GFSA3 Gafisa S.A.
NOVO MERCADO
Ação
R$ 1,50
+2,04%
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 | 120,83 | 162,29 | 226,84 | 220,70 | 178,32 | 253,74 | 286,41 | 284,23 | 292,51 | 351,65 | 263,27 | 195,30 | 166,75 | 259,23 | 170,13 | 148,63 | 83,80 | 71,70 | 89,21 | 99,66 | 95,42 | 252,31 | 302,27 | 213,40 | 160,32 | 147,25 | 136,54 | 538,78 | 473,37 | 405,53 | 624,04 | 591,53 | 519,50 | 494,19 | 574,83 | 432,70 | 628,05 | 640,86 | 668,59 | 1.064,09 | 1.040,54 | 927,83 | 1.005,49 | 1.041,34 | 800,36 |
| Custo dos Produtos | -144,99 | -184,72 | -226,49 | -258,61 | -176,34 | -252,53 | -302,13 | -265,58 | -262,45 | -310,57 | -220,06 | -134,70 | -100,52 | -183,12 | -131,45 | -124,22 | -61,09 | -51,24 | -51,11 | -62,69 | -88,97 | -203,56 | -229,45 | -190,54 | -167,96 | -161,66 | -153,71 | -446,89 | -379,88 | -333,33 | -447,82 | -432,99 | -370,30 | -365,34 | -409,93 | -335,35 | -454,54 | -497,07 | -510,32 | -755,96 | -761,40 | -726,25 | -708,61 | -822,42 | -615,59 |
| Lucro Bruto | -24,15 | -22,42 | 0,35 | -37,91 | 1,98 | 1,20 | -15,72 | 18,65 | 30,06 | 41,08 | 43,21 | 60,60 | 66,23 | 76,11 | 38,68 | 24,41 | 22,71 | 20,46 | 38,10 | 36,97 | 6,45 | 48,75 | 72,82 | 22,86 | -7,63 | -14,40 | -17,17 | 91,89 | 93,49 | 72,20 | 176,22 | 158,54 | 149,20 | 128,85 | 164,90 | 97,35 | 173,50 | 143,80 | 158,28 | 308,13 | 279,14 | 201,58 | 296,88 | 218,92 | 184,77 |
| Despesas Operacionais | -47,15 | 66,14 | -19,90 | -8,82 | -13,06 | 4,43 | -66,83 | -63,22 | -70,92 | -64,73 | -54,74 | -50,96 | -35,19 | -33,29 | -35,95 | -51,95 | -43,13 | -36,39 | -17,60 | -38,67 | -42,68 | -66,82 | -81,71 | -59,78 | -129,83 | -121,82 | -109,99 | -142,50 | -125,89 | -109,87 | -146,27 | -141,50 | -97,22 | -121,34 | -152,22 | -123,23 | -145,38 | -144,43 | -139,83 | -203,48 | -208,31 | -164,11 | -160,26 | -153,76 | -131,16 |
| EBIT | -71,31 | 43,72 | -19,55 | -46,73 | -11,08 | 5,63 | -82,56 | -44,57 | -40,86 | -23,65 | -11,53 | 9,63 | 31,04 | 42,82 | 2,73 | -27,54 | -20,42 | -15,92 | 20,51 | -1,70 | -36,24 | -18,08 | -8,89 | -36,92 | -137,46 | -136,22 | -127,16 | -50,61 | -32,40 | -37,66 | 29,95 | 17,04 | 51,98 | 7,51 | 12,69 | -25,88 | 28,13 | -0,63 | 18,45 | 104,66 | 70,83 | 37,47 | 136,62 | 65,16 | 53,61 |
| EBITDA | -66,21 | 44,94 | -14,39 | -44,35 | -7,50 | 10,06 | -75,57 | -36,89 | -34,61 | -15,14 | -4,47 | 18,42 | 36,38 | 47,38 | 5,61 | -25,60 | -18,54 | -13,76 | 23,73 | 2,44 | -31,86 | -11,68 | -3,75 | -32,94 | -129,08 | -127,34 | -118,45 | -39,54 | -23,72 | -24,97 | 42,40 | 28,60 | 63,65 | 19,22 | 28,67 | -11,86 | 46,27 | 10,39 | 28,74 | 123,36 | 85,19 | 55,80 | 158,47 | 87,91 | 65,98 |
| Resultado Financeiro | -18,21 | -33,83 | -33,13 | -10,32 | 28,13 | 31,99 | 9,88 | -44,27 | 26,42 | -7,22 | -8,90 | -0,25 | -21,34 | -20,25 | 10,16 | -28,05 | -2,35 | -8,40 | -21,55 | -10,47 | -9,96 | -19,18 | -19,08 | -19,95 | -21,07 | -33,39 | -28,56 | -17,46 | -2,49 | -1,94 | -19,69 | 2,68 | -8,22 | -8,03 | -3,07 | -7,91 | -48,49 | -33,66 | -56,30 | -60,81 | -55,63 | -42,18 | -58,12 | -28,87 | -30,00 |
| LAIR | -89,52 | 9,88 | -52,68 | -57,05 | 17,04 | 37,62 | -72,68 | -88,84 | -14,44 | -30,87 | -20,43 | 9,38 | 9,70 | 22,58 | 12,90 | -55,59 | -22,77 | -24,32 | -1,04 | -12,17 | -46,20 | -37,26 | -27,97 | -56,87 | -158,53 | -169,61 | -155,72 | -68,08 | -34,89 | -39,61 | 10,26 | 19,73 | 43,76 | -0,52 | 9,62 | -33,80 | -20,36 | -34,29 | -37,86 | 43,85 | 15,20 | -4,70 | 78,50 | 36,29 | 22,61 |
| IR/CSLL | -2,60 | -3,06 | 73,82 | -9,98 | -12,95 | -17,15 | -16,06 | -2,13 | -19,58 | -18,48 | -9,80 | -9,26 | -3,00 | -8,79 | 0,05 | -1,60 | -0,89 | -1,13 | -0,51 | -0,31 | -0,40 | -0,67 | -1,43 | -0,23 | 0,62 | -0,95 | -1,35 | -3,96 | -2,97 | -12,74 | 3,15 | 5,75 | -12,16 | -9,16 | -11,67 | -6,60 | -7,02 | -6,99 | -7,64 | -21,05 | -5,80 | -20,14 | -23,82 | -1,44 | -1,85 |
| Lucro Liquido | -92,11 | 6,82 | 21,14 | -67,02 | 4,73 | 19,84 | -88,74 | -90,96 | -34,02 | -49,36 | -30,23 | 0,12 | 5,70 | 13,79 | 12,95 | -57,19 | -23,66 | -25,45 | -1,55 | -12,48 | -46,60 | -37,92 | -29,40 | -57,10 | -157,91 | -180,10 | -49,35 | -72,04 | -37,86 | -52,35 | 13,41 | 25,48 | 31,60 | -9,68 | -2,06 | -40,40 | 19,62 | 1,19 | -45,50 | 22,80 | 9,41 | -24,84 | 54,68 | 34,85 | 20,76 |
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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 | 4.984,01 | 5.154,48 | 4.938,03 | 5.035,87 | 4.990,19 | 5.121,54 | 5.268,07 | 5.465,38 | 5.372,51 | 5.869,30 | 5.175,80 | 4.838,23 | 4.143,86 | 4.058,88 | 4.337,38 | 3.445,75 | 2.822,34 | 2.515,89 | 2.566,20 | 2.407,52 | 2.321,40 | 2.867,55 | 2.882,84 | 2.885,38 | 3.422,33 | 3.691,06 | 5.206,75 | 6.353,32 | 6.548,12 | 6.779,95 | 7.059,52 | 7.072,55 | 7.333,90 | 7.578,85 | 7.288,40 | 7.618,06 | 8.199,68 | 8.492,74 | 8.530,37 | 9.025,66 | 9.170,65 | 9.367,68 | 10.383,81 | 10.392,19 | 9.623,03 |
| Ativo Circulante | 2.896,42 | 3.036,36 | 2.896,68 | 3.200,91 | 3.158,98 | 3.496,28 | 3.656,21 | 3.876,74 | 3.780,72 | 4.003,78 | 3.375,27 | 3.084,82 | 2.894,25 | 2.778,92 | 2.730,62 | 2.648,44 | 2.057,48 | 1.755,66 | 1.785,06 | 1.614,22 | 1.506,86 | 1.763,85 | 1.694,80 | 1.749,96 | 1.845,72 | 1.928,78 | 3.460,19 | 4.138,99 | 4.267,42 | 4.390,46 | 4.550,38 | 4.417,68 | 4.805,80 | 5.195,05 | 4.916,99 | 5.101,79 | 6.227,37 | 6.745,68 | 6.170,78 | 7.020,40 | 7.367,36 | 7.010,84 | 7.235,79 | 7.036,49 | 6.283,19 |
| Caixa | 24,51 | 3,31 | 5,95 | 9,31 | 39,32 | 15,44 | 5,00 | 11,04 | 15,09 | 19,79 | 98,04 | 61,87 | 31,27 | 21,56 | 51,52 | 6,70 | 19,51 | 6,00 | 12,82 | 11,37 | 12,40 | 7,93 | 14,16 | 23,65 | 26,63 | 37,98 | 23,81 | 161,34 | 157,74 | 143,72 | 67,88 | 154,23 | 224,74 | 161,77 | 135,09 | 189,50 | 274,62 | 476,75 | 676,16 | 463,85 | 300,65 | 265,26 | 384,41 | 330,18 | 228,70 |
| Contas a Receber | 949,51 | 999,25 | 883,36 | 535,74 | 434,22 | 749,87 | 683,99 | 729,54 | 714,67 | 730,44 | 559,68 | 445,64 | 461,08 | 514,54 | 549,07 | 544,15 | 445,81 | 464,46 | 409,21 | 449,36 | 475,82 | 569,17 | 562,07 | 508,42 | 570,30 | 602,30 | 665,07 | 1.129,35 | 1.285,89 | 1.328,04 | 1.488,99 | 1.464,28 | 1.476,01 | 1.575,92 | 1.709,72 | 1.721,68 | 2.103,13 | 2.184,06 | 2.492,12 | 3.325,24 | 3.745,49 | 3.638,58 | 4.002,21 | 3.653,71 | 3.357,36 |
| Estoques | 1.298,36 | 1.335,34 | 1.366,27 | 1.598,22 | 1.685,88 | 1.480,12 | 2.379,41 | 2.503,78 | 2.345,44 | 2.438,83 | 1.947,49 | 1.746,56 | 1.783,46 | 1.566,03 | 1.343,76 | 1.317,14 | 855,32 | 780,74 | 820,89 | 807,99 | 819,46 | 858,73 | 777,40 | 849,74 | 987,66 | 996,93 | 1.058,74 | 2.118,65 | 2.063,67 | 1.958,09 | 1.771,95 | 1.620,30 | 1.788,97 | 1.868,67 | 1.577,90 | 1.498,00 | 1.489,54 | 1.557,08 | 1.824,55 | 2.038,65 | 2.053,17 | 2.088,93 | 2.130,66 | 1.988,09 | 1.765,57 |
| Ativo Não Circulante | 2.087,59 | 2.118,12 | 2.041,35 | 1.834,96 | 1.831,21 | 1.625,26 | 1.611,86 | 1.588,64 | 1.591,80 | 1.865,51 | 1.800,54 | 1.753,40 | 1.249,61 | 1.279,96 | 1.606,76 | 797,30 | 764,85 | 760,23 | 781,14 | 793,30 | 814,54 | 1.103,70 | 1.188,04 | 1.135,43 | 1.576,61 | 1.762,28 | 1.746,56 | 2.214,32 | 2.280,70 | 2.389,50 | 2.509,15 | 2.654,87 | 2.528,10 | 2.383,81 | 2.371,42 | 2.516,27 | 1.972,31 | 1.747,06 | 2.359,59 | 2.005,26 | 1.803,30 | 2.356,84 | 3.148,02 | 3.355,70 | 3.339,84 |
| Imobilizado | 17,50 | 20,48 | 19,97 | 15,41 | 14,79 | 16,44 | 20,50 | 24,50 | 23,63 | 29,84 | 31,02 | 35,11 | 38,28 | 31,26 | 25,62 | 15,94 | 11,98 | 12,60 | 15,94 | 19,63 | 21,62 | 24,83 | 24,21 | 23,44 | 24,87 | 23,62 | 22,14 | 55,63 | 51,70 | 46,83 | 49,26 | 46,22 | 44,64 | 50,02 | 47,45 | 37,69 | 42,98 | 42,73 | 44,80 | 41,29 | 48,79 | 55,10 | 74,94 | 81,14 | 79,82 |
| Intangíveis | 21,97 | 22,08 | 22,19 | 183,69 | 183,77 | 186,98 | 189,83 | 188,44 | 190,00 | 191,05 | 170,24 | 167,72 | 6,85 | 7,04 | 5,01 | 5,36 | 5,46 | 6,26 | 8,53 | 9,71 | 10,66 | 18,22 | 16,80 | 17,56 | 19,74 | 21,69 | 24,98 | 71,89 | 73,53 | 73,82 | 77,24 | 77,47 | 74,72 | 96,41 | 98,20 | 102,04 | 107,54 | 107,12 | 233,94 | 238,52 | 221,00 | 230,72 | 219,49 | 215,62 | 212,89 |
| Passivo Total | 2.994,65 | 3.152,37 | 2.942,75 | 3.085,61 | 3.057,69 | 3.341,85 | 3.579,10 | 3.688,00 | 3.589,25 | 4.126,00 | 3.388,84 | 3.021,34 | 2.377,26 | 2.425,88 | 2.766,06 | 1.931,86 | 1.645,15 | 1.632,94 | 1.784,12 | 1.832,17 | 1.871,94 | 1.995,60 | 1.974,27 | 1.948,48 | 2.201,24 | 2.312,64 | 3.644,61 | 3.424,57 | 3.546,83 | 3.733,67 | 3.946,92 | 3.973,05 | 4.263,01 | 4.449,72 | 4.150,27 | 4.488,55 | 5.932,02 | 5.874,29 | 5.885,83 | 6.253,69 | 6.424,51 | 6.639,18 | 6.471,22 | 6.541,85 | 5.813,86 |
| Passivo Circulante | 1.537,71 | 1.878,18 | 1.735,55 | 1.925,92 | 1.920,78 | 2.074,59 | 1.800,20 | 1.671,11 | 1.801,34 | 2.071,86 | 1.512,59 | 1.376,88 | 1.185,86 | 1.587,50 | 1.929,41 | 1.440,31 | 1.168,42 | 1.032,22 | 1.231,94 | 1.195,32 | 1.164,56 | 807,52 | 873,95 | 955,49 | 1.239,68 | 1.480,06 | 2.675,84 | 1.964,44 | 2.041,77 | 2.075,63 | 2.189,03 | 2.198,59 | 2.371,48 | 2.121,34 | 2.093,89 | 2.326,64 | 3.048,50 | 2.873,44 | 2.598,83 | 2.992,55 | 3.163,64 | 2.860,74 | 2.162,51 | 2.314,64 | 2.197,74 |
| Passivo Não Circulante | 1.456,94 | 1.274,19 | 1.207,20 | 1.159,69 | 1.136,90 | 1.267,25 | 1.778,90 | 2.016,89 | 1.787,91 | 2.055,14 | 1.876,25 | 1.644,46 | 1.191,40 | 838,38 | 836,65 | 491,55 | 476,73 | 600,72 | 552,18 | 636,84 | 707,38 | 1.188,07 | 1.100,32 | 992,99 | 961,56 | 832,58 | 968,77 | 1.460,12 | 1.505,07 | 1.658,04 | 1.757,88 | 1.774,47 | 1.891,52 | 2.328,38 | 2.056,38 | 2.161,92 | 2.883,52 | 3.000,84 | 3.287,00 | 3.261,14 | 3.260,86 | 3.778,44 | 4.308,71 | 4.227,21 | 3.616,12 |
| Patrimônio Líquido | 1.989,36 | 2.002,11 | 1.995,29 | 1.950,26 | 1.932,51 | 1.779,69 | 1.688,98 | 1.777,38 | 1.783,26 | 1.742,30 | 1.786,96 | 1.816,89 | 1.766,60 | 1.632,00 | 1.571,32 | 1.513,89 | 1.177,19 | 882,96 | 782,07 | 575,35 | 449,46 | 871,96 | 908,57 | 936,90 | 1.221,09 | 1.378,42 | 1.562,14 | 2.928,75 | 3.001,29 | 3.046,28 | 3.112,61 | 3.099,49 | 3.070,89 | 3.129,14 | 3.138,13 | 3.129,51 | 2.267,66 | 2.618,46 | 2.644,54 | 2.771,97 | 2.746,14 | 2.728,50 | 3.912,59 | 3.850,34 | 3.809,18 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 3,31 | 113,60 | -46,33 | -55,64 | 10,65 | -37,42 | -31,88 | -62,76 | 69,00 | 41,95 | -51,13 | -54,11 | -26,38 | 57,62 | -192,20 |
| FCI (Investimentos) | 79,12 | 66,05 | 48,89 | 41,29 | -338,19 | 44,77 | 56,56 | -67,22 | -44,21 | -29,61 | 150,11 | 419,62 | 191,58 | 136,97 | 232,22 |
| FCF (Financiamento) | -85,43 | -169,57 | -10,48 | 40,80 | 350,01 | -13,79 | -44,58 | 125,10 | -14,41 | 48,73 | 15,87 | -391,20 | -76,00 | -66,92 | -67,70 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 231,56 | 262,08 | 302,18 | 202,67 | 179,88 | 78,72 | 103,36 | 234,48 | 147,52 | 436,54 | 569,36 | 468,64 | 717,80 | 1.004,30 | 861,71 |
| Insumos de Terceiros | -104,02 | -162,01 | -260,34 | -120,13 | -124,59 | -63,71 | -103,52 | -183,98 | -147,21 | -337,23 | -384,58 | -329,30 | -511,73 | -807,30 | -630,25 |
| Valor Adicionado Bruto | 127,54 | 100,07 | 41,84 | 82,55 | 55,30 | 15,01 | -0,16 | 50,50 | 0,31 | 99,31 | 184,78 | 139,34 | 206,07 | 197,00 | 231,46 |
| Retencoes | -5,16 | -4,43 | -6,24 | -8,78 | -2,88 | -2,17 | -4,37 | -3,98 | -8,71 | -12,70 | -11,67 | -14,02 | -10,30 | -18,33 | -12,36 |
| VA Liquido Produzido | 122,38 | 95,64 | 35,60 | 73,76 | 52,42 | 12,85 | -4,53 | 46,52 | -8,40 | 86,61 | 173,11 | 125,32 | 195,78 | 178,67 | 219,10 |
| VA Recebido em Transferencia | 6,40 | 30,96 | 72,38 | 21,27 | 34,15 | 5,78 | 1,68 | 4,73 | -27,29 | 39,10 | 51,39 | 43,18 | 45,34 | 19,69 | 24,66 |
| VA Total a Distribuir | 128,78 | 126,60 | 107,98 | 95,03 | 86,57 | 18,62 | -2,85 | 51,24 | -35,69 | 125,71 | 224,51 | 168,50 | 241,12 | 198,36 | 243,76 |
| Pessoal | 11,46 | 11,95 | 19,16 | 24,08 | 25,91 | 10,38 | 6,45 | 18,81 | 28,21 | 56,19 | 50,38 | 53,49 | 81,34 | 26,06 | 59,10 |
| Impostos e Contribuicoes | 9,32 | 27,13 | 31,33 | 22,23 | 15,70 | 10,27 | 10,42 | 25,28 | 17,20 | 53,97 | 67,80 | 63,75 | 100,07 | 99,08 | 78,11 |
| Juros e Alugueis | 86,86 | 67,68 | 91,52 | 48,60 | 31,98 | 23,44 | 26,63 | 63,08 | 76,02 | 68,77 | 74,68 | 91,05 | 115,18 | 104,73 | 92,84 |
| Remuneracao de Capitais Proprios | 21,14 | 19,84 | -34,02 | 0,12 | 12,97 | -25,46 | -46,35 | -55,92 | -157,12 | -53,23 | 31,65 | -39,79 | -55,47 | -31,52 | 13,71 |





























