KLBN3 Klabin S.A.
NIVEL 2
Ação
R$ 3,82
+0,53%
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 | 20.697,51 | 19.645,26 | 18.023,75 | 20.032,70 | 16.481,39 | 11.948,79 | 10.271,84 | 10.016,46 | 8.373,38 | 7.090,80 | 5.687,59 | 4.893,88 | 4.599,34 | 4.163,67 | 3.889,15 | 3.663,32 |
| Custo dos Produtos | -13.372,60 | -12.273,74 | -11.174,30 | -10.517,84 | -8.938,54 | -7.226,91 | -6.851,18 | -5.714,04 | -5.637,83 | -4.694,11 | -3.445,39 | -2.649,50 | -2.870,63 | -1.937,16 | -2.556,86 | -2.292,48 |
| Lucro Bruto | 7.324,91 | 7.371,52 | 6.849,45 | 9.514,86 | 7.542,84 | 4.721,88 | 3.420,66 | 4.302,42 | 2.735,55 | 2.396,69 | 2.242,20 | 2.244,38 | 1.728,71 | 2.226,51 | 1.332,29 | 1.370,84 |
| Despesas Operacionais | -2.844,56 | -2.874,08 | -2.600,24 | -2.824,26 | -2.035,97 | -1.507,12 | -894,28 | -1.318,82 | -1.183,50 | -998,54 | -750,38 | -544,64 | -609,46 | -582,29 | -535,58 | -549,45 |
| EBIT | 4.480,35 | 4.497,44 | 4.249,21 | 6.690,59 | 5.506,87 | 3.214,77 | 2.526,37 | 2.983,60 | 1.552,05 | 1.398,15 | 1.491,82 | 1.699,74 | 1.119,25 | 1.644,22 | 796,70 | 821,39 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -2.100,95 | -2.227,76 | -435,15 | -91,44 | -1.090,46 | -7.029,13 | -1.661,85 | -3.052,19 | -713,38 | 1.816,79 | -3.439,63 | -646,11 | -739,03 | -547,76 | -500,57 | 50,59 |
| LAIR | 2.379,40 | 2.269,68 | 3.814,06 | 6.599,16 | 4.416,41 | -3.814,36 | 864,53 | -68,58 | 838,67 | 3.214,94 | -1.947,81 | 1.053,62 | 380,22 | 1.096,46 | 296,14 | 871,98 |
| IR/CSLL | -701,19 | -222,74 | -966,67 | -1.910,25 | -1.011,54 | 1.424,88 | -149,91 | 255,40 | -306,50 | -732,99 | 694,61 | -323,29 | -90,12 | -344,49 | -113,42 | -289,83 |
| Lucro Liquido | 1.678,21 | 2.046,94 | 2.847,39 | 4.688,90 | 3.404,87 | -2.389,49 | 714,62 | 186,82 | 532,17 | 2.481,95 | -1.253,20 | 730,33 | 290,10 | 751,96 | 182,72 | 582,15 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Ativo Total | 63.796,78 | 59.390,83 | 55.434,69 | 47.577,36 | 42.075,71 | 35.270,26 | 34.703,08 | 29.633,74 | 30.549,54 | 29.313,73 | 26.268,18 | 21.173,86 | 14.919,50 | 14.097,90 | 12.741,60 | 12.261,24 |
| Ativo Circulante | 18.049,68 | 13.818,84 | 16.465,64 | 12.504,00 | 13.892,14 | 10.785,87 | 13.673,94 | 10.861,93 | 11.803,59 | 9.960,04 | 8.675,74 | 7.899,68 | 4.826,15 | 4.432,09 | 4.083,48 | 4.127,15 |
| Caixa | 10.106,02 | 6.736,17 | 9.558,83 | 4.683,94 | 6.405,20 | 5.208,83 | 8.340,39 | 5.733,85 | 7.028,42 | 5.872,72 | 5.053,72 | 5.245,83 | 2.729,87 | 2.517,31 | 2.341,06 | 2.531,10 |
| Contas a Receber | 2.404,33 | 1.815,13 | 2.112,72 | 2.674,90 | 2.808,51 | 1.806,92 | 1.859,50 | 2.040,93 | 1.754,06 | 1.625,38 | 1.501,10 | 1.148,68 | 1.145,15 | 981,99 | 821,15 | 753,96 |
| Estoques | 3.683,98 | 3.215,94 | 2.665,52 | 2.442,00 | 2.003,39 | 1.379,13 | 1.332,24 | 1.206,35 | 933,16 | 876,92 | 701,13 | 563,71 | 495,85 | 473,66 | 506,22 | 460,13 |
| Ativo Não Circulante | 45.747,09 | 45.571,99 | 38.969,04 | 35.073,35 | 28.183,57 | 24.484,39 | 21.029,14 | 18.771,81 | 18.745,95 | 19.353,69 | 17.592,44 | 13.274,18 | 10.093,35 | 9.665,81 | 8.658,11 | 8.134,10 |
| Imobilizado | 30.308,12 | 30.753,35 | 27.288,20 | 25.770,58 | 20.616,72 | 17.654,26 | 13.735,58 | 12.262,47 | 12.619,50 | 12.995,41 | 12.009,15 | 8.351,39 | 5.909,51 | 5.379,43 | 4.917,08 | 5.004,02 |
| Intangíveis | 505,83 | 428,08 | 339,64 | 285,10 | 142,38 | 75,33 | 77,87 | 85,22 | 89,95 | 120,26 | 12,78 | 11,34 | 9,30 | 8,65 | 7,10 | 7,66 |
| Passivo Total | 49.395,68 | 50.753,63 | 41.702,16 | 36.009,09 | 34.989,48 | 30.885,50 | 28.201,81 | 23.100,51 | 23.315,39 | 22.213,39 | 20.915,84 | 14.115,53 | 9.526,83 | 8.676,98 | 7.783,29 | 7.106,74 |
| Passivo Circulante | 8.767,40 | 7.163,34 | 6.092,53 | 6.461,75 | 5.570,84 | 3.613,47 | 3.104,52 | 3.708,32 | 3.747,33 | 4.143,66 | 3.162,30 | 2.518,87 | 1.779,51 | 1.767,39 | 1.932,61 | 1.690,91 |
| Passivo Não Circulante | 40.628,28 | 43.590,29 | 35.609,63 | 29.547,34 | 29.418,64 | 27.272,03 | 25.097,29 | 19.392,20 | 19.568,06 | 18.069,73 | 17.753,54 | 11.596,66 | 7.747,32 | 6.909,59 | 5.850,69 | 5.415,83 |
| Patrimônio Líquido | 14.401,10 | 8.637,20 | 13.732,53 | 11.568,27 | 7.086,23 | 4.384,76 | 6.501,27 | 6.533,23 | 7.234,15 | 7.100,34 | 5.352,34 | 7.058,32 | 5.392,67 | 5.420,92 | 4.958,30 | 5.154,50 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 6.396,24 | 7.425,33 | 7.592,73 | 8.420,81 | 4.891,25 | 5.791,24 | 2.953,12 | 2.786,98 | 1.792,98 | 1.202,85 | 1.739,00 | 1.555,39 | 1.032,32 | 933,89 | 728,92 | 913,54 |
| FCI (Investimentos) | -1.882,01 | -8.603,68 | -4.291,40 | -7.876,68 | -3.675,86 | -5.069,43 | -2.367,90 | -1.049,22 | -838,82 | -2.648,15 | -4.595,53 | -2.909,31 | -865,36 | -604,27 | -721,24 | -384,91 |
| FCF (Financiamento) | -1.015,01 | -2.432,79 | 1.573,56 | -2.265,39 | -19,02 | -3.853,37 | 2.021,30 | -3.032,32 | 201,54 | 2.264,30 | 2.663,42 | 3.869,88 | 45,60 | -153,38 | -197,72 | 160,83 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 28.950,27 | 29.244,27 | 22.459,93 | 25.636,09 | 20.856,90 | 14.836,75 | 12.549,21 | 12.449,58 | 10.784,83 | 8.965,28 | 7.520,30 | 7.154,58 | 6.139,55 | 6.148,97 | 5.266,12 | 5.068,65 |
| Insumos de Terceiros | -15.772,11 | -17.223,06 | -11.407,46 | -12.448,42 | -9.824,71 | -7.057,32 | -5.612,52 | -5.683,85 | -5.207,42 | -4.298,50 | -3.487,04 | -3.088,40 | -2.948,13 | -2.870,65 | -2.978,36 | -2.864,14 |
| Valor Adicionado Bruto | 13.178,17 | 12.021,20 | 11.052,48 | 13.187,68 | 11.032,18 | 7.779,43 | 6.936,69 | 6.765,73 | 5.577,41 | 4.666,78 | 4.033,26 | 4.066,18 | 3.191,42 | 3.278,32 | 2.287,76 | 2.204,51 |
| Retencoes | -4.990,44 | -3.963,55 | -3.326,58 | -3.169,16 | -2.696,34 | -2.382,96 | -2.193,41 | -1.673,35 | -1.940,49 | -1.423,11 | -998,73 | -951,96 | -766,55 | -592,68 | -547,77 | -560,74 |
| VA Liquido Produzido | 8.187,73 | 8.057,65 | 7.725,89 | 10.018,52 | 8.335,84 | 5.396,46 | 4.743,28 | 5.092,39 | 3.636,93 | 3.243,66 | 3.034,53 | 3.114,21 | 2.424,87 | 2.685,65 | 1.739,99 | 1.643,77 |
| VA Recebido em Transferencia | 578,77 | 1.851,96 | 599,60 | 624,27 | 546,79 | 997,76 | 1.348,70 | 658,13 | 848,71 | 767,26 | 1.004,83 | 676,52 | 298,25 | 336,35 | 345,60 | 357,48 |
| VA Total a Distribuir | 8.766,50 | 9.909,62 | 8.325,49 | 10.642,79 | 8.882,63 | 6.394,22 | 6.091,98 | 5.750,51 | 4.485,64 | 4.010,92 | 4.039,36 | 3.790,74 | 2.723,12 | 3.021,00 | 2.085,60 | 2.001,25 |
| Pessoal | 2.614,87 | 2.458,12 | 2.289,33 | 2.184,01 | 1.943,40 | 1.589,58 | 1.451,42 | 1.418,80 | 1.373,26 | 1.249,76 | 927,35 | 818,86 | 704,37 | 607,66 | 538,21 | 463,24 |
| Impostos e Contribuicoes | 1.834,16 | 1.395,30 | 2.166,58 | 2.870,43 | 1.922,72 | -799,64 | 883,83 | 391,18 | 1.031,74 | 1.378,07 | -49,62 | 967,56 | 713,60 | 804,09 | 518,06 | 648,98 |
| Juros e Alugueis | 2.639,26 | 4.009,25 | 1.026,35 | 672,14 | 1.611,64 | 7.993,77 | 3.003,31 | 3.704,35 | 1.548,47 | -1.098,85 | 4.414,82 | 1.273,99 | 1.015,05 | 858,28 | 846,60 | 329,26 |
| Remuneracao de Capitais Proprios | 1.678,21 | 2.046,94 | 2.843,24 | 4.916,21 | 3.404,87 | -2.389,49 | 753,41 | 236,18 | 532,17 | 2.481,95 | -1.253,20 | 730,33 | 290,10 | 751,96 | 182,72 | 559,78 |





























