Sept. 30, 2024Sept. 30, 2023Sept. 30, 2022Sept. 30, 2021Sept. 30, 2020Sept. 30, 2019Oct. 1, 2018Sept. 30, 2018Sept. 30, 2017Sept. 30, 2016
1 Total do Ativo11219.011232.111304.010758.710701.67264.76113.0nan6262.07161.77101.2
1.01 Ativo Circulante3911.03881.24910.83610.73063.42685.82985.7nan2830.74420.74185.0
1.01.01 Caixas e Equivalentes de Caixa468.0471.01071.8490.7662.2704.61018.4nan618.81410.91526.4
1.01.02 Aplicacoes Financeirasnan0.30.612.60.60.639.6nan290.91124.6902.8
1.01.03 Contas a Receber1931.01802.02167.41736.71424.51249.11178.71194.61190.11135.51079.0
1.01.04 Estoques1247.01293.11404.91054.2798.1584.0575.7nan581.6558.7526.6
1.01.08 Outros ativos correntes265.0315.1266.7329.1178.6148.1173.3167.0149.3191.0150.2
1.02.02 Investimentos182.0168.7157.11056.01363.5953.5793.9nan1288.0325.7nan
1.02.03 Imobilizado797.0776.7684.2586.5581.9574.4571.9nan576.8583.9578.3
1.02.04 Intangível864.01066.3852.4902.01021.8479.3194.1nan215.2238.0255.3
Tabela — Passivos e Patrimonio
Nome da ContaSept. 30, 2025Sept. 30, 2024Sept. 30, 2023Sept. 30, 2022Sept. 30, 2021Sept. 30, 2020Sept. 30, 2019Oct. 1, 2018Sept. 30, 2018Sept. 30, 2017Sept. 30, 2016
2.01 Passivo Circulante3445.03603.93365.33572.22992.21810.81936.8nan2236.92145.81975.9
2.01.01 Obrigacoes sociais e trabalhistas432.0259.0499.9292.7408.0197.0239.0nan289.4272.6145.6
2.01.02 Fornecedores930.0860.41150.21028.0889.8687.8694.6nan713.4623.2543.1
2.01.03 Obrigacoes fiscais163.0138.8248.681.1188.479.862.9nan74.432.628.6
2.01.04 Empréstimos e Financiamentos608.0770.894.7359.3509.724.60.0nan551.0350.4448.6
2.01.05 Outros505.0475.4567.4403.0484.4376.5227.9232.2226.6220.2447.6
2.02.01 Empréstimos e Financiamentos2614.02561.0nannan3464.61974.71956.4nan1225.21243.41516.3
2.02.02 Outras Obrigacoes714.0487.0543.5567.3516.5573.7583.7nan577.3216.4188.7
2.03 Patrimônio Líquido3654.03498.33561.62725.62389.61027.8404.2nan1617.52663.61990.1