Dec 23 | Dec 22 | Sep 22 | Jun 22 | Mar 22 | |
---|---|---|---|---|---|
Income Statement | - | ||||
Total Revenue | - | R$ 9.01B | R$ 8.05B | R$ 7.84B | R$ 9.18B |
Gross Profit | - | R$ 4.05B | R$ 3.56B | R$ 5.12B | R$ 7.11B |
EBIT | - | R$ -249.89M | R$ 3.33B | R$ 1.25B | R$ 3.73B |
EBITDA | - | R$ 1.03B | R$ 4.14B | R$ 1.60B | R$ 4.37B |
Net Income Common Stockholders | - | R$ -478.62M | R$ -88.00K | R$ 1.40B | R$ 2.19B |
Balance Sheet | - | ||||
Cash, Cash Equivalents and Short-Term Investments | R$ 18.97B | R$ 22.93B | R$ 16.76B | R$ 15.50B | R$ 15.45B |
Total Assets | R$ 267.06B | R$ 270.22B | R$ 266.51B | R$ 245.25B | R$ 189.05B |
Total Debt | R$ 63.15B | R$ 61.15B | R$ 56.62B | R$ 37.40B | R$ 43.73B |
Net Debt | R$ 44.18B | R$ 38.22B | R$ 39.86B | R$ 21.91B | R$ 28.28B |
Total Liabilities | R$ 154.59B | R$ 159.19B | - | - | - |
Stockholders Equity | R$ 112.33B | R$ 110.50B | R$ 111.50B | R$ 106.71B | R$ 78.82B |
Cash Flow | - | ||||
Free Cash Flow | - | R$ -28.65B | R$ 29.44B | R$ -26.55B | R$ 1.41B |
Operating Cash Flow | - | R$ 3.82B | R$ 2.12B | R$ 1.65B | R$ 1.68B |
Investing Cash Flow | - | R$ -31.61B | R$ 1.79B | R$ 1.11B | R$ -91.36M |
Financing Cash Flow | - | R$ 34.41B | R$ -2.22B | R$ -483.01M | R$ -1.64B |