GRND3 Grendene S.A.
NOVO MERCADO
Ação
R$ 4,90
+1,66%
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 | 760,10 | 555,28 | 563,82 | 749,48 | 480,31 | 539,36 | 689,10 | 463,62 | 520,10 | 713,87 | 517,21 | 517,91 | 671,42 | 357,98 | 523,30 | 630,79 | 56,72 | 372,19 | 582,23 | 399,81 | 423,26 | 599,09 | 446,13 | 545,81 | 596,33 | 440,11 | 510,14 | 536,43 | 406,95 | 475,78 | 615,26 | 379,97 | 532,27 | 601,22 | 397,02 | 493,79 | 598,20 | 401,11 | 485,81 | 496,50 | 330,45 | 395,76 | 414,62 | 244,40 | 316,70 |
| Custo dos Produtos | -406,63 | -322,13 | -300,31 | -390,75 | -275,61 | -298,94 | -375,72 | -274,07 | -301,96 | -429,41 | -340,29 | -321,68 | -374,98 | -230,00 | -287,07 | -348,67 | -33,08 | -218,92 | -303,45 | -244,24 | -250,79 | -323,23 | -249,80 | -286,64 | -307,40 | -242,18 | -263,10 | -271,95 | -221,90 | -253,19 | -305,12 | -222,40 | -282,86 | -314,66 | -237,07 | -285,00 | -316,99 | -230,64 | -265,94 | -246,93 | -192,16 | -227,39 | -221,73 | -158,76 | -196,98 |
| Lucro Bruto | 353,48 | 233,15 | 263,51 | 358,74 | 204,70 | 240,42 | 313,38 | 189,55 | 218,15 | 284,46 | 176,92 | 196,22 | 296,44 | 126,98 | 236,23 | 282,12 | 23,64 | 153,26 | 278,78 | 155,57 | 172,48 | 275,86 | 196,32 | 259,18 | 288,93 | 197,93 | 247,04 | 264,47 | 185,05 | 222,59 | 310,14 | 157,57 | 249,42 | 286,56 | 159,95 | 208,79 | 281,21 | 170,47 | 219,87 | 249,57 | 138,29 | 168,37 | 192,89 | 85,64 | 119,73 |
| Despesas Operacionais | -277,78 | -187,80 | -215,69 | -213,39 | -182,42 | -148,73 | -221,82 | -189,54 | -179,53 | -220,08 | -173,62 | -150,09 | -177,93 | -127,75 | -132,39 | -156,46 | -108,92 | -113,62 | -119,65 | -145,49 | -138,95 | -179,48 | -134,16 | -138,71 | -177,47 | -140,75 | -137,32 | -157,01 | -130,44 | -140,28 | -186,70 | -120,51 | -140,23 | -180,80 | -121,07 | -136,35 | -166,62 | -114,94 | -130,16 | -142,32 | -106,05 | -112,86 | -139,08 | -80,48 | -83,27 |
| EBIT | 75,70 | 45,35 | 47,83 | 145,34 | 22,28 | 91,69 | 91,56 | 0,01 | 38,62 | 64,37 | 3,29 | 46,13 | 118,51 | -0,77 | 103,84 | 125,66 | -85,28 | 39,65 | 159,13 | 10,08 | 33,53 | 96,38 | 62,17 | 120,47 | 111,46 | 57,18 | 109,72 | 107,47 | 54,61 | 82,31 | 123,44 | 37,06 | 109,19 | 105,76 | 38,88 | 72,44 | 114,58 | 55,53 | 89,71 | 107,25 | 32,24 | 55,51 | 53,81 | 5,16 | 36,45 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | 90,41 | 84,74 | 88,10 | 108,74 | 31,81 | 65,12 | 50,52 | 72,36 | 101,89 | 122,84 | 67,63 | 88,79 | 13,02 | 48,73 | 42,62 | 10,64 | 45,31 | -10,01 | 30,20 | 51,79 | 51,17 | 29,12 | 19,76 | 52,60 | 55,35 | 59,31 | 77,18 | 63,04 | 57,30 | 74,36 | 20,45 | 58,39 | 38,14 | 34,21 | 33,53 | 28,33 | 28,53 | 19,06 | 27,24 | 28,13 | 36,72 | 39,56 | 41,81 | 36,10 | 35,42 |
| LAIR | 166,11 | 130,08 | 135,92 | 254,08 | 54,09 | 156,82 | 142,08 | 72,37 | 140,51 | 187,21 | 70,92 | 134,92 | 131,53 | 47,96 | 146,45 | 136,30 | -39,98 | 29,63 | 189,32 | 61,86 | 84,70 | 125,49 | 81,93 | 173,07 | 166,81 | 116,50 | 186,90 | 170,51 | 111,91 | 156,66 | 143,89 | 95,44 | 147,33 | 139,96 | 72,41 | 100,77 | 143,11 | 74,59 | 116,96 | 135,38 | 68,95 | 95,07 | 95,62 | 41,26 | 71,88 |
| IR/CSLL | -27,62 | 13,49 | -22,56 | -30,56 | -12,44 | -17,12 | -7,80 | -15,13 | -17,39 | -12,97 | -5,21 | -9,45 | 76,52 | -14,78 | -17,29 | -25,47 | -4,38 | 0,10 | -22,54 | -20,34 | -8,18 | -13,14 | -16,13 | -17,01 | -20,08 | -24,54 | -15,12 | -15,62 | -20,30 | -16,02 | -14,58 | -11,93 | -12,02 | -14,50 | -2,04 | -5,76 | -21,31 | -8,58 | -14,71 | -16,03 | -9,33 | -12,94 | -11,97 | -4,49 | -8,39 |
| Lucro Liquido | 138,48 | 143,58 | 113,36 | 223,52 | 41,65 | 139,69 | 134,28 | 57,25 | 123,12 | 174,24 | 65,71 | 125,47 | 208,06 | 33,18 | 129,16 | 110,82 | -44,36 | 29,74 | 166,78 | 41,52 | 76,52 | 112,35 | 65,80 | 156,06 | 146,73 | 91,95 | 171,77 | 154,88 | 91,62 | 140,64 | 129,32 | 83,52 | 135,31 | 125,46 | 70,37 | 95,00 | 121,80 | 66,00 | 102,24 | 119,35 | 59,63 | 82,13 | 83,65 | 36,77 | 63,48 |
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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 | 4.524,89 | 4.456,30 | 4.678,43 | 4.271,95 | 4.004,95 | 4.255,78 | 3.865,08 | 3.707,92 | 4.976,01 | 4.722,10 | 4.488,49 | 4.604,02 | 4.441,88 | 4.224,18 | 4.789,54 | 4.488,01 | 4.362,81 | 4.667,42 | 3.876,90 | 3.723,61 | 3.985,80 | 3.617,78 | 3.553,16 | 3.789,82 | 3.383,09 | 3.264,23 | 3.483,53 | 3.080,26 | 2.977,44 | 3.215,28 | 2.917,25 | 2.752,98 | 2.803,93 | 2.540,85 | 2.346,53 | 2.510,93 | 2.353,44 | 2.196,60 | 2.288,27 | 2.107,20 | 2.012,72 | 2.129,75 | 2.098,18 | 1.977,91 | 2.020,53 |
| Ativo Circulante | 2.761,24 | 2.912,34 | 3.230,54 | 2.873,61 | 2.638,72 | 2.883,35 | 2.483,29 | 2.263,74 | 3.434,73 | 2.942,57 | 2.689,48 | 2.853,58 | 3.149,85 | 2.757,32 | 3.312,20 | 2.734,76 | 2.266,33 | 2.702,36 | 2.906,66 | 3.018,28 | 3.052,20 | 2.735,86 | 2.668,83 | 2.873,17 | 2.711,74 | 2.517,15 | 2.701,05 | 2.292,28 | 1.963,81 | 2.053,72 | 1.901,00 | 2.071,70 | 2.042,27 | 1.786,48 | 1.498,48 | 1.800,59 | 1.725,44 | 1.676,06 | 1.779,51 | 1.866,33 | 1.782,20 | 1.904,62 | 1.877,81 | 1.769,96 | 1.810,23 |
| Caixa | 92,01 | 80,11 | 76,36 | 59,78 | 72,90 | 85,78 | 27,48 | 54,33 | 16,38 | 25,29 | 21,84 | 32,66 | 19,60 | 22,67 | 18,36 | 20,80 | 19,82 | 20,52 | 14,77 | 17,90 | 14,42 | 19,85 | 20,70 | 22,60 | 214,48 | 21,13 | 18,15 | 19,27 | 20,70 | 25,74 | 20,26 | 23,10 | 29,33 | 21,13 | 27,32 | 32,90 | 33,01 | 30,69 | 19,18 | 29,34 | 25,81 | 23,11 | 14,47 | 46,14 | 42,03 |
| Contas a Receber | 1.002,37 | 819,18 | 978,76 | 1.067,56 | 794,88 | 982,01 | 983,80 | 775,58 | 942,98 | 1.018,62 | 755,68 | 826,52 | 860,85 | 612,20 | 955,40 | 804,34 | 453,49 | 800,38 | 747,16 | 667,99 | 778,78 | 831,65 | 684,91 | 855,28 | 800,00 | 645,47 | 778,35 | 698,17 | 615,93 | 769,58 | 834,10 | 603,29 | 838,28 | 774,61 | 642,33 | 771,95 | 809,26 | 604,91 | 778,11 | 672,96 | 521,53 | 594,21 | 545,26 | 358,87 | 472,36 |
| Estoques | 540,01 | 525,56 | 486,26 | 406,08 | 406,08 | 349,98 | 411,66 | 437,31 | 402,75 | 509,04 | 539,24 | 501,81 | 506,64 | 483,42 | 468,58 | 259,94 | 284,60 | 285,98 | 304,18 | 313,91 | 277,13 | 327,32 | 333,94 | 283,79 | 294,97 | 297,91 | 261,32 | 266,27 | 265,41 | 244,33 | 298,99 | 294,60 | 229,94 | 259,11 | 255,92 | 202,89 | 241,04 | 235,44 | 161,96 | 192,75 | 163,07 | 140,94 | 164,83 | 168,35 | 137,31 |
| Ativo Não Circulante | 1.763,65 | 1.543,96 | 1.447,89 | 1.398,34 | 1.366,24 | 1.372,44 | 1.381,78 | 1.444,18 | 1.541,28 | 1.779,53 | 1.799,01 | 1.750,43 | 1.292,03 | 1.466,86 | 1.477,33 | 1.753,25 | 2.096,48 | 1.965,07 | 970,23 | 705,32 | 933,60 | 881,92 | 884,33 | 916,65 | 671,35 | 747,08 | 782,48 | 787,98 | 1.013,63 | 1.161,56 | 1.015,26 | 681,27 | 761,66 | 754,38 | 848,04 | 710,34 | 628,01 | 520,55 | 508,76 | 240,87 | 230,52 | 225,13 | 220,37 | 207,95 | 210,30 |
| Imobilizado | 560,30 | 559,42 | 545,13 | 527,79 | 525,86 | 516,52 | 525,00 | 529,36 | 531,47 | 510,15 | 493,21 | 496,79 | 486,37 | 463,91 | 499,56 | 490,37 | 494,05 | 498,42 | 410,76 | 416,05 | 420,71 | 425,20 | 425,63 | 424,58 | 412,18 | 408,38 | 393,24 | 383,94 | 383,01 | 376,86 | 402,40 | 387,79 | 379,68 | 360,83 | 344,27 | 332,85 | 282,51 | 247,97 | 219,69 | 201,32 | 196,43 | 190,75 | 186,20 | 179,40 | 179,65 |
| Intangíveis | 104,88 | 100,52 | 100,91 | 66,41 | 64,62 | 62,90 | 64,75 | 63,00 | 62,01 | 57,13 | 56,29 | 55,06 | 41,09 | 38,97 | 39,60 | 34,64 | 34,71 | 33,54 | 31,68 | 31,14 | 31,35 | 30,95 | 31,14 | 29,95 | 30,79 | 28,98 | 29,75 | 29,56 | 31,12 | 31,97 | 52,15 | 51,38 | 51,45 | 48,68 | 47,04 | 44,05 | 31,69 | 23,79 | 19,04 | 16,95 | 16,93 | 12,71 | 12,76 | 12,86 | 13,21 |
| Passivo Total | 474,16 | 436,83 | 743,69 | 417,56 | 360,59 | 586,14 | 381,57 | 334,01 | 1.587,07 | 452,73 | 367,44 | 479,40 | 360,90 | 320,94 | 831,70 | 493,07 | 479,77 | 741,98 | 292,01 | 292,79 | 559,93 | 337,93 | 354,93 | 557,66 | 326,62 | 299,25 | 519,18 | 307,53 | 311,66 | 565,53 | 422,43 | 354,95 | 420,97 | 360,78 | 262,69 | 458,38 | 339,58 | 262,88 | 362,75 | 229,85 | 211,54 | 335,20 | 358,07 | 302,74 | 286,97 |
| Passivo Circulante | 455,03 | 417,89 | 723,43 | 397,71 | 340,72 | 566,50 | 350,47 | 295,52 | 1.543,09 | 400,37 | 310,21 | 407,45 | 275,16 | 237,60 | 739,29 | 395,33 | 374,55 | 632,00 | 269,76 | 268,46 | 533,30 | 307,01 | 321,07 | 523,67 | 277,27 | 247,11 | 464,54 | 249,40 | 241,95 | 491,72 | 344,38 | 274,55 | 348,85 | 307,40 | 216,39 | 412,26 | 323,72 | 246,76 | 348,06 | 216,05 | 197,37 | 320,53 | 342,76 | 285,50 | 269,98 |
| Passivo Não Circulante | 19,13 | 18,94 | 20,26 | 19,84 | 19,87 | 19,64 | 31,09 | 38,49 | 43,99 | 52,36 | 57,23 | 71,96 | 85,74 | 83,34 | 92,40 | 97,74 | 105,21 | 108,99 | 22,24 | 24,33 | 26,64 | 30,91 | 33,85 | 33,00 | 49,35 | 52,14 | 54,64 | 58,13 | 69,71 | 73,82 | 78,05 | 80,40 | 72,12 | 53,38 | 46,30 | 46,12 | 15,86 | 16,12 | 14,69 | 13,80 | 14,17 | 14,67 | 15,31 | 17,24 | 16,00 |
| Patrimônio Líquido | 4.050,73 | 4.019,47 | 3.934,74 | 3.854,39 | 3.644,36 | 3.669,64 | 3.483,51 | 3.373,91 | 3.388,94 | 4.269,37 | 4.121,05 | 4.124,61 | 4.080,98 | 3.903,24 | 3.957,84 | 3.994,94 | 3.883,04 | 3.925,44 | 3.584,89 | 3.430,82 | 3.425,86 | 3.279,85 | 3.198,23 | 3.232,16 | 3.056,47 | 2.964,98 | 2.964,36 | 2.772,73 | 2.665,78 | 2.649,74 | 2.494,82 | 2.398,03 | 2.382,96 | 2.180,08 | 2.083,84 | 2.052,55 | 2.013,86 | 1.933,72 | 1.925,52 | 1.877,35 | 1.801,18 | 1.794,55 | 1.740,11 | 1.675,16 | 1.733,56 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 327,50 | 353,54 | 295,18 | 225,52 | 197,40 | 115,47 | 247,55 | 197,54 | 192,20 | 269,15 | 231,94 | 277,62 | 201,52 | 153,78 | 107,62 |
| FCI (Investimentos) | -455,88 | -413,73 | -488,01 | -218,77 | -196,81 | -190,70 | -336,48 | -268,24 | -257,40 | -327,65 | -187,62 | -335,04 | -105,54 | -193,65 | -99,74 |
| FCF (Financiamento) | 128,64 | 72,24 | 81,80 | 3,76 | -1,40 | 77,69 | 86,78 | 63,18 | 62,69 | 62,96 | -41,32 | 50,95 | -91,29 | 1,46 | -13,15 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 618,39 | 624,95 | 575,73 | 580,33 | 597,06 | 423,58 | 484,15 | 629,85 | 578,42 | 533,61 | 604,24 | 562,81 | 558,98 | 455,63 | 358,21 |
| Insumos de Terceiros | -322,40 | -296,13 | -309,67 | -336,39 | -284,69 | -206,58 | -247,05 | -292,81 | -269,43 | -253,41 | -296,06 | -304,66 | -294,98 | -257,51 | -196,36 |
| Valor Adicionado Bruto | 295,00 | 328,82 | 266,06 | 243,94 | 312,37 | 216,00 | 237,10 | 337,04 | 308,99 | 280,20 | 308,18 | 258,15 | 264,00 | 198,12 | 161,85 |
| Retencoes | -21,40 | -17,27 | -23,88 | -21,23 | -22,75 | -20,68 | -16,30 | -15,62 | -14,40 | -13,77 | -12,98 | -10,33 | -8,11 | -7,41 | -6,94 |
| VA Liquido Produzido | 274,60 | 311,55 | 242,19 | 222,71 | 289,62 | 196,32 | 220,80 | 321,42 | 294,58 | 266,44 | 295,20 | 247,83 | 255,90 | 190,71 | 154,91 |
| VA Recebido em Transferencia | 120,39 | 72,50 | 115,78 | 145,18 | 77,11 | 102,80 | 88,49 | 79,24 | 97,94 | 125,63 | 105,50 | 51,35 | 39,74 | 62,20 | 44,26 |
| VA Total a Distribuir | 394,99 | 384,05 | 357,96 | 367,88 | 366,74 | 299,12 | 309,29 | 400,66 | 392,52 | 392,07 | 400,70 | 299,18 | 295,63 | 252,90 | 199,16 |
| Pessoal | 166,02 | 153,28 | 145,67 | 147,17 | 149,02 | 117,97 | 134,26 | 138,67 | 128,13 | 133,94 | 134,56 | 127,22 | 119,43 | 96,37 | 81,37 |
| Impostos e Contribuicoes | 83,53 | 77,61 | 63,24 | 43,98 | 55,40 | 39,38 | 57,36 | 76,68 | 70,35 | 61,61 | 59,45 | 48,93 | 60,44 | 50,75 | 44,70 |
| Juros e Alugueis | 32,08 | 13,46 | 25,94 | 51,26 | 33,16 | 112,03 | 41,16 | 29,25 | 22,27 | 52,93 | 69,81 | 26,49 | 13,41 | 23,73 | 9,56 |
| Remuneracao de Capitais Proprios | 113,36 | 139,69 | 123,12 | 125,47 | 129,16 | 29,74 | 76,52 | 156,06 | 171,77 | 143,58 | 136,88 | 96,53 | 102,35 | 82,05 | 63,54 |