ENGI3 Energisa S.A.
NIVEL 2
Ação
R$ 13,06
+0,08%
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 | 35.441,35 | 33.715,48 | 28.531,86 | 26.503,14 | 26.475,50 | 20.330,21 | 19.903,14 | 15.787,58 | 13.637,15 | 11.810,70 | 11.935,13 | 8.279,56 | 2.857,77 | 2.919,08 | 2.426,61 | 2.154,32 |
| Custo dos Produtos | -26.443,71 | -25.151,84 | -20.750,87 | -19.312,22 | -20.777,84 | -16.672,69 | -16.651,74 | -13.282,70 | -11.749,23 | -9.984,09 | -10.287,23 | -6.362,84 | -1.992,71 | -2.009,72 | -1.665,02 | -1.491,65 |
| Lucro Bruto | 8.997,64 | 8.563,64 | 7.780,99 | 7.190,92 | 5.697,66 | 3.657,52 | 3.251,39 | 2.504,88 | 1.887,93 | 1.826,61 | 1.647,90 | 1.916,72 | 865,06 | 909,36 | 761,59 | 662,67 |
| Despesas Operacionais | -2.244,69 | -2.452,71 | -1.733,67 | -1.469,16 | -1.071,08 | -955,07 | -909,35 | 363,00 | -643,03 | -710,03 | -783,24 | -953,33 | -414,62 | -408,11 | -338,11 | -298,74 |
| EBIT | 6.752,95 | 6.110,92 | 6.047,32 | 5.721,76 | 4.626,58 | 2.702,45 | 2.342,04 | 2.867,88 | 1.244,89 | 1.116,58 | 864,67 | 963,40 | 450,45 | 501,25 | 423,48 | 363,93 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -3.418,04 | -1.735,76 | -2.477,48 | -2.582,97 | -1.097,55 | -655,80 | -1.360,41 | -950,50 | -638,00 | -772,50 | -1.045,95 | -635,93 | -202,04 | -79,20 | -156,15 | -99,50 |
| LAIR | 3.334,91 | 4.375,16 | 3.569,84 | 3.138,78 | 3.529,04 | 2.046,65 | 981,64 | 1.917,38 | 606,89 | 344,08 | -181,28 | 327,47 | 248,41 | 422,04 | 267,33 | 264,44 |
| IR/CSLL | -194,84 | 261,12 | -986,30 | -710,76 | -762,70 | -527,65 | -454,48 | -737,71 | -34,31 | -96,81 | 56,94 | -21,86 | -45,66 | -130,98 | -55,28 | -69,79 |
| Lucro Liquido | 3.140,07 | 4.636,28 | 2.583,53 | 2.428,02 | 2.814,81 | 1.607,47 | 527,16 | 1.179,67 | 572,58 | 195,79 | 351,40 | 304,72 | 202,75 | 291,06 | 212,05 | 194,65 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Ativo Total | 83.471,65 | 77.181,65 | 68.068,47 | 59.670,67 | 54.258,00 | 45.562,81 | 39.319,81 | 36.418,01 | 22.048,36 | 20.022,82 | 18.502,18 | 18.601,64 | 5.526,98 | 5.059,37 | 4.258,40 | 3.634,23 |
| Ativo Circulante | 20.931,90 | 18.016,02 | 17.206,18 | 14.724,26 | 16.109,08 | 13.594,05 | 9.858,35 | 11.037,15 | 7.098,72 | 6.347,07 | 5.879,30 | 7.291,87 | 1.370,08 | 1.588,12 | 1.416,46 | 1.182,28 |
| Caixa | 1.386,00 | 899,14 | 1.298,42 | 916,21 | 773,50 | 1.062,10 | 663,10 | 706,74 | 921,48 | 797,20 | 1.083,63 | 576,07 | 252,18 | 213,17 | 355,02 | 382,73 |
| Contas a Receber | 4.775,50 | 4.455,30 | 4.841,92 | 3.963,07 | 4.370,53 | 4.474,96 | 3.783,47 | 3.041,25 | 2.246,23 | 1.990,79 | 2.054,04 | 1.403,55 | 391,06 | 469,38 | 412,62 | 379,94 |
| Estoques | 155,56 | 137,93 | 177,59 | 145,42 | 134,56 | 118,76 | 122,98 | 70,75 | 57,04 | 40,73 | 36,16 | 29,47 | 8,94 | 12,55 | 11,37 | 10,68 |
| Ativo Não Circulante | 62.539,74 | 59.165,64 | 50.862,29 | 44.946,41 | 38.148,92 | 31.968,76 | 29.461,46 | 25.380,86 | 14.949,63 | 13.675,75 | 12.622,89 | 11.309,77 | 4.156,90 | 3.471,26 | 2.841,94 | 2.451,94 |
| Imobilizado | 3.407,30 | 3.256,10 | 2.852,92 | 1.875,17 | 717,52 | 417,64 | 284,57 | 209,61 | 178,14 | 142,41 | 114,78 | 85,21 | 1.181,69 | 690,36 | 393,01 | 219,91 |
| Intangíveis | 22.101,59 | 21.318,73 | 19.233,07 | 16.838,18 | 15.891,36 | 15.710,77 | 16.309,84 | 14.569,62 | 7.143,68 | 7.466,34 | 7.420,98 | 6.512,33 | 1.530,40 | 1.614,79 | 1.637,33 | 1.554,14 |
| Passivo Total | 62.287,10 | 55.038,43 | 52.352,78 | 47.186,92 | 45.172,44 | 38.047,14 | 32.857,59 | 30.370,48 | 17.263,83 | 15.249,78 | 15.184,01 | 15.602,78 | 3.700,46 | 3.558,13 | 2.954,13 | 2.446,07 |
| Passivo Circulante | 13.448,83 | 14.653,39 | 15.349,66 | 13.224,88 | 12.651,38 | 12.401,27 | 7.534,38 | 7.537,83 | 5.745,44 | 5.011,30 | 4.716,06 | 6.031,88 | 1.156,48 | 1.179,06 | 736,20 | 748,61 |
| Passivo Não Circulante | 48.838,28 | 40.385,04 | 37.003,11 | 33.962,04 | 32.521,06 | 25.645,87 | 25.323,22 | 22.832,65 | 11.518,39 | 10.238,48 | 10.467,96 | 9.570,91 | 2.543,98 | 2.379,07 | 2.217,93 | 1.697,45 |
| Patrimônio Líquido | 21.184,54 | 22.143,22 | 15.715,70 | 12.483,75 | 9.085,56 | 7.515,67 | 6.462,22 | 6.047,53 | 4.784,52 | 4.773,04 | 3.318,17 | 2.998,86 | 1.826,52 | 1.501,24 | 1.304,28 | 1.188,16 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 6.065,95 | 7.218,14 | 6.682,42 | 5.685,80 | 881,74 | 4.806,51 | 2.582,32 | -968,28 | 1.249,28 | 1.765,05 | 1.058,65 | 739,55 | 698,17 | 684,49 | 116,69 | 573,91 |
| FCI (Investimentos) | -6.198,30 | -7.787,53 | -6.521,50 | -5.094,12 | -2.793,62 | -5.374,48 | -1.396,81 | -3.231,19 | -980,82 | -2.128,23 | 799,48 | -1.112,53 | -447,92 | -867,22 | -192,76 | -348,08 |
| FCF (Financiamento) | 619,22 | 170,10 | 221,30 | -448,98 | 1.623,28 | 966,97 | -1.229,14 | 3.984,72 | -144,18 | 76,76 | -1.350,58 | 696,88 | -211,24 | 40,87 | 48,36 | -414,23 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 48.645,54 | 46.069,76 | 39.788,07 | 36.831,22 | 37.243,82 | 29.551,79 | 29.259,49 | 24.719,74 | 20.321,93 | 18.381,54 | 18.675,10 | 11.719,48 | 4.387,90 | 4.325,10 | 3.702,64 | 3.206,22 |
| Insumos de Terceiros | -25.886,18 | -24.669,30 | -19.763,66 | -18.485,34 | -20.500,68 | -15.864,91 | -15.869,50 | -12.771,21 | -11.057,03 | -9.262,25 | -9.726,93 | -6.436,29 | -2.548,30 | -2.276,64 | -1.793,50 | -1.508,99 |
| Valor Adicionado Bruto | 22.759,36 | 21.400,46 | 20.024,40 | 18.345,88 | 16.743,13 | 13.686,87 | 13.389,99 | 11.948,53 | 9.264,90 | 9.119,29 | 8.948,17 | 5.283,20 | 1.839,60 | 2.048,46 | 1.909,14 | 1.697,22 |
| Retencoes | -2.121,83 | -1.857,23 | -1.577,18 | -1.274,46 | -1.242,99 | -1.228,70 | -1.157,87 | -949,71 | -807,68 | -703,64 | -699,93 | -591,36 | -170,95 | -139,01 | -131,45 | -105,03 |
| VA Liquido Produzido | 20.637,53 | 19.543,23 | 18.447,22 | 17.071,42 | 15.500,15 | 12.458,17 | 12.232,12 | 10.998,82 | 8.457,23 | 8.415,65 | 8.248,24 | 4.691,84 | 1.668,66 | 1.909,46 | 1.777,69 | 1.592,20 |
| VA Recebido em Transferencia | 2.581,84 | 1.975,28 | 1.817,23 | 1.720,89 | 1.526,16 | 788,17 | 966,93 | 573,89 | 833,45 | 773,67 | 808,60 | 488,85 | 171,87 | 231,93 | 141,34 | 95,20 |
| VA Total a Distribuir | 23.219,36 | 21.518,51 | 20.264,45 | 18.792,31 | 17.026,30 | 13.246,35 | 13.199,05 | 11.572,71 | 9.290,68 | 9.189,32 | 9.056,84 | 5.180,69 | 1.840,53 | 2.141,39 | 1.919,03 | 1.687,40 |
| Pessoal | 1.724,99 | 1.663,57 | 1.484,95 | 1.362,84 | 1.359,60 | 1.229,38 | 1.346,08 | 1.070,45 | 986,67 | 867,27 | 761,54 | 655,49 | 270,45 | 283,97 | 264,66 | 210,67 |
| Impostos e Contribuicoes | 12.501,20 | 11.491,72 | 11.904,39 | 10.614,83 | 10.319,43 | 9.072,60 | 9.029,82 | 7.820,88 | 6.302,53 | 6.508,15 | 4.737,28 | 2.795,28 | 957,82 | 1.067,57 | 941,62 | 897,91 |
| Juros e Alugueis | 5.853,10 | 3.726,95 | 4.291,58 | 4.386,62 | 2.580,93 | 1.425,37 | 2.295,99 | 1.501,71 | 1.428,89 | 1.566,63 | 1.885,72 | 1.222,10 | 409,51 | 317,46 | 320,75 | 237,98 |
| Remuneracao de Capitais Proprios | 1.699,29 | 2.166,56 | 1.381,32 | 954,21 | 1.282,32 | 634,67 | 504,39 | 1.122,25 | 544,65 | 188,05 | 335,16 | 290,70 | 192,98 | 276,54 | 201,45 | 184,92 |





























