PETR4 R$ 49,78 +1,53% PCAR3 R$ 2,48 +13,24% ITSA4 R$ 14,71 -0,68% BBDC4 R$ 20,59 +0,73% ITUB4 R$ 45,83 -0,52% BBAS3 R$ 24,75 +0,08% COGN3 R$ 3,13 -2,19% CPLE3 R$ 16,73 +0,42% VALE3 R$ 87,36 +2,07% CMIG4 R$ 13,75 -0,43% ABEV3 R$ 15,93 -1,18% CSAN3 R$ 5,53 -0,90% RAIL3 R$ 16,24 -1,16% USIM5 R$ 7,03 -2,50% CVCB3 R$ 1,97 +4,23% PETR3 R$ 54,96 +1,78% VAMO3 R$ 4,12 +3,78% BRAV3 R$ 21,25 -2,39% RENT3 R$ 48,81 -0,39% PRIO3 R$ 66,80 -1,26% MGLU3 R$ 9,21 +0,66% TIMS3 R$ 27,18 -2,79% BEEF3 R$ 4,23 -0,47% BBDC3 R$ 17,86 +1,08% ALOS3 R$ 33,14 +0,70% ENEV3 R$ 26,85 +0,52% AXIA3 R$ 65,57 +0,37% GMAT3 R$ 4,71 +3,06% GGBR4 R$ 21,12 -0,80% VBBR3 R$ 33,65 -0,36%
GMAT3

GMAT3 Grupo Mateus S.A.

NOVO MERCADO Ação
R$ 4,71 +3,06%
Fonte: B3 Atualizado: 13/04/2026 23:15

Valores em R$ milhões. Fonte: CVM Dados Abertos

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2025202420232022202120202019
Receita Liquida38.424,4032.085,4326.773,5921.768,4815.876,8612.397,048.035,54
Custo dos Produtos-29.817,20-24.825,36-20.960,66-16.969,44-12.174,42-9.407,63-5.953,15
Lucro Bruto8.607,207.260,075.812,934.799,043.702,442.989,412.082,40
Despesas Operacionais-6.346,21-5.169,26-4.130,32-3.433,76-2.786,28-2.119,72-1.620,97
EBIT2.260,992.090,811.682,611.365,28916,17869,68461,42
EBITDA-------
Resultado Financeiro-915,62-571,95-405,32-276,97-128,62-145,15-111,55
LAIR1.345,371.518,871.277,291.088,31787,55724,54349,87
IR/CSLL511,92-183,97-42,65-23,52-18,761,73-12,18
Lucro Liquido1.857,291.334,891.234,641.064,80768,79726,27337,70

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2025202420232022202120202019
Ativo Total24.352,0118.959,3216.357,3013.263,949.954,998.198,714.121,34
Ativo Circulante12.753,5411.969,2810.370,548.800,276.272,166.066,022.780,28
 Caixa1.801,711.664,171.289,141.795,65877,262.112,38398,26
 Contas a Receber4.080,893.399,133.457,632.548,261.816,261.305,46817,54
 Estoques5.170,066.047,335.087,663.985,383.498,632.617,531.497,41
Ativo Não Circulante11.598,476.990,045.986,764.463,673.682,832.132,701.341,05
 Imobilizado9.401,866.418,445.581,334.221,003.489,391.938,501.212,58
 Intangíveis651,7261,1633,844,522,560,450,00
Passivo Total12.884,208.995,877.583,785.721,953.478,412.491,172.172,05
Passivo Circulante7.297,144.673,254.235,732.753,351.650,341.361,331.010,17
Passivo Não Circulante5.587,064.322,623.348,052.968,611.828,071.129,841.161,88
Patrimônio Líquido11.467,829.963,458.773,517.541,986.476,585.707,541.949,29

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2025202420232022202120202019
FCO (Operacional)1.959,631.460,00954,38977,78-104,26-234,16325,75
FCI (Investimentos)-878,30-1.133,21-1.080,24-599,58-1.423,41-641,79-194,33
FCF (Financiamento)-943,7947,24-380,64540,20292,542.590,074,17

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2025202420232022202120202019
Receitas43.752,2236.877,4530.351,8324.586,6317.990,7014.375,559.554,14
Insumos de Terceiros-32.332,27-27.274,92-22.821,82-17.369,91-13.292,24-10.009,06-6.560,80
Valor Adicionado Bruto11.419,959.602,537.530,027.216,724.698,464.366,492.993,34
Retencoes-539,60-376,75-353,39-329,17-264,96-192,02-143,80
VA Liquido Produzido10.880,359.225,787.176,626.887,564.433,504.174,462.849,53
VA Recebido em Transferencia311,96267,16241,00183,67141,2683,4871,60
VA Total a Distribuir11.192,319.492,947.418,627.071,224.574,764.257,942.921,14
Pessoal3.294,042.694,992.160,781.744,791.383,291.041,66636,67
Impostos e Contribuicoes4.709,644.477,973.239,113.678,332.037,542.155,851.669,14
Juros e Alugueis1.331,34985,09784,10583,31385,14334,16277,63
Remuneracao de Capitais Proprios24,3716,7013,7812,38768,79726,27337,70