JSLG3 JSL S.A.
NOVO MERCADO
Ação
R$ 8,22
-3,41%
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 | 2.484,89 | 2.381,76 | 2.319,93 | 2.352,36 | 2.142,59 | 2.070,34 | 2.010,12 | 1.839,58 | 1.563,58 | 1.624,82 | 1.438,68 | 1.296,46 | 1.177,68 | 922,37 | 868,17 | 733,23 | 2.197,22 | 2.356,89 | 2.453,59 | 2.388,94 | 2.211,78 | 2.068,88 | 1.938,22 | 1.936,81 | 1.890,48 | 1.830,49 | 1.757,80 | 1.734,48 | 1.708,76 | 1.545,11 | 1.537,74 | 1.501,89 | 1.385,62 | 1.439,07 | 1.414,45 | 1.250,74 | 1.232,29 | 1.165,77 | 1.057,22 | 1.060,68 | 993,66 | 870,32 | 616,86 | 585,64 | 498,60 |
| Custo dos Produtos | -2.086,41 | -2.003,77 | -1.945,88 | -1.935,29 | -1.767,34 | -1.696,56 | -1.628,79 | -1.508,92 | -1.266,30 | -1.322,67 | -1.203,89 | -1.095,40 | -978,45 | -793,55 | -737,98 | -641,29 | -1.803,69 | -1.841,00 | -1.928,90 | -1.898,43 | -1.732,93 | -1.602,17 | -1.515,74 | -1.517,29 | -1.506,28 | -1.461,68 | -1.396,61 | -1.412,17 | -1.380,94 | -1.207,78 | -1.232,38 | -1.235,84 | -1.109,50 | -1.153,15 | -1.187,87 | -1.041,00 | -1.034,88 | -988,16 | -874,25 | -872,02 | -816,14 | -700,97 | -508,34 | -507,03 | -414,88 |
| Lucro Bruto | 398,48 | 377,99 | 374,06 | 417,07 | 375,25 | 373,79 | 381,34 | 330,65 | 297,28 | 302,14 | 234,79 | 201,06 | 199,22 | 128,82 | 130,19 | 91,94 | 393,53 | 515,89 | 524,69 | 490,51 | 478,86 | 466,71 | 422,48 | 419,52 | 384,20 | 368,81 | 361,20 | 322,31 | 327,82 | 337,33 | 305,35 | 266,05 | 276,12 | 285,92 | 226,59 | 208,74 | 197,41 | 177,60 | 182,97 | 188,66 | 177,53 | 169,35 | 108,52 | 78,61 | 83,72 |
| Despesas Operacionais | -97,86 | -90,28 | -95,27 | -124,98 | 19,38 | -116,41 | -102,58 | 175,21 | -87,75 | -79,78 | -56,66 | -45,14 | -62,89 | 26,60 | -46,21 | -28,30 | -195,01 | -475,58 | -239,66 | -181,53 | -211,12 | -214,73 | -177,40 | -207,79 | -205,20 | -194,21 | -189,98 | -177,78 | -167,73 | -173,45 | -138,64 | -129,94 | -142,52 | -142,38 | -129,52 | -119,28 | -100,18 | -96,94 | -94,84 | -103,73 | -102,84 | -84,32 | -47,78 | -26,49 | -32,35 |
| EBIT | 300,62 | 287,71 | 278,79 | 292,09 | 394,63 | 257,38 | 278,76 | 505,86 | 209,54 | 222,36 | 178,13 | 155,92 | 136,33 | 155,42 | 83,98 | 63,64 | 198,52 | 40,31 | 285,03 | 308,98 | 267,74 | 251,98 | 245,08 | 211,73 | 178,00 | 174,60 | 171,22 | 144,53 | 160,09 | 163,88 | 166,72 | 136,11 | 133,60 | 143,53 | 97,06 | 89,46 | 97,23 | 80,66 | 88,13 | 84,93 | 74,69 | 85,03 | 60,74 | 52,12 | 51,37 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -294,88 | -290,28 | -275,75 | -231,48 | -247,70 | -220,34 | -247,12 | -221,62 | -192,97 | -171,99 | -143,28 | -112,29 | -50,09 | -27,47 | -32,10 | -41,92 | 103,02 | -170,18 | -197,38 | -206,09 | -180,08 | -171,35 | -167,80 | -169,52 | -169,87 | -153,08 | -180,70 | -185,09 | -185,95 | -147,10 | -152,60 | -119,85 | -102,10 | -93,52 | -81,10 | -70,89 | -57,80 | -45,68 | -45,63 | -50,05 | -50,03 | -47,15 | -37,63 | -38,25 | -29,10 |
| LAIR | 5,74 | -2,57 | 3,04 | 60,60 | 146,93 | 37,04 | 31,64 | 284,24 | 16,56 | 50,37 | 34,85 | 43,63 | 86,24 | 127,96 | 51,89 | 21,72 | 301,54 | -129,88 | 87,64 | 102,89 | 87,66 | 80,63 | 77,29 | 42,21 | 9,12 | 21,52 | -9,48 | -40,56 | -25,86 | 16,78 | 14,11 | 16,26 | 31,50 | 50,01 | 15,96 | 18,57 | 39,44 | 34,98 | 42,49 | 34,88 | 24,66 | 37,88 | 23,11 | 13,87 | 22,27 |
| IR/CSLL | 12,37 | 23,97 | 28,85 | -16,77 | -39,73 | -3,47 | 15,22 | -78,00 | 10,22 | -12,99 | -5,02 | -10,59 | -3,16 | -34,83 | -9,80 | -4,30 | -144,96 | 43,60 | -21,57 | -31,73 | -26,90 | -26,62 | -27,86 | -17,12 | -7,99 | -7,63 | 2,52 | 13,48 | 8,00 | -5,58 | -5,88 | -5,77 | -10,38 | -23,38 | -6,11 | -6,76 | -15,12 | -12,27 | -13,37 | -17,62 | -9,53 | -10,90 | -5,58 | -4,78 | -6,96 |
| Lucro Liquido | 18,10 | 21,40 | 31,89 | 43,83 | 107,20 | 33,57 | 46,86 | 205,25 | 26,78 | 37,39 | 29,84 | 33,03 | 83,08 | 93,13 | 42,09 | 30,52 | 156,57 | -86,28 | 66,07 | 71,16 | 60,76 | 54,01 | 49,42 | 25,09 | 1,14 | 13,89 | -10,66 | -27,07 | -16,86 | 11,20 | 8,24 | 10,49 | 21,12 | 26,64 | 9,86 | 11,81 | 24,31 | 22,71 | 29,13 | 17,25 | 15,13 | 26,98 | 17,52 | 9,09 | 15,31 |
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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 | 12.459,07 | 12.228,96 | 12.583,66 | 12.789,19 | 12.823,07 | 14.079,90 | 10.600,55 | 9.716,58 | 8.467,14 | 7.447,31 | 7.124,91 | 7.076,06 | 6.227,53 | 5.730,05 | 4.800,92 | 4.186,75 | 22.603,40 | 21.556,88 | 20.373,54 | 18.419,31 | 16.822,34 | 14.721,96 | 14.262,48 | 13.267,70 | 11.593,19 | 10.103,10 | 9.306,69 | 8.975,70 | 8.802,29 | 8.573,98 | 8.357,20 | 7.854,79 | 7.497,97 | 6.434,02 | 6.441,68 | 5.938,52 | 5.955,76 | 5.541,79 | 4.836,53 | 4.530,13 | 4.501,27 | 4.177,56 | 3.358,36 | 3.178,01 | 3.023,52 |
| Ativo Circulante | 4.655,46 | 4.527,23 | 4.679,35 | 4.818,06 | 4.837,97 | 5.800,68 | 3.168,64 | 2.490,80 | 2.352,40 | 2.291,84 | 2.212,17 | 2.443,38 | 1.979,26 | 2.019,96 | 1.898,48 | 2.176,60 | 11.550,39 | 9.680,83 | 9.476,44 | 7.957,99 | 7.227,52 | 6.513,91 | 6.713,12 | 6.149,75 | 5.308,42 | 3.865,40 | 3.235,62 | 3.220,72 | 3.224,24 | 2.987,85 | 3.105,02 | 2.752,75 | 2.769,30 | 2.097,12 | 2.205,89 | 1.993,94 | 2.334,24 | 2.011,63 | 1.571,02 | 1.495,12 | 1.537,64 | 1.347,97 | 1.138,98 | 1.038,47 | 976,92 |
| Caixa | 284,48 | 193,39 | 326,99 | 560,07 | 544,89 | 624,79 | 587,03 | 528,65 | 508,44 | 388,61 | 132,63 | 207,93 | 148,97 | 114,15 | 62,38 | 82,36 | 753,93 | 580,59 | 786,78 | 601,16 | 367,81 | 437,23 | 775,21 | 693,63 | 795,82 | 557,68 | 552,51 | 640,61 | 630,75 | 817,86 | 778,84 | 456,19 | 389,86 | 264,26 | 246,51 | 306,40 | 389,00 | 252,31 | 308,59 | 328,73 | 324,65 | 270,54 | 343,53 | 411,74 | 378,46 |
| Contas a Receber | 2.126,78 | 1.995,28 | 1.899,82 | 1.568,16 | 1.512,21 | 1.472,94 | 1.457,90 | 1.316,24 | 1.219,58 | 1.227,13 | 1.162,42 | 1.335,78 | 1.161,64 | 1.022,90 | 896,39 | 710,96 | 1.627,09 | 1.591,86 | 1.728,87 | 1.619,54 | 1.554,32 | 1.265,58 | 1.287,81 | 1.289,20 | 1.225,25 | 1.165,64 | 1.013,22 | 1.083,99 | 1.090,64 | 986,85 | 1.079,07 | 1.049,70 | 973,49 | 884,89 | 846,22 | 749,95 | 677,64 | 644,61 | 645,40 | 592,74 | 563,67 | 541,78 | 378,92 | 389,81 | 360,00 |
| Estoques | 86,83 | 98,11 | 97,85 | 84,90 | 78,13 | 70,76 | 59,49 | 57,28 | 50,88 | 63,20 | 64,29 | 61,51 | 55,98 | 52,10 | 51,03 | 46,50 | 292,12 | 308,24 | 291,42 | 287,52 | 253,47 | 242,38 | 249,11 | 237,04 | 187,92 | 164,77 | 172,59 | 172,63 | 165,66 | 179,28 | 217,24 | 208,67 | 244,31 | 271,86 | 290,98 | 312,40 | 230,73 | 201,41 | 182,61 | 180,35 | 182,39 | 191,88 | 82,52 | 15,96 | 34,57 |
| Ativo Não Circulante | 7.803,60 | 7.701,73 | 7.904,30 | 7.971,13 | 7.985,10 | 8.279,22 | 7.431,91 | 7.225,78 | 6.114,74 | 5.155,47 | 4.912,74 | 4.632,68 | 4.248,28 | 3.710,09 | 2.902,43 | 2.010,14 | 11.053,01 | 11.876,05 | 10.897,10 | 10.461,32 | 9.594,81 | 8.208,05 | 7.549,36 | 7.117,96 | 6.284,76 | 6.237,70 | 6.071,07 | 5.754,98 | 5.578,05 | 5.586,13 | 5.252,18 | 5.102,04 | 4.728,66 | 4.336,90 | 4.235,79 | 3.944,58 | 3.621,52 | 3.530,16 | 3.265,51 | 3.035,02 | 2.963,62 | 2.829,59 | 2.219,37 | 2.139,54 | 2.046,61 |
| Imobilizado | 5.981,43 | 5.880,56 | 6.077,77 | 6.058,11 | 6.060,56 | 6.137,83 | 5.448,56 | 5.352,41 | 4.617,31 | 3.774,02 | 3.428,49 | 3.168,28 | 2.654,88 | 2.161,95 | 1.814,54 | 1.563,64 | 9.399,25 | 9.877,71 | 9.141,34 | 8.855,17 | 8.128,05 | 6.955,58 | 6.443,10 | 6.121,96 | 5.600,53 | 5.566,35 | 5.398,81 | 5.128,88 | 5.003,82 | 4.970,60 | 4.629,19 | 4.514,16 | 4.111,38 | 3.675,72 | 3.604,07 | 3.339,88 | 3.044,36 | 2.962,99 | 2.701,30 | 2.493,72 | 2.406,19 | 2.289,30 | 1.878,21 | 1.771,94 | 1.634,65 |
| Intangíveis | 875,71 | 885,28 | 897,04 | 917,84 | 926,44 | 936,00 | 920,06 | 872,93 | 872,60 | 854,06 | 861,88 | 845,23 | 860,69 | 822,92 | 748,18 | 259,82 | 557,26 | 546,88 | 525,73 | 513,11 | 494,99 | 477,30 | 470,71 | 471,08 | 339,69 | 345,94 | 343,21 | 382,49 | 382,57 | 382,89 | 323,54 | 325,43 | 327,38 | 323,40 | 319,08 | 319,64 | 312,96 | 297,63 | 295,46 | 294,27 | 293,48 | 286,59 | 127,87 | 127,94 | 125,34 |
| Passivo Total | 10.622,90 | 10.409,66 | 10.792,48 | 10.931,87 | 11.004,60 | 12.381,56 | 8.917,26 | 8.084,10 | 7.031,00 | 6.058,97 | 5.773,18 | 5.723,28 | 4.882,33 | 4.471,12 | 3.627,46 | 3.116,94 | 20.222,63 | 19.254,20 | 18.073,97 | 16.920,14 | 15.495,86 | 13.627,29 | 13.247,41 | 12.108,53 | 10.470,03 | 8.993,87 | 8.153,31 | 8.222,35 | 8.017,75 | 7.759,49 | 7.326,84 | 6.794,98 | 6.442,70 | 5.385,83 | 5.414,98 | 4.915,15 | 4.927,10 | 4.539,28 | 3.857,10 | 3.578,29 | 3.566,87 | 3.258,47 | 2.525,09 | 2.362,26 | 2.215,80 |
| Passivo Circulante | 2.473,09 | 2.272,85 | 2.896,07 | 2.773,89 | 2.880,13 | 2.394,09 | 1.933,98 | 1.686,45 | 1.698,25 | 1.228,09 | 1.139,60 | 1.115,53 | 1.052,47 | 883,25 | 897,00 | 586,67 | 4.289,51 | 4.555,32 | 5.120,12 | 5.004,41 | 4.384,11 | 3.331,46 | 3.644,79 | 3.177,72 | 3.773,63 | 3.317,11 | 3.016,53 | 2.877,35 | 2.426,23 | 2.546,51 | 2.452,14 | 2.240,98 | 1.920,72 | 1.668,43 | 1.651,88 | 1.504,40 | 1.393,90 | 1.360,73 | 1.147,54 | 1.089,86 | 1.062,60 | 1.011,78 | 718,96 | 631,82 | 607,54 |
| Passivo Não Circulante | 8.149,81 | 8.136,81 | 7.896,41 | 8.157,98 | 8.124,47 | 9.987,46 | 6.983,28 | 6.397,64 | 5.332,76 | 4.830,88 | 4.633,58 | 4.607,74 | 3.829,86 | 3.587,87 | 2.730,46 | 2.530,27 | 15.933,11 | 14.698,88 | 12.953,84 | 11.915,73 | 11.111,75 | 10.295,83 | 9.602,62 | 8.930,81 | 6.696,40 | 5.676,76 | 5.136,78 | 5.345,00 | 5.591,52 | 5.212,98 | 4.874,70 | 4.553,00 | 4.521,98 | 3.717,40 | 3.763,10 | 3.410,75 | 3.533,20 | 3.178,56 | 2.709,57 | 2.488,43 | 2.504,26 | 2.246,69 | 1.806,13 | 1.730,44 | 1.608,25 |
| Patrimônio Líquido | 1.836,17 | 1.819,29 | 1.791,17 | 1.857,32 | 1.818,47 | 1.698,34 | 1.683,29 | 1.632,48 | 1.436,14 | 1.388,34 | 1.351,73 | 1.352,78 | 1.345,20 | 1.258,93 | 1.173,46 | 1.069,80 | 2.380,78 | 2.302,68 | 2.299,57 | 1.499,17 | 1.326,48 | 1.094,67 | 1.015,07 | 1.159,17 | 1.123,16 | 1.109,24 | 1.153,38 | 753,35 | 784,54 | 814,49 | 1.030,37 | 1.059,81 | 1.055,27 | 1.048,18 | 1.026,70 | 1.023,37 | 1.028,66 | 1.002,50 | 979,42 | 951,84 | 934,40 | 919,09 | 833,27 | 815,75 | 807,73 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 98,23 | -1.854,68 | -2,37 | 252,55 | 67,17 | -1.002,42 | -42,09 | -1.507,09 | -341,26 | 705,72 | 350,55 | 236,79 | 50,10 | 92,44 | 23,15 |
| FCI (Investimentos) | -18,74 | -20,59 | -21,57 | -60,31 | -6,10 | -49,96 | -29,12 | -22,39 | -60,04 | -35,33 | -154,19 | -155,17 | -99,20 | -21,28 | -18,07 |
| FCF (Financiamento) | -195,32 | 1.889,19 | 56,75 | -137,26 | -63,27 | 1.041,15 | -251,30 | 1.508,37 | 367,89 | -803,69 | -178,55 | -121,20 | 35,18 | -199,71 | -102,84 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 2.775,65 | 2.475,22 | 1.851,32 | 1.579,62 | 1.041,10 | 2.619,60 | 2.547,84 | 2.164,57 | 1.959,90 | 1.676,72 | 1.536,38 | 1.374,69 | 1.181,63 | 998,59 | 556,88 |
| Insumos de Terceiros | -1.224,01 | -1.146,93 | -818,20 | -709,29 | -486,06 | -1.612,79 | -1.489,69 | -1.130,14 | -1.032,41 | -808,67 | -813,00 | -773,10 | -639,46 | -580,45 | -266,29 |
| Valor Adicionado Bruto | 1.551,64 | 1.328,29 | 1.033,12 | 870,33 | 555,05 | 1.006,81 | 1.058,14 | 1.034,44 | 927,48 | 868,05 | 723,37 | 601,59 | 542,17 | 418,14 | 290,58 |
| Retencoes | -175,38 | -138,66 | -96,59 | -63,65 | -46,02 | -471,08 | -206,84 | -141,75 | -135,86 | -127,98 | -115,12 | -91,28 | -83,41 | -65,51 | -33,46 |
| VA Liquido Produzido | 1.376,25 | 1.189,63 | 936,53 | 806,68 | 509,02 | 535,74 | 851,31 | 892,69 | 791,63 | 740,06 | 608,25 | 510,30 | 458,76 | 352,64 | 257,13 |
| VA Recebido em Transferencia | 64,60 | 63,29 | 24,51 | 25,43 | 10,09 | 202,44 | 110,90 | 67,02 | 52,08 | 78,50 | 41,40 | 23,42 | 15,24 | 21,30 | 15,84 |
| VA Total a Distribuir | 1.440,85 | 1.252,92 | 961,03 | 832,12 | 519,11 | 738,18 | 962,21 | 959,70 | 843,70 | 818,57 | 649,65 | 533,73 | 474,01 | 373,93 | 272,96 |
| Pessoal | 700,14 | 631,84 | 487,04 | 423,80 | 273,83 | 367,23 | 387,03 | 350,74 | 315,95 | 319,85 | 258,84 | 258,05 | 209,86 | 170,18 | 107,53 |
| Impostos e Contribuicoes | 342,06 | 281,79 | 209,51 | 219,43 | 152,52 | 75,56 | 211,88 | 277,37 | 250,13 | 184,39 | 185,08 | 154,71 | 161,02 | 149,82 | 81,68 |
| Juros e Alugueis | 366,76 | 305,72 | 237,70 | 155,85 | 50,68 | 381,67 | 302,54 | 306,50 | 284,58 | 303,12 | 184,62 | 109,16 | 74,02 | 26,95 | 68,43 |
| Remuneracao de Capitais Proprios | 31,89 | 33,57 | 26,78 | 33,03 | 42,09 | -86,28 | 60,76 | 25,09 | -6,96 | 11,20 | 21,11 | 11,81 | 29,12 | 26,98 | 15,31 |