PETR4 R$ 49,78 +1,53% PCAR3 R$ 2,48 +13,24% ITSA4 R$ 14,71 -0,68% BBDC4 R$ 20,59 +0,73% ITUB4 R$ 45,83 -0,52% BBAS3 R$ 24,75 +0,08% COGN3 R$ 3,13 -2,19% CPLE3 R$ 16,73 +0,42% VALE3 R$ 87,36 +2,07% CMIG4 R$ 13,75 -0,43% ABEV3 R$ 15,93 -1,18% CSAN3 R$ 5,53 -0,90% RAIL3 R$ 16,24 -1,16% USIM5 R$ 7,03 -2,50% CVCB3 R$ 1,97 +4,23% PETR3 R$ 54,96 +1,78% VAMO3 R$ 4,12 +3,78% BRAV3 R$ 21,25 -2,39% RENT3 R$ 48,81 -0,39% PRIO3 R$ 66,80 -1,26% MGLU3 R$ 9,21 +0,66% TIMS3 R$ 27,18 -2,79% BEEF3 R$ 4,23 -0,47% BBDC3 R$ 17,86 +1,08% ALOS3 R$ 33,14 +0,70% ENEV3 R$ 26,85 +0,52% AXIA3 R$ 65,57 +0,37% GMAT3 R$ 4,71 +3,06% GGBR4 R$ 21,12 -0,80% VBBR3 R$ 33,65 -0,36%
BPAC3

BPAC3 Banco BTG Pactual S.A.

NIVEL 2 Ação
R$ 27,43 -3,99%
Fonte: B3 Atualizado: 13/04/2026 23:15

Valores em R$ milhões. Fonte: CVM Dados Abertos

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2025202420232022202120202019201820172016201520142013201220112010
Receita Liquida28.145,8234.660,0224.617,3222.534,569.894,6018.643,9611.678,108.673,478.871,6813.000,4211.669,3411.626,548.826,428.067,825.267,863.096,26
Custo dos Produtos0,00-21.186,13-2.280,25-4.650,96-147,55-12.540,55-6.921,93-5.974,05-5.008,33-5.672,20-15.271,17-9.885,83-6.224,02-4.914,54-3.996,00-2.347,86
Lucro Bruto28.145,8213.473,8822.337,0817.883,599.747,056.103,414.756,172.699,413.863,357.328,21-3.601,821.740,712.602,403.153,281.271,86748,40
Despesas Operacionais-8.854,14-650,81-10.673,30-8.280,602.086,69-870,33299,46-113,15-2.136,28-356,39236,0345,30408,50-192,36-152,49441,52
EBIT19.291,6812.823,0711.663,789.602,9911.833,745.233,085.055,632.586,271.727,076.971,82-3.365,791.786,013.010,902.960,921.119,371.189,92
EBITDA----------------
Resultado Financeiro-2.627,88-1.742,63-1.409,02-1.582,79-4.769,27-952,16-1.002,21-156,10648,19-800,633.280,69115,13-426,08-806,79220,20-0,96
LAIR16.663,8011.080,4410.254,768.020,197.064,474.280,924.053,422.430,172.375,266.171,19-85,101.901,152.584,822.154,131.339,561.188,96
IR/CSLL0,000,000,000,000,000,000,006,94-7,86-1.456,23661,110,000,000,000,0081,92
Lucro Liquido16.663,8011.080,4410.254,768.020,197.064,474.280,924.053,422.437,112.367,404.714,96576,021.901,152.584,822.154,131.339,560,00

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2025202420232022202120202019201820172016201520142013201220112010
Ativo Total809.301,52649.216,71495.115,81454.096,45352.924,04244.229,72166.344,09131.989,53117.472,28111.407,60242.998,06157.712,09120.888,31124.425,7382.392,0646.459,80
Ativo Circulante5.815,074.709,222.439,103.069,053.219,646.827,832.338,812.425,377.043,894.579,738.915,687.354,165.170,712.942,282.349,9641.887,54
 Caixa---------------1,90
 Contas a Receber---------------16.170,53
 Estoques---------------99,74
Ativo Não Circulante707.896,01559.901,29436.303,40398.146,16299.944,03203.632,45138.168,87103.907,5666.362,0669.299,4975.962,5688.880,1476.061,0898.738,1961.976,712.900,35
 Imobilizado371.910,30308.384,86235.426,04224.693,98134.657,4872.339,3145.738,710,00-------34,41
 Intangíveis---------------0,00
Passivo Total729.007,97583.344,91438.727,64404.529,37308.281,80214.957,59144.393,17112.908,4798.594,8594.247,70222.752,29142.216,97108.071,63113.982,9675.846,5740.857,20
Passivo Circulante45.337,3185.047,3644.730,1062.834,5334.992,6733.085,4543.493,7722.776,2224.184,0430.224,1145.313,4546.469,3936.789,0421.786,8016.393,5338.921,16
Passivo Não Circulante0,000,000,000,000,000,000,000,000,000,000,000,000,000,000,001.911,76
Patrimônio Líquido80.293,5565.871,8056.388,1749.567,0844.642,2529.272,1321.950,9219.081,0618.877,4317.159,9120.245,7815.495,1212.816,6810.442,776.545,485.602,59

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2025202420232022202120202019201820172016201520142013201220112010
FCO (Operacional)-26.619,147.819,03-16.500,3521.105,7216.275,98-22.779,67-9.567,47-6.703,543.868,8418.479,66-8.771,93711,90-19.929,26-4.385,57-16.713,05-17.471,48
FCI (Investimentos)-2.185,39-5.535,87-659,47-2.152,57-11.000,62280,732.672,8437,301.041,125.599,794.810,61-1.559,85699,27-557,80-356,76-431,08
FCF (Financiamento)14.565,4827.737,7613.584,04203,377.662,4956.161,485.661,6912.415,86-2.463,52-29.293,02-4.915,2312.515,1012.539,399.901,7110.631,8621.771,16

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2025202420232022202120202019201820172016201520142013201220112010
Receitas108.148,8975.242,1893.624,3381.415,4638.090,5618.776,1212.265,458.349,7211.082,3318.186,3017.167,1214.815,6011.761,189.586,436.180,423.682,59
Insumos de Terceiros-64.666,70-42.362,00-63.297,56-57.383,13-18.287,39-8.857,59-7.440,11-8.290,80-5.739,00-22.049,76-14.685,42-9.417,97-5.992,02-4.446,24-4.499,73-2.341,18
Valor Adicionado Bruto-9.611,65-10.937,69-10.661,46-7.702,95-4.303,68-1.579,79-676,84-615,49-2.532,16-429,71-1.392,25-1.186,48-827,74-546,49-220,88-184,29
Retencoes33.870,5421.941,4919.665,3216.329,3815.499,498.338,744.148,50-556,562.810,18-4.293,181.089,454.211,144.941,424.593,691.459,811.157,12
VA Liquido Produzido-1.050,13-653,03-1.223,97-719,96-174,47-60,71-30,47-30,14-65,21-38,00-42,83-84,27-145,91-29,30-14,25-13,07
VA Recebido em Transferencia32.820,4021.288,4618.441,3515.609,4215.325,038.278,034.118,03-586,702.744,96-4.332,181.046,624.126,884.795,514.564,391.445,561.144,05
VA Total a Distribuir884,111.371,501.076,71748,441.639,72-165,111.475,491.654,534,807.319,02-522,97362,56157,37283,74363,45360,47
Pessoal----------------
Impostos e Contribuicoes----------------
Juros e Alugueis----------------
Remuneracao de Capitais Proprios----------------