CPFE3 CPFL Energia S.A.
NOVO MERCADO
Ação
R$ 54,62
+1,51%
Valores em R$ milhões. Fonte: CVM Dados Abertos
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receita Liquida | 44.367,78 | 42.628,21 | 39.743,19 | 39.354,24 | 39.210,15 | 30.898,46 | 29.932,47 | 28.136,63 | 26.744,90 | 19.112,09 | 20.205,87 | 17.305,94 | 14.633,86 | 15.055,15 | 12.764,03 | 12.023,73 |
| Custo dos Produtos | -30.243,58 | -29.059,44 | -26.101,10 | -27.517,74 | -29.952,67 | -23.977,37 | -23.354,89 | -22.347,26 | -21.747,27 | -14.806,07 | -16.268,04 | -13.261,54 | -10.673,72 | -10.701,96 | -8.517,56 | -8.340,96 |
| Lucro Bruto | 14.124,20 | 13.568,77 | 13.642,09 | 11.836,49 | 9.257,48 | 6.921,09 | 6.577,58 | 5.789,37 | 4.997,63 | 4.306,02 | 3.937,82 | 4.044,40 | 3.960,14 | 4.353,18 | 4.246,46 | 3.682,77 |
| Despesas Operacionais | -3.069,72 | -2.738,54 | -3.062,47 | -1.605,58 | -1.849,54 | -1.807,77 | -1.865,04 | -1.746,70 | -1.663,41 | -1.471,00 | -1.468,85 | -1.444,64 | -1.469,49 | -1.582,07 | -1.195,92 | -943,45 |
| EBIT | 11.054,47 | 10.830,23 | 10.579,62 | 10.230,92 | 7.407,94 | 5.113,32 | 4.712,54 | 4.042,66 | 3.334,22 | 2.834,02 | 2.468,97 | 2.599,76 | 2.490,64 | 2.771,11 | 3.050,55 | 2.739,32 |
| EBITDA | 11.521,02 | 11.315,81 | 11.108,27 | 10.700,49 | 7.824,27 | 5.506,27 | 5.115,32 | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -2.963,22 | -2.741,34 | -2.556,84 | -2.911,27 | -792,48 | -315,98 | -726,25 | -1.102,69 | -1.487,55 | -1.453,47 | -1.014,52 | -1.089,45 | -971,44 | -767,63 | -688,59 | -353,94 |
| LAIR | 8.091,25 | 8.088,89 | 8.022,78 | 7.319,65 | 6.615,46 | 4.797,34 | 3.986,29 | 2.939,98 | 1.846,67 | 1.380,55 | 1.454,45 | 1.510,30 | 1.519,20 | 2.003,48 | 2.361,96 | 2.385,37 |
| IR/CSLL | -2.348,69 | -2.327,34 | -2.485,62 | -2.100,84 | -1.761,71 | -1.090,36 | -1.237,00 | -773,98 | -603,63 | -501,49 | -579,18 | -623,86 | -570,16 | -746,75 | -779,57 | -825,34 |
| Lucro Liquido | 5.742,55 | 5.761,55 | 5.537,16 | 5.218,81 | 4.853,75 | 3.706,99 | 2.748,30 | 2.165,00 | 1.243,04 | 879,06 | 875,28 | 886,44 | 949,04 | 1.256,73 | 1.582,38 | 1.560,04 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Ativo Total | 81.099,93 | 77.129,19 | 74.971,23 | 71.146,08 | 66.119,88 | 49.106,88 | 44.078,29 | 42.211,53 | 41.282,91 | 42.170,99 | 40.532,47 | 35.098,82 | 31.042,80 | 31.075,69 | 27.413,06 | 20.056,80 |
| Ativo Circulante | 16.616,31 | 16.551,55 | 18.051,35 | 15.180,04 | 15.552,50 | 13.811,80 | 10.340,63 | 9.402,32 | 9.581,21 | 11.379,19 | 12.508,65 | 9.214,70 | 7.264,32 | 5.630,20 | 5.363,06 | 3.898,19 |
| Caixa | 2.229,32 | 1.973,40 | 4.435,19 | 3.746,16 | 2.199,95 | 3.918,80 | 1.937,16 | 1.891,46 | 3.249,64 | 6.164,00 | 5.682,80 | 4.357,46 | 4.206,42 | 2.477,90 | 2.699,84 | 1.562,90 |
| Contas a Receber | 6.244,46 | 5.883,89 | 6.190,13 | 5.071,13 | 5.425,18 | 5.206,85 | 4.985,58 | 4.547,95 | 4.301,28 | 3.765,89 | 3.174,92 | 2.251,12 | 2.007,79 | 2.268,60 | 1.874,28 | 1.816,09 |
| Estoques | 236,57 | 221,57 | 151,74 | 190,31 | 150,87 | 96,18 | 0,00 | 0,00 | 0,00 | 0,00 | 24,13 | 18,51 | 21,62 | 49,35 | 44,87 | 25,23 |
| Ativo Não Circulante | 64.483,62 | 60.577,65 | 56.919,87 | 55.966,04 | 50.567,37 | 35.295,08 | 33.737,66 | 32.809,21 | 31.701,70 | 30.791,80 | 28.023,82 | 25.884,11 | 23.778,47 | 25.445,49 | 22.050,00 | 16.158,62 |
| Imobilizado | 9.375,88 | 9.752,28 | 10.135,75 | 10.614,07 | 8.754,62 | 8.797,90 | 9.083,71 | 9.456,61 | 9.787,12 | 9.712,00 | 9.173,22 | 8.878,06 | 7.717,42 | 9.611,96 | 8.292,08 | 5.786,47 |
| Intangíveis | 6.892,84 | 7.824,43 | 8.973,76 | 9.907,34 | 9.673,61 | 8.969,64 | 9.320,95 | 10.509,37 | 10.589,82 | 10.775,61 | 9.210,34 | 9.155,97 | 8.748,33 | 9.535,36 | 8.927,44 | 6.584,88 |
| Passivo Total | 57.595,42 | 55.334,16 | 54.972,47 | 53.606,14 | 49.314,00 | 34.871,11 | 30.795,06 | 29.679,15 | 30.096,57 | 31.798,32 | 30.402,33 | 25.714,30 | 22.244,08 | 22.668,63 | 18.860,55 | 13.307,15 |
| Passivo Circulante | 17.875,96 | 17.370,54 | 19.762,11 | 14.879,17 | 12.913,72 | 14.405,95 | 10.065,91 | 8.415,13 | 11.378,69 | 9.018,49 | 9.524,87 | 7.417,10 | 4.905,53 | 5.193,35 | 4.499,44 | 4.428,32 |
| Passivo Não Circulante | 39.719,46 | 37.963,63 | 35.210,37 | 38.726,96 | 36.400,28 | 20.465,16 | 20.729,15 | 21.264,02 | 18.717,88 | 22.779,83 | 20.877,46 | 18.297,20 | 17.338,55 | 17.475,28 | 14.361,11 | 8.878,82 |
| Patrimônio Líquido | 23.504,51 | 21.795,03 | 19.998,75 | 17.539,94 | 16.805,88 | 14.235,78 | 13.283,24 | 12.532,38 | 11.186,34 | 10.372,67 | 10.130,14 | 9.384,51 | 8.798,72 | 8.407,06 | 8.552,51 | 6.749,66 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 7.162,80 | 6.788,94 | 8.899,92 | 8.980,13 | 3.861,59 | 6.361,43 | 5.788,53 | 856,69 | 2.034,02 | 4.634,03 | 2.557,97 | 1.592,57 | 2.517,55 | 2.144,08 | 2.488,65 | 2.029,21 |
| FCI (Investimentos) | -4.399,57 | -5.531,38 | -4.640,79 | -6.259,03 | -4.206,52 | -3.123,53 | -3.068,69 | -1.850,69 | -2.509,32 | -3.815,22 | -1.524,89 | -933,01 | -1.694,54 | -3.368,26 | -2.487,53 | -1.801,89 |
| FCF (Financiamento) | -2.507,31 | -3.719,35 | -3.570,10 | -1.174,89 | -1.373,92 | -1.256,27 | -2.674,14 | -364,18 | -2.440,06 | -336,61 | 292,27 | -508,53 | 948,38 | 1.002,23 | 1.135,82 | -151,67 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 64.722,35 | 61.114,49 | 56.904,99 | 54.959,61 | 56.544,89 | 45.489,99 | 45.092,42 | 42.759,62 | 40.687,93 | 31.664,68 | 34.377,36 | 23.057,17 | 20.202,38 | 22.353,54 | 19.267,61 | 18.421,04 |
| Insumos de Terceiros | -31.014,47 | -29.881,29 | -27.519,58 | -27.744,82 | -31.433,85 | -24.968,85 | -24.303,69 | -23.378,56 | -23.119,55 | -16.150,08 | -17.590,77 | -14.092,48 | -12.149,34 | -12.236,55 | -9.375,27 | -9.535,42 |
| Valor Adicionado Bruto | 33.707,88 | 31.233,20 | 29.385,41 | 27.214,79 | 25.111,05 | 20.521,14 | 20.788,73 | 19.381,06 | 17.568,37 | 15.514,59 | 16.786,59 | 8.964,69 | 8.053,04 | 10.116,99 | 9.892,34 | 8.885,62 |
| Retencoes | -2.404,05 | -2.310,12 | -2.253,41 | -2.038,57 | -1.759,50 | -1.674,25 | -1.687,81 | -1.602,18 | -1.534,03 | -1.293,92 | -1.281,73 | -1.160,71 | -1.057,26 | -1.127,38 | -845,82 | -720,53 |
| VA Liquido Produzido | 31.303,84 | 28.923,08 | 27.132,00 | 25.176,23 | 23.351,54 | 18.846,90 | 19.100,92 | 17.778,88 | 16.034,34 | 14.220,67 | 15.504,87 | 7.803,98 | 6.995,78 | 8.989,61 | 9.046,52 | 8.165,09 |
| VA Recebido em Transferencia | 2.371,58 | 2.013,66 | 2.332,02 | 2.764,65 | 1.716,69 | 1.410,52 | 1.330,74 | 1.183,08 | 1.279,06 | 1.609,78 | 1.861,44 | 962,93 | 835,46 | 739,53 | 722,76 | 521,08 |
| VA Total a Distribuir | 33.675,42 | 30.936,74 | 29.464,02 | 27.940,88 | 25.068,24 | 20.257,42 | 20.431,66 | 18.961,96 | 17.313,40 | 15.830,44 | 17.366,31 | 8.766,90 | 7.831,24 | 9.729,14 | 9.769,27 | 8.686,18 |
| Pessoal | 2.254,34 | 2.289,23 | 2.202,33 | 2.235,84 | 1.731,01 | 1.540,26 | 1.475,31 | 1.390,00 | 1.397,45 | 1.073,12 | 905,10 | 814,98 | 748,15 | 659,60 | 595,43 | 498,11 |
| Impostos e Contribuicoes | 20.586,74 | 18.436,29 | 17.125,83 | 15.311,48 | 16.435,88 | 13.626,13 | 14.477,22 | 13.452,58 | 12.181,76 | 11.066,27 | 12.910,44 | 5.044,47 | 4.421,86 | 6.276,19 | 6.162,98 | 5.681,65 |
| Juros e Alugueis | 5.091,78 | 4.449,66 | 4.598,70 | 5.174,76 | 2.047,60 | 1.384,04 | 1.730,83 | 1.952,39 | 2.491,14 | 2.811,00 | 2.675,49 | 2.021,02 | 1.712,18 | 1.536,62 | 1.428,48 | 946,38 |
| Remuneracao de Capitais Proprios | 5.742,55 | 5.761,55 | 5.537,16 | 5.218,81 | 4.853,75 | 3.706,99 | 2.748,30 | 2.165,00 | 1.243,04 | 879,06 | 875,28 | 886,44 | 949,04 | 1.256,73 | 1.582,38 | 1.560,04 |





























