CEBR3 Companhia Energética de Brasília - CEB
Ação
R$ 33,85
+2,48%
Valores em R$ milhões. Fonte: CVM Dados Abertos
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| 2025 | 2025 | 2025 | 2024 | 2024 | 2024 | 2023 | 2023 | 2023 | 2022 | 2022 | 2022 | 2021 | 2021 | 2021 | 2020 | 2020 | 2020 | 2019 | 2019 | 2019 | 2018 | 2018 | 2018 | 2017 | 2017 | 2017 | 2016 | 2016 | 2016 | 2015 | 2015 | 2015 | 2014 | 2014 | 2014 | 2013 | 2013 | 2013 | 2012 | 2012 | 2012 | 2011 | 2011 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receita Liquida | 123,06 | 128,51 | 135,29 | 82,18 | 80,36 | 95,00 | 85,88 | 82,54 | 92,56 | 80,42 | 133,10 | 80,21 | 96,61 | 75,04 | 69,84 | 57,75 | 635,78 | 659,87 | 0,00 | 663,87 | 645,51 | 738,43 | 655,31 | 563,17 | 774,39 | 574,11 | 532,48 | 451,46 | 530,26 | 549,02 | 616,93 | 584,30 | 587,47 | 487,78 | 465,61 | 410,22 | 428,26 | 455,72 | 378,41 | 406,54 | 387,53 | 359,61 | 348,70 | 333,04 | 320,63 |
| Custo dos Produtos | -72,91 | -73,52 | -67,95 | -34,20 | -32,27 | -44,32 | -40,93 | -42,55 | -39,44 | -35,90 | -33,79 | -35,61 | -66,41 | -27,59 | -31,14 | -28,75 | -573,43 | -581,78 | 0,00 | -525,53 | -487,60 | -682,30 | -528,83 | -475,03 | -645,51 | -447,47 | -418,80 | -426,80 | -485,86 | -460,15 | -548,03 | -455,62 | -515,26 | -453,38 | -439,37 | -417,64 | -238,97 | -387,85 | -344,94 | -318,88 | -294,63 | -289,13 | -271,70 | -251,89 | -248,82 |
| Lucro Bruto | 50,15 | 54,00 | 67,35 | 47,98 | 48,08 | 50,68 | 44,95 | 39,99 | 53,12 | 44,52 | 99,31 | 44,60 | 30,20 | 47,45 | 38,70 | 28,00 | 62,34 | 78,09 | 0,00 | 138,34 | 157,91 | 56,13 | 126,48 | 88,13 | 128,88 | 126,63 | 113,67 | 24,66 | 44,40 | 88,88 | 68,90 | 128,68 | 72,21 | 34,40 | 26,23 | -7,42 | 189,29 | 67,87 | 33,47 | 87,66 | 92,90 | 70,48 | 77,00 | 81,15 | 71,80 |
| Despesas Operacionais | 2,23 | -0,06 | 0,79 | 3,86 | 1,54 | 5,32 | 9,80 | 11,64 | 7,36 | 5,86 | 5,00 | 6,16 | 2,58 | -14,67 | 1.706,95 | 0,86 | -92,24 | -42,55 | 0,00 | -81,80 | -99,53 | -75,89 | -66,40 | -48,80 | -24,15 | -39,02 | -81,36 | -46,99 | -30,09 | -65,87 | -83,63 | -78,65 | -64,43 | -36,02 | -90,50 | -55,20 | -68,00 | -91,62 | -53,51 | -60,62 | -62,05 | -30,20 | 3,00 | -33,04 | -52,46 |
| EBIT | 52,38 | 54,94 | 68,14 | 51,84 | 49,62 | 56,01 | 54,75 | 51,62 | 60,48 | 50,38 | 105,30 | 50,76 | 32,77 | 32,78 | 1.745,66 | 29,85 | -29,89 | 35,54 | 0,00 | 56,54 | 58,38 | -19,77 | 60,08 | 39,34 | 104,73 | 87,61 | 32,31 | -22,34 | 14,31 | 23,01 | -14,73 | 50,03 | 7,78 | -1,62 | -64,26 | -62,62 | 121,29 | -23,75 | -20,03 | 27,04 | 30,85 | 40,28 | 80,00 | 48,10 | 19,35 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | 80,60 | 48,65 | 19,91 |
| Resultado Financeiro | 22,70 | 21,69 | 20,52 | 21,13 | 13,86 | 20,07 | 21,20 | 20,80 | 27,57 | 17,14 | 21,41 | 19,67 | 17,92 | 14,11 | 5,14 | 2,45 | -13,89 | -14,62 | 0,00 | -18,64 | -30,66 | -36,91 | -29,95 | -13,52 | 76,59 | -24,59 | -14,19 | -2,05 | -0,27 | -13,81 | -42,89 | -7,43 | -41,15 | -8,94 | -10,53 | -3,01 | -6,94 | -5,81 | -6,92 | -8,23 | -15,16 | -11,08 | -17,36 | -32,70 | -19,31 |
| LAIR | 75,07 | 76,62 | 88,66 | 72,96 | 63,48 | 76,07 | 75,95 | 72,42 | 88,04 | 67,52 | 126,71 | 70,43 | 50,69 | 46,89 | 1.750,80 | 32,30 | -43,78 | 20,92 | 0,00 | 37,90 | 27,72 | -56,68 | 30,13 | 25,81 | 181,32 | 63,02 | 18,12 | -24,38 | 14,04 | 9,20 | -57,62 | 42,60 | -33,38 | -10,57 | -74,79 | -65,62 | 114,35 | -29,56 | -26,95 | 18,81 | 15,69 | 29,19 | 62,65 | 15,40 | 0,04 |
| IR/CSLL | -18,92 | -14,28 | -20,51 | -13,45 | -12,76 | -18,64 | -17,22 | -17,57 | -20,11 | -17,15 | -34,90 | -16,84 | -10,95 | -19,34 | -590,68 | -6,47 | -1,49 | -22,95 | 0,00 | -3,33 | -10,19 | 17,86 | -16,49 | -15,02 | -69,12 | -7,25 | -1,26 | 19,20 | 15,63 | -3,35 | -53,64 | -22,47 | -23,27 | 0,11 | -2,81 | -4,77 | -20,35 | -4,74 | -3,00 | -8,45 | 0,35 | -7,75 | -22,54 | -2,33 | -8,99 |
| Lucro Liquido | 53,64 | 59,29 | 64,39 | 56,97 | 47,85 | 54,59 | 55,32 | 51,61 | 64,84 | 50,37 | 91,81 | 53,59 | 39,74 | 27,54 | 1.151,37 | 106,01 | -45,27 | -2,03 | 0,00 | 34,57 | 17,53 | -38,82 | 13,63 | 10,79 | 112,20 | 55,78 | 16,86 | -5,18 | 29,67 | 5,85 | -111,26 | 20,13 | -56,65 | -10,46 | -77,60 | -70,40 | 94,00 | -34,30 | -30,95 | 10,36 | 16,04 | 21,44 | 40,11 | 13,07 | -8,96 |
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| 2025 | 2025 | 2025 | 2024 | 2024 | 2024 | 2023 | 2023 | 2023 | 2022 | 2022 | 2022 | 2021 | 2021 | 2021 | 2020 | 2020 | 2020 | 2019 | 2019 | 2019 | 2018 | 2018 | 2018 | 2017 | 2017 | 2017 | 2016 | 2016 | 2016 | 2015 | 2015 | 2015 | 2014 | 2014 | 2014 | 2013 | 2013 | 2013 | 2012 | 2012 | 2012 | 2011 | 2011 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Ativo Total | 1.433,24 | 1.480,52 | 1.529,71 | 1.475,68 | 1.405,01 | 1.482,25 | 1.462,19 | 1.408,56 | 1.471,36 | 1.349,98 | 1.323,22 | 1.476,00 | 2.220,10 | 2.168,13 | 3.294,95 | 3.680,39 | 3.444,01 | 3.555,05 | 3.550,67 | 3.592,87 | 3.704,74 | 3.920,54 | 3.670,89 | 3.562,88 | 3.458,86 | 3.095,37 | 3.045,74 | 3.189,91 | 3.225,98 | 3.262,42 | 3.353,02 | 2.978,28 | 2.829,69 | 2.461,64 | 2.455,32 | 2.430,53 | 2.339,97 | 2.296,40 | 2.261,33 | 2.228,55 | 2.166,67 | 2.188,18 | 2.166,12 | 2.099,71 | 2.103,17 |
| Ativo Circulante | 754,05 | 795,14 | 874,61 | 771,59 | 719,12 | 813,31 | 768,89 | 736,22 | 816,27 | 696,04 | 687,62 | 910,56 | 1.677,76 | 1.640,36 | 2.766,76 | 3.129,46 | 1.486,75 | 1.601,66 | 1.624,87 | 1.663,43 | 1.808,08 | 1.990,52 | 1.751,26 | 1.654,59 | 1.504,96 | 1.144,70 | 1.097,40 | 1.513,59 | 1.389,48 | 1.476,44 | 1.395,03 | 1.155,28 | 1.050,24 | 593,61 | 564,43 | 498,07 | 479,37 | 455,05 | 414,49 | 497,11 | 466,63 | 460,64 | 469,95 | 433,18 | 439,98 |
| Caixa | 486,20 | 577,72 | 681,92 | 676,56 | 632,79 | 693,87 | 675,72 | 624,62 | 710,37 | 514,81 | 504,13 | 731,10 | 1.495,36 | 1.407,27 | 2.530,15 | 151,45 | 266,26 | 388,59 | 229,39 | 272,27 | 180,55 | 125,18 | 103,91 | 70,08 | 84,18 | 86,83 | 52,54 | 76,51 | 99,02 | 59,23 | 59,53 | 92,99 | 75,56 | 62,28 | 77,80 | 91,27 | 98,62 | 84,18 | 77,31 | 76,39 | 24,33 | 24,55 | 60,32 | 60,00 | 68,16 |
| Contas a Receber | 32,09 | 32,02 | 45,81 | 29,33 | 31,69 | 55,43 | 39,68 | 42,25 | 43,02 | 41,84 | 35,81 | 39,54 | 26,46 | 38,36 | 33,25 | 30,61 | 501,68 | 576,48 | 624,49 | 638,56 | 690,13 | 608,13 | 573,50 | 528,88 | 527,40 | 545,39 | 525,94 | 543,54 | 526,47 | 543,80 | 562,26 | 510,59 | 479,98 | 395,29 | 338,16 | 249,98 | 289,86 | 268,65 | 252,26 | 325,41 | 321,29 | 315,34 | 373,35 | 340,50 | 342,54 |
| Estoques | 12,87 | 7,21 | 15,76 | 2,03 | 2,02 | 3,63 | 5,24 | 7,14 | 6,60 | 0,77 | 3,39 | 3,58 | 5,09 | 6,16 | 5,19 | 0,71 | 9,83 | 11,35 | 9,89 | 8,38 | 8,48 | 9,46 | 9,29 | 7,97 | 9,22 | 12,89 | 11,66 | 6,35 | 7,51 | 7,46 | 13,80 | 14,75 | 16,99 | 22,05 | 25,65 | 32,07 | 23,31 | 12,79 | 9,18 | 8,80 | 9,51 | 8,02 | 6,73 | 5,56 | 7,38 |
| Ativo Não Circulante | 679,19 | 685,38 | 655,10 | 704,09 | 685,89 | 668,94 | 693,30 | 672,34 | 655,08 | 653,94 | 635,59 | 565,44 | 542,34 | 527,77 | 528,20 | 550,93 | 1.957,26 | 1.953,39 | 1.925,80 | 1.929,45 | 1.896,66 | 1.930,03 | 1.919,63 | 1.908,29 | 1.953,91 | 1.950,66 | 1.948,34 | 1.676,32 | 1.836,50 | 1.785,97 | 1.957,98 | 1.823,00 | 1.779,45 | 1.868,03 | 1.890,89 | 1.932,45 | 1.860,60 | 1.841,35 | 1.846,84 | 1.731,44 | 1.700,03 | 1.727,54 | 1.696,17 | 1.666,52 | 1.663,19 |
| Imobilizado | 51,10 | 51,64 | 51,57 | 64,78 | 64,37 | 64,62 | 65,14 | 65,80 | 66,50 | 54,20 | 54,34 | 54,80 | 41,93 | 41,50 | 42,60 | 42,80 | 115,38 | 113,34 | 106,89 | 107,38 | 104,99 | 99,45 | 101,34 | 102,98 | 109,21 | 112,42 | 117,01 | 127,60 | 119,93 | 114,23 | 104,22 | 110,29 | 116,72 | 123,39 | 131,16 | 142,11 | 128,63 | 118,26 | 118,71 | 189,06 | 189,56 | 189,46 | 196,72 | 201,39 | 203,15 |
| Intangíveis | 105,92 | 91,81 | 94,02 | 97,37 | 102,72 | 104,84 | 109,27 | 111,49 | 113,71 | 118,64 | 121,08 | 68,25 | 71,38 | 72,11 | 72,87 | 75,45 | 880,28 | 887,99 | 900,02 | 908,39 | 914,28 | 932,97 | 932,41 | 929,47 | 986,41 | 985,95 | 983,82 | 1.090,43 | 1.088,04 | 1.087,83 | 203,55 | 135,79 | 116,77 | 204,01 | 265,50 | 258,27 | 300,31 | 333,31 | 308,12 | 329,30 | 337,31 | 360,86 | 370,56 | 365,12 | 385,40 |
| Passivo Total | 185,70 | 161,60 | 151,81 | 151,22 | 138,44 | 164,52 | 159,85 | 161,69 | 179,56 | 133,36 | 125,19 | 363,47 | 90,36 | 76,42 | 1.209,89 | 2.610,84 | 2.520,82 | 2.537,48 | 2.882,64 | 2.989,88 | 2.935,15 | 3.072,91 | 2.754,88 | 2.822,93 | 2.668,50 | 2.322,13 | 2.261,29 | 2.385,33 | 2.408,87 | 2.493,22 | 2.913,78 | 2.625,41 | 2.491,87 | 2.125,13 | 2.096,25 | 1.956,07 | 1.639,53 | 1.695,26 | 1.711,30 | 1.440,57 | 1.389,05 | 1.420,71 | 1.417,31 | 1.391,09 | 1.397,82 |
| Passivo Circulante | 105,90 | 106,04 | 93,19 | 97,33 | 74,76 | 101,10 | 126,23 | 128,66 | 145,15 | 100,89 | 93,58 | 348,85 | 76,11 | 63,80 | 1.202,85 | 2.421,97 | 1.419,95 | 1.465,98 | 1.474,33 | 1.546,92 | 1.931,72 | 1.875,12 | 1.741,78 | 1.669,43 | 1.562,32 | 1.274,01 | 1.242,87 | 1.364,73 | 1.328,74 | 1.317,62 | 1.531,11 | 1.153,74 | 1.124,15 | 1.041,61 | 1.097,08 | 951,93 | 679,31 | 724,04 | 602,15 | 630,14 | 645,78 | 647,76 | 652,44 | 638,46 | 618,02 |
| Passivo Não Circulante | 79,80 | 55,57 | 58,63 | 53,88 | 63,68 | 63,42 | 33,62 | 33,02 | 34,41 | 32,47 | 31,61 | 14,63 | 14,25 | 12,62 | 7,05 | 188,87 | 1.100,87 | 1.071,50 | 1.408,31 | 1.442,97 | 1.003,42 | 1.197,79 | 1.013,10 | 1.153,50 | 1.106,18 | 1.048,12 | 1.018,42 | 1.020,60 | 1.080,13 | 1.175,60 | 1.382,67 | 1.471,68 | 1.367,72 | 1.083,52 | 999,16 | 1.004,14 | 960,22 | 971,22 | 1.109,15 | 810,43 | 743,27 | 772,95 | 764,87 | 752,63 | 779,80 |
| Patrimônio Líquido | 1.247,54 | 1.318,91 | 1.377,90 | 1.324,46 | 1.266,57 | 1.317,73 | 1.302,34 | 1.246,87 | 1.291,80 | 1.216,62 | 1.198,03 | 1.112,53 | 2.129,74 | 2.091,72 | 2.085,06 | 1.069,55 | 923,19 | 1.017,57 | 668,03 | 602,99 | 769,59 | 847,64 | 916,02 | 739,95 | 790,36 | 773,24 | 784,45 | 804,58 | 817,11 | 769,20 | 439,24 | 352,87 | 337,82 | 336,51 | 359,07 | 474,46 | 700,44 | 601,13 | 550,03 | 787,98 | 777,62 | 767,47 | 748,81 | 708,62 | 705,35 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | -26,85 | 12,05 | 5,51 | 17,41 | -21,70 | -5,90 | 51,44 | 26,70 | 67,86 | 15,64 | 10,63 | 33,03 | 2,86 | -30,45 | 18,24 |
| FCI (Investimentos) | 0,28 | -1,10 | -34,64 | -1,10 | 2.514,76 | -8,23 | -7,27 | -17,15 | -16,31 | -12,10 | -3,00 | -21,52 | -16,35 | 8,44 | -25,79 |
| FCF (Financiamento) | -0,11 | 0,00 | 0,00 | 0,00 | -99,62 | -62,63 | -43,30 | -31,47 | -85,04 | -22,36 | 2,92 | -17,03 | -91,49 | 5,21 | -23,54 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 153,36 | 109,46 | 107,96 | 92,13 | 1.787,51 | 1.001,97 | 988,28 | 899,98 | 850,63 | 930,94 | 852,08 | 562,04 | 533,96 | 577,19 | 487,57 |
| Insumos de Terceiros | -66,55 | -41,72 | -35,81 | -25,14 | -29,25 | -592,78 | -509,54 | -507,66 | -413,68 | -468,58 | -549,95 | -402,38 | -336,98 | -279,09 | -235,00 |
| Valor Adicionado Bruto | 86,82 | 67,74 | 72,16 | 66,99 | 1.758,26 | 409,18 | 478,73 | 392,32 | 436,95 | 462,36 | 302,13 | 159,66 | 196,98 | 298,10 | 252,57 |
| Retencoes | -2,19 | -1,99 | -2,18 | -2,60 | -2,13 | -14,62 | -14,60 | -13,91 | -13,09 | -11,70 | -13,16 | -13,54 | -12,20 | -11,74 | -15,86 |
| VA Liquido Produzido | 84,62 | 65,74 | 69,98 | 64,39 | 1.756,13 | 394,57 | 464,14 | 378,41 | 423,86 | 450,66 | 288,97 | 146,12 | 184,77 | 286,36 | 236,71 |
| VA Recebido em Transferencia | 40,46 | 38,65 | 46,83 | 40,45 | 7,95 | 22,52 | 21,09 | 26,20 | 31,72 | 41,33 | 19,34 | 17,47 | 12,19 | 12,31 | 7,60 |
| VA Total a Distribuir | 125,09 | 104,40 | 116,81 | 104,84 | 1.764,08 | 417,10 | 485,22 | 404,61 | 455,58 | 491,00 | 308,31 | 163,59 | 196,96 | 298,67 | 244,32 |
| Pessoal | 12,46 | 10,12 | 9,05 | 7,16 | 5,21 | 44,40 | 45,58 | 61,42 | 74,14 | 52,26 | 45,16 | 49,23 | 42,04 | 39,20 | 35,60 |
| Impostos e Contribuicoes | 35,26 | 29,08 | 29,94 | 34,04 | 600,84 | 343,14 | 374,24 | 301,04 | 311,82 | 369,52 | 251,10 | 161,85 | 159,86 | 201,93 | 179,39 |
| Juros e Alugueis | 12,96 | 10,60 | 12,97 | 10,06 | 6,66 | 31,58 | 47,88 | 31,35 | 52,76 | 64,37 | 68,68 | 22,90 | 26,02 | 36,10 | 38,29 |
| Remuneracao de Capitais Proprios | 64,39 | 54,59 | 64,84 | 53,59 | 1.151,37 | -2,03 | 17,53 | 10,79 | 16,86 | 5,85 | -56,65 | -70,40 | -30,95 | 21,44 | -8,96 |





























