POMO3 Marcopolo S.A.
NIVEL 2
Ação
R$ 6,34
+0,96%
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 | 2.505,45 | 2.305,08 | 1.677,44 | 2.314,75 | 1.956,69 | 1.656,08 | 1.614,83 | 1.364,48 | 1.653,97 | 1.516,29 | 1.151,79 | 958,65 | 757,62 | 823,69 | 833,97 | 836,49 | 798,47 | 919,40 | 1.081,22 | 1.141,81 | 898,59 | 1.101,43 | 1.091,35 | 764,85 | 736,74 | 740,98 | 554,63 | 708,16 | 619,74 | 428,33 | 658,64 | 636,28 | 656,81 | 898,65 | 824,50 | 741,79 | 975,85 | 994,27 | 766,97 | 956,69 | 918,59 | 880,66 | 888,64 | 770,27 | 761,26 |
| Custo dos Produtos | -1.836,73 | -1.711,88 | -1.293,18 | -1.737,95 | -1.446,77 | -1.270,78 | -1.243,28 | -1.088,26 | -1.263,06 | -1.284,12 | -1.020,49 | -846,32 | -685,59 | -763,14 | -733,49 | -699,80 | -668,01 | -769,33 | -935,30 | -966,30 | -760,58 | -918,34 | -905,75 | -668,87 | -624,40 | -630,67 | -493,58 | -630,40 | -517,23 | -372,15 | -544,83 | -535,37 | -544,34 | -734,63 | -690,54 | -612,69 | -769,69 | -812,19 | -617,20 | -766,56 | -746,46 | -694,08 | -693,67 | -612,46 | -598,63 |
| Lucro Bruto | 668,72 | 593,21 | 384,26 | 576,80 | 509,92 | 385,30 | 371,54 | 276,21 | 390,91 | 232,17 | 131,30 | 112,33 | 72,03 | 60,55 | 100,49 | 136,68 | 130,46 | 150,07 | 145,92 | 175,51 | 138,00 | 183,09 | 185,60 | 95,99 | 112,34 | 110,31 | 61,05 | 77,77 | 102,51 | 56,17 | 113,81 | 100,91 | 112,46 | 164,02 | 133,96 | 129,11 | 206,16 | 182,08 | 149,77 | 190,13 | 172,13 | 186,57 | 194,98 | 157,81 | 162,63 |
| Despesas Operacionais | -287,68 | -233,91 | -160,54 | -153,30 | -169,04 | -110,52 | -194,85 | -154,19 | -132,77 | -173,54 | -108,66 | -87,65 | -0,87 | 51,88 | -103,14 | -186,43 | -113,59 | -70,73 | -106,46 | -90,85 | -95,72 | -84,33 | -94,05 | -47,54 | -99,37 | -74,30 | -72,69 | 202,18 | -67,49 | -65,96 | -75,24 | -63,56 | -58,10 | -87,26 | -84,34 | -65,04 | -88,05 | -76,79 | -77,62 | -97,56 | -90,68 | -85,69 | -76,75 | -69,37 | -73,11 |
| EBIT | 381,05 | 359,29 | 223,72 | 423,51 | 340,88 | 274,79 | 176,69 | 122,02 | 258,13 | 58,62 | 22,64 | 24,68 | 71,16 | 112,43 | -2,65 | -49,75 | 16,87 | 79,34 | 39,46 | 84,66 | 42,28 | 98,75 | 91,55 | 48,45 | 12,98 | 36,01 | -11,65 | 279,94 | 35,02 | -9,79 | 38,58 | 37,35 | 54,36 | 76,76 | 49,62 | 64,06 | 118,11 | 105,29 | 72,14 | 92,57 | 81,45 | 100,88 | 118,23 | 88,44 | 89,52 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | 33,01 | 42,66 | 109,36 | 22,99 | -23,87 | 42,20 | -14,97 | 56,98 | 40,39 | -20,10 | -39,87 | 90,51 | 9,08 | 182,70 | -27,12 | -23,92 | -16,91 | -103,61 | -25,51 | 8,93 | 1,66 | -25,29 | -70,30 | -3,56 | 14,68 | 4,74 | 18,08 | 8,95 | 32,46 | 28,69 | -29,27 | 2,50 | -19,90 | -3,56 | 10,02 | 9,22 | 1,84 | -6,49 | 2,50 | 8,80 | -1,18 | 15,86 | -2,49 | 24,63 | 20,09 |
| LAIR | 414,06 | 401,95 | 333,08 | 446,50 | 317,01 | 316,98 | 161,72 | 179,00 | 298,53 | 38,52 | -17,23 | 115,19 | 80,24 | 295,13 | -29,77 | -73,67 | -0,04 | -24,26 | 13,94 | 93,59 | 43,94 | 73,46 | 21,24 | 44,89 | 27,66 | 40,74 | 6,43 | 288,89 | 67,47 | 18,90 | 9,31 | 39,85 | 34,46 | 73,20 | 59,64 | 73,28 | 119,94 | 98,80 | 74,65 | 101,36 | 80,27 | 116,74 | 115,74 | 113,07 | 109,62 |
| IR/CSLL | -84,44 | -80,86 | -90,00 | -110,76 | -66,10 | -0,04 | -0,04 | -38,55 | -62,25 | 8,13 | 44,07 | -17,15 | 26,82 | -94,27 | 15,08 | 16,24 | 1,35 | 34,98 | 8,86 | -2,69 | -16,95 | -8,75 | 2,10 | -13,98 | -11,99 | -14,77 | -3,21 | -110,46 | -24,21 | -10,13 | -1,28 | -2,74 | -0,41 | -16,54 | -9,40 | -18,95 | -33,01 | -24,72 | -18,94 | -32,14 | -19,70 | -38,30 | -37,19 | -36,76 | -33,86 |
| Lucro Liquido | 329,62 | 321,09 | 243,07 | 335,74 | 250,91 | 316,94 | 161,69 | 140,46 | 236,28 | 46,65 | 26,85 | 98,04 | 107,06 | 200,86 | -14,69 | -57,43 | 1,31 | 10,72 | 22,80 | 90,91 | 26,99 | 64,72 | 23,35 | 30,90 | 15,66 | 25,97 | 3,22 | 178,43 | 43,26 | 8,77 | 8,03 | 37,11 | 34,05 | 56,66 | 50,24 | 54,34 | 86,94 | 74,08 | 55,71 | 69,22 | 60,57 | 78,43 | 78,55 | 76,32 | 75,76 |
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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 | 9.779,70 | 9.494,73 | 8.980,91 | 8.974,95 | 8.527,52 | 8.022,51 | 7.613,29 | 7.281,56 | 7.269,49 | 7.336,51 | 7.042,53 | 6.692,47 | 6.476,72 | 6.193,42 | 5.958,28 | 6.057,52 | 5.807,07 | 5.616,04 | 5.149,26 | 5.035,28 | 5.154,55 | 5.042,06 | 5.114,08 | 4.701,71 | 4.593,08 | 4.755,82 | 4.703,51 | 5.173,36 | 4.428,27 | 4.454,90 | 5.106,99 | 4.526,09 | 4.531,96 | 4.419,21 | 4.054,08 | 4.017,36 | 4.212,54 | 4.046,31 | 4.005,25 | 3.355,43 | 3.547,08 | 3.404,12 | 3.368,13 | 3.150,33 | 2.867,88 |
| Ativo Circulante | 6.022,31 | 5.717,71 | 5.240,04 | 5.406,67 | 5.011,96 | 4.744,67 | 4.614,02 | 4.207,52 | 4.213,42 | 4.049,80 | 3.765,37 | 3.528,40 | 3.330,02 | 3.138,89 | 3.162,18 | 3.270,50 | 3.026,82 | 2.919,93 | 2.870,79 | 2.871,67 | 3.048,48 | 2.961,98 | 3.071,54 | 2.762,95 | 2.726,99 | 2.871,89 | 2.798,32 | 3.290,02 | 2.547,06 | 2.454,62 | 3.025,28 | 2.613,54 | 2.643,48 | 2.727,61 | 2.439,31 | 2.405,68 | 2.605,34 | 2.496,15 | 2.643,90 | 2.182,53 | 2.362,59 | 2.178,32 | 2.279,00 | 2.028,61 | 1.834,43 |
| Caixa | 1.990,62 | 1.953,44 | 1.762,81 | 1.770,20 | 1.343,96 | 1.470,38 | 1.430,05 | 1.331,78 | 1.356,11 | 948,93 | 1.100,18 | 1.233,93 | 1.174,77 | 1.073,06 | 989,61 | 955,76 | 805,86 | 911,67 | 966,34 | 868,15 | 906,45 | 773,91 | 982,28 | 900,16 | 975,24 | 1.004,65 | 1.028,27 | 1.361,67 | 814,47 | 932,10 | 929,16 | 739,12 | 933,25 | 595,58 | 696,68 | 653,75 | 760,63 | 755,40 | 915,42 | 386,04 | 719,90 | 702,46 | 814,57 | 673,30 | 568,17 |
| Contas a Receber | 1.641,37 | 1.460,51 | 1.219,82 | 1.303,64 | 1.401,30 | 1.167,73 | 1.258,97 | 1.120,39 | 1.283,82 | 1.232,44 | 985,28 | 892,96 | 738,76 | 846,84 | 931,31 | 1.218,48 | 1.174,72 | 976,25 | 877,92 | 927,88 | 1.052,93 | 997,34 | 1.002,74 | 802,47 | 734,07 | 826,55 | 801,88 | 940,65 | 834,22 | 785,18 | 1.103,87 | 1.006,02 | 972,68 | 1.161,70 | 1.006,06 | 991,14 | 1.140,35 | 1.083,29 | 953,67 | 1.009,80 | 985,88 | 956,90 | 895,29 | 863,17 | 813,61 |
| Estoques | 1.951,75 | 1.942,19 | 1.931,20 | 1.963,07 | 1.896,40 | 1.743,88 | 1.415,29 | 1.335,93 | 1.224,09 | 1.419,80 | 1.202,32 | 1.010,56 | 917,10 | 842,48 | 823,65 | 737,29 | 681,22 | 707,52 | 649,96 | 663,56 | 686,03 | 728,62 | 650,75 | 563,59 | 500,94 | 502,31 | 466,72 | 498,44 | 424,96 | 433,19 | 512,69 | 504,48 | 505,29 | 463,30 | 429,76 | 442,21 | 474,52 | 451,86 | 471,81 | 449,97 | 399,08 | 408,56 | 327,99 | 289,30 | 264,54 |
| Ativo Não Circulante | 3.757,40 | 3.777,02 | 3.740,87 | 3.568,28 | 3.515,56 | 3.277,84 | 2.999,27 | 3.074,04 | 3.056,06 | 3.286,71 | 3.277,16 | 3.164,08 | 3.146,70 | 3.054,53 | 2.796,10 | 2.787,02 | 2.780,24 | 2.696,11 | 2.278,48 | 2.163,62 | 2.106,07 | 2.080,08 | 2.042,54 | 1.938,77 | 1.866,09 | 1.883,93 | 1.905,19 | 1.883,34 | 1.881,20 | 2.000,28 | 2.081,71 | 1.912,56 | 1.888,48 | 1.691,60 | 1.614,77 | 1.611,68 | 1.607,21 | 1.550,16 | 1.361,36 | 1.172,90 | 1.184,50 | 1.225,80 | 1.089,13 | 1.121,72 | 1.033,45 |
| Imobilizado | 1.399,12 | 1.358,09 | 1.323,32 | 1.242,67 | 1.184,51 | 1.103,36 | 1.053,21 | 1.044,00 | 1.045,68 | 992,33 | 994,16 | 989,13 | 1.010,56 | 1.007,99 | 1.029,01 | 1.038,84 | 1.022,42 | 989,24 | 864,34 | 835,67 | 786,63 | 763,22 | 749,53 | 710,87 | 701,77 | 709,86 | 705,81 | 760,22 | 583,49 | 584,61 | 534,32 | 499,24 | 474,45 | 400,02 | 372,53 | 357,63 | 328,70 | 321,47 | 313,17 | 416,84 | 404,70 | 379,08 | 349,48 | 331,58 | 326,37 |
| Intangíveis | 319,24 | 301,20 | 305,80 | 300,48 | 261,89 | 241,56 | 240,11 | 239,71 | 248,06 | 322,00 | 329,64 | 321,91 | 346,60 | 334,83 | 367,78 | 350,15 | 337,03 | 313,88 | 270,53 | 233,10 | 236,63 | 243,59 | 238,94 | 219,41 | 214,72 | 217,81 | 235,84 | 224,96 | 272,02 | 300,18 | 314,40 | 279,35 | 285,61 | 266,67 | 260,10 | 261,95 | 279,83 | 273,10 | 211,24 | 216,68 | 215,50 | 193,00 | 78,60 | 80,30 | 82,23 |
| Passivo Total | 5.392,19 | 5.268,25 | 4.967,11 | 5.054,08 | 4.779,24 | 4.416,80 | 4.198,18 | 3.990,91 | 4.096,72 | 4.258,88 | 4.010,14 | 3.727,82 | 3.580,98 | 3.460,17 | 3.311,10 | 3.542,53 | 3.280,41 | 3.146,13 | 2.869,52 | 2.805,77 | 2.972,38 | 2.920,35 | 3.072,57 | 2.751,76 | 2.705,45 | 2.853,69 | 2.838,38 | 3.230,63 | 2.683,78 | 2.653,49 | 3.212,28 | 2.794,38 | 2.792,72 | 2.835,77 | 2.554,05 | 2.552,00 | 2.786,00 | 2.707,63 | 2.733,69 | 2.068,28 | 2.319,99 | 2.242,95 | 2.284,85 | 2.142,05 | 1.918,57 |
| Passivo Circulante | 3.154,30 | 3.061,25 | 3.080,46 | 3.035,52 | 2.669,83 | 2.281,80 | 2.138,06 | 1.972,01 | 2.128,14 | 2.584,62 | 2.333,56 | 1.972,71 | 1.626,57 | 1.708,09 | 1.745,50 | 1.919,41 | 1.663,33 | 1.706,40 | 1.572,78 | 1.531,11 | 1.725,70 | 1.829,13 | 1.970,82 | 1.478,78 | 1.469,59 | 1.541,22 | 1.469,54 | 1.741,83 | 1.392,99 | 1.357,99 | 1.566,80 | 1.369,64 | 1.364,19 | 1.166,11 | 1.004,65 | 980,07 | 1.201,21 | 1.195,73 | 1.418,98 | 1.414,99 | 1.644,40 | 1.262,81 | 1.399,32 | 979,24 | 798,30 |
| Passivo Não Circulante | 2.237,89 | 2.207,01 | 1.886,65 | 2.018,57 | 2.109,40 | 2.134,99 | 2.060,12 | 2.018,90 | 1.968,58 | 1.674,26 | 1.676,59 | 1.755,11 | 1.954,41 | 1.752,08 | 1.565,60 | 1.623,12 | 1.617,08 | 1.439,73 | 1.296,74 | 1.274,66 | 1.246,68 | 1.091,22 | 1.101,75 | 1.272,98 | 1.235,86 | 1.312,47 | 1.368,84 | 1.488,80 | 1.290,79 | 1.295,50 | 1.645,49 | 1.424,74 | 1.428,52 | 1.669,66 | 1.549,40 | 1.571,94 | 1.584,80 | 1.511,90 | 1.314,72 | 653,28 | 675,58 | 980,14 | 885,52 | 1.162,81 | 1.120,27 |
| Patrimônio Líquido | 4.387,51 | 4.226,48 | 4.013,80 | 3.920,86 | 3.748,28 | 3.605,71 | 3.415,12 | 3.290,64 | 3.172,77 | 3.077,62 | 3.032,39 | 2.964,65 | 2.895,73 | 2.733,26 | 2.647,18 | 2.514,99 | 2.526,66 | 2.469,91 | 2.279,74 | 2.229,51 | 2.182,18 | 2.121,71 | 2.041,51 | 1.949,96 | 1.887,63 | 1.902,13 | 1.865,13 | 1.942,72 | 1.744,49 | 1.801,42 | 1.894,70 | 1.731,71 | 1.739,24 | 1.583,44 | 1.500,03 | 1.465,36 | 1.426,54 | 1.338,68 | 1.271,56 | 1.287,16 | 1.227,10 | 1.161,17 | 1.083,29 | 1.008,28 | 949,31 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 74,99 | 148,69 | 274,22 | -257,97 | 45,04 | -61,08 | 89,48 | 71,62 | -29,72 | 193,32 | 379,56 | 105,08 | 88,14 | 65,28 | 46,29 |
| FCI (Investimentos) | -62,85 | -59,98 | -37,09 | -13,75 | -32,52 | -49,32 | -28,15 | -25,88 | -0,43 | -34,89 | -38,89 | -28,91 | -125,74 | -150,81 | -28,88 |
| FCF (Financiamento) | -322,31 | -161,64 | -44,38 | 195,99 | -70,96 | -90,57 | -19,86 | -104,52 | -148,40 | -349,00 | -63,63 | -45,81 | 579,78 | -115,94 | -120,52 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 1.906,19 | 1.925,52 | 1.910,69 | 1.092,07 | 908,80 | 1.045,92 | 1.031,12 | 846,80 | 587,88 | 464,66 | 736,91 | 864,77 | 895,32 | 1.022,55 | 910,66 |
| Insumos de Terceiros | -1.259,84 | -1.302,33 | -1.372,54 | -921,12 | -805,97 | -782,40 | -755,27 | -637,57 | -466,98 | -334,38 | -506,55 | -611,44 | -653,51 | -702,97 | -639,78 |
| Valor Adicionado Bruto | 646,35 | 623,19 | 538,15 | 170,95 | 102,83 | 263,52 | 275,86 | 209,23 | 120,90 | 130,27 | 230,36 | 253,33 | 241,81 | 319,58 | 270,88 |
| Retencoes | -38,24 | -40,62 | -34,70 | -26,64 | -26,17 | -22,56 | -18,37 | -12,76 | -12,17 | -11,31 | -11,41 | -10,71 | -8,81 | -10,06 | -8,94 |
| VA Liquido Produzido | 608,10 | 582,56 | 503,45 | 144,31 | 76,66 | 240,96 | 257,49 | 196,46 | 108,73 | 118,96 | 218,95 | 242,62 | 233,01 | 309,53 | 261,94 |
| VA Recebido em Transferencia | 232,07 | 152,22 | 205,78 | 344,54 | 126,72 | 284,50 | 45,60 | 68,42 | 131,55 | 141,57 | 99,53 | 54,31 | 50,37 | 73,43 | 49,58 |
| VA Total a Distribuir | 840,17 | 734,78 | 709,24 | 488,85 | 203,38 | 525,46 | 303,09 | 264,88 | 240,28 | 260,53 | 318,48 | 296,93 | 283,38 | 382,96 | 311,51 |
| Pessoal | 409,63 | 337,11 | 228,27 | 156,05 | 111,29 | 202,89 | 190,06 | 177,46 | 134,56 | 128,80 | 173,37 | 170,63 | 162,23 | 169,01 | 126,51 |
| Impostos e Contribuicoes | 74,91 | 1,03 | 94,07 | -11,78 | -42,98 | -45,48 | 34,25 | 13,49 | 8,09 | 10,70 | -1,32 | 25,53 | 9,40 | 75,32 | 79,98 |
| Juros e Alugueis | 112,56 | 79,70 | 150,62 | 246,53 | 149,75 | 357,34 | 51,79 | 43,03 | 94,41 | 112,26 | 112,38 | 46,44 | 56,04 | 60,19 | 29,27 |
| Remuneracao de Capitais Proprios | 243,07 | 316,94 | 236,28 | 98,04 | -14,69 | 10,72 | 26,99 | 30,90 | 3,22 | 8,77 | 34,05 | 54,34 | 55,71 | 78,43 | 75,76 |