CASH3

CASH3 Méliuz S.A.

NOVO MERCADO Ação
R$ 4,02 -0,74%
Fonte: B3 Atualizado: 14/04/2026 09:40

Valores em R$ milhões. Fonte: CVM Dados Abertos

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2025202520252024202420242023202320232022202220222021202120212020
Receita Liquida123,6697,82100,4090,2987,6482,4170,4272,1598,6897,7979,0890,0558,7354,5251,8125,64
Custo dos Produtos-102,44-90,45-89,18-86,02-157,10-79,48-74,04-88,56-131,64-142,77-133,91-108,88-69,53-62,50-47,34-20,84
Lucro Bruto21,227,3711,224,27-69,462,93-3,62-16,41-32,96-44,98-54,84-18,83-10,80-7,984,464,81
Despesas Operacionais0,000,000,000,000,000,000,000,000,000,010,010,000,000,000,000,00
EBIT21,227,3711,224,27-69,462,93-3,62-16,41-32,96-44,97-54,83-18,83-10,80-7,984,464,81
EBITDA----------------
Resultado Financeiro1,622,486,119,3410,3217,0212,7310,8621,6522,7615,799,755,770,900,43-0,10
LAIR22,849,8517,3313,61-59,1419,959,11-5,54-11,32-22,20-39,04-9,09-5,04-7,084,894,71
IR/CSLL-8,65-2,28-7,33-4,82-1,62-0,87-1,50-0,77-0,554,2010,892,542,092,42-1,880,02
Lucro Liquido14,207,5710,008,80-60,7619,085,16-15,53-11,87-18,00-28,15-6,54-2,95-4,663,024,73

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2025202520252024202420242023202320232022202220222021202120212020
Ativo Total667,69655,32486,79470,64673,30972,951.201,371.173,421.247,031.322,921.323,04863,49826,25429,38398,8066,53
Ativo Circulante164,06150,68308,87301,75513,22734,99946,73922,17814,90884,66882,85626,42620,74235,15266,2350,77
 Caixa67,3071,4770,0234,1664,8974,90165,6959,70196,07486,58404,94504,30570,98194,12234,1534,29
 Contas a Receber55,2931,3840,6621,9126,8420,9219,5332,5724,2638,0647,4077,6930,7428,5924,186,35
 Estoques0,000,000,000,000,000,000,000,000,000,000,000,000,000,000,000,00
Ativo Não Circulante503,62504,64177,92168,88160,08237,96254,64251,25432,13438,26440,20237,07205,51194,22132,5715,76
 Imobilizado0,811,011,241,682,402,703,383,744,905,568,267,586,423,153,382,75
 Intangíveis458,70452,81131,79105,4298,33178,80178,86175,48334,91337,87342,50182,18161,10173,89114,683,55
Passivo Total117,41119,58128,39146,68140,10169,73413,46393,58456,84534,00519,40179,4396,8862,1224,8823,76
Passivo Circulante94,5989,1592,2186,4278,37106,66357,44339,85369,97415,18401,8973,1129,4324,6521,7717,76
Passivo Não Circulante22,8230,4336,1860,2661,7363,0756,0253,7286,87118,82117,51106,3267,4537,473,106,00
Patrimônio Líquido550,28535,74358,40323,96533,19803,22787,92779,85790,19788,92803,64684,06729,37367,26373,9342,77

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20252024202320222021
FCO (Operacional)7,6714,78-115,3515,656,20
FCI (Investimentos)21,03-9,33-143,88-19,80-103,16
FCF (Financiamento)-0,04-0,09-0,16-0,25-0,11

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20252024202320222021
Receitas115,6192,60111,97101,7757,44
Insumos de Terceiros-76,75-64,10-88,16-85,69-42,27
Valor Adicionado Bruto38,8628,5023,8116,0915,16
Retencoes-4,57-2,83-4,52-1,68-0,45
VA Liquido Produzido34,2925,6719,2914,4014,71
VA Recebido em Transferencia6,7517,1322,2210,491,33
VA Total a Distribuir41,0442,8041,5124,8916,04
Pessoal14,4816,0237,7826,406,45
Impostos e Contribuicoes15,847,5014,744,115,58
Juros e Alugueis0,720,190,860,920,99
Remuneracao de Capitais Proprios10,0019,08-11,87-6,543,02