LUXM4

LUXM4 Trevisa Investimentos S.A.

Ação
R$ 3,97 0,00%
Fonte: B3 Atualizado: 14/04/2026 09:31

Valores em R$ milhões. Fonte: CVM Dados Abertos

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2025202420232022202120202019201820172016201520142013201220112010
Receita Liquida158,06136,47136,57137,60131,31104,58119,04129,77102,2993,2674,4463,5159,8147,3853,5256,33
Custo dos Produtos-109,48-95,39-93,20-99,28-89,84-78,82-86,35-90,46-74,08-65,70-54,64-46,32-43,58-36,18-39,53-38,75
Lucro Bruto48,5841,0843,3738,3141,4825,7632,6939,3028,2127,5719,8017,1916,2311,2013,9817,58
Despesas Operacionais-19,54-19,51-16,44-18,66-17,78-12,33-14,02-23,07-15,97-12,15-7,26-9,99-8,51-3,12-3,36-10,33
EBIT29,0421,5726,9319,6523,7013,4418,6816,2412,2415,4212,547,207,728,0910,637,25
EBITDA----------------
Resultado Financeiro2,885,690,380,52-1,12-1,71-2,15-2,67-2,99-2,37-2,29-1,15-1,96-2,90-2,58-2,53
LAIR31,9227,2527,3120,1722,5811,7316,5213,569,2513,0510,266,055,765,188,054,72
IR/CSLL-9,109,88-8,82-8,95-7,81-3,95-7,04-7,33-5,37-4,06-1,80-1,98-1,53-0,70-1,10-1,29
Lucro Liquido22,8237,1318,4911,2314,398,4212,986,233,888,998,464,074,234,486,953,42

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2025202420232022202120202019201820172016201520142013201220112010
Ativo Total241,94208,31170,52155,39156,28153,31188,81194,58186,39187,57174,14154,52141,67137,24135,22135,50
Ativo Circulante54,2926,1023,4824,7430,3838,1161,5926,1714,9112,148,1911,7212,289,056,6711,22
 Caixa28,1110,8813,6113,3214,6521,725,8711,524,381,042,223,507,665,112,810,63
 Contas a Receber12,7911,657,199,3410,646,857,338,917,088,693,203,612,041,802,032,39
 Estoques0,480,410,360,370,370,260,260,170,150,110,180,110,330,380,461,11
Ativo Não Circulante187,65182,22147,05130,64125,89115,20127,23168,41171,48175,43165,96142,80129,39128,19128,55124,28
 Imobilizado153,11143,55133,49119,74113,81102,02113,66125,92123,10122,70113,5993,5379,8778,6280,8076,30
 Intangíveis5,430,120,150,190,180,500,510,390,360,340,250,160,120,050,040,04
Passivo Total71,3955,1950,0649,0658,7259,0587,4989,4785,2588,3981,5968,2257,2054,8355,2560,88
Passivo Circulante30,4126,8126,6325,9731,6420,4538,3126,7623,6523,1515,9215,0013,158,5010,0011,18
Passivo Não Circulante40,9828,3823,4323,0927,0838,6049,1862,7161,6065,2465,6652,2244,0546,3345,2549,70
Patrimônio Líquido170,54153,12120,46106,3397,5594,26101,33105,11101,1499,1792,5686,3084,4682,4079,9674,62

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2025202420232022202120202019201820172016201520142013201220112010
FCO (Operacional)39,7524,7232,3729,2137,56-0,4538,9429,7327,0220,5820,2616,2016,4813,7218,4616,05
FCI (Investimentos)-32,30-28,09-24,71-21,62-35,18-4,65-21,97-14,77-15,31-21,84-33,67-25,29-13,44-7,13-11,96-7,16
FCF (Financiamento)9,780,64-7,36-8,93-13,3012,65-8,63-7,82-8,370,0812,144,92-0,49-4,29-10,21-5,06

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2025202420232022202120202019201820172016201520142013201220112010
Receitas165,91141,56137,40134,24130,00106,70122,10130,60105,9899,6081,0767,0263,1153,6861,3660,17
Insumos de Terceiros-52,67-52,19-50,65-55,51-46,52-38,86-46,92-54,10-39,07-33,51-28,53-23,61-21,92-15,49-20,14-22,38
Valor Adicionado Bruto113,2489,3786,7578,7384,4867,8475,1876,5066,9166,0952,5443,4141,1938,2041,2237,78
Retencoes-18,63-16,21-13,28-14,96-15,55-15,60-16,69-15,72-16,56-14,69-12,53-11,48-12,48-10,98-11,05-12,18
VA Liquido Produzido94,6173,1673,4763,7768,9252,2358,4960,7850,3551,4040,0131,9328,7027,2130,1725,61
VA Recebido em Transferencia6,117,121,852,060,911,664,421,110,370,480,470,810,520,270,460,47
VA Total a Distribuir100,7380,2875,3265,8469,8353,9062,9261,8950,7251,8840,4832,7429,2227,4830,6326,07
Pessoal53,5842,2237,7536,2835,2629,8632,4535,8429,8327,6021,8319,0716,3913,9213,6012,21
Impostos e Contribuicoes21,10-0,5117,6216,7416,3710,8714,4116,0313,6412,437,447,636,085,907,047,44
Juros e Alugueis3,231,431,461,593,824,753,083,783,362,862,761,972,523,173,043,00
Remuneracao de Capitais Proprios22,8237,1318,4911,2314,398,4212,986,233,888,998,464,074,234,486,953,42