PNVL3 Dimed S.A. Distribuidora de Medicamentos
NOVO MERCADO
Ação
R$ 14,85
-0,47%
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 | 1.373,00 | 1.313,75 | 1.258,69 | 1.236,06 | 1.133,52 | 1.226,10 | 1.130,15 | 1.081,38 | 1.027,41 | 1.017,04 | 986,28 | 901,55 | 802,47 | 776,77 | 752,34 | 699,05 | 623,56 | 692,96 | 689,46 | 540,87 | 637,82 | 613,46 | 586,44 | 570,41 | 570,79 | 552,21 | 546,16 | 522,86 | 507,67 | 528,90 | 501,43 | 476,58 | 472,20 | 465,56 | 465,19 | 443,19 | 453,63 | 428,06 | 397,78 | 385,86 | 372,35 | 358,71 | 340,87 | 337,37 | 306,80 |
| Custo dos Produtos | -926,96 | -880,24 | -857,59 | -846,02 | -770,11 | -832,09 | -787,34 | -737,63 | -713,65 | -701,90 | -670,93 | -626,08 | -560,60 | -536,09 | -519,26 | -493,09 | -441,59 | -493,19 | -486,07 | -344,37 | -451,30 | -466,67 | -444,30 | -436,33 | -437,78 | -416,98 | -414,04 | -396,92 | -369,72 | -403,69 | -388,99 | -360,56 | -371,18 | -363,61 | -349,11 | -348,35 | -354,33 | -332,18 | -310,96 | -297,27 | -287,85 | -282,38 | -267,08 | -262,15 | -238,67 |
| Lucro Bruto | 447,04 | 433,50 | 401,10 | 390,04 | 363,41 | 394,01 | 342,80 | 343,74 | 313,76 | 315,14 | 315,34 | 275,47 | 241,87 | 240,68 | 233,07 | 205,96 | 181,97 | 199,77 | 203,39 | 196,50 | 186,52 | 146,80 | 142,14 | 134,08 | 133,01 | 135,22 | 132,13 | 125,94 | 137,94 | 125,21 | 112,44 | 116,02 | 101,01 | 101,94 | 116,08 | 94,84 | 99,30 | 95,87 | 86,83 | 88,59 | 84,50 | 76,33 | 73,79 | 75,22 | 68,13 |
| Despesas Operacionais | -377,75 | -378,41 | -347,77 | -326,87 | -340,40 | -343,72 | -300,20 | -303,54 | -276,20 | -280,83 | -274,55 | -249,63 | -217,33 | -214,72 | -207,96 | -180,87 | -169,68 | -171,57 | -168,56 | -163,10 | -162,32 | -115,71 | -115,89 | -114,19 | -108,78 | -107,75 | -106,83 | -102,19 | -113,56 | -104,39 | -89,32 | -91,90 | -87,94 | -83,99 | -93,60 | -80,96 | -71,00 | -72,31 | -72,43 | -68,69 | -65,89 | -60,95 | -55,91 | -58,91 | -53,49 |
| EBIT | 69,28 | 55,10 | 53,33 | 63,17 | 23,01 | 50,29 | 42,60 | 40,21 | 37,56 | 34,31 | 40,80 | 25,84 | 24,54 | 25,95 | 25,11 | 25,09 | 12,30 | 28,20 | 34,82 | 33,40 | 24,21 | 31,09 | 26,24 | 19,89 | 24,23 | 27,48 | 25,30 | 23,75 | 24,38 | 20,83 | 23,12 | 24,12 | 13,07 | 17,95 | 22,48 | 13,88 | 27,30 | 23,56 | 14,40 | 19,90 | 18,60 | 15,38 | 17,88 | 16,31 | 14,64 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -27,51 | -27,49 | -24,06 | -21,43 | -17,78 | -21,25 | -18,98 | -19,14 | -18,39 | -15,60 | -16,02 | -11,17 | -8,20 | -3,34 | 1,24 | -7,10 | -11,41 | -9,41 | -10,36 | -10,54 | -8,49 | -5,13 | -4,28 | -4,24 | -5,10 | -5,08 | -5,04 | -4,98 | -3,76 | -5,27 | -7,16 | -5,55 | -4,25 | -4,24 | -2,70 | -3,27 | -2,98 | -2,78 | -0,58 | -1,49 | -1,36 | -0,41 | -2,38 | -2,96 | -2,50 |
| LAIR | 41,77 | 27,61 | 29,27 | 41,74 | 5,23 | 29,04 | 23,62 | 21,06 | 19,18 | 18,72 | 24,78 | 14,67 | 16,34 | 22,61 | 26,35 | 17,00 | 0,89 | 18,80 | 24,47 | 22,86 | 15,72 | 25,96 | 21,97 | 15,65 | 19,13 | 22,40 | 20,26 | 18,77 | 20,63 | 15,56 | 15,96 | 18,56 | 8,82 | 13,71 | 19,78 | 10,61 | 24,32 | 20,78 | 13,82 | 18,41 | 17,24 | 14,97 | 15,50 | 13,34 | 12,14 |
| IR/CSLL | -10,47 | -2,52 | -3,81 | -5,88 | -0,10 | 4,51 | 0,03 | 0,97 | -0,96 | -0,48 | -1,42 | 5,94 | -0,68 | -2,32 | -6,06 | -2,45 | 2,52 | -4,28 | -2,71 | -3,91 | -2,34 | -5,16 | -6,26 | -3,00 | -3,48 | -7,36 | -6,57 | -3,97 | -7,99 | -5,34 | -4,02 | -5,67 | -3,28 | -2,85 | -1,79 | -3,33 | -5,23 | -6,13 | -4,92 | -4,13 | -5,54 | -4,99 | -3,85 | -4,44 | -4,05 |
| Lucro Liquido | 31,30 | 25,09 | 25,47 | 35,86 | 5,13 | 33,55 | 23,64 | 22,03 | 18,22 | 18,24 | 23,36 | 20,61 | 15,65 | 20,30 | 20,28 | 15,55 | 3,40 | 14,52 | 21,76 | 18,96 | 13,38 | 20,80 | 15,70 | 12,65 | 15,64 | 15,04 | 13,69 | 14,80 | 12,63 | 10,22 | 11,94 | 12,89 | 5,54 | 10,86 | 17,00 | 7,28 | 19,09 | 14,65 | 8,90 | 14,28 | 11,70 | 9,97 | 11,65 | 8,90 | 8,08 |
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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 | 3.583,12 | 3.326,44 | 3.174,00 | 3.232,72 | 3.146,68 | 3.204,30 | 2.945,70 | 2.783,74 | 2.816,57 | 2.569,52 | 2.504,63 | 2.482,44 | 2.253,83 | 2.141,93 | 2.253,46 | 2.176,37 | 1.537,85 | 1.588,26 | 1.352,52 | 1.285,72 | 1.206,30 | 954,82 | 921,35 | 885,30 | 829,56 | 820,24 | 775,90 | 756,97 | 779,00 | 741,42 | 709,39 | 704,12 | 677,44 | 669,90 | 636,43 | 574,10 | 579,73 | 527,24 | 512,71 | 457,02 | 437,26 | 434,87 | 393,61 | 378,55 | 360,46 |
| Ativo Circulante | 2.145,64 | 1.914,04 | 1.788,28 | 1.921,77 | 1.887,48 | 1.948,37 | 1.735,16 | 1.585,44 | 1.622,64 | 1.432,11 | 1.411,57 | 1.436,78 | 1.314,47 | 1.247,79 | 1.436,13 | 1.436,98 | 858,03 | 963,57 | 813,55 | 770,64 | 702,80 | 685,38 | 659,51 | 633,66 | 586,17 | 582,50 | 540,86 | 531,06 | 559,94 | 519,86 | 491,41 | 487,39 | 462,78 | 466,65 | 437,70 | 382,26 | 426,46 | 401,52 | 403,26 | 367,90 | 351,20 | 351,42 | 320,10 | 309,78 | 296,00 |
| Caixa | 48,39 | 47,67 | 88,23 | 12,18 | 16,70 | 22,13 | 15,58 | 12,27 | 14,37 | 22,86 | 41,56 | 43,32 | 18,67 | 47,35 | 43,07 | 514,33 | 79,87 | 140,68 | 66,52 | 56,61 | 12,22 | 10,70 | 14,78 | 11,74 | 9,78 | 5,29 | 17,77 | 9,94 | 31,35 | 11,75 | 4,13 | 5,03 | 4,11 | 4,83 | 4,28 | 4,87 | 24,46 | 8,24 | 19,48 | 31,89 | 16,90 | 19,20 | 4,37 | 3,80 | 3,58 |
| Contas a Receber | 583,58 | 585,55 | 565,19 | 515,84 | 519,12 | 574,74 | 505,18 | 447,82 | 452,57 | 422,92 | 420,06 | 426,71 | 365,01 | 344,34 | 349,81 | 327,82 | 318,07 | 320,69 | 296,21 | 278,18 | 241,47 | 234,43 | 220,18 | 216,32 | 182,29 | 193,34 | 170,70 | 187,68 | 216,29 | 192,97 | 181,52 | 181,42 | 177,77 | 161,78 | 161,54 | 122,43 | 163,89 | 144,99 | 164,90 | 144,44 | 139,81 | 132,10 | 111,86 | 119,93 | 108,75 |
| Estoques | 1.132,24 | 1.088,34 | 958,24 | 1.158,23 | 1.050,67 | 1.078,05 | 931,11 | 907,35 | 874,48 | 796,73 | 809,42 | 853,65 | 696,78 | 680,91 | 759,18 | 512,47 | 445,49 | 493,62 | 438,68 | 400,50 | 389,68 | 409,34 | 401,10 | 389,69 | 369,65 | 363,20 | 341,77 | 314,53 | 297,25 | 307,68 | 280,70 | 281,12 | 258,95 | 275,30 | 253,48 | 236,34 | 219,25 | 234,38 | 210,39 | 172,72 | 182,35 | 192,31 | 159,59 | 165,00 | 164,06 |
| Ativo Não Circulante | 1.437,48 | 1.412,40 | 1.386,71 | 1.310,95 | 1.259,20 | 1.255,93 | 1.210,55 | 1.198,30 | 1.193,92 | 1.137,40 | 1.093,07 | 1.045,66 | 939,36 | 894,14 | 817,33 | 739,38 | 679,82 | 624,69 | 538,97 | 515,08 | 503,49 | 269,44 | 261,85 | 251,63 | 243,38 | 237,74 | 235,04 | 225,91 | 219,07 | 221,56 | 217,98 | 216,73 | 214,66 | 203,25 | 198,73 | 191,84 | 153,27 | 125,72 | 109,45 | 89,12 | 86,07 | 83,45 | 73,52 | 68,77 | 64,46 |
| Imobilizado | 1.241,89 | 1.218,40 | 1.193,87 | 1.126,50 | 1.081,26 | 1.083,59 | 1.062,03 | 1.058,94 | 1.053,58 | 1.007,43 | 968,68 | 930,48 | 827,36 | 794,32 | 722,31 | 660,69 | 615,16 | 563,61 | 487,38 | 469,98 | 461,55 | 229,10 | 224,43 | 215,16 | 207,59 | 204,04 | 202,12 | 195,41 | 190,37 | 193,87 | 191,32 | 189,78 | 188,47 | 177,68 | 172,13 | 167,32 | 127,17 | 102,62 | 87,30 | 68,54 | 66,33 | 64,09 | 53,92 | 50,74 | 47,98 |
| Intangíveis | 106,23 | 101,94 | 98,50 | 93,53 | 89,32 | 86,22 | 80,89 | 78,84 | 78,23 | 72,23 | 67,31 | 62,64 | 55,56 | 51,90 | 48,58 | 39,90 | 37,71 | 36,81 | 31,01 | 27,76 | 25,80 | 23,12 | 21,92 | 20,99 | 19,54 | 18,12 | 17,09 | 13,70 | 12,32 | 11,67 | 10,30 | 10,17 | 10,25 | 8,55 | 8,73 | 8,78 | 8,80 | 8,90 | 8,98 | 6,62 | 6,46 | 6,68 | 5,49 | 4,37 | 4,46 |
| Passivo Total | 2.318,95 | 2.092,34 | 1.929,17 | 2.037,15 | 1.975,10 | 2.007,47 | 1.806,65 | 1.657,89 | 1.689,74 | 1.478,52 | 1.425,06 | 1.415,47 | 1.224,49 | 1.117,18 | 1.237,30 | 1.172,74 | 1.008,22 | 1.053,97 | 853,94 | 803,90 | 729,01 | 502,07 | 479,73 | 447,41 | 415,44 | 414,04 | 380,49 | 384,93 | 415,26 | 387,06 | 374,39 | 375,82 | 360,60 | 365,20 | 337,33 | 290,15 | 310,01 | 271,43 | 270,17 | 228,32 | 217,82 | 225,84 | 198,05 | 190,19 | 179,35 |
| Passivo Circulante | 1.124,75 | 1.091,06 | 940,75 | 1.204,26 | 1.193,27 | 1.190,94 | 1.012,06 | 1.100,57 | 1.066,10 | 809,52 | 763,02 | 869,06 | 686,72 | 596,32 | 741,93 | 677,80 | 543,43 | 608,73 | 471,61 | 436,20 | 495,33 | 406,22 | 383,50 | 328,74 | 369,59 | 357,84 | 322,35 | 313,83 | 325,48 | 292,68 | 269,56 | 267,23 | 246,00 | 296,77 | 265,32 | 217,39 | 236,19 | 213,46 | 221,33 | 192,33 | 183,06 | 197,37 | 173,92 | 166,04 | 154,19 |
| Passivo Não Circulante | 1.194,20 | 1.001,28 | 988,42 | 832,89 | 781,83 | 816,54 | 794,59 | 557,32 | 623,64 | 668,00 | 662,04 | 546,41 | 537,76 | 520,87 | 495,36 | 494,94 | 464,79 | 445,24 | 382,32 | 367,70 | 233,67 | 95,85 | 96,23 | 118,67 | 45,85 | 56,19 | 58,14 | 71,10 | 89,77 | 94,37 | 104,83 | 108,59 | 113,60 | 68,43 | 72,01 | 72,77 | 73,82 | 57,98 | 48,84 | 35,98 | 34,76 | 28,47 | 24,12 | 24,15 | 25,15 |
| Patrimônio Líquido | 1.264,17 | 1.234,10 | 1.245,82 | 1.195,57 | 1.171,58 | 1.196,82 | 1.139,06 | 1.125,85 | 1.126,83 | 1.090,00 | 1.079,58 | 1.066,97 | 1.029,35 | 1.024,74 | 1.016,16 | 1.003,63 | 529,64 | 534,29 | 498,58 | 481,82 | 477,29 | 452,75 | 441,62 | 437,89 | 414,12 | 406,20 | 395,40 | 372,04 | 363,74 | 354,36 | 334,99 | 328,30 | 316,84 | 304,70 | 299,10 | 283,94 | 269,72 | 255,81 | 242,54 | 228,70 | 219,44 | 209,03 | 195,57 | 188,37 | 181,12 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 99,62 | 16,07 | -0,49 | -22,65 | -66,91 | 6,86 | -15,13 | -4,42 | 7,87 | 5,05 | 1,21 | -1,64 | -5,11 | -9,86 | 2,48 |
| FCI (Investimentos) | -9,66 | -41,03 | -135,28 | 52,64 | 26,98 | -14,06 | -8,17 | -22,05 | -9,70 | -5,35 | -9,65 | -15,15 | -11,89 | -3,39 | -3,01 |
| FCF (Financiamento) | -81,73 | 19,14 | 124,43 | -41,10 | -47,11 | 76,45 | -3,61 | -20,58 | -2,74 | -4,95 | -2,66 | 10,54 | 8,22 | -3,87 | -1,91 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 1.498,84 | 1.422,21 | 1.197,41 | 1.019,28 | 852,53 | 762,70 | 698,08 | 631,76 | 605,51 | 581,65 | 517,38 | 490,13 | 434,84 | 393,97 | 337,26 |
| Insumos de Terceiros | -1.057,59 | -1.045,59 | -880,28 | -752,37 | -645,88 | -560,36 | -513,00 | -459,70 | -440,17 | -444,40 | -400,75 | -380,38 | -337,67 | -307,23 | -268,24 |
| Valor Adicionado Bruto | 441,25 | 376,62 | 317,12 | 266,91 | 206,65 | 202,34 | 185,08 | 172,06 | 165,34 | 137,25 | 116,63 | 109,75 | 97,17 | 86,74 | 69,01 |
| Retencoes | -56,83 | -51,47 | -49,61 | -46,02 | -36,24 | -26,83 | -23,65 | -6,79 | -5,75 | -4,90 | -4,33 | -3,07 | -2,65 | -2,10 | -1,67 |
| VA Liquido Produzido | 384,42 | 325,15 | 267,52 | 220,89 | 170,41 | 175,50 | 161,43 | 165,26 | 159,59 | 132,35 | 112,30 | 106,67 | 94,52 | 84,64 | 67,35 |
| VA Recebido em Transferencia | 21,04 | 9,79 | 6,72 | 4,72 | 2,25 | 0,67 | 0,27 | 0,62 | 0,67 | 1,57 | 1,69 | 0,47 | 0,94 | 1,35 | 1,17 |
| VA Total a Distribuir | 405,46 | 334,94 | 274,23 | 225,62 | 172,66 | 176,18 | 161,70 | 165,89 | 160,26 | 133,92 | 113,99 | 107,15 | 95,46 | 85,98 | 68,52 |
| Pessoal | 154,23 | 142,20 | 121,37 | 106,09 | 83,94 | 74,81 | 69,59 | 62,42 | 58,37 | 52,69 | 44,64 | 40,46 | 34,56 | 29,15 | 23,87 |
| Impostos e Contribuicoes | 171,01 | 120,29 | 102,23 | 78,52 | 63,82 | 68,73 | 61,98 | 63,06 | 62,85 | 46,94 | 42,93 | 43,08 | 39,83 | 36,14 | 25,78 |
| Juros e Alugueis | 54,76 | 38,90 | 32,42 | 20,39 | 4,62 | 18,12 | 16,75 | 27,77 | 25,35 | 24,06 | 20,88 | 16,33 | 12,16 | 10,73 | 10,79 |
| Remuneracao de Capitais Proprios | 25,47 | 33,55 | 18,22 | 20,61 | 20,28 | 14,52 | 13,38 | 12,65 | 13,69 | 10,22 | 5,54 | 7,28 | 8,90 | 9,97 | 8,08 |





























