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Potlatchdeltic Corp

PCH

42.340USD

+1.020+2.47%
Fechamento 08/04, 16:00ETCotações atrasadas em 15 min
3.27BValor de mercado
68.19P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
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FY2012Q3
FY2012Q2
FY2012Q1
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-52.30%95.28M
-18.14%147.48M
-34.14%151.55M
-46.79%161.13M
-39.70%199.72M
-44.68%180.15M
-33.07%230.12M
-37.44%302.80M
-35.20%331.23M
-30.85%325.63M
16.09%343.81M
-18.35%484.02M
-0.17%511.16M
23.27%470.92M
17.36%296.15M
298.05%592.77M
532.24%512.03M
380.64%382.03M
202.89%252.34M
57.18%148.92M
-17.33%80.99M
-24.15%79.48M
8.70%83.31M
-31.11%94.75M
-22.07%97.97M
2.39%104.79M
-36.38%76.64M
17.75%137.53M
13.95%125.72M
0.66%102.34M
45.86%120.46M
60.32%116.80M
68.75%110.32M
1199.39%101.66M
942.07%82.58M
5312.70%72.86M
515.96%65.38M
-72.09%7.82M
-74.45%7.92M
-98.16%1.35M
-87.24%10.61M
-63.27%28.03M
-47.30%31.01M
16.79%73.34M
64.85%83.17M
27.79%76.31M
-27.47%58.84M
-1.72%62.80M
-2.28%50.45M
-1.27%59.72M
--81.13M
--63.90M
--51.63M
--60.48M
- Caixa e Equivalentes de Caixa
-52.30%95.28M
-18.14%147.48M
-34.14%151.55M
-46.79%161.13M
-39.70%199.72M
-44.68%180.15M
-33.07%230.12M
-37.44%302.80M
-35.20%331.23M
-30.85%325.63M
16.09%343.81M
-18.35%484.02M
-0.17%511.16M
23.27%470.92M
17.36%296.15M
298.05%592.77M
532.24%512.03M
380.64%382.03M
202.89%252.34M
57.18%148.92M
-17.33%80.99M
-24.15%79.48M
8.70%83.31M
-31.11%94.75M
-22.07%97.97M
2.39%104.79M
-36.38%76.64M
17.75%137.53M
13.95%125.72M
0.66%102.34M
45.86%120.46M
256.82%116.80M
336.05%110.32M
1205.23%101.66M
947.22%82.58M
2406.43%32.73M
188.07%25.30M
-14.82%7.79M
69.81%7.89M
-84.26%1.31M
-5.07%8.78M
-2.35%9.14M
-16.86%4.64M
38.46%8.30M
44.43%9.25M
118.84%9.36M
-67.11%5.59M
-33.64%5.99M
-25.06%6.41M
-63.97%4.28M
--16.98M
--9.03M
--8.55M
--11.88M
-Investimentos de Curto Prazo
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100202.50%40.12M
2088.80%40.08M
-99.81%35.00K
-99.85%39.00K
-99.94%40.00K
-97.52%1.83M
-71.79%18.89M
-50.49%26.37M
14.50%65.04M
67.82%73.92M
20.77%66.95M
-16.97%53.26M
3.54%56.80M
2.24%44.05M
14.05%55.44M
--64.14M
--54.86M
--43.08M
--48.61M
Contas a Receber
12.75%33.80M
4.41%28.33M
6.70%23.36M
-3.94%29.55M
-8.89%29.98M
-8.23%27.13M
-4.04%21.89M
-17.36%30.76M
-25.20%32.90M
-26.26%29.57M
-26.48%22.81M
33.95%37.22M
-22.41%43.99M
-4.36%40.09M
16.62%31.03M
-44.52%27.79M
130.58%56.69M
79.48%41.92M
87.80%26.61M
84.04%50.08M
0.45%24.59M
29.69%23.36M
-53.65%14.17M
-39.53%27.21M
-46.78%24.48M
-36.17%18.01M
171.92%30.56M
91.84%45.01M
95.42%45.99M
72.78%28.21M
-34.97%11.24M
-36.89%23.46M
4.46%23.54M
11.00%16.33M
28.79%17.28M
25.40%37.17M
24.79%22.53M
12.59%14.71M
35.17%13.42M
25.81%29.64M
-12.48%18.05M
3.75%13.06M
-40.09%9.93M
26.20%23.56M
5.95%20.63M
-21.32%12.59M
55.34%16.57M
-23.89%18.67M
6.94%19.47M
22.58%16.01M
--10.67M
--24.53M
--18.21M
--13.06M
-Contas e Títulos a Receber
12.75%33.80M
4.41%28.33M
6.70%23.36M
-3.94%29.55M
-8.89%29.98M
-8.23%27.13M
-4.04%21.89M
-17.36%30.76M
-25.20%32.90M
-26.26%29.57M
-26.48%22.81M
33.95%37.22M
-22.41%43.99M
-4.36%40.09M
16.62%31.03M
-44.52%27.79M
130.58%56.69M
79.48%41.92M
87.80%26.61M
84.04%50.08M
0.45%24.59M
29.69%23.36M
-33.81%14.17M
-30.27%27.21M
-43.50%24.48M
-36.17%18.01M
90.44%21.41M
66.36%39.03M
84.07%43.32M
72.78%28.21M
-34.97%11.24M
-36.89%23.46M
4.46%23.54M
11.00%16.33M
28.79%17.28M
25.40%37.17M
24.79%22.53M
12.59%14.71M
35.17%13.42M
25.81%29.64M
-12.48%18.05M
3.75%13.06M
-40.09%9.93M
26.20%23.56M
5.95%20.63M
-21.32%12.59M
55.34%16.57M
-23.89%18.67M
6.94%19.47M
22.58%16.01M
--10.67M
--24.53M
--18.21M
--13.06M
-Outros Recebíveis
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--2.50M
--2.11M
--1.34M
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Inventário
8.66%87.04M
4.79%81.28M
5.42%82.93M
-3.20%79.89M
13.35%80.10M
17.20%77.57M
15.76%78.67M
31.88%82.54M
9.99%70.66M
-2.19%66.19M
-6.10%67.96M
-10.42%62.58M
-12.08%64.25M
8.00%67.67M
16.66%72.37M
19.28%69.86M
39.95%73.07M
12.49%62.66M
-5.69%62.04M
8.06%58.57M
-3.52%52.22M
-10.74%55.71M
8.18%65.78M
-26.62%54.20M
-14.61%54.12M
0.41%62.41M
21.29%60.80M
88.14%73.86M
57.97%63.38M
37.06%62.15M
-4.73%50.13M
-4.26%39.26M
33.55%40.12M
81.19%45.35M
49.66%52.62M
1.55%41.01M
-26.94%30.05M
-9.05%25.03M
11.66%35.16M
31.41%40.38M
57.74%41.12M
-19.61%27.52M
-13.19%31.49M
-13.15%30.73M
-17.78%26.07M
19.04%34.23M
25.40%36.27M
20.22%35.38M
38.77%31.71M
31.22%28.76M
--28.93M
--29.43M
--22.85M
--21.91M
Despesas Antecipadas
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--3.19M
--3.96M
--4.91M
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-34.97%1.54M
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150.80%2.37M
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-5.23%943.00K
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--995.00K
--1.57M
--2.15M
--1.10M
Outros Ativos Circulantes
-9.32%42.74M
-55.50%37.76M
-10.73%41.30M
-10.57%50.62M
-18.57%47.13M
89.82%84.84M
25.17%46.26M
36.23%56.61M
81.81%57.88M
103.75%44.70M
70.85%36.95M
69.87%41.55M
30.06%31.83M
4.67%21.94M
34.05%21.63M
15.98%24.46M
10.71%24.48M
34.13%20.96M
-20.05%16.14M
-10.22%21.09M
11.15%22.11M
-16.10%15.63M
--20.18M
--23.49M
--19.89M
-14.66%18.63M
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151.57%21.82M
2.90%11.48M
-11.27%8.82M
-27.77%12.40M
-38.50%8.68M
--11.15M
-56.64%9.94M
-16.30%17.16M
-31.93%14.11M
-100.00%0.00
38.98%22.92M
33.94%20.50M
29.82%20.72M
-20.15%6.17M
-8.48%16.49M
-17.82%15.31M
-13.46%15.96M
-26.49%7.72M
51.32%18.02M
56.42%18.63M
54.89%18.45M
--10.51M
--11.91M
--11.91M
--11.91M
Total de Ativos Circulantes
-27.48%258.85M
-20.25%294.85M
-20.64%299.13M
-32.05%321.20M
-27.55%356.93M
-20.68%369.70M
-20.06%376.93M
-24.41%472.70M
-24.35%492.67M
-22.40%466.08M
11.96%471.54M
-12.52%625.38M
-2.26%651.23M
18.33%600.62M
17.94%421.18M
156.54%714.88M
270.36%666.27M
191.42%507.57M
94.68%357.12M
39.57%278.67M
-8.43%179.90M
-14.55%174.17M
-30.04%183.44M
-25.89%199.66M
-21.56%196.46M
-4.99%203.83M
35.64%262.20M
43.04%269.42M
34.38%250.45M
24.72%214.53M
18.13%193.31M
17.00%188.34M
37.94%186.38M
178.94%172.01M
131.29%163.65M
70.72%160.98M
49.64%135.12M
-30.97%61.67M
-23.50%70.75M
-34.58%94.29M
-37.80%90.30M
-35.78%89.33M
-29.05%92.49M
6.86%144.13M
20.72%145.18M
13.16%139.10M
-5.60%130.37M
-2.81%134.87M
5.32%120.26M
6.06%122.93M
--138.10M
--138.77M
--114.18M
--115.90M
Ativos não Circulantes
Ativos Fixos Líquidos
-2.37%2.72B
-1.78%2.75B
-1.67%2.78B
-0.76%2.78B
-0.33%2.78B
-0.31%2.80B
-0.44%2.82B
-1.63%2.80B
37.72%2.79B
42.16%2.81B
42.97%2.84B
52.70%2.85B
7.76%2.03B
4.65%1.98B
4.41%1.98B
-2.26%1.87B
-1.95%1.88B
-2.22%1.89B
-2.12%1.90B
-1.78%1.91B
-1.59%1.92B
-1.04%1.93B
-0.22%1.94B
-3.96%1.94B
-4.04%1.95B
-4.65%1.95B
165.82%1.95B
175.89%2.02B
184.58%2.03B
187.66%2.05B
2.38%731.71M
1.74%733.68M
-0.63%713.85M
-19.56%711.78M
-19.87%714.68M
-19.61%721.13M
-20.03%718.37M
-1.03%884.92M
-0.26%891.88M
74.80%897.07M
74.38%898.35M
74.91%894.13M
73.34%894.17M
-1.35%513.21M
-1.39%515.16M
-1.90%511.18M
-1.28%515.85M
1.31%520.24M
1.16%522.45M
0.52%521.08M
--522.52M
--513.51M
--516.47M
--518.40M
-Ativos Fixos
-2.69%3.03B
-1.97%3.06B
-1.74%3.08B
-0.80%3.08B
1.10%3.12B
1.00%3.12B
0.83%3.13B
-0.36%3.10B
35.08%3.08B
39.01%3.09B
39.72%3.11B
48.19%3.11B
8.00%2.28B
5.02%2.22B
4.45%2.22B
-1.70%2.10B
-1.33%2.11B
-1.43%2.12B
-1.10%2.13B
-0.94%2.14B
-0.93%2.14B
-0.44%2.15B
0.33%2.15B
-2.88%2.16B
-2.79%2.16B
-3.35%2.16B
134.76%2.15B
142.71%2.22B
148.42%2.22B
150.51%2.23B
2.37%913.91M
2.01%915.63M
0.09%895.09M
-15.85%891.42M
-16.20%892.77M
--897.60M
--894.32M
--1.06B
0.04%1.07B
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--1.06B
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-Depreciação Acumulada
-5.35%315.81M
-3.62%309.65M
-2.36%301.79M
-1.16%296.25M
14.84%333.67M
14.02%321.29M
14.16%309.08M
13.32%299.75M
14.11%290.54M
13.87%281.78M
12.81%270.75M
12.45%264.51M
9.96%254.61M
8.04%247.45M
4.73%240.00M
2.99%235.24M
3.97%231.56M
5.61%229.04M
8.24%229.17M
6.62%228.40M
5.09%222.71M
5.23%216.87M
5.60%211.73M
8.13%214.21M
10.35%211.93M
11.02%206.09M
10.04%200.50M
8.88%198.10M
5.96%192.05M
3.33%185.62M
2.31%182.21M
3.11%181.95M
3.01%181.24M
2.98%179.64M
2.67%178.09M
--176.46M
--175.94M
--174.44M
1.58%173.47M
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--170.76M
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Goodwill e outros Ativos Intangíveis
-12.07%12.97M
-11.71%13.42M
-10.88%18.71M
-11.06%14.31M
-10.76%14.75M
-10.48%15.20M
-9.91%20.99M
-10.17%16.09M
9.46%16.53M
10.98%16.98M
6.26%23.30M
14.16%17.91M
-4.91%15.10M
-4.85%15.30M
3.94%21.93M
-4.74%15.69M
-4.68%15.88M
-4.62%16.07M
23.73%21.09M
-4.52%16.46M
-4.47%16.66M
-4.42%16.85M
-27.65%17.05M
-31.36%17.24M
-9.85%17.44M
-7.19%17.63M
--23.56M
--25.12M
--19.34M
--19.00M
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Dívida de longo prazo
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-100.00%0.00
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--1.59M
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Outros ativos não circulantes
-12.74%196.01M
-12.30%195.15M
-11.37%66.99M
-25.98%189.61M
1.51%224.64M
7.78%222.53M
6.51%75.59M
10.56%256.18M
24.08%221.29M
46.57%206.47M
-32.21%70.96M
91.48%231.70M
49.36%178.35M
-6.70%140.86M
4.85%104.68M
29.70%121.00M
35.02%119.41M
67.75%150.98M
8.34%99.84M
-2.20%93.29M
-7.31%88.44M
-9.58%90.00M
1.86%92.15M
8.15%95.39M
-0.47%95.42M
9.01%99.54M
222.33%90.47M
80.14%88.20M
105.96%95.87M
86.83%91.31M
-43.14%28.07M
-4.02%48.96M
-23.27%46.55M
-10.77%48.87M
-8.55%49.36M
9.00%51.02M
18.85%60.66M
17.39%54.77M
19.72%53.98M
101.96%46.80M
84.34%51.04M
46.17%46.66M
63.31%45.09M
-55.29%23.18M
-49.11%27.69M
-43.23%31.92M
-45.06%27.61M
7.66%51.83M
1.81%54.40M
-6.45%56.23M
--50.25M
--48.15M
--53.43M
--60.11M
Total de ativos não circulantes
-3.19%2.93B
-2.60%2.96B
-1.57%3.01B
-2.92%2.99B
-0.25%3.02B
0.18%3.04B
-0.80%3.05B
-0.77%3.08B
36.43%3.03B
42.23%3.03B
45.65%3.08B
54.74%3.10B
10.12%2.22B
3.74%2.13B
4.45%2.11B
-0.81%2.00B
-0.43%2.02B
0.85%2.06B
-1.35%2.02B
-1.85%2.02B
-1.80%2.03B
-1.48%2.04B
-0.58%2.05B
-4.02%2.06B
-3.92%2.06B
-4.10%2.07B
171.61%2.06B
173.90%2.14B
182.31%2.15B
183.68%2.16B
-0.56%759.77M
1.36%782.65M
-2.39%760.39M
-19.05%760.66M
-19.22%764.04M
-18.32%772.15M
-17.99%779.03M
-0.23%939.69M
0.70%945.86M
66.70%945.28M
74.48%949.96M
72.88%941.81M
70.72%939.25M
-1.23%567.05M
-5.62%544.45M
-5.63%544.78M
-5.28%550.16M
0.73%574.12M
-0.10%576.85M
-1.34%577.31M
--580.80M
--569.95M
--577.43M
--585.14M
Total de ativos
-5.75%3.18B
-4.51%3.26B
-3.67%3.31B
-6.80%3.31B
-4.07%3.38B
-2.60%3.41B
-3.36%3.43B
-4.74%3.55B
22.65%3.52B
28.03%3.50B
40.05%3.55B
37.05%3.72B
7.05%2.87B
6.63%2.73B
6.47%2.54B
18.28%2.72B
21.66%2.68B
15.85%2.56B
6.53%2.38B
1.81%2.30B
-2.38%2.21B
-2.65%2.21B
-3.90%2.24B
-6.47%2.26B
-5.77%2.26B
-4.18%2.27B
144.04%2.33B
148.52%2.41B
153.19%2.40B
154.36%2.37B
2.74%953.08M
4.06%970.99M
3.57%946.77M
-6.86%932.67M
-8.75%927.68M
-10.24%933.13M
-12.12%914.14M
-2.89%1.00B
-1.47%1.02B
46.18%1.04B
50.84%1.04B
50.78%1.03B
51.61%1.03B
0.31%711.18M
-1.07%689.63M
-2.34%683.88M
-5.34%680.53M
0.04%708.99M
0.80%697.11M
-0.11%700.24M
--718.90M
--708.72M
--691.61M
--701.03M
Passivos
Passivos circulantes
-Dividendos a pagar
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--222.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-Outros a pagar
-9.04%11.54M
-5.88%10.70M
-7.42%11.92M
-5.73%11.16M
-3.69%12.69M
-1.37%11.37M
1.38%12.88M
15.30%11.84M
20.28%13.18M
21.86%11.53M
15.08%12.70M
-11.60%10.27M
-15.56%10.96M
-18.43%9.46M
-15.47%11.04M
-4.58%11.61M
-4.09%12.98M
-4.85%11.60M
0.43%13.06M
3.01%12.17M
2.38%13.53M
2.96%12.19M
-11.18%13.00M
-26.91%11.81M
-8.95%13.22M
-22.83%11.84M
174.45%14.64M
176.86%16.17M
148.59%14.52M
162.75%15.34M
-8.65%5.33M
-2.24%5.84M
-2.24%5.84M
-2.24%5.84M
-2.24%5.84M
--5.97M
--5.97M
--5.97M
-4.58%5.97M
----
----
----
-6.58%6.26M
----
----
----
--6.70M
----
----
----
----
----
----
----
Despesas acumuladas
21.16%47.95M
-1.01%39.61M
20.47%46.08M
-13.57%36.36M
1.18%39.58M
10.93%40.01M
-22.60%38.25M
-29.97%42.07M
-16.07%39.12M
2.42%36.07M
31.51%49.42M
35.28%60.08M
2.86%46.61M
-8.77%35.22M
-8.34%37.58M
18.29%44.41M
115.76%45.32M
61.36%38.60M
72.63%40.99M
50.99%37.54M
-14.00%21.00M
-11.57%23.92M
-27.80%23.75M
-41.08%24.86M
-26.90%24.42M
-20.36%27.05M
--32.89M
--42.20M
--33.41M
--33.97M
----
----
----
----
----
----
----
----
-35.17%9.51M
----
----
----
--14.67M
----
----
----
----
----
----
----
--6.89M
----
----
----
Dívidas e arrendamentos de curto prazo
-29.45%127.38M
-26.60%132.45M
-41.82%104.81M
283.90%170.40M
306.70%180.56M
305.11%180.45M
301.98%180.14M
-1.10%44.39M
0.16%44.40M
2.32%44.54M
-3.74%44.81M
-2.44%44.88M
-3.33%44.33M
-4.00%43.53M
10.36%46.55M
-4.25%46.00M
-9.69%45.85M
-3.42%45.35M
-9.51%42.18M
20.12%48.04M
26.97%50.77M
17.44%46.95M
16.62%46.62M
--39.99M
--39.99M
--39.98M
180.26%39.97M
-100.00%0.00
----
-100.00%0.00
29.29%14.26M
301.82%20.30M
300.41%20.35M
--25.41M
-70.85%11.03M
-81.63%5.05M
-88.04%5.08M
-100.00%0.00
38.85%37.84M
--27.50M
--42.50M
--27.50M
--27.25M
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
74.60%9.01M
--8.41M
--8.41M
--13.00K
--5.16M
-Dívida de curto prazo
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
--0.00
-100.00%0.00
--0.00
648.83%32.84M
----
--15.00M
----
--4.38M
----
----
----
----
----
----
----
----
----
----
----
-Passivos de arrendamento de curto prazo
----
9.15%5.24M
16.18%5.26M
20.39%5.29M
10.44%4.87M
5.22%4.80M
-6.39%4.53M
-10.10%4.39M
1.61%4.41M
28.42%4.56M
35.14%4.83M
62.55%4.88M
51.56%4.34M
50.23%3.55M
62.44%3.58M
46.82%3.00M
-40.18%2.86M
143.11%2.36M
241.93%2.20M
--2.05M
--4.78M
--972.00K
--644.00K
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Passivos diferidos
5.63%16.76M
9.78%8.78M
17.02%12.23M
-5.21%14.08M
-3.97%15.86M
-7.04%8.00M
-3.73%10.46M
12.55%14.86M
23.94%16.52M
-11.01%8.61M
29.41%10.86M
34.62%13.20M
-2.56%13.33M
33.71%9.67M
-4.52%8.39M
-6.76%9.81M
31.58%13.68M
52.02%7.23M
59.39%8.79M
45.22%10.52M
28.94%10.39M
--4.76M
--5.51M
--7.24M
--8.06M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Outros passivos circulantes
-0.89%28.30M
0.58%19.48M
3.53%24.16M
-5.44%25.24M
-3.85%28.56M
-3.79%19.37M
-0.98%23.33M
13.75%26.70M
22.29%29.70M
5.24%20.14M
21.27%23.56M
9.56%23.47M
-8.89%24.29M
1.60%19.13M
-11.06%19.43M
-5.59%21.42M
11.41%26.66M
11.12%18.83M
17.99%21.85M
19.05%22.69M
12.44%23.93M
43.15%16.95M
26.49%18.52M
17.88%19.06M
46.59%21.28M
-22.83%11.84M
174.45%14.64M
176.86%16.17M
148.59%14.52M
162.75%15.34M
-8.65%5.33M
-2.24%5.84M
-2.24%5.84M
-2.24%5.84M
-2.24%5.84M
--5.97M
--5.97M
--5.97M
-4.58%5.97M
----
----
----
-6.58%6.26M
----
----
----
--6.70M
----
----
----
----
----
----
----
Total de passivos circulantes
-16.92%229.05M
-21.02%206.04M
-23.71%200.28M
62.20%259.94M
95.52%275.70M
111.79%260.89M
87.84%262.53M
2.34%160.26M
-9.12%141.01M
-15.96%123.18M
10.77%139.77M
13.98%156.60M
5.54%155.17M
-10.85%146.56M
-9.77%126.18M
-14.73%137.39M
14.31%147.03M
44.12%164.41M
23.47%139.83M
29.66%161.12M
3.33%128.63M
-3.77%114.08M
-16.90%113.25M
-59.70%124.27M
59.71%124.48M
45.81%118.54M
82.20%136.28M
254.89%308.35M
-1.74%77.94M
7.74%81.30M
23.47%74.80M
36.05%86.88M
33.66%79.32M
49.26%75.46M
-24.95%60.58M
-31.87%63.86M
-42.95%59.34M
-37.99%50.55M
11.81%80.72M
56.28%93.73M
89.36%104.03M
64.83%81.53M
43.48%72.19M
1.22%59.98M
-6.21%54.94M
-27.28%49.46M
-20.87%50.32M
-21.47%59.26M
-2.44%58.57M
9.13%68.02M
--63.59M
--75.46M
--60.03M
--62.33M
Passivos não circulantes
Provisões de longo prazo
9.77%75.33M
11.89%76.52M
12.40%76.27M
-19.46%64.90M
-12.77%68.62M
-12.43%68.39M
-12.33%67.86M
-13.34%80.58M
-14.22%78.67M
-13.57%78.10M
-7.50%77.40M
-26.29%92.99M
-28.50%91.70M
-29.97%90.36M
-35.04%83.67M
-9.26%126.15M
-10.13%128.25M
-9.09%129.03M
11.56%128.81M
25.76%139.02M
29.12%142.71M
28.46%141.92M
4.34%115.46M
24.16%110.55M
-16.70%110.53M
-16.28%110.48M
6.89%110.66M
-24.87%89.03M
7.22%132.68M
6.47%131.96M
-16.03%103.52M
-0.15%118.50M
3.47%123.75M
4.15%123.94M
3.28%123.28M
3.61%118.68M
3.88%119.59M
2.92%119.00M
2.96%119.37M
63.33%114.54M
53.93%115.13M
40.24%115.63M
38.65%115.94M
-49.94%70.13M
-47.23%74.79M
-42.60%82.45M
-42.35%83.62M
3.12%140.09M
3.17%141.74M
2.93%143.64M
--145.05M
--135.85M
--137.38M
--139.55M
Dívidas e arrendamentos de longo prazo
4.75%907.79M
5.68%914.69M
8.83%942.13M
-12.33%877.21M
-13.33%866.63M
-13.37%865.55M
-13.38%865.70M
0.09%1.00B
38.63%999.93M
38.68%999.19M
38.64%999.42M
38.85%999.73M
0.13%721.30M
-0.03%720.51M
-0.46%720.88M
0.15%720.00M
0.10%720.35M
0.06%720.72M
0.41%724.20M
-1.22%718.90M
-1.19%719.65M
-0.55%720.32M
0.82%721.27M
-7.16%727.78M
-7.04%728.28M
-7.49%724.34M
27.96%715.39M
40.23%783.90M
40.19%783.44M
40.19%782.97M
-2.43%559.06M
-3.67%559.02M
-3.85%558.85M
-11.02%558.51M
-4.33%572.96M
-3.71%580.32M
-3.42%581.21M
4.24%627.71M
-0.65%598.87M
88.48%602.67M
88.05%601.76M
88.16%602.15M
88.32%602.80M
-0.15%319.75M
-0.04%320.00M
-0.23%320.01M
-8.33%320.09M
-5.06%320.23M
-7.30%320.13M
-6.97%320.75M
--349.16M
--337.31M
--345.35M
--344.78M
-Dívida de longo prazo
5.73%907.79M
5.75%907.71M
8.97%935.10M
-12.49%869.49M
-13.56%858.62M
-13.56%858.37M
-13.56%858.11M
0.11%993.56M
38.77%993.27M
38.78%992.99M
38.79%992.70M
38.79%992.51M
0.12%715.75M
0.12%715.50M
-0.29%715.28M
0.54%715.12M
0.54%714.87M
0.54%714.62M
0.97%717.37M
-0.71%711.25M
-0.71%711.00M
-0.71%710.75M
-0.68%710.50M
-8.62%716.35M
-8.60%716.09M
-8.57%715.84M
27.96%715.39M
40.23%783.90M
40.19%783.44M
40.19%782.97M
-2.43%559.06M
-3.67%559.02M
-3.85%558.85M
-11.02%558.51M
-4.33%572.96M
-3.71%580.32M
-3.42%581.21M
4.24%627.71M
-0.65%598.87M
88.48%602.67M
88.05%601.76M
88.16%602.15M
88.32%602.80M
-0.15%319.75M
-0.04%320.00M
-0.23%320.01M
-8.33%320.09M
-5.06%320.23M
-7.30%320.13M
-6.97%320.75M
--349.16M
--337.31M
--345.35M
--344.78M
-Passivos de arrendamento de longo prazo
----
-2.73%6.99M
-7.38%7.03M
9.34%7.73M
20.43%8.01M
15.84%7.18M
13.01%7.59M
-2.11%7.07M
19.82%6.65M
23.66%6.20M
19.97%6.72M
48.14%7.22M
1.39%5.55M
-17.83%5.01M
-18.10%5.60M
-36.31%4.87M
-36.68%5.47M
-36.24%6.10M
-36.57%6.83M
-33.08%7.65M
-29.06%8.65M
12.58%9.57M
--10.78M
--11.43M
--12.19M
--8.50M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Benefícios trabalhistas
9.77%75.33M
11.89%76.52M
12.40%76.27M
-19.46%64.90M
-12.77%68.62M
-12.43%68.39M
-12.33%67.86M
-13.34%80.58M
-14.22%78.67M
-13.57%78.10M
-7.50%77.40M
-26.29%92.99M
-28.50%91.70M
-29.97%90.36M
-35.04%83.67M
-9.26%126.15M
-10.13%128.25M
-9.09%129.03M
11.56%128.81M
25.76%139.02M
29.12%142.71M
28.46%141.92M
4.34%115.46M
24.16%110.55M
-16.70%110.53M
-16.28%110.48M
6.89%110.66M
-24.87%89.03M
7.22%132.68M
6.47%131.96M
-16.03%103.52M
-0.15%118.50M
3.47%123.75M
4.15%123.94M
3.28%123.28M
3.61%118.68M
3.88%119.59M
2.92%119.00M
2.96%119.37M
63.33%114.54M
53.93%115.13M
40.24%115.63M
38.65%115.94M
-49.94%70.13M
-47.23%74.79M
-42.60%82.45M
-42.35%83.62M
3.12%140.09M
3.17%141.74M
2.93%143.64M
--145.05M
--135.85M
--137.38M
--139.55M
Responsabilidades com derivativos
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
186.91%61.21M
--59.76M
--22.40M
--29.32M
--21.33M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Outros passivos não circulantes
21.85%109.21M
8.45%97.27M
9.82%97.28M
-15.43%86.92M
-11.11%89.63M
-10.09%89.69M
-9.84%88.58M
-11.59%102.79M
-3.56%100.83M
-9.60%99.76M
-18.25%98.25M
-30.82%116.26M
-40.36%104.56M
-35.72%110.36M
-36.55%120.18M
-17.88%168.06M
12.33%175.31M
10.77%171.68M
46.34%189.42M
63.66%204.65M
25.69%156.07M
13.97%154.99M
1.61%129.44M
21.18%125.04M
-15.99%124.17M
-9.16%135.99M
7.34%127.39M
-22.94%103.18M
6.89%147.81M
7.36%149.71M
-13.92%118.68M
0.54%133.90M
3.92%138.27M
5.15%139.44M
3.44%137.87M
3.94%133.18M
3.01%133.05M
1.64%132.62M
1.21%133.28M
49.53%128.13M
42.97%129.17M
26.54%130.47M
24.27%131.69M
-47.04%85.69M
-44.77%90.35M
-38.50%103.11M
-36.73%105.97M
3.67%161.80M
5.11%163.60M
5.87%167.66M
--167.50M
--156.06M
--155.65M
--158.36M
Total de passivos não circulantes
4.34%1.03B
4.47%1.04B
7.00%1.07B
-13.39%995.14M
-13.71%990.75M
-13.37%994.78M
-13.07%997.63M
-1.19%1.15B
31.49%1.15B
31.26%1.15B
29.98%1.15B
26.34%1.16B
-5.50%873.20M
-5.08%874.85M
-5.70%882.90M
-2.16%920.37M
-2.85%923.98M
-2.90%921.67M
4.61%936.28M
4.87%940.72M
7.05%951.07M
8.32%949.19M
2.31%894.98M
-3.09%897.06M
-7.29%888.41M
-8.30%876.28M
29.07%874.79M
33.59%925.66M
37.46%958.28M
36.92%955.61M
-4.65%677.74M
-2.88%692.92M
-2.40%697.13M
-8.20%697.95M
-2.91%710.83M
-2.37%713.50M
-2.28%714.26M
3.78%760.33M
-0.32%732.16M
80.25%730.80M
78.12%730.93M
73.15%732.63M
72.39%734.49M
-15.89%405.44M
-15.17%410.35M
-13.37%423.12M
-17.54%426.06M
-2.30%482.03M
-3.45%483.73M
-2.93%488.41M
--516.67M
--493.37M
--501.00M
--503.14M
Total de passivos
-0.29%1.26B
-0.83%1.25B
0.60%1.27B
-4.13%1.26B
-1.76%1.27B
-1.25%1.26B
-2.12%1.26B
-0.77%1.31B
25.36%1.29B
24.48%1.27B
27.58%1.29B
24.73%1.32B
-3.98%1.03B
-5.95%1.02B
-6.23%1.01B
-4.00%1.06B
-0.80%1.07B
2.15%1.09B
6.73%1.08B
7.88%1.10B
6.60%1.08B
6.88%1.06B
-0.28%1.01B
-17.23%1.02B
-2.25%1.01B
-4.06%994.83M
34.36%1.01B
58.25%1.23B
33.46%1.04B
34.07%1.04B
-2.45%752.54M
0.31%779.80M
0.37%776.45M
-4.62%773.41M
-5.10%771.41M
-5.72%777.36M
-7.35%773.60M
-0.40%810.88M
0.77%812.88M
77.16%824.54M
79.45%834.96M
72.28%814.15M
69.33%806.68M
-14.02%465.41M
-14.20%465.29M
-15.07%472.58M
-17.90%476.38M
-4.84%541.28M
-3.34%542.30M
-1.60%556.43M
--580.25M
--568.83M
--561.03M
--565.47M
Patrimônio líquido dos acionistas
Capital ordinário
0.42%2.40B
0.45%2.40B
0.44%2.39B
0.44%2.39B
0.42%2.39B
0.39%2.39B
0.37%2.38B
0.34%2.38B
28.24%2.38B
28.32%2.38B
28.33%2.37B
35.87%2.37B
6.24%1.85B
6.24%1.85B
6.25%1.85B
0.41%1.75B
0.50%1.75B
0.48%1.74B
0.46%1.74B
0.44%1.74B
0.43%1.74B
0.41%1.74B
0.40%1.73B
11.97%1.73B
11.96%1.73B
11.98%1.73B
331.91%1.73B
288.23%1.55B
289.06%1.54B
289.90%1.54B
1.00%399.76M
1.05%398.35M
1.03%397.06M
1.00%395.78M
1.17%395.79M
1.21%394.22M
1.26%393.02M
1.29%391.88M
1.08%391.22M
--389.52M
--388.11M
--386.89M
--387.05M
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Lucros retidos
-42.25%-566.13M
-37.74%-484.12M
-49.17%-470.33M
-61.58%-432.59M
-63.84%-397.97M
-53.63%-351.46M
-50.87%-315.29M
-413.98%-267.73M
-291.30%-242.90M
-54.96%-228.77M
25.61%-208.98M
-284.11%-52.09M
-20.14%-62.07M
30.36%-147.63M
10.97%-280.91M
96.50%-13.56M
88.31%-51.67M
48.94%-211.99M
12.19%-315.51M
-12.87%-388.00M
-31.07%-442.15M
-32.69%-415.15M
-27.25%-359.33M
-34.13%-343.75M
-385.88%-337.33M
-246.35%-312.87M
-170.59%-282.39M
-157.11%-256.28M
41.22%-69.43M
28.93%-90.33M
18.96%-104.36M
22.08%-99.68M
15.84%-118.12M
-44.26%-127.11M
-76.45%-128.78M
-108.85%-127.93M
-107.09%-140.35M
-65.59%-88.11M
-67.44%-72.98M
---61.25M
---67.77M
---53.21M
---43.59M
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Reservas de capital
0.51%2.32B
0.50%2.32B
0.49%2.32B
0.49%2.31B
0.48%2.31B
0.42%2.31B
0.40%2.30B
0.40%2.30B
28.75%2.30B
28.83%2.30B
28.83%2.29B
36.49%2.29B
6.36%1.79B
6.35%1.78B
6.37%1.78B
0.42%1.68B
0.51%1.68B
0.50%1.68B
0.50%1.67B
0.48%1.67B
0.47%1.67B
0.46%1.67B
0.44%1.67B
12.17%1.66B
12.17%1.66B
12.16%1.66B
361.94%1.66B
314.76%1.48B
315.78%1.48B
316.81%1.48B
1.09%359.14M
1.14%357.74M
1.12%356.45M
1.14%355.17M
1.35%355.27M
1.39%353.70M
1.46%352.50M
1.44%351.19M
1.18%350.54M
--348.85M
--347.43M
--346.21M
--346.44M
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Ganhos (perdas) fora do lucro retido
-26.68%89.53M
-17.98%97.38M
10.78%114.14M
-26.00%93.17M
25.16%122.11M
48.07%118.73M
5.51%103.03M
48.81%125.89M
91.44%97.56M
966.59%80.19M
325.85%97.65M
216.27%84.60M
161.96%50.96M
113.94%7.52M
64.26%-43.24M
53.10%-72.77M
51.46%-82.25M
68.33%-53.93M
17.90%-120.99M
-2.02%-155.15M
-15.90%-169.43M
-24.51%-170.31M
-13.85%-147.36M
-36.81%-152.08M
-27.73%-146.19M
-16.52%-136.78M
-36.46%-129.43M
-3.42%-111.16M
-5.37%-114.45M
-7.28%-117.38M
14.35%-94.85M
2.76%-107.48M
3.13%-108.61M
3.43%-109.41M
3.28%-110.74M
2.39%-110.53M
2.54%-112.12M
2.91%-113.29M
3.28%-114.50M
---113.23M
---115.05M
---116.69M
---118.39M
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Patrimônio total
-9.03%1.92B
-6.66%2.01B
-6.15%2.04B
-8.35%2.05B
-5.40%2.11B
-3.37%2.15B
-4.07%2.17B
-6.91%2.24B
21.13%2.23B
30.14%2.23B
48.29%2.26B
44.90%2.41B
14.38%1.84B
15.88%1.71B
16.95%1.53B
38.80%1.66B
43.21%1.61B
28.53%1.48B
6.37%1.30B
-3.21%1.20B
-9.68%1.13B
-10.07%1.15B
-6.69%1.23B
4.81%1.24B
-8.44%1.25B
-4.27%1.28B
555.61%1.31B
516.70%1.18B
699.00%1.36B
738.52%1.34B
28.33%200.54M
22.74%191.19M
21.19%170.33M
-16.39%159.26M
-23.30%156.27M
-27.57%155.76M
-31.54%140.54M
-12.22%190.48M
-9.48%203.74M
-12.50%215.04M
-8.49%205.29M
2.69%216.99M
10.25%225.07M
46.54%245.76M
44.92%224.34M
46.93%211.30M
47.25%204.15M
19.89%167.71M
18.56%154.80M
6.08%143.81M
--138.64M
--139.88M
--130.57M
--135.57M
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KeyAI