LEVE3 MAHLE Metal Leve S.A.
NOVO MERCADO
Ação
R$ 37,12
+0,24%
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 | 1.445,34 | 1.369,16 | 1.266,64 | 1.150,65 | 1.068,84 | 1.020,71 | 1.179,38 | 1.120,80 | 1.022,15 | 1.198,82 | 1.019,40 | 890,00 | 949,48 | 889,11 | 834,97 | 691,19 | 360,90 | 573,80 | 645,53 | 661,80 | 623,20 | 710,33 | 628,23 | 618,68 | 596,52 | 576,33 | 540,50 | 559,14 | 583,51 | 574,72 | 667,88 | 615,25 | 579,36 | 595,93 | 591,59 | 566,82 | 640,67 | 637,99 | 544,73 | 567,78 | 566,40 | 551,67 | 606,16 | 569,08 | 534,42 |
| Custo dos Produtos | -1.030,89 | -997,02 | -913,95 | -795,63 | -742,50 | -702,95 | -831,33 | -781,53 | -704,16 | -837,52 | -760,31 | -653,88 | -692,67 | -628,01 | -578,76 | -499,66 | -316,92 | -412,14 | -467,16 | -496,67 | -454,33 | -493,70 | -449,96 | -445,15 | -411,57 | -420,73 | -403,96 | -410,18 | -422,89 | -403,13 | -475,96 | -450,94 | -427,90 | -425,67 | -433,45 | -423,42 | -439,80 | -456,32 | -405,00 | -397,60 | -425,40 | -417,63 | -435,98 | -403,41 | -371,82 |
| Lucro Bruto | 414,45 | 372,14 | 352,70 | 355,02 | 326,34 | 317,76 | 348,05 | 339,27 | 317,99 | 361,30 | 259,09 | 236,13 | 256,81 | 261,10 | 256,21 | 191,53 | 43,98 | 161,65 | 178,37 | 165,13 | 168,87 | 216,63 | 178,28 | 173,53 | 184,95 | 155,60 | 136,54 | 148,96 | 160,62 | 171,59 | 191,92 | 164,32 | 151,47 | 170,26 | 158,14 | 143,40 | 200,87 | 181,66 | 139,72 | 170,18 | 141,00 | 134,04 | 170,19 | 165,66 | 162,60 |
| Despesas Operacionais | -135,20 | -141,52 | -150,67 | -113,95 | -127,81 | -54,90 | -126,92 | -110,85 | -83,19 | -100,95 | -102,57 | -80,22 | -85,23 | -22,95 | -82,72 | -129,50 | -84,97 | -95,42 | -73,01 | -73,27 | -71,25 | -90,37 | -88,83 | -77,37 | -75,80 | -71,63 | -81,47 | -88,84 | -95,72 | -88,93 | -100,59 | -87,73 | -77,53 | -90,10 | -80,08 | -79,34 | -85,40 | -93,66 | -74,44 | -81,28 | -88,01 | -79,04 | -68,91 | -99,06 | -99,34 |
| EBIT | 279,25 | 230,62 | 202,02 | 241,06 | 198,53 | 262,85 | 221,13 | 228,42 | 234,80 | 260,35 | 156,52 | 155,90 | 171,58 | 238,14 | 173,49 | 62,03 | -40,98 | 66,23 | 105,36 | 91,86 | 97,62 | 126,26 | 89,44 | 96,16 | 109,15 | 83,98 | 55,08 | 60,12 | 64,90 | 82,66 | 91,32 | 76,59 | 73,94 | 80,16 | 78,06 | 64,06 | 115,47 | 88,00 | 65,28 | 88,90 | 52,99 | 54,00 | 101,28 | 66,60 | 63,26 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -6,71 | -41,72 | 12,11 | -19,34 | -50,39 | 11,81 | 49,57 | 29,35 | 14,83 | 16,27 | -4,90 | -3,98 | 5,88 | -11,97 | -6,04 | -13,16 | -19,83 | -40,60 | -10,48 | -9,49 | -8,84 | -7,71 | -5,17 | -1,81 | -7,12 | -7,56 | -13,02 | -10,92 | -26,20 | -12,30 | -0,32 | -7,86 | -5,52 | -5,26 | -6,27 | -3,45 | -5,60 | -9,95 | -12,05 | -10,50 | -3,50 | -1,48 | 15,06 | -5,10 | -2,33 |
| LAIR | 272,54 | 188,90 | 214,13 | 221,72 | 148,14 | 274,67 | 270,70 | 257,77 | 249,63 | 276,62 | 151,61 | 151,92 | 177,46 | 226,18 | 167,45 | 48,88 | -60,81 | 25,64 | 94,88 | 82,38 | 88,78 | 118,55 | 84,28 | 94,35 | 102,04 | 76,41 | 42,06 | 49,20 | 38,70 | 70,37 | 91,01 | 68,73 | 68,42 | 74,90 | 71,79 | 60,61 | 109,86 | 78,05 | 53,23 | 78,40 | 49,49 | 53,51 | 116,33 | 61,50 | 60,93 |
| IR/CSLL | -85,22 | -62,14 | -55,44 | -79,91 | -59,63 | -74,40 | -55,87 | -64,86 | -63,68 | -72,63 | -37,99 | -29,30 | -37,70 | -56,22 | -40,86 | -8,40 | 20,49 | -5,20 | -25,74 | -24,21 | -25,56 | -24,41 | -23,74 | -23,84 | -7,71 | -18,84 | -6,48 | -5,27 | -1,16 | 0,31 | -28,20 | -25,56 | -24,24 | -18,97 | -23,98 | -20,04 | -32,21 | -23,76 | -17,52 | -22,96 | -12,70 | -18,07 | -23,96 | -22,50 | -20,44 |
| Lucro Liquido | 187,32 | 126,75 | 158,69 | 141,82 | 88,51 | 200,27 | 214,83 | 192,91 | 185,95 | 203,99 | 113,62 | 122,62 | 139,76 | 169,96 | 126,58 | 40,47 | -40,32 | 20,44 | 69,14 | 58,16 | 63,22 | 94,13 | 60,54 | 70,51 | 94,32 | 53,49 | 35,58 | 43,94 | 37,54 | 70,68 | 62,81 | 43,17 | 44,18 | 55,94 | 47,81 | 40,57 | 77,65 | 54,29 | 35,72 | 55,44 | 36,79 | 35,45 | 92,37 | 39,01 | 40,49 |
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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 | 3.939,11 | 3.732,40 | 3.712,26 | 3.272,28 | 3.188,83 | 3.120,54 | 3.149,27 | 3.010,20 | 3.241,98 | 3.141,52 | 2.877,21 | 3.028,54 | 2.918,55 | 2.711,55 | 2.742,68 | 2.723,06 | 2.580,21 | 2.804,20 | 2.401,06 | 2.323,91 | 2.462,80 | 2.451,67 | 2.324,00 | 2.299,62 | 2.453,86 | 2.455,75 | 2.443,38 | 2.526,70 | 2.516,43 | 2.443,32 | 2.839,06 | 2.722,21 | 2.730,19 | 2.595,30 | 2.458,78 | 2.486,10 | 2.576,29 | 2.527,28 | 2.553,17 | 2.523,07 | 2.606,29 | 2.625,75 | 2.966,52 | 2.861,61 | 2.641,03 |
| Ativo Circulante | 2.517,16 | 2.295,13 | 2.279,54 | 2.106,54 | 2.019,08 | 1.968,06 | 2.037,46 | 1.892,03 | 2.017,28 | 1.963,64 | 1.638,17 | 1.690,86 | 1.616,62 | 1.486,85 | 1.496,24 | 1.554,47 | 1.392,11 | 1.514,28 | 1.210,96 | 1.149,93 | 1.210,31 | 1.276,73 | 1.184,58 | 1.126,10 | 1.310,94 | 1.302,39 | 1.160,12 | 1.083,19 | 1.053,09 | 1.013,29 | 1.385,62 | 1.290,62 | 1.265,17 | 1.197,05 | 1.063,66 | 1.092,16 | 1.156,31 | 1.109,04 | 1.133,18 | 1.113,15 | 1.084,48 | 1.090,91 | 1.405,68 | 1.315,93 | 1.082,15 |
| Caixa | 548,90 | 164,88 | 272,35 | 370,24 | 238,37 | 256,89 | 376,51 | 205,06 | 335,19 | 284,41 | 178,20 | 361,05 | 294,89 | 246,63 | 335,55 | 546,70 | 449,22 | 488,40 | 204,59 | 104,99 | 170,78 | 196,81 | 171,13 | 161,66 | 396,74 | 384,35 | 287,55 | 205,42 | 161,08 | 114,85 | 347,08 | 344,80 | 347,90 | 347,16 | 232,01 | 282,84 | 278,60 | 249,09 | 304,10 | 315,78 | 238,24 | 278,12 | 56,29 | 34,06 | 35,88 |
| Contas a Receber | 915,18 | 913,74 | 865,03 | 784,29 | 763,47 | 748,41 | 756,67 | 748,62 | 713,29 | 779,83 | 695,36 | 579,12 | 627,34 | 579,13 | 563,31 | 505,79 | 350,37 | 435,80 | 466,73 | 471,02 | 458,59 | 505,28 | 451,86 | 454,24 | 425,01 | 410,80 | 368,68 | 381,27 | 411,36 | 415,03 | 543,87 | 454,00 | 451,47 | 434,89 | 417,88 | 417,87 | 460,72 | 458,57 | 417,99 | 413,33 | 425,34 | 392,51 | 419,09 | 377,66 | 361,54 |
| Estoques | 850,36 | 927,06 | 852,33 | 672,91 | 649,38 | 588,14 | 610,72 | 609,96 | 593,11 | 645,36 | 611,44 | 563,90 | 546,56 | 501,11 | 436,51 | 376,01 | 439,50 | 436,61 | 427,05 | 408,85 | 408,64 | 438,16 | 419,57 | 371,31 | 334,52 | 324,52 | 349,86 | 358,62 | 343,52 | 355,32 | 396,01 | 403,74 | 371,97 | 348,21 | 334,08 | 320,67 | 327,54 | 317,27 | 319,34 | 312,49 | 324,99 | 327,25 | 342,68 | 318,11 | 302,29 |
| Ativo Não Circulante | 1.421,95 | 1.437,27 | 1.432,72 | 1.165,75 | 1.169,75 | 1.152,48 | 1.111,81 | 1.118,17 | 1.224,70 | 1.177,88 | 1.239,04 | 1.337,68 | 1.301,93 | 1.224,70 | 1.246,45 | 1.168,59 | 1.188,10 | 1.289,91 | 1.190,10 | 1.173,98 | 1.252,49 | 1.174,94 | 1.140,41 | 1.173,52 | 1.142,92 | 1.153,36 | 1.283,26 | 1.443,51 | 1.463,34 | 1.430,03 | 1.453,44 | 1.431,58 | 1.465,02 | 1.398,25 | 1.395,12 | 1.393,94 | 1.419,98 | 1.418,24 | 1.419,00 | 1.409,93 | 1.521,80 | 1.534,84 | 1.560,83 | 1.545,68 | 1.558,88 |
| Imobilizado | 721,22 | 716,52 | 717,24 | 628,90 | 624,70 | 619,25 | 621,39 | 631,02 | 649,68 | 607,75 | 607,51 | 604,66 | 611,42 | 611,47 | 629,94 | 619,70 | 635,93 | 657,59 | 642,02 | 654,09 | 659,26 | 627,99 | 611,14 | 628,09 | 624,39 | 634,68 | 697,15 | 701,14 | 704,63 | 710,42 | 765,04 | 763,86 | 769,27 | 731,45 | 732,11 | 732,77 | 748,34 | 752,03 | 751,25 | 731,28 | 727,58 | 728,67 | 710,54 | 708,51 | 719,62 |
| Intangíveis | 389,15 | 389,12 | 389,45 | 389,45 | 389,60 | 389,92 | 389,54 | 389,52 | 389,80 | 390,36 | 390,64 | 390,87 | 391,33 | 391,56 | 391,73 | 392,34 | 438,94 | 469,67 | 470,19 | 469,31 | 467,80 | 463,76 | 462,55 | 460,91 | 456,73 | 455,29 | 455,22 | 640,17 | 638,38 | 637,73 | 634,24 | 622,78 | 620,79 | 616,38 | 614,08 | 613,00 | 636,51 | 636,60 | 636,86 | 637,16 | 637,13 | 641,65 | 700,29 | 700,17 | 700,99 |
| Passivo Total | 3.059,91 | 2.991,11 | 2.823,42 | 2.160,81 | 2.193,12 | 2.010,69 | 1.578,39 | 1.581,93 | 1.514,79 | 1.500,35 | 1.404,82 | 1.259,27 | 1.202,24 | 1.147,34 | 1.273,07 | 1.392,05 | 1.288,49 | 1.472,50 | 1.086,40 | 1.048,33 | 1.058,78 | 1.098,71 | 1.051,33 | 889,40 | 1.106,62 | 1.142,31 | 1.187,90 | 1.164,47 | 1.165,32 | 1.080,12 | 1.428,31 | 1.347,76 | 1.340,75 | 1.171,29 | 1.100,15 | 1.075,08 | 1.138,64 | 1.154,32 | 1.162,77 | 1.107,60 | 1.224,44 | 1.244,61 | 1.495,86 | 1.437,12 | 1.253,22 |
| Passivo Circulante | 1.916,50 | 1.720,58 | 1.705,72 | 973,58 | 1.006,36 | 1.170,12 | 1.066,78 | 979,39 | 983,31 | 1.000,22 | 897,11 | 884,15 | 795,55 | 726,28 | 852,58 | 953,78 | 852,21 | 972,85 | 643,32 | 592,31 | 572,38 | 680,31 | 618,56 | 451,60 | 547,54 | 656,30 | 507,22 | 437,59 | 483,84 | 497,31 | 822,24 | 740,88 | 771,55 | 496,56 | 439,82 | 414,27 | 473,52 | 499,75 | 500,19 | 699,98 | 870,96 | 845,01 | 905,28 | 690,74 | 565,99 |
| Passivo Não Circulante | 1.143,41 | 1.270,52 | 1.117,70 | 1.187,23 | 1.186,76 | 840,57 | 511,61 | 602,54 | 531,48 | 500,12 | 507,71 | 375,12 | 406,70 | 421,05 | 420,48 | 438,27 | 436,28 | 499,65 | 443,08 | 456,02 | 486,41 | 418,40 | 432,77 | 437,80 | 559,08 | 486,01 | 680,67 | 726,88 | 681,48 | 582,81 | 606,07 | 606,88 | 569,20 | 674,73 | 660,34 | 660,80 | 665,11 | 654,57 | 662,58 | 407,63 | 353,48 | 399,60 | 590,58 | 746,38 | 687,24 |
| Patrimônio Líquido | 879,20 | 741,29 | 888,84 | 1.111,48 | 995,70 | 1.109,85 | 1.570,88 | 1.428,27 | 1.727,20 | 1.641,18 | 1.472,39 | 1.769,27 | 1.716,31 | 1.564,21 | 1.469,62 | 1.331,01 | 1.291,72 | 1.331,70 | 1.314,67 | 1.275,58 | 1.404,02 | 1.352,96 | 1.273,66 | 1.410,22 | 1.347,24 | 1.313,44 | 1.255,48 | 1.362,23 | 1.351,11 | 1.363,20 | 1.410,76 | 1.374,45 | 1.389,44 | 1.424,01 | 1.358,63 | 1.411,03 | 1.437,66 | 1.372,97 | 1.390,40 | 1.415,47 | 1.381,85 | 1.381,14 | 1.470,66 | 1.424,49 | 1.387,80 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 16,71 | 102,67 | 159,22 | 97,64 | 99,56 | 72,28 | 60,71 | 15,44 | 32,28 | 40,48 | 84,15 | 78,38 | 64,82 | 41,48 | 54,88 |
| FCI (Investimentos) | -28,84 | -37,86 | -120,26 | -56,66 | -51,36 | -28,25 | -38,03 | -26,54 | -13,20 | -11,44 | -24,21 | -3,82 | -13,55 | -20,21 | -11,40 |
| FCF (Financiamento) | -1,16 | -8,01 | -103,02 | -14,11 | -325,19 | 275,03 | 48,01 | 4,38 | 12,03 | -61,34 | -4,94 | -11,46 | 117,94 | -84,43 | -8,73 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 1.575,29 | 1.296,89 | 1.212,34 | 1.080,18 | 1.025,64 | 693,36 | 762,77 | 739,42 | 661,10 | 690,17 | 703,82 | 702,94 | 677,21 | 665,02 | 641,35 |
| Insumos de Terceiros | -961,35 | -620,13 | -624,02 | -630,27 | -544,58 | -377,64 | -390,68 | -415,90 | -380,72 | -394,42 | -411,16 | -406,90 | -382,66 | -375,93 | -373,03 |
| Valor Adicionado Bruto | 613,94 | 676,76 | 588,32 | 449,91 | 481,06 | 315,72 | 372,09 | 323,52 | 280,38 | 295,75 | 292,66 | 296,04 | 294,55 | 289,09 | 268,32 |
| Retencoes | -35,14 | -25,31 | -25,38 | -22,58 | -25,69 | -25,14 | -22,72 | -22,74 | -25,60 | -24,67 | -26,58 | -27,84 | -27,92 | -28,52 | -14,71 |
| VA Liquido Produzido | 578,80 | 651,46 | 562,94 | 427,33 | 455,37 | 290,58 | 349,37 | 300,78 | 254,78 | 271,08 | 266,08 | 268,19 | 266,63 | 260,58 | 253,61 |
| VA Recebido em Transferencia | 163,75 | 69,27 | 82,45 | 84,69 | 43,70 | 90,76 | 31,07 | 24,56 | 28,28 | 52,49 | 65,78 | 33,85 | 16,24 | 24,35 | 20,37 |
| VA Total a Distribuir | 742,56 | 720,73 | 645,39 | 512,02 | 499,07 | 381,34 | 380,44 | 325,34 | 283,06 | 323,57 | 331,86 | 302,04 | 282,87 | 284,92 | 273,99 |
| Pessoal | 213,35 | 207,17 | 176,34 | 157,47 | 156,89 | 130,80 | 145,35 | 115,15 | 116,82 | 111,71 | 111,64 | 109,10 | 111,54 | 107,08 | 100,82 |
| Impostos e Contribuicoes | 216,18 | 248,35 | 208,51 | 137,84 | 161,59 | 95,36 | 125,06 | 112,62 | 88,79 | 76,56 | 105,06 | 116,63 | 107,69 | 114,84 | 109,48 |
| Juros e Alugueis | 154,34 | 64,95 | 74,60 | 94,09 | 54,01 | 134,74 | 46,81 | 27,05 | 41,87 | 64,63 | 70,98 | 35,75 | 27,91 | 27,55 | 23,20 |
| Remuneracao de Capitais Proprios | 158,69 | 200,27 | 185,95 | 122,62 | 126,58 | 20,44 | 63,22 | 70,51 | 35,58 | 70,68 | 44,18 | 40,57 | 35,72 | 35,45 | 40,49 |