PFRM3 (Profarma)
Razão social
Profarma Distribuidora de Produtos Farmacêuticos S.A.
CNPJ
45.453.214/0001-51
Classificação setorial B3
Saúde / Comércio e Distribuição / Medicamentos e Outros Produtos
Código ISIN
BRPFRMACNOR1
Quantidade de ações
123.812.773
R$ 6,10
-3,17%
em 29 Out, 2024
Indicadores
Conta |
2T2024 (TTM) |
2023 |
2022 |
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
2014 |
2013 |
2012 |
2011 |
2010 |
2009 |
P/L |
8,58
|
10,18
|
5,01
|
6,75
|
12,68
|
40,73
|
-50,50
|
-6,05
|
-24,12
|
-33,61
|
-12,21
|
96,85
|
60,46
|
40,40
|
55,70
|
31,77
|
P/VP |
0,60
|
0,57
|
0,34
|
0,49
|
0,63
|
0,49
|
0,48
|
0,91
|
1,56
|
1,07
|
0,92
|
3,44
|
4,37
|
2,01
|
3,29
|
3,48
|
P/EBIT |
2,71
|
2,75
|
1,67
|
4,04
|
5,50
|
8,00
|
8,95
|
-60,56
|
15,51
|
12,20
|
31,96
|
25,93
|
29,08
|
17,00
|
26,78
|
17,13
|
PSR |
0,09
|
0,08
|
0,05
|
0,08
|
0,12
|
0,10
|
0,12
|
0,17
|
0,29
|
0,21
|
0,18
|
0,57
|
0,76
|
0,32
|
0,53
|
0,56
|
P/Ativos |
0,16
|
0,15
|
0,09
|
0,13
|
0,18
|
0,15
|
0,17
|
0,26
|
0,44
|
0,31
|
0,35
|
1,11
|
1,72
|
0,87
|
1,56
|
1,67
|
LPA |
0,73
|
0,57
|
0,65
|
0,63
|
0,42
|
0,10
|
-0,08
|
-0,91
|
-0,40
|
-0,17
|
-0,42
|
0,16
|
0,33
|
0,21
|
0,24
|
0,43
|
VPA |
10,41
|
10,08
|
9,62
|
8,77
|
8,45
|
8,11
|
8,25
|
6,02
|
6,13
|
5,39
|
5,56
|
4,63
|
4,53
|
4,30
|
4,11
|
3,92
|
EBIT por ação |
2,31
|
2,11
|
1,96
|
1,06
|
0,97
|
0,49
|
0,44
|
-0,09
|
0,62
|
0,47
|
0,16
|
0,61
|
0,68
|
0,51
|
0,50
|
0,80
|
Ativo por ação |
39,83
|
39,88
|
35,25
|
32,57
|
30,38
|
25,71
|
23,34
|
21,16
|
21,91
|
18,43
|
14,77
|
14,37
|
11,55
|
9,96
|
8,69
|
8,17
|
Receita líquida por ação |
73,00
|
69,96
|
63,13
|
51,80
|
44,27
|
38,78
|
34,50
|
33,12
|
32,99
|
27,99
|
27,86
|
28,03
|
26,11
|
26,79
|
25,30
|
24,57
|
Margem bruta |
15,28%
|
14,92%
|
14,66%
|
14,15%
|
13,93%
|
15,37%
|
15,94%
|
17,09%
|
15,31%
|
12,61%
|
12,52%
|
12,39%
|
6,33%
|
4,93%
|
5,78%
|
8,67%
|
Margem líquida |
1,10%
|
0,90%
|
1,09%
|
1,23%
|
1,13%
|
0,25%
|
-0,23%
|
-2,75%
|
-1,20%
|
-0,61%
|
-1,52%
|
0,55%
|
1,31%
|
0,82%
|
0,96%
|
1,75%
|
Margem EBIT |
3,17%
|
3,01%
|
3,11%
|
2,04%
|
2,20%
|
1,27%
|
1,29%
|
-0,27%
|
1,86%
|
1,68%
|
0,58%
|
2,19%
|
2,61%
|
1,89%
|
1,99%
|
3,24%
|
Margem EBITDA |
4,91%
|
4,73%
|
4,88%
|
4,00%
|
4,06%
|
3,96%
|
2,08%
|
0,49%
|
2,34%
|
2,15%
|
1,05%
|
2,45%
|
2,85%
|
2,09%
|
2,17%
|
3,43%
|
Margem operacional |
1,25%
|
0,94%
|
1,01%
|
0,76%
|
0,60%
|
0,45%
|
-0,71%
|
-3,75%
|
-1,28%
|
-0,57%
|
-1,76%
|
0,58%
|
1,73%
|
0,95%
|
1,08%
|
2,36%
|
ROE |
6,35%
|
5,06%
|
5,63%
|
5,36%
|
4,31%
|
1,19%
|
-0,95%
|
-15,11%
|
-6,45%
|
-3,17%
|
-7,61%
|
3,34%
|
7,41%
|
5,02%
|
5,91%
|
10,95%
|
ROA |
0,02
|
0,02
|
0,02
|
0,02
|
0,02
|
0,00
|
-0,00
|
-0,04
|
-0,02
|
-0,01
|
-0,03
|
0,01
|
0,03
|
0,02
|
0,03
|
0,05
|
Giro do ativo |
1,83
|
1,75
|
1,79
|
1,59
|
1,46
|
1,51
|
1,48
|
1,57
|
1,51
|
1,52
|
1,89
|
1,95
|
2,26
|
2,69
|
2,91
|
3,01
|
EBITDA |
444 mi
|
409 mi
|
381 mi
|
256 mi
|
222 mi
|
190 mi
|
88 mi
|
20 mi
|
95 mi
|
74 mi
|
36 mi
|
84 mi
|
92 mi
|
69 mi
|
67 mi
|
104 mi
|
Liquidez corrente |
1,44
|
1,45
|
1,52
|
1,50
|
1,61
|
1,33
|
1,38
|
1,04
|
1,46
|
1,38
|
1,72
|
1,82
|
1,88
|
2,23
|
2,31
|
2,33
|
Liquidez seca |
0,80
|
0,82
|
0,89
|
0,87
|
1,02
|
0,76
|
0,82
|
0,64
|
0,90
|
0,88
|
1,12
|
1,15
|
1,26
|
1,43
|
1,44
|
1,41
|
Liquidez imediata |
0,06
|
0,08
|
0,09
|
0,11
|
0,24
|
0,14
|
0,16
|
0,12
|
0,18
|
0,21
|
0,22
|
0,08
|
0,07
|
0,04
|
0,03
|
0,05
|
Dívida bruta |
931 mi
|
779 mi
|
663 mi
|
558 mi
|
601 mi
|
668 mi
|
636 mi
|
757 mi
|
608 mi
|
527 mi
|
415 mi
|
540 mi
|
222 mi
|
141 mi
|
117 mi
|
135 mi
|
Dívida líquida |
776 mi
|
586 mi
|
480 mi
|
369 mi
|
229 mi
|
442 mi
|
406 mi
|
564 mi
|
403 mi
|
274 mi
|
241 mi
|
480 mi
|
173 mi
|
118 mi
|
105 mi
|
115 mi
|
Capital de giro |
1.066 mi
|
1.092 mi
|
1.024 mi
|
865 mi
|
940 mi
|
519 mi
|
541 mi
|
68 mi
|
536 mi
|
455 mi
|
564 mi
|
592 mi
|
608 mi
|
628 mi
|
567 mi
|
546 mi
|
Endividamento geral |
214,23%
|
220,85%
|
188,95%
|
173,25%
|
162,05%
|
216,87%
|
183,02%
|
251,17%
|
257,36%
|
241,67%
|
165,40%
|
211,19%
|
150,57%
|
127,74%
|
111,52%
|
108,48%
|
Releases de resultados
Data de referência |
Demonstração financeira |
Release de resultados |
30 Jun, 2024 |
Exibir
|
Download
|
31 Mar, 2024 |
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|
Download
|
31 Dez, 2023 |
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|
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|
30 Set, 2023 |
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|
Download
|
30 Jun, 2023 |
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|
Download
|
31 Mar, 2023 |
Exibir
|
Download
|
31 Dez, 2022 |
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|
Download
|
30 Set, 2022 |
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|
Download
|
30 Jun, 2022 |
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|
Download
|
31 Mar, 2022 |
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|
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|
31 Dez, 2021 |
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|
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|
30 Set, 2021 |
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|
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|
30 Jun, 2021 |
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|
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|
31 Mar, 2021 |
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|
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|
31 Dez, 2020 |
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|
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|
30 Set, 2020 |
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|
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|
30 Jun, 2020 |
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|
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|
31 Mar, 2020 |
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|
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|
31 Dez, 2019 |
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|
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|
30 Set, 2019 |
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|
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|
30 Jun, 2019 |
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|
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|
31 Mar, 2019 |
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|
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|
31 Dez, 2018 |
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|
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|
30 Set, 2018 |
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|
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|
30 Jun, 2018 |
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|
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|
31 Mar, 2018 |
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|
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|
31 Dez, 2017 |
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|
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|
30 Set, 2017 |
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|
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|
30 Jun, 2017 |
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|
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|
31 Mar, 2017 |
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|
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|
31 Dez, 2016 |
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|
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|
30 Set, 2016 |
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|
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|
30 Jun, 2016 |
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|
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|
31 Mar, 2016 |
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|
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|
31 Dez, 2015 |
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|
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|
30 Set, 2015 |
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|
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|
30 Jun, 2015 |
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|
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|
31 Mar, 2015 |
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|
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|
31 Dez, 2014 |
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|
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|
30 Set, 2014 |
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|
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|
30 Jun, 2014 |
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|
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|
31 Mar, 2014 |
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|
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|
31 Dez, 2013 |
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|
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|
30 Set, 2013 |
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|
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|
30 Jun, 2013 |
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|
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|
31 Mar, 2013 |
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|
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|
31 Dez, 2012 |
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|
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|
30 Set, 2012 |
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|
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|
30 Jun, 2012 |
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|
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|
31 Mar, 2012 |
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|
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|
31 Dez, 2011 |
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|
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|
30 Set, 2011 |
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|
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|
30 Jun, 2011 |
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|
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|
31 Mar, 2011 |
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|
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|
31 Dez, 2010 |
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|
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|
Balanços
Conta |
2T2024 |
1T2024 |
4T2023 |
3T2023 |
2T2023 |
1T2023 |
4T2022 |
3T2022 |
2T2022 |
1T2022 |
4T2021 |
3T2021 |
2T2021 |
1T2021 |
4T2020 |
3T2020 |
2T2020 |
1T2020 |
4T2019 |
3T2019 |
2T2019 |
1T2019 |
4T2018 |
3T2018 |
2T2018 |
1T2018 |
4T2017 |
3T2017 |
2T2017 |
1T2017 |
4T2016 |
3T2016 |
2T2016 |
1T2016 |
4T2015 |
3T2015 |
2T2015 |
1T2015 |
4T2014 |
3T2014 |
2T2014 |
1T2014 |
4T2013 |
3T2013 |
2T2013 |
1T2013 |
4T2012 |
3T2012 |
2T2012 |
1T2012 |
4T2011 |
3T2011 |
2T2011 |
1T2011 |
4T2010 |
4T2009 |
Ativo total |
4,93 B
|
5,25 B
|
4,94 B
|
4,69 B
|
4,62 B
|
4,80 B
|
4,36 B
|
4,18 B
|
4,30 B
|
4,51 B
|
4,03 B
|
3,84 B
|
3,94 B
|
4,12 B
|
3,76 B
|
3,68 B
|
3,40 B
|
3,59 B
|
3,18 B
|
3,15 B
|
3,05 B
|
3,01 B
|
2,89 B
|
2,71 B
|
2,70 B
|
2,68 B
|
2,62 B
|
2,64 B
|
2,81 B
|
2,86 B
|
2,71 B
|
2,26 B
|
2,33 B
|
2,36 B
|
2,28 B
|
1,99 B
|
1,87 B
|
2,00 B
|
1,83 B
|
1,77 B
|
1,84 B
|
1,72 B
|
1,78 B
|
1,74 B
|
1,65 B
|
1,62 B
|
1,43 B
|
1,21 B
|
1,22 B
|
1,29 B
|
1,23 B
|
982,58 M
|
1,00 B
|
1,09 B
|
1,08 B
|
1,01 B
|
Ativo circulante |
3,48 B
|
3,82 B
|
3,54 B
|
3,31 B
|
3,25 B
|
3,42 B
|
2,98 B
|
2,81 B
|
2,93 B
|
3,08 B
|
2,58 B
|
2,44 B
|
2,59 B
|
2,81 B
|
2,48 B
|
2,49 B
|
2,23 B
|
2,46 B
|
2,10 B
|
2,02 B
|
1,92 B
|
1,88 B
|
1,95 B
|
1,76 B
|
1,72 B
|
1,69 B
|
1,65 B
|
1,64 B
|
1,75 B
|
1,83 B
|
1,69 B
|
1,57 B
|
1,65 B
|
1,71 B
|
1,64 B
|
1,48 B
|
1,39 B
|
1,52 B
|
1,35 B
|
1,30 B
|
1,38 B
|
1,26 B
|
1,32 B
|
1,32 B
|
1,41 B
|
1,49 B
|
1,30 B
|
1,10 B
|
1,12 B
|
1,21 B
|
1,14 B
|
914,74 M
|
929,41 M
|
1,02 B
|
1,00 B
|
959,14 M
|
Caixa e eq. de caixa |
155,08 M
|
288,45 M
|
193,74 M
|
178,03 M
|
156,22 M
|
167,47 M
|
183,25 M
|
116,52 M
|
196,55 M
|
146,82 M
|
188,52 M
|
187,29 M
|
254,08 M
|
232,60 M
|
371,79 M
|
521,36 M
|
386,70 M
|
270,82 M
|
225,82 M
|
244,85 M
|
228,13 M
|
141,51 M
|
229,16 M
|
197,29 M
|
194,97 M
|
298,71 M
|
193,17 M
|
250,62 M
|
257,80 M
|
293,26 M
|
205,51 M
|
159,62 M
|
131,21 M
|
203,37 M
|
253,05 M
|
146,64 M
|
139,27 M
|
255,94 M
|
174,10 M
|
162,08 M
|
264,85 M
|
114,30 M
|
59,58 M
|
57,58 M
|
80,72 M
|
118,69 M
|
49,33 M
|
14,10 M
|
21,93 M
|
10,64 M
|
22,89 M
|
20,73 M
|
8,51 M
|
11,28 M
|
11,64 M
|
19,15 M
|
Aplicações financeiras |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
Contas a receber |
1,15 B
|
1,20 B
|
1,19 B
|
1,16 B
|
1,18 B
|
1,12 B
|
1,04 B
|
1,02 B
|
1,03 B
|
929,03 M
|
831,43 M
|
796,91 M
|
794,07 M
|
815,63 M
|
761,96 M
|
661,96 M
|
554,70 M
|
724,39 M
|
553,41 M
|
565,88 M
|
562,10 M
|
580,89 M
|
545,21 M
|
516,94 M
|
460,83 M
|
453,33 M
|
463,26 M
|
455,49 M
|
498,96 M
|
531,57 M
|
527,27 M
|
518,79 M
|
565,89 M
|
558,13 M
|
487,42 M
|
529,90 M
|
476,61 M
|
476,97 M
|
462,64 M
|
475,22 M
|
452,41 M
|
488,95 M
|
501,55 M
|
545,82 M
|
622,64 M
|
652,27 M
|
550,59 M
|
519,21 M
|
483,75 M
|
537,46 M
|
474,11 M
|
368,31 M
|
340,77 M
|
379,63 M
|
403,50 M
|
368,35 M
|
Estoques |
1,56 B
|
1,70 B
|
1,53 B
|
1,39 B
|
1,35 B
|
1,54 B
|
1,24 B
|
1,16 B
|
1,20 B
|
1,48 B
|
1,08 B
|
994,26 M
|
1,06 B
|
1,23 B
|
903,84 M
|
836,98 M
|
804,06 M
|
945,15 M
|
897,73 M
|
792,74 M
|
739,52 M
|
777,59 M
|
795,17 M
|
678,11 M
|
682,13 M
|
600,24 M
|
630,34 M
|
578,33 M
|
645,47 M
|
660,33 M
|
649,51 M
|
602,59 M
|
652,81 M
|
658,59 M
|
597,66 M
|
497,09 M
|
503,04 M
|
507,35 M
|
468,89 M
|
431,13 M
|
436,33 M
|
402,60 M
|
482,51 M
|
429,23 M
|
434,92 M
|
420,56 M
|
425,51 M
|
351,94 M
|
387,96 M
|
422,19 M
|
409,21 M
|
337,96 M
|
362,01 M
|
408,27 M
|
377,51 M
|
376,10 M
|
Ativos biológicos |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
Ativo não circulante |
1,45 B
|
1,43 B
|
1,40 B
|
1,37 B
|
1,37 B
|
1,38 B
|
1,38 B
|
1,36 B
|
1,37 B
|
1,43 B
|
1,45 B
|
1,40 B
|
1,36 B
|
1,31 B
|
1,28 B
|
1,19 B
|
1,17 B
|
1,13 B
|
1,09 B
|
1,13 B
|
1,13 B
|
1,13 B
|
937,07 M
|
950,95 M
|
984,77 M
|
988,75 M
|
974,03 M
|
998,04 M
|
1,05 B
|
1,03 B
|
1,02 B
|
690,08 M
|
682,16 M
|
643,25 M
|
639,52 M
|
506,41 M
|
479,51 M
|
479,98 M
|
480,69 M
|
469,56 M
|
464,52 M
|
459,60 M
|
460,69 M
|
425,31 M
|
244,28 M
|
131,43 M
|
131,00 M
|
102,24 M
|
94,61 M
|
86,28 M
|
92,44 M
|
67,84 M
|
72,85 M
|
68,63 M
|
73,68 M
|
52,73 M
|
Investimentos |
2,02 M
|
1,98 M
|
2,00 M
|
1,99 M
|
2,00 M
|
2,00 M
|
1,99 M
|
2,00 M
|
0
|
0
|
0
|
0
|
40,00 M
|
38,02 M
|
36,46 M
|
35,34 M
|
34,14 M
|
33,44 M
|
32,36 M
|
31,50 M
|
30,84 M
|
30,06 M
|
29,77 M
|
38,80 M
|
74,72 M
|
76,83 M
|
76,69 M
|
75,98 M
|
77,15 M
|
78,45 M
|
79,82 M
|
80,74 M
|
77,23 M
|
57,86 M
|
58,52 M
|
97,94 M
|
80,89 M
|
79,83 M
|
80,80 M
|
58,35 M
|
59,90 M
|
31,86 M
|
38,26 M
|
33,35 M
|
98,89 M
|
72,00 Mil
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
Imobilizado |
593,64 M
|
565,29 M
|
535,59 M
|
511,27 M
|
501,95 M
|
503,78 M
|
507,00 M
|
489,60 M
|
495,36 M
|
508,17 M
|
519,02 M
|
497,72 M
|
477,03 M
|
423,42 M
|
392,62 M
|
350,48 M
|
330,20 M
|
327,05 M
|
310,83 M
|
127,49 M
|
128,68 M
|
128,45 M
|
128,90 M
|
131,42 M
|
134,04 M
|
133,99 M
|
136,01 M
|
132,84 M
|
132,09 M
|
117,77 M
|
112,07 M
|
88,26 M
|
81,02 M
|
75,89 M
|
74,84 M
|
63,40 M
|
61,30 M
|
59,39 M
|
52,91 M
|
47,06 M
|
44,85 M
|
47,30 M
|
45,48 M
|
43,56 M
|
33,37 M
|
33,44 M
|
33,90 M
|
32,72 M
|
32,26 M
|
31,44 M
|
31,60 M
|
29,29 M
|
28,69 M
|
28,26 M
|
28,26 M
|
27,22 M
|
Intangível |
622,71 M
|
618,98 M
|
617,90 M
|
618,49 M
|
618,94 M
|
617,90 M
|
619,48 M
|
617,43 M
|
617,93 M
|
621,53 M
|
624,33 M
|
625,21 M
|
625,13 M
|
622,63 M
|
624,48 M
|
624,90 M
|
625,24 M
|
626,58 M
|
628,76 M
|
832,92 M
|
840,95 M
|
847,76 M
|
671,15 M
|
675,11 M
|
678,64 M
|
681,02 M
|
681,88 M
|
718,76 M
|
720,93 M
|
721,22 M
|
725,07 M
|
449,42 M
|
450,77 M
|
426,57 M
|
428,33 M
|
255,96 M
|
255,71 M
|
256,62 M
|
257,98 M
|
288,53 M
|
291,70 M
|
307,12 M
|
294,85 M
|
269,58 M
|
50,97 M
|
45,96 M
|
46,61 M
|
25,66 M
|
24,23 M
|
24,27 M
|
24,36 M
|
10,00 M
|
8,30 M
|
8,47 M
|
8,72 M
|
6,98 M
|
Passivo total |
4,93 B
|
5,25 B
|
4,94 B
|
4,69 B
|
4,62 B
|
4,80 B
|
4,36 B
|
4,18 B
|
4,30 B
|
4,51 B
|
4,03 B
|
3,84 B
|
3,94 B
|
4,12 B
|
3,76 B
|
3,68 B
|
3,40 B
|
3,59 B
|
3,18 B
|
3,15 B
|
3,05 B
|
3,01 B
|
2,89 B
|
2,71 B
|
2,70 B
|
2,68 B
|
2,62 B
|
2,64 B
|
2,81 B
|
2,86 B
|
2,71 B
|
2,26 B
|
2,33 B
|
2,36 B
|
2,28 B
|
1,99 B
|
1,87 B
|
2,00 B
|
1,83 B
|
1,77 B
|
1,84 B
|
1,72 B
|
1,78 B
|
1,74 B
|
1,65 B
|
1,62 B
|
1,43 B
|
1,21 B
|
1,22 B
|
1,29 B
|
1,23 B
|
982,58 M
|
1,00 B
|
1,09 B
|
1,08 B
|
1,01 B
|
Passivo circulante |
2,41 B
|
2,76 B
|
2,45 B
|
2,43 B
|
2,32 B
|
2,47 B
|
1,96 B
|
1,94 B
|
2,01 B
|
2,27 B
|
1,72 B
|
1,52 B
|
1,75 B
|
1,96 B
|
1,54 B
|
1,62 B
|
1,78 B
|
1,96 B
|
1,58 B
|
1,56 B
|
1,52 B
|
1,48 B
|
1,41 B
|
1,12 B
|
1,33 B
|
1,38 B
|
1,58 B
|
1,24 B
|
1,27 B
|
1,24 B
|
1,16 B
|
950,53 M
|
1,04 B
|
1,23 B
|
1,19 B
|
1,00 B
|
840,47 M
|
931,71 M
|
782,67 M
|
691,78 M
|
706,22 M
|
712,37 M
|
725,68 M
|
732,00 M
|
680,72 M
|
847,91 M
|
690,95 M
|
472,84 M
|
492,55 M
|
565,87 M
|
512,57 M
|
303,52 M
|
331,48 M
|
451,49 M
|
434,51 M
|
412,47 M
|
Fornecedores |
1,66 B
|
2,05 B
|
1,87 B
|
1,72 B
|
1,36 B
|
1,90 B
|
1,51 B
|
1,29 B
|
1,06 B
|
1,64 B
|
1,33 B
|
1,05 B
|
1,02 B
|
1,48 B
|
1,15 B
|
984,72 M
|
879,25 M
|
1,19 B
|
1,06 B
|
935,34 M
|
868,69 M
|
929,85 M
|
941,39 M
|
739,08 M
|
735,62 M
|
677,47 M
|
697,80 M
|
612,61 M
|
673,45 M
|
784,36 M
|
734,91 M
|
539,53 M
|
599,88 M
|
801,62 M
|
711,37 M
|
613,09 M
|
509,80 M
|
627,30 M
|
535,71 M
|
485,13 M
|
494,88 M
|
420,68 M
|
447,31 M
|
433,61 M
|
460,62 M
|
548,41 M
|
514,65 M
|
322,45 M
|
330,88 M
|
424,27 M
|
434,55 M
|
240,63 M
|
245,06 M
|
293,66 M
|
367,40 M
|
323,13 M
|
Empréstimos e financ. |
400,05 M
|
345,96 M
|
206,28 M
|
363,26 M
|
609,84 M
|
231,50 M
|
131,01 M
|
346,72 M
|
638,38 M
|
331,99 M
|
117,65 M
|
204,39 M
|
467,29 M
|
239,29 M
|
167,47 M
|
385,99 M
|
626,12 M
|
569,04 M
|
344,65 M
|
369,25 M
|
396,95 M
|
314,14 M
|
292,32 M
|
268,81 M
|
494,66 M
|
591,90 M
|
715,87 M
|
446,68 M
|
419,33 M
|
271,94 M
|
246,31 M
|
257,10 M
|
308,41 M
|
318,89 M
|
340,72 M
|
312,13 M
|
250,26 M
|
228,78 M
|
181,01 M
|
144,05 M
|
151,47 M
|
221,35 M
|
204,89 M
|
236,41 M
|
177,32 M
|
247,19 M
|
138,54 M
|
125,11 M
|
129,67 M
|
107,28 M
|
43,16 M
|
40,53 M
|
63,80 M
|
125,19 M
|
42,35 M
|
51,67 M
|
Passivo não circulante |
951,62 M
|
951,91 M
|
952,26 M
|
706,89 M
|
779,37 M
|
822,56 M
|
898,02 M
|
710,80 M
|
769,62 M
|
793,09 M
|
840,12 M
|
822,52 M
|
725,25 M
|
723,76 M
|
781,99 M
|
654,30 M
|
620,45 M
|
618,58 M
|
602,83 M
|
603,83 M
|
549,13 M
|
555,35 M
|
457,28 M
|
576,56 M
|
342,19 M
|
267,40 M
|
296,81 M
|
620,42 M
|
731,86 M
|
779,38 M
|
796,34 M
|
507,92 M
|
484,82 M
|
414,29 M
|
426,69 M
|
310,88 M
|
346,65 M
|
389,47 M
|
356,69 M
|
365,31 M
|
406,71 M
|
462,64 M
|
481,42 M
|
436,26 M
|
383,79 M
|
190,83 M
|
168,72 M
|
151,70 M
|
153,81 M
|
160,90 M
|
179,08 M
|
141,62 M
|
141,36 M
|
119,84 M
|
132,44 M
|
114,03 M
|
Emprést. de longo prazo |
531,87 M
|
551,76 M
|
573,63 M
|
346,84 M
|
415,17 M
|
462,80 M
|
532,65 M
|
344,24 M
|
398,27 M
|
393,71 M
|
440,80 M
|
429,13 M
|
335,49 M
|
358,80 M
|
433,64 M
|
338,08 M
|
324,69 M
|
333,50 M
|
323,50 M
|
339,94 M
|
283,38 M
|
276,03 M
|
343,69 M
|
344,12 M
|
101,28 M
|
17,47 M
|
41,34 M
|
308,96 M
|
354,46 M
|
398,43 M
|
362,39 M
|
291,77 M
|
221,76 M
|
174,22 M
|
186,94 M
|
187,40 M
|
221,50 M
|
265,14 M
|
234,78 M
|
243,84 M
|
284,90 M
|
319,51 M
|
335,11 M
|
270,70 M
|
279,92 M
|
111,86 M
|
84,09 M
|
95,57 M
|
96,25 M
|
99,33 M
|
98,26 M
|
98,28 M
|
96,47 M
|
74,67 M
|
74,88 M
|
83,42 M
|
Patrimônio líquido |
1,57 B
|
1,54 B
|
1,54 B
|
1,55 B
|
1,52 B
|
1,50 B
|
1,51 B
|
1,53 B
|
1,51 B
|
1,45 B
|
1,48 B
|
1,49 B
|
1,47 B
|
1,44 B
|
1,44 B
|
1,40 B
|
1,00 B
|
1,01 B
|
1,00 B
|
984,29 M
|
984,33 M
|
983,15 M
|
1,02 B
|
1,02 B
|
1,03 B
|
1,03 B
|
745,93 M
|
771,40 M
|
806,69 M
|
831,52 M
|
758,96 M
|
797,60 M
|
807,13 M
|
708,70 M
|
667,95 M
|
675,24 M
|
681,55 M
|
681,32 M
|
688,85 M
|
708,85 M
|
729,25 M
|
542,91 M
|
571,56 M
|
576,61 M
|
586,40 M
|
578,12 M
|
570,93 M
|
581,13 M
|
569,89 M
|
564,95 M
|
541,47 M
|
537,43 M
|
529,43 M
|
521,39 M
|
508,37 M
|
485,37 M
|
Aos não controladores |
280,60 M
|
284,82 M
|
290,68 M
|
292,50 M
|
319,43 M
|
318,97 M
|
319,58 M
|
319,83 M
|
348,84 M
|
353,65 M
|
389,82 M
|
382,87 M
|
383,60 M
|
384,96 M
|
388,90 M
|
380,60 M
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
-1,65 M
|
-1,61 M
|
8,85 M
|
9,61 M
|
9,79 M
|
11,60 M
|
11,29 M
|
9,95 M
|
9,49 M
|
0
|
0
|
0
|
0
|
0
|
Resultados
Conta |
2T2024 (TTM) |
2023 |
2022 |
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
2014 |
2013 |
2012 |
2011 |
2010 |
2009 |
Receita líquida |
9,04 B
|
8,66 B
|
7,82 B
|
6,41 B
|
5,48 B
|
4,80 B
|
4,27 B
|
4,10 B
|
4,08 B
|
3,47 B
|
3,45 B
|
3,47 B
|
3,23 B
|
3,32 B
|
3,13 B
|
3,04 B
|
Custos |
-7,66 B
|
-7,37 B
|
-6,67 B
|
-5,51 B
|
-4,72 B
|
-4,06 B
|
-3,59 B
|
-3,40 B
|
-3,46 B
|
-3,03 B
|
-3,02 B
|
-3,04 B
|
-3,03 B
|
-3,15 B
|
-2,95 B
|
-2,78 B
|
Lucro bruto |
1,38 B
|
1,29 B
|
1,15 B
|
907,57 M
|
763,57 M
|
737,84 M
|
680,91 M
|
700,97 M
|
625,25 M
|
436,97 M
|
431,97 M
|
430,07 M
|
204,74 M
|
163,68 M
|
181,14 M
|
263,60 M
|
Despesas operacionais |
-1,09 B
|
-1,03 B
|
-902,57 M
|
-776,86 M
|
-642,93 M
|
-676,89 M
|
-626,00 M
|
-712,23 M
|
-549,09 M
|
-378,59 M
|
-412,06 M
|
-354,06 M
|
-120,35 M
|
-100,90 M
|
-118,69 M
|
-164,98 M
|
EBIT |
286,49 M
|
261,13 M
|
242,94 M
|
130,71 M
|
120,64 M
|
60,95 M
|
54,91 M
|
-11,27 M
|
76,16 M
|
58,38 M
|
19,91 M
|
76,01 M
|
84,39 M
|
62,78 M
|
62,45 M
|
98,62 M
|
Resultado financeiro |
-173,70 M
|
-179,54 M
|
-163,97 M
|
-81,97 M
|
-87,49 M
|
-39,39 M
|
-85,05 M
|
-142,35 M
|
-128,58 M
|
-78,20 M
|
-80,54 M
|
-56,05 M
|
-28,61 M
|
-31,19 M
|
-28,61 M
|
-26,72 M
|
Antes dos impostos |
112,79 M
|
81,59 M
|
78,97 M
|
48,75 M
|
33,15 M
|
21,56 M
|
-30,13 M
|
-153,61 M
|
-52,42 M
|
-19,82 M
|
-60,63 M
|
19,96 M
|
55,77 M
|
31,59 M
|
33,84 M
|
71,90 M
|
Imposto |
-13,16 M
|
-3,73 M
|
6,07 M
|
30,37 M
|
28,65 M
|
-9,58 M
|
20,40 M
|
40,89 M
|
3,46 M
|
-1,36 M
|
8,25 M
|
-896,00 Mil
|
-13,49 M
|
-4,40 M
|
-3,81 M
|
-18,74 M
|
Op. continuadas |
99,64 M
|
77,86 M
|
85,04 M
|
79,11 M
|
61,80 M
|
11,98 M
|
-9,73 M
|
-112,72 M
|
-48,96 M
|
-21,18 M
|
-52,39 M
|
19,06 M
|
42,28 M
|
27,19 M
|
30,03 M
|
53,15 M
|
Op. descontinuadas |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
Lucro líquido |
99,64 M
|
77,86 M
|
85,04 M
|
79,11 M
|
61,80 M
|
11,98 M
|
-9,73 M
|
-112,72 M
|
-48,96 M
|
-21,18 M
|
-52,39 M
|
19,06 M
|
42,28 M
|
27,19 M
|
30,03 M
|
53,15 M
|
Dos controladores |
90,58 M
|
70,40 M
|
80,87 M
|
78,19 M
|
52,33 M
|
11,98 M
|
-9,73 M
|
-112,72 M
|
-48,96 M
|
-21,18 M
|
-52,12 M
|
20,35 M
|
40,59 M
|
26,42 M
|
30,03 M
|
53,15 M
|
Dos não controladores |
9,05 M
|
7,46 M
|
4,17 M
|
921,00 Mil
|
9,46 M
|
0
|
0
|
0
|
0
|
0
|
-271,00 Mil
|
-1,29 M
|
1,70 M
|
772,00 Mil
|
0
|
0
|
Conta |
2T2024 |
1T2024 |
4T2023 |
3T2023 |
2T2023 |
1T2023 |
4T2022 |
3T2022 |
2T2022 |
1T2022 |
4T2021 |
3T2021 |
2T2021 |
1T2021 |
4T2020 |
3T2020 |
2T2020 |
1T2020 |
4T2019 |
3T2019 |
2T2019 |
1T2019 |
4T2018 |
3T2018 |
2T2018 |
1T2018 |
4T2017 |
3T2017 |
2T2017 |
1T2017 |
4T2016 |
3T2016 |
2T2016 |
1T2016 |
4T2015 |
3T2015 |
2T2015 |
1T2015 |
4T2014 |
3T2014 |
2T2014 |
1T2014 |
4T2013 |
3T2013 |
2T2013 |
1T2013 |
4T2012 |
3T2012 |
2T2012 |
1T2012 |
4T2011 |
3T2011 |
2T2011 |
1T2011 |
4T2010 |
3T2010 |
2T2010 |
1T2010 |
Receita líquida |
2,28 B
|
2,25 B
|
2,21 B
|
2,30 B
|
2,13 B
|
2,02 B
|
2,10 B
|
2,04 B
|
1,93 B
|
1,75 B
|
1,71 B
|
1,63 B
|
1,56 B
|
1,51 B
|
4,16 B
|
1,33 B
|
1,25 B
|
1,41 B
|
3,54 B
|
1,26 B
|
1,13 B
|
1,10 B
|
1,18 B
|
1,10 B
|
1,01 B
|
987,82 M
|
971,16 M
|
1,04 B
|
1,05 B
|
1,04 B
|
1,09 B
|
1,01 B
|
1,00 B
|
978,06 M
|
866,39 M
|
934,68 M
|
840,37 M
|
823,71 M
|
872,69 M
|
855,22 M
|
878,61 M
|
842,61 M
|
862,25 M
|
2,61 B
|
880,05 M
|
856,58 M
|
844,78 M
|
812,63 M
|
766,74 M
|
808,91 M
|
1,30 B
|
702,71 M
|
656,48 M
|
658,38 M
|
1,20 B
|
684,43 M
|
607,13 M
|
639,56 M
|
Custos |
-1,90 B
|
-1,92 B
|
-1,88 B
|
-1,96 B
|
-1,80 B
|
-1,74 B
|
-1,81 B
|
-1,74 B
|
-1,61 B
|
-1,52 B
|
-1,48 B
|
-1,40 B
|
-1,32 B
|
-1,30 B
|
-3,59 B
|
-1,12 B
|
-1,07 B
|
-1,22 B
|
-2,99 B
|
-1,08 B
|
-943,64 M
|
-939,64 M
|
-1,00 B
|
-927,84 M
|
-834,14 M
|
-827,64 M
|
-807,29 M
|
-867,89 M
|
-859,70 M
|
-864,87 M
|
-933,18 M
|
-858,88 M
|
-822,74 M
|
-844,61 M
|
-760,69 M
|
-826,51 M
|
-716,80 M
|
-724,17 M
|
-766,43 M
|
-753,62 M
|
-760,96 M
|
-736,15 M
|
-647,36 M
|
-2,29 B
|
-766,32 M
|
-760,76 M
|
-794,04 M
|
-756,45 M
|
-713,90 M
|
-763,93 M
|
-1,26 B
|
-659,63 M
|
-613,58 M
|
-619,26 M
|
-1,16 B
|
-641,18 M
|
-557,43 M
|
-593,07 M
|
Lucro bruto |
386,49 M
|
327,03 M
|
329,69 M
|
337,79 M
|
336,38 M
|
288,11 M
|
289,57 M
|
301,44 M
|
318,56 M
|
235,94 M
|
230,68 M
|
233,55 M
|
240,98 M
|
202,36 M
|
560,52 M
|
203,05 M
|
174,63 M
|
187,31 M
|
550,43 M
|
187,40 M
|
190,66 M
|
164,59 M
|
175,23 M
|
170,54 M
|
174,96 M
|
160,18 M
|
163,87 M
|
173,29 M
|
185,80 M
|
178,00 M
|
160,02 M
|
154,15 M
|
177,65 M
|
133,44 M
|
105,70 M
|
108,16 M
|
123,57 M
|
99,54 M
|
106,26 M
|
101,60 M
|
117,66 M
|
106,46 M
|
214,89 M
|
314,16 M
|
113,72 M
|
95,82 M
|
50,74 M
|
56,17 M
|
52,85 M
|
44,98 M
|
38,59 M
|
43,08 M
|
42,89 M
|
39,12 M
|
41,70 M
|
43,25 M
|
49,70 M
|
46,49 M
|
Despesas operacionais |
-300,60 M
|
-282,44 M
|
-255,73 M
|
-255,74 M
|
-262,85 M
|
-256,52 M
|
-245,44 M
|
-235,68 M
|
-204,84 M
|
-216,61 M
|
-205,07 M
|
-194,65 M
|
-189,88 M
|
-187,25 M
|
-484,15 M
|
-158,78 M
|
-151,98 M
|
-165,96 M
|
-516,51 M
|
-160,37 M
|
-164,51 M
|
-154,66 M
|
-150,09 M
|
-162,09 M
|
-154,36 M
|
-159,46 M
|
-168,11 M
|
-187,28 M
|
-181,58 M
|
-175,27 M
|
-170,39 M
|
-129,97 M
|
-130,13 M
|
-118,60 M
|
-91,16 M
|
-92,72 M
|
-101,93 M
|
-92,78 M
|
-109,24 M
|
-106,68 M
|
-95,68 M
|
-100,46 M
|
-205,03 M
|
-248,01 M
|
-89,09 M
|
-79,16 M
|
-33,91 M
|
-36,12 M
|
-23,61 M
|
-26,71 M
|
-22,00 M
|
-25,44 M
|
-23,75 M
|
-29,71 M
|
-30,26 M
|
-34,41 M
|
-24,06 M
|
-29,95 M
|
EBIT |
85,89 M
|
44,59 M
|
73,96 M
|
82,05 M
|
73,54 M
|
31,59 M
|
44,13 M
|
65,77 M
|
113,72 M
|
19,33 M
|
25,61 M
|
38,90 M
|
51,10 M
|
15,11 M
|
76,37 M
|
44,27 M
|
22,65 M
|
21,34 M
|
33,92 M
|
27,03 M
|
26,15 M
|
9,93 M
|
25,14 M
|
8,45 M
|
20,61 M
|
717,00 Mil
|
-4,24 M
|
-13,99 M
|
4,22 M
|
2,73 M
|
-10,37 M
|
24,18 M
|
47,51 M
|
14,85 M
|
14,54 M
|
15,44 M
|
21,64 M
|
6,76 M
|
-2,98 M
|
-5,09 M
|
21,98 M
|
6,00 M
|
9,86 M
|
66,15 M
|
24,64 M
|
16,66 M
|
16,83 M
|
20,05 M
|
29,23 M
|
18,27 M
|
16,58 M
|
17,64 M
|
19,15 M
|
9,41 M
|
11,43 M
|
8,84 M
|
25,64 M
|
16,54 M
|
Resultado financeiro |
-40,65 M
|
-44,94 M
|
-42,23 M
|
-45,88 M
|
-51,56 M
|
-39,88 M
|
-43,30 M
|
-44,27 M
|
-45,13 M
|
-31,27 M
|
-27,86 M
|
-18,86 M
|
-19,43 M
|
-15,82 M
|
-68,90 M
|
-18,59 M
|
-30,95 M
|
-24,14 M
|
-11,55 M
|
-27,84 M
|
-25,49 M
|
-22,31 M
|
-21,57 M
|
-25,24 M
|
-22,03 M
|
-16,21 M
|
-30,41 M
|
-32,39 M
|
-38,92 M
|
-40,63 M
|
-36,01 M
|
-38,71 M
|
-28,48 M
|
-25,39 M
|
-19,41 M
|
-20,91 M
|
-21,20 M
|
-16,68 M
|
-21,63 M
|
-18,30 M
|
-20,16 M
|
-20,46 M
|
-15,73 M
|
-40,32 M
|
-11,51 M
|
-10,89 M
|
-6,25 M
|
-4,70 M
|
-10,49 M
|
-7,17 M
|
-8,40 M
|
-6,77 M
|
-8,79 M
|
-7,22 M
|
-6,07 M
|
-5,40 M
|
-11,79 M
|
-5,35 M
|
Antes dos impostos |
45,24 M
|
-352,00 Mil
|
31,73 M
|
36,18 M
|
21,98 M
|
-8,29 M
|
829,00 Mil
|
21,49 M
|
68,59 M
|
-11,94 M
|
-2,25 M
|
20,04 M
|
31,67 M
|
-711,00 Mil
|
7,46 M
|
25,68 M
|
-8,30 M
|
-2,79 M
|
22,36 M
|
-807,00 Mil
|
652,00 Mil
|
-12,38 M
|
3,57 M
|
-16,79 M
|
-1,42 M
|
-15,49 M
|
-34,64 M
|
-46,38 M
|
-34,70 M
|
-37,89 M
|
-46,38 M
|
-14,53 M
|
19,04 M
|
-10,54 M
|
-4,88 M
|
-5,47 M
|
441,00 Mil
|
-9,92 M
|
-24,61 M
|
-23,38 M
|
1,81 M
|
-14,45 M
|
-5,87 M
|
25,83 M
|
13,13 M
|
5,76 M
|
10,58 M
|
15,36 M
|
18,74 M
|
11,10 M
|
8,18 M
|
10,87 M
|
10,35 M
|
2,19 M
|
5,37 M
|
3,44 M
|
13,85 M
|
11,19 M
|
Imposto |
-13,35 M
|
2,38 M
|
-229,00 Mil
|
-1,95 M
|
-4,23 M
|
2,68 M
|
4,84 M
|
-3,88 M
|
2,77 M
|
2,35 M
|
20,20 M
|
3,79 M
|
704,00 Mil
|
5,67 M
|
24,93 M
|
3,72 M
|
3,89 M
|
3,58 M
|
-10,35 M
|
770,00 Mil
|
526,00 Mil
|
3,87 M
|
-1,36 M
|
9,24 M
|
2,93 M
|
9,59 M
|
9,18 M
|
11,09 M
|
9,86 M
|
10,77 M
|
7,73 M
|
5,00 M
|
-10,57 M
|
1,29 M
|
-2,41 M
|
-912,00 Mil
|
-315,00 Mil
|
2,28 M
|
4,46 M
|
2,81 M
|
329,00 Mil
|
647,00 Mil
|
1,22 M
|
-2,12 M
|
-1,26 M
|
1,00 M
|
-3,20 M
|
-4,22 M
|
-4,97 M
|
-1,10 M
|
-1,15 M
|
-2,37 M
|
-870,00 Mil
|
-4,00 Mil
|
781,00 Mil
|
1,27 M
|
-2,44 M
|
-3,43 M
|
Op. continuadas |
31,89 M
|
2,02 M
|
31,50 M
|
34,22 M
|
17,75 M
|
-5,61 M
|
5,67 M
|
17,61 M
|
71,36 M
|
-9,60 M
|
17,95 M
|
23,83 M
|
32,38 M
|
4,96 M
|
32,39 M
|
29,41 M
|
-4,41 M
|
781,00 Mil
|
12,02 M
|
-37,00 Mil
|
1,18 M
|
-8,51 M
|
2,21 M
|
-7,55 M
|
1,50 M
|
-5,90 M
|
-25,47 M
|
-35,29 M
|
-24,84 M
|
-27,13 M
|
-38,65 M
|
-9,53 M
|
8,46 M
|
-9,25 M
|
-7,29 M
|
-6,38 M
|
126,00 Mil
|
-7,64 M
|
-20,16 M
|
-20,57 M
|
2,14 M
|
-13,81 M
|
-4,64 M
|
23,71 M
|
11,87 M
|
6,77 M
|
7,38 M
|
11,14 M
|
13,78 M
|
10,00 M
|
7,03 M
|
8,49 M
|
9,48 M
|
2,19 M
|
6,15 M
|
4,71 M
|
11,41 M
|
7,76 M
|
Op. descontinuadas |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
Lucro líquido |
31,89 M
|
2,02 M
|
31,50 M
|
34,22 M
|
17,75 M
|
-5,61 M
|
5,67 M
|
17,61 M
|
71,36 M
|
-9,60 M
|
17,95 M
|
23,83 M
|
32,38 M
|
4,96 M
|
32,39 M
|
29,41 M
|
-4,41 M
|
781,00 Mil
|
12,02 M
|
-37,00 Mil
|
1,18 M
|
-8,51 M
|
2,21 M
|
-7,55 M
|
1,50 M
|
-5,90 M
|
-25,47 M
|
-35,29 M
|
-24,84 M
|
-27,13 M
|
-38,65 M
|
-9,53 M
|
8,46 M
|
-9,25 M
|
-7,29 M
|
-6,38 M
|
126,00 Mil
|
-7,64 M
|
-20,16 M
|
-20,57 M
|
2,14 M
|
-13,81 M
|
-4,64 M
|
23,71 M
|
11,87 M
|
6,77 M
|
7,38 M
|
11,14 M
|
13,78 M
|
10,00 M
|
7,03 M
|
8,49 M
|
9,48 M
|
2,19 M
|
6,15 M
|
4,71 M
|
11,41 M
|
7,76 M
|
Dos controladores |
28,30 M
|
1,70 M
|
28,41 M
|
32,16 M
|
14,83 M
|
-5,01 M
|
4,56 M
|
16,33 M
|
66,23 M
|
-6,25 M
|
11,00 M
|
24,56 M
|
33,74 M
|
8,89 M
|
24,04 M
|
28,30 M
|
-4,41 M
|
781,00 Mil
|
12,02 M
|
-37,00 Mil
|
1,18 M
|
-8,51 M
|
2,21 M
|
-7,55 M
|
1,50 M
|
-5,90 M
|
-25,47 M
|
-35,29 M
|
-24,84 M
|
-27,13 M
|
-38,65 M
|
-9,53 M
|
8,46 M
|
-9,25 M
|
-7,29 M
|
-6,38 M
|
126,00 Mil
|
-7,64 M
|
-20,16 M
|
-20,57 M
|
2,14 M
|
-13,54 M
|
-4,60 M
|
24,96 M
|
12,64 M
|
6,94 M
|
7,79 M
|
10,82 M
|
12,43 M
|
9,54 M
|
6,26 M
|
8,49 M
|
9,48 M
|
2,19 M
|
6,15 M
|
4,71 M
|
11,41 M
|
7,76 M
|
Dos não controladores |
3,58 M
|
321,00 Mil
|
3,08 M
|
2,06 M
|
2,92 M
|
-606,00 Mil
|
1,11 M
|
1,28 M
|
5,12 M
|
-3,34 M
|
6,95 M
|
-724,00 Mil
|
-1,36 M
|
-3,94 M
|
8,35 M
|
1,11 M
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
-271,00 Mil
|
-41,00 Mil
|
-1,25 M
|
-769,00 Mil
|
-177,00 Mil
|
-415,00 Mil
|
312,00 Mil
|
1,35 M
|
455,00 Mil
|
772,00 Mil
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
Fluxos de caixa
Conta |
2023 |
2022 |
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
2014 |
2013 |
2012 |
2011 |
2010 |
2009 |
Caixa líq. operac. |
260,90 M
|
126,32 M
|
107,58 M
|
39,34 M
|
127,61 M
|
-55,84 M
|
-51,83 M
|
-107,29 M
|
59,27 M
|
58,87 M
|
-90,02 M
|
8,93 M
|
30,65 M
|
44,40 M
|
80,25 M
|
Caixa líq. financ. |
-96,58 M
|
-21,74 M
|
-86,41 M
|
-47,75 M
|
-31,72 M
|
-31,70 M
|
-102,11 M
|
-117,13 M
|
-5,72 M
|
-11,84 M
|
-101,69 M
|
-11,32 M
|
-16,71 M
|
-8,12 M
|
-11,75 M
|
Caixa líq. invest. |
-153,83 M
|
-109,84 M
|
-204,44 M
|
154,38 M
|
-99,23 M
|
123,53 M
|
141,60 M
|
176,88 M
|
25,40 M
|
67,49 M
|
201,96 M
|
28,82 M
|
-2,69 M
|
-43,80 M
|
-94,26 M
|
Dividendos
Histórico de dividendos de PFRM3 →
Desdobramentos e bonificações
Não temos registro de desdobramentos ou bonificações de PFRM3.