CEED4 Companhia Estadual de Distribuição de Energia Elétrica
Ação
R$ 20,00
0,00%
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 | 1.633,24 | 1.406,24 | 1.562,33 | 1.405,26 | 1.162,90 | 1.279,74 | 1.200,99 | 1.120,16 | 1.295,02 | 1.223,88 | 901,08 | 1.058,51 | 1.412,63 | 983,55 | 1.079,80 | 764,01 | 672,76 | 947,20 | 687,15 | 760,76 | 904,88 | 813,75 | 691,39 | 902,89 | 775,57 | 372,50 | 858,89 | 737,55 | 695,79 | 973,65 | 903,67 | 958,22 | 1.052,81 | 673,50 | 605,81 | 736,25 | 570,63 | 473,27 | 638,37 | 507,26 | 493,66 | 601,24 | 500,44 | 449,64 | 530,89 |
| Custo dos Produtos | -1.418,94 | -1.240,96 | -1.201,31 | -1.168,26 | -999,82 | -952,80 | -947,40 | -882,86 | -1.000,44 | -1.084,40 | -829,46 | -814,46 | -1.483,84 | -925,81 | -960,46 | -859,30 | -815,94 | -866,29 | -877,62 | -771,96 | -954,49 | -945,78 | -859,09 | -791,10 | -842,55 | -644,94 | -600,62 | -884,54 | -803,65 | -728,77 | -780,26 | -950,84 | -986,89 | -718,33 | -619,63 | -713,22 | -582,10 | -477,44 | -662,98 | -486,75 | -471,90 | -478,95 | -441,38 | -390,12 | -433,12 |
| Lucro Bruto | 214,30 | 165,28 | 361,02 | 236,99 | 163,08 | 326,94 | 253,59 | 237,30 | 294,58 | 139,48 | 71,62 | 244,05 | -71,21 | 57,74 | 119,34 | -95,29 | -143,18 | 80,91 | -190,48 | -11,20 | -49,62 | -132,03 | -167,70 | 111,79 | -66,98 | -272,44 | 258,26 | -146,99 | -107,86 | 244,88 | 123,41 | 7,38 | 65,92 | -44,83 | -13,82 | 23,03 | -11,47 | -4,17 | -24,61 | 20,51 | 21,76 | 122,28 | 59,07 | 59,52 | 97,78 |
| Despesas Operacionais | -175,56 | -115,49 | -109,59 | -161,60 | -186,43 | -170,00 | -180,56 | -219,49 | -70,99 | -81,57 | -111,20 | -113,96 | -165,62 | -77,25 | -38,01 | -170,42 | -152,05 | -107,19 | -115,25 | -117,17 | -89,87 | -75,54 | -62,59 | -66,57 | -41,05 | -62,82 | -60,85 | -93,09 | -101,63 | -68,11 | -36,78 | -87,87 | -78,23 | -139,73 | -38,94 | -72,00 | -80,38 | -85,80 | -73,72 | -142,02 | -54,61 | -89,10 | -79,52 | -81,61 | -76,88 |
| EBIT | 38,74 | 49,79 | 251,42 | 75,39 | -23,35 | 155,94 | 73,04 | 17,81 | 223,59 | 57,91 | -39,58 | 130,09 | -236,83 | -19,52 | 81,34 | -265,71 | -295,23 | -26,29 | -305,72 | -128,37 | -139,49 | -207,57 | -230,29 | 45,21 | -108,02 | -335,26 | 197,42 | -240,08 | -209,49 | 176,77 | 86,63 | -80,50 | -12,31 | -184,56 | -52,76 | -49,97 | -91,86 | -89,96 | -98,33 | -121,51 | -32,85 | 33,19 | -20,45 | -22,09 | 20,90 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -302,12 | -285,12 | -254,81 | -208,73 | -192,63 | -171,94 | -175,18 | -177,80 | -182,07 | -68,13 | -59,96 | -113,66 | -173,57 | -207,57 | -217,35 | -157,74 | -234,87 | -490,68 | -236,22 | -91,85 | -135,08 | -161,52 | -257,30 | -61,70 | -2,68 | -85,56 | -58,22 | -54,83 | 22,70 | 27,47 | -138,31 | 55,98 | -77,59 | 13,61 | -0,59 | -15,08 | 7,04 | 12,03 | 46,48 | 21,96 | 18,02 | 21,68 | -32,71 | -11,21 | -5,59 |
| LAIR | -263,38 | -235,33 | -3,38 | -133,34 | -215,98 | -15,00 | -102,14 | -159,98 | 41,52 | -10,22 | -99,54 | 16,43 | -410,39 | -227,09 | -136,02 | -423,45 | -530,10 | -516,97 | -541,94 | -220,22 | -274,57 | -369,09 | -487,59 | -16,49 | -110,70 | -420,82 | 139,19 | -294,92 | -186,79 | 204,23 | -51,68 | -24,52 | -89,90 | -170,96 | -53,35 | -65,04 | -84,81 | -77,94 | -51,85 | -99,54 | -14,83 | 54,87 | -53,16 | -33,30 | 15,32 |
| IR/CSLL | 0,00 | 0,00 | 0,00 | 0,00 | 0,00 | 48,99 | 0,00 | 0,54 | -0,54 | 1,49 | -1,49 | 0,00 | 0,00 | 66,73 | -36,33 | 1,06 | 11,66 | 19,33 | 6,80 | -6,80 | 37,06 | 0,45 | 14,27 | 5,75 | 316,10 | 205,77 | -16,64 | 9,00 | 40,12 | -8,50 | -44,54 | 5,32 | 1,78 | 0,53 | 2,57 | -1,92 | 6,31 | 7,24 | -8,28 | -4,40 | 3,95 | -14,33 | 0,00 | 2,29 | -2,29 |
| Lucro Liquido | -263,38 | -235,33 | -3,38 | -133,34 | -215,98 | 32,99 | -102,14 | -159,45 | 40,99 | -8,73 | -101,03 | 16,43 | -410,39 | -160,36 | -172,35 | -422,39 | -518,44 | -497,64 | -535,14 | -227,02 | -237,51 | -368,64 | -473,32 | -10,74 | 205,40 | -215,05 | 122,55 | -285,91 | -146,67 | 195,74 | -96,22 | -19,20 | -88,13 | -170,42 | -50,78 | -66,96 | -78,50 | -70,70 | -60,13 | -103,95 | -10,88 | 40,54 | -53,16 | -31,02 | 13,03 |
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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 | 8.930,24 | 8.602,98 | 8.252,30 | 7.361,39 | 7.750,66 | 7.680,40 | 7.435,73 | 7.502,21 | 6.974,34 | 6.223,30 | 6.261,51 | 6.211,86 | 6.497,67 | 5.304,91 | 4.966,06 | 3.865,32 | 3.924,97 | 4.130,68 | 3.749,73 | 3.881,82 | 4.169,89 | 3.975,02 | 4.006,62 | 3.938,68 | 3.367,32 | 3.341,52 | 3.430,78 | 3.175,32 | 3.231,20 | 3.451,27 | 3.464,47 | 3.295,56 | 3.172,29 | 2.866,59 | 2.937,38 | 3.248,81 | 2.843,16 | 3.003,11 | 3.350,62 | 3.485,90 | 3.339,43 | 3.880,88 | 4.130,82 | 4.029,96 | 4.028,83 |
| Ativo Circulante | 2.771,63 | 2.686,53 | 2.573,01 | 2.153,04 | 2.729,91 | 2.889,99 | 2.809,11 | 2.867,57 | 2.476,01 | 2.057,53 | 2.400,47 | 2.632,32 | 2.859,38 | 1.282,30 | 1.312,08 | 922,45 | 988,32 | 1.184,91 | 947,62 | 1.074,94 | 1.371,56 | 1.175,38 | 1.229,41 | 1.294,45 | 729,80 | 736,58 | 823,68 | 672,41 | 736,83 | 988,62 | 1.148,89 | 1.046,14 | 986,11 | 737,95 | 850,18 | 1.254,57 | 982,32 | 1.203,56 | 1.606,18 | 1.301,83 | 1.219,00 | 1.807,02 | 420,73 | 412,46 | 431,89 |
| Caixa | 427,85 | 219,34 | 67,05 | 293,22 | 479,31 | 512,34 | 875,27 | 975,43 | 418,54 | 322,90 | 249,31 | 182,02 | 44,88 | 7,31 | 6,79 | 10,52 | 11,16 | 11,37 | 17,06 | 16,40 | 27,30 | 24,56 | 20,11 | 79,49 | 24,59 | 17,50 | 39,36 | 10,00 | 78,57 | 86,55 | 37,28 | 61,46 | 80,28 | 71,60 | 69,18 | 73,90 | 52,72 | 49,89 | 91,20 | 139,12 | 76,00 | 44,44 | 39,39 | 49,34 | 45,39 |
| Contas a Receber | 1.587,97 | 1.332,99 | 1.510,01 | 1.385,07 | 1.238,10 | 1.416,10 | 1.029,58 | 1.043,85 | 1.246,28 | 1.133,10 | 1.162,66 | 1.281,50 | 882,64 | 924,29 | 1.040,36 | 772,28 | 852,05 | 1.067,12 | 849,98 | 900,78 | 1.117,02 | 867,48 | 868,57 | 979,07 | 642,01 | 652,06 | 727,78 | 596,42 | 611,38 | 860,61 | 1.072,24 | 947,70 | 860,67 | 415,22 | 426,06 | 769,28 | 839,70 | 812,25 | 908,39 | 884,75 | 827,49 | 896,15 | 353,82 | 339,14 | 361,01 |
| Estoques | 27,88 | 28,55 | 24,49 | 15,58 | 15,80 | 10,28 | 18,28 | 27,63 | 30,30 | 28,47 | 18,43 | 15,36 | 14,50 | 20,86 | 22,18 | 18,40 | 33,06 | 34,47 | 36,39 | 36,24 | 40,54 | 36,28 | 43,98 | 43,01 | 33,31 | 29,31 | 22,52 | 19,44 | 19,49 | 17,84 | 16,20 | 15,02 | 12,80 | 14,06 | 16,37 | 15,67 | 14,26 | 13,80 | 12,81 | 13,06 | 11,11 | 10,72 | 12,85 | 9,88 | 9,88 |
| Ativo Não Circulante | 6.158,61 | 5.916,45 | 5.679,29 | 5.208,35 | 5.020,75 | 4.790,40 | 4.626,63 | 4.634,63 | 4.498,33 | 4.165,78 | 3.861,04 | 3.579,54 | 3.638,29 | 4.022,61 | 3.653,98 | 2.942,87 | 2.936,65 | 2.945,77 | 2.802,11 | 2.806,88 | 2.798,34 | 2.799,64 | 2.777,21 | 2.644,23 | 2.637,52 | 2.604,94 | 2.607,10 | 2.502,91 | 2.494,37 | 2.462,65 | 2.315,58 | 2.249,42 | 2.186,18 | 2.128,64 | 2.087,20 | 1.994,24 | 1.860,84 | 1.799,56 | 1.744,44 | 2.184,07 | 2.119,43 | 2.073,85 | 3.710,10 | 3.617,50 | 3.596,94 |
| Imobilizado | 5,54 | 4,20 | 3,90 | 4,75 | 5,30 | 5,62 | 3,32 | 7,06 | 9,25 | 18,40 | 23,15 | 97,51 | 158,67 | 168,84 | 241,34 | 229,47 | 236,46 | 240,07 | 200,55 | 207,47 | 204,64 | 211,96 | 209,86 | 196,55 | 180,86 | 160,36 | 161,00 | 147,20 | 140,34 | 142,30 | 172,08 | 174,88 | 191,86 | 177,11 | 195,73 | 194,50 | 201,87 | 220,51 | 179,33 | 58,81 | 60,03 | 56,58 | 56,16 | 60,50 | 59,06 |
| Intangíveis | 3.090,33 | 2.999,83 | 2.755,28 | 2.413,10 | 2.314,99 | 2.240,84 | 2.085,10 | 2.097,37 | 2.204,54 | 2.067,86 | 2.089,74 | 2.081,58 | 2.024,09 | 2.268,48 | 1.788,62 | 1.797,84 | 1.796,66 | 1.781,00 | 1.757,02 | 1.684,91 | 1.671,18 | 1.678,10 | 1.685,20 | 1.694,76 | 1.763,64 | 1.769,33 | 1.792,93 | 1.811,90 | 1.817,56 | 1.582,59 | 189,98 | 81,61 | 90,90 | 97,91 | 81,23 | 95,21 | 121,72 | 275,57 | 289,00 | 448,73 | 413,27 | 424,12 | 412,83 | 419,38 | 413,31 |
| Passivo Total | 12.961,52 | 12.380,36 | 11.870,13 | 11.044,38 | 11.290,27 | 11.005,17 | 10.401,27 | 10.373,93 | 9.677,86 | 8.995,32 | 9.019,43 | 8.860,93 | 9.565,35 | 7.960,45 | 10.881,30 | 9.171,28 | 8.808,54 | 8.225,79 | 7.101,85 | 6.698,79 | 6.759,84 | 6.068,20 | 5.731,16 | 5.189,90 | 4.679,55 | 4.670,03 | 4.544,24 | 3.895,76 | 3.665,73 | 3.739,13 | 3.570,93 | 3.305,82 | 3.163,34 | 2.633,66 | 2.531,21 | 2.807,48 | 2.407,33 | 2.474,12 | 2.676,64 | 2.208,15 | 2.003,95 | 2.560,35 | 2.455,14 | 2.301,12 | 2.268,97 |
| Passivo Circulante | 2.270,08 | 2.195,92 | 2.269,19 | 2.345,11 | 2.704,82 | 2.671,22 | 3.090,83 | 2.424,79 | 2.110,46 | 2.055,14 | 1.612,04 | 1.665,69 | 2.211,30 | 2.769,34 | 2.150,94 | 5.338,60 | 4.960,04 | 4.602,40 | 3.950,09 | 3.585,06 | 3.561,46 | 1.966,61 | 2.365,83 | 2.013,87 | 2.150,06 | 1.866,27 | 1.730,27 | 1.509,00 | 1.247,28 | 1.409,14 | 1.519,00 | 1.399,19 | 1.353,25 | 1.044,34 | 1.078,53 | 1.478,23 | 959,10 | 988,58 | 1.111,05 | 865,37 | 839,80 | 1.396,90 | 1.193,65 | 1.039,29 | 990,25 |
| Passivo Não Circulante | 10.691,44 | 10.184,44 | 9.600,94 | 8.699,27 | 8.585,46 | 8.333,96 | 7.310,44 | 7.949,14 | 7.567,39 | 6.940,18 | 7.407,39 | 7.195,24 | 7.354,05 | 5.191,11 | 8.730,36 | 3.832,68 | 3.848,49 | 3.623,39 | 3.151,76 | 3.113,73 | 3.198,38 | 4.101,59 | 3.365,34 | 3.176,03 | 2.529,49 | 2.803,76 | 2.813,98 | 2.386,76 | 2.418,44 | 2.329,00 | 2.050,94 | 1.906,62 | 1.810,08 | 1.589,32 | 1.452,67 | 1.329,24 | 1.448,23 | 1.485,55 | 1.565,59 | 1.342,78 | 1.164,15 | 1.163,46 | 1.261,49 | 1.261,83 | 1.278,72 |
| Patrimônio Líquido | -4.031,28 | -3.777,38 | -3.617,84 | -3.682,99 | -3.539,61 | -3.324,78 | -2.965,54 | -2.871,73 | -2.703,52 | -2.772,02 | -2.757,92 | -2.649,07 | -3.067,67 | -2.655,54 | -5.915,24 | -5.305,96 | -4.883,56 | -4.095,11 | -3.352,11 | -2.816,97 | -2.589,95 | -2.093,18 | -1.724,54 | -1.251,22 | -1.312,23 | -1.328,51 | -1.113,46 | -720,44 | -434,53 | -287,86 | -106,47 | -10,25 | 8,95 | 232,94 | 406,17 | 441,34 | 435,83 | 528,99 | 673,98 | 1.277,75 | 1.335,48 | 1.320,52 | 1.675,68 | 1.728,84 | 1.759,86 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 108,35 | -79,72 | 55,08 | 25,18 | 63,26 | -102,50 | 91,97 | -68,45 | 100,66 | 139,05 | 57,98 | 100,13 | -60,40 | 48,52 | 23,40 |
| FCI (Investimentos) | -120,86 | 131,56 | -48,08 | -17,30 | 1,96 | -1,28 | -11,31 | -21,25 | -1,80 | -133,46 | -18,99 | -8,96 | -12,16 | -24,87 | 17,33 |
| FCF (Financiamento) | -4,38 | -4,48 | -3,57 | -342,60 | -56,46 | 64,26 | -22,22 | 30,48 | -11,28 | 6,00 | -1,43 | -56,00 | -29,92 | -33,36 | -31,54 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 2.142,58 | 1.837,09 | 1.785,10 | 1.881,22 | 1.765,28 | 1.555,17 | 1.602,58 | 1.526,85 | 1.368,72 | 1.685,78 | 1.434,06 | 1.010,33 | 851,57 | 898,13 | 796,55 |
| Insumos de Terceiros | -1.224,92 | -1.043,21 | -962,10 | -791,25 | -819,96 | -745,35 | -835,04 | -672,37 | -510,66 | -638,78 | -908,64 | -632,08 | -582,71 | -448,48 | -375,42 |
| Valor Adicionado Bruto | 917,66 | 793,88 | 822,00 | 1.089,97 | 945,32 | 809,82 | 767,55 | 854,48 | 858,06 | 1.046,00 | 525,41 | 378,25 | 268,86 | 449,65 | 421,13 |
| Retencoes | -45,71 | -34,69 | -40,22 | -41,33 | -52,40 | -70,86 | -58,51 | -37,68 | -21,54 | -40,04 | -18,50 | -48,74 | -25,74 | 3,40 | -49,95 |
| VA Liquido Produzido | 871,95 | 759,19 | 782,78 | 1.048,64 | 892,92 | 738,96 | 709,04 | 816,80 | 836,52 | 1.006,96 | 506,92 | 329,51 | 243,13 | 453,05 | 371,18 |
| VA Recebido em Transferencia | 323,76 | 185,52 | 122,78 | 256,55 | 42,37 | 44,64 | 113,08 | 39,08 | 37,78 | 148,02 | 62,62 | 45,96 | 72,10 | 92,16 | 18,27 |
| VA Total a Distribuir | 1.195,71 | 944,71 | 905,56 | 1.305,19 | 935,29 | 783,60 | 822,12 | 855,87 | 874,31 | 1.154,98 | 569,53 | 375,47 | 315,23 | 545,20 | 389,45 |
| Pessoal | 28,09 | 23,31 | 45,49 | 62,89 | 101,42 | 109,93 | 106,64 | 108,66 | 93,16 | 108,12 | 104,16 | 108,99 | 102,65 | 100,18 | 73,88 |
| Impostos e Contribuicoes | 593,36 | 546,55 | 518,70 | 859,81 | 745,98 | 635,97 | 701,00 | 654,55 | 560,10 | 728,20 | 411,18 | 270,65 | 245,22 | 332,87 | 277,51 |
| Juros e Alugueis | 577,63 | 341,86 | 300,38 | 366,07 | 260,24 | 535,34 | 251,98 | 103,41 | 98,49 | 122,93 | 142,31 | 62,78 | 27,50 | 71,62 | 25,04 |
| Remuneracao de Capitais Proprios | -3,38 | 32,99 | 40,99 | 16,43 | -172,35 | -497,64 | -237,51 | -10,74 | 122,55 | 195,74 | -88,13 | -66,96 | -60,13 | 40,54 | 13,03 |





























