PTBL3 PBG S.A.
NOVO MERCADO
Ação
R$ 2,45
+6,99%
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 | 685,07 | 686,79 | 591,86 | 661,60 | 589,08 | 525,46 | 598,02 | 548,82 | 487,75 | 597,92 | 577,46 | 524,96 | 519,38 | 464,26 | 416,39 | 414,73 | 241,74 | 274,18 | 296,49 | 277,43 | 239,23 | 277,11 | 266,15 | 245,90 | 275,61 | 258,53 | 235,63 | 273,32 | 256,58 | 241,36 | 300,25 | 259,31 | 241,36 | 251,49 | 233,04 | 206,54 | 220,94 | 207,60 | 175,76 | 207,13 | 157,17 | 149,99 | 167,90 | 140,57 | 127,70 |
| Custo dos Produtos | -432,11 | -434,41 | -367,75 | -408,09 | -373,96 | -329,65 | -357,10 | -334,26 | -295,53 | -340,52 | -324,89 | -286,57 | -295,88 | -273,85 | -237,91 | -262,59 | -186,10 | -179,03 | -201,61 | -183,96 | -163,54 | -170,10 | -156,01 | -147,63 | -163,14 | -149,83 | -139,76 | -174,88 | -169,52 | -151,79 | -189,51 | -160,88 | -150,16 | -159,00 | -146,81 | -129,71 | -139,57 | -135,14 | 0,00 | -132,12 | -101,30 | -99,50 | -110,52 | -98,86 | -88,50 |
| Lucro Bruto | 252,96 | 252,39 | 224,11 | 253,50 | 215,11 | 195,81 | 240,92 | 214,56 | 192,22 | 257,40 | 252,56 | 238,39 | 223,50 | 190,41 | 178,48 | 152,14 | 55,64 | 95,15 | 94,87 | 93,47 | 75,70 | 107,02 | 110,14 | 98,27 | 112,47 | 108,70 | 95,88 | 98,44 | 87,06 | 89,57 | 110,74 | 98,43 | 91,19 | 91,49 | 86,24 | 76,83 | 81,38 | 72,46 | 60,04 | 75,00 | 55,87 | 50,49 | 57,38 | 41,72 | 39,20 |
| Despesas Operacionais | -204,34 | -208,68 | -198,71 | -197,49 | -167,23 | -158,12 | -182,87 | -185,56 | -172,39 | -172,10 | -163,09 | -140,27 | -138,11 | -123,88 | -113,22 | -106,29 | -65,05 | -73,47 | -76,26 | -42,79 | -85,96 | -93,45 | 39,86 | -74,66 | -78,02 | -68,44 | -53,00 | -69,18 | -66,35 | -76,91 | -54,03 | -66,62 | -52,19 | -44,13 | -59,63 | -50,48 | -46,20 | -40,23 | -35,84 | -37,61 | -29,48 | -29,31 | -25,12 | -32,35 | -32,13 |
| EBIT | 48,62 | 43,71 | 25,39 | 56,01 | 47,88 | 37,69 | 58,05 | 29,00 | 19,83 | 85,30 | 89,47 | 98,12 | 85,39 | 66,53 | 65,27 | 45,85 | -9,41 | 21,68 | 18,62 | 50,68 | -10,26 | 13,56 | 150,00 | 23,61 | 34,46 | 40,26 | 42,88 | 29,26 | 20,71 | 12,66 | 56,71 | 31,81 | 39,00 | 47,36 | 26,61 | 26,35 | 35,18 | 32,23 | 24,21 | 37,39 | 26,39 | 21,18 | 32,26 | 9,36 | 7,07 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -75,27 | -92,59 | -63,43 | -52,38 | -61,13 | -52,39 | -48,15 | -62,10 | -36,72 | -20,65 | -9,71 | -41,34 | -14,65 | -24,51 | -11,49 | -21,11 | -2,34 | 10,70 | -24,09 | -18,89 | -12,91 | -10,54 | -5,40 | -15,20 | -15,91 | -10,10 | -15,44 | -30,82 | -18,87 | -19,62 | -33,60 | -7,90 | -22,22 | -17,36 | -8,22 | -4,55 | -5,98 | -8,70 | -4,24 | -4,40 | -9,25 | -3,98 | -14,50 | -5,43 | -4,39 |
| LAIR | -26,66 | -48,88 | -38,04 | 3,63 | -13,25 | -14,70 | 9,90 | -33,09 | -16,89 | 64,65 | 79,76 | 56,77 | 70,74 | 42,02 | 53,78 | 24,74 | -11,75 | 32,38 | -5,47 | 31,79 | -23,17 | 3,02 | 144,61 | 8,41 | 18,54 | 30,17 | 27,43 | -1,56 | 1,83 | -6,96 | 23,11 | 23,90 | 16,79 | 29,00 | 18,39 | 21,80 | 29,20 | 23,54 | 19,97 | 32,99 | 17,14 | 17,20 | 17,76 | 3,94 | 2,68 |
| IR/CSLL | -14,41 | 4,69 | 5,31 | -1,00 | 1,71 | -5,00 | -5,94 | -5,20 | 1,83 | -12,17 | -25,94 | -19,13 | 9,95 | -1,84 | -13,36 | -4,11 | 63,50 | -11,37 | 2,57 | -7,67 | 5,97 | -0,44 | -48,19 | -1,41 | -0,95 | -8,29 | -7,56 | 0,64 | 2,21 | 0,74 | -7,80 | -9,65 | -5,98 | -9,92 | -5,77 | -7,23 | -7,32 | -7,27 | -6,89 | -11,38 | -4,87 | -6,04 | -5,02 | -1,69 | -0,00 |
| Lucro Liquido | -41,07 | -44,19 | -32,72 | 2,62 | -11,54 | -20,70 | 3,97 | -38,30 | -15,06 | 52,48 | 53,83 | 37,64 | 80,69 | 40,19 | 40,41 | 20,63 | 51,76 | 21,01 | -2,90 | 24,12 | -17,20 | 2,58 | 96,42 | 6,00 | 17,59 | 21,88 | 19,87 | -0,92 | 4,04 | -6,22 | 15,31 | 14,24 | 10,79 | 20,06 | 12,60 | 14,56 | 21,86 | 16,26 | 13,06 | 21,70 | 12,64 | 11,16 | 12,57 | 2,09 | 1,63 |
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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 | 3.567,10 | 3.625,76 | 3.611,34 | 3.245,86 | 3.329,25 | 3.253,68 | 3.035,53 | 3.058,12 | 2.751,98 | 2.263,21 | 2.219,93 | 2.083,97 | 2.223,58 | 1.975,02 | 1.996,07 | 2.023,35 | 1.966,32 | 2.039,74 | 1.822,29 | 1.753,03 | 1.750,62 | 1.604,13 | 1.685,22 | 1.257,95 | 1.265,78 | 1.253,84 | 1.249,50 | 1.332,72 | 1.356,77 | 1.329,59 | 1.240,96 | 1.177,14 | 1.260,45 | 1.034,17 | 946,80 | 907,44 | 903,59 | 835,54 | 747,40 | 664,11 | 635,13 | 579,48 | 579,97 | 572,03 | 588,80 |
| Ativo Circulante | 1.266,47 | 1.258,45 | 1.347,15 | 1.112,94 | 1.174,28 | 1.233,94 | 1.191,14 | 1.290,93 | 1.264,64 | 1.035,47 | 1.026,50 | 989,21 | 1.043,81 | 851,68 | 876,40 | 887,70 | 847,86 | 956,95 | 872,19 | 612,91 | 656,78 | 623,43 | 710,07 | 511,20 | 538,91 | 547,02 | 543,23 | 625,07 | 630,16 | 608,39 | 531,22 | 473,78 | 585,35 | 477,19 | 439,53 | 412,04 | 448,05 | 393,20 | 360,81 | 286,18 | 261,14 | 214,40 | 229,00 | 216,40 | 234,31 |
| Caixa | 247,13 | 286,67 | 412,04 | 180,98 | 233,55 | 324,00 | 325,73 | 409,03 | 389,75 | 134,18 | 190,61 | 224,22 | 332,91 | 174,19 | 242,89 | 289,23 | 282,08 | 324,78 | 329,37 | 54,22 | 151,17 | 132,20 | 234,31 | 65,10 | 87,23 | 98,39 | 118,66 | 159,12 | 91,12 | 89,49 | 51,17 | 27,13 | 137,50 | 78,64 | 56,23 | 24,33 | 120,44 | 73,35 | 67,10 | 15,61 | 23,28 | 6,99 | 10,08 | 13,42 | 30,74 |
| Contas a Receber | 296,35 | 278,69 | 262,85 | 287,71 | 287,33 | 282,50 | 312,78 | 314,65 | 315,60 | 426,65 | 412,89 | 358,15 | 379,41 | 343,39 | 320,14 | 307,66 | 219,94 | 243,24 | 249,82 | 251,32 | 229,76 | 257,62 | 246,65 | 225,58 | 232,12 | 227,13 | 205,25 | 229,49 | 217,56 | 198,95 | 240,66 | 210,20 | 206,66 | 196,54 | 177,63 | 163,21 | 164,32 | 166,51 | 145,83 | 147,57 | 117,72 | 112,13 | 118,56 | 103,73 | 95,59 |
| Estoques | 608,75 | 584,53 | 570,60 | 536,11 | 544,82 | 525,86 | 467,93 | 474,98 | 469,24 | 418,66 | 370,08 | 325,81 | 250,96 | 224,95 | 218,33 | 217,04 | 254,74 | 285,88 | 236,27 | 248,78 | 237,24 | 206,21 | 200,42 | 189,71 | 175,92 | 181,94 | 186,65 | 199,52 | 207,66 | 202,73 | 197,43 | 199,49 | 195,77 | 184,36 | 190,03 | 201,45 | 147,18 | 137,70 | 133,16 | 114,54 | 109,86 | 88,63 | 84,79 | 89,27 | 99,59 |
| Ativo Não Circulante | 2.300,63 | 2.367,31 | 2.264,18 | 2.132,92 | 2.154,97 | 2.019,75 | 1.844,40 | 1.767,19 | 1.487,35 | 1.227,74 | 1.193,42 | 1.094,76 | 1.179,78 | 1.123,33 | 1.119,67 | 1.135,65 | 1.118,46 | 1.082,80 | 950,10 | 1.140,12 | 1.093,85 | 980,70 | 975,15 | 746,75 | 726,86 | 706,81 | 706,28 | 707,65 | 726,61 | 721,20 | 709,74 | 703,36 | 675,10 | 556,98 | 507,27 | 495,40 | 455,54 | 442,34 | 386,58 | 377,92 | 373,00 | 365,08 | 349,97 | 355,63 | 354,49 |
| Imobilizado | 1.791,85 | 1.838,00 | 1.773,44 | 1.726,23 | 1.753,88 | 1.665,68 | 1.502,86 | 1.439,68 | 1.067,75 | 835,33 | 744,42 | 652,41 | 567,28 | 553,66 | 628,09 | 542,76 | 539,70 | 561,10 | 527,31 | 506,40 | 481,44 | 453,30 | 454,45 | 449,28 | 433,45 | 426,56 | 428,72 | 438,49 | 443,86 | 445,36 | 443,29 | 442,58 | 424,12 | 327,88 | 294,75 | 280,74 | 262,25 | 259,32 | 212,50 | 180,08 | 178,83 | 177,60 | 175,22 | 175,12 | 176,34 |
| Intangíveis | 109,02 | 108,10 | 101,76 | 98,48 | 98,98 | 93,37 | 73,33 | 55,37 | 47,68 | 39,14 | 34,04 | 30,34 | 36,86 | 33,72 | 31,12 | 25,92 | 23,70 | 23,17 | 22,31 | 22,90 | 22,96 | 20,33 | 19,99 | 20,17 | 18,48 | 19,68 | 19,50 | 21,72 | 23,10 | 24,04 | 25,44 | 25,86 | 21,95 | 16,64 | 17,08 | 17,68 | 19,57 | 18,44 | 17,10 | 13,61 | 10,78 | 6,77 | 2,58 | 1,34 | 1,44 |
| Passivo Total | 3.372,54 | 3.377,09 | 3.295,54 | 2.851,01 | 2.940,31 | 2.882,56 | 2.653,26 | 2.684,18 | 2.293,47 | 1.807,11 | 1.766,58 | 1.675,38 | 1.850,18 | 1.571,89 | 1.598,33 | 1.601,68 | 1.554,96 | 1.668,43 | 1.459,86 | 1.383,53 | 1.406,32 | 1.252,31 | 1.323,26 | 966,17 | 977,21 | 974,63 | 989,32 | 1.091,39 | 1.113,78 | 1.096,89 | 1.018,34 | 946,13 | 1.023,63 | 812,36 | 733,54 | 699,41 | 732,72 | 682,59 | 606,60 | 539,99 | 532,52 | 485,42 | 506,71 | 505,35 | 525,57 |
| Passivo Circulante | 1.325,79 | 1.334,71 | 1.546,54 | 1.340,96 | 1.344,11 | 1.138,00 | 1.213,55 | 1.191,52 | 1.122,73 | 919,02 | 788,56 | 695,01 | 769,76 | 757,85 | 760,29 | 764,17 | 675,75 | 757,73 | 590,13 | 486,83 | 454,42 | 391,75 | 446,66 | 422,28 | 457,02 | 440,83 | 426,02 | 417,93 | 611,10 | 424,03 | 582,40 | 505,07 | 553,10 | 374,50 | 321,96 | 323,33 | 312,89 | 326,75 | 278,49 | 295,97 | 286,98 | 240,54 | 255,72 | 247,77 | 259,17 |
| Passivo Não Circulante | 2.046,75 | 2.042,38 | 1.749,01 | 1.510,05 | 1.596,20 | 1.744,56 | 1.439,71 | 1.492,66 | 1.170,74 | 888,08 | 978,02 | 980,37 | 1.080,42 | 814,04 | 838,04 | 837,51 | 879,21 | 910,70 | 869,73 | 896,70 | 951,90 | 860,56 | 876,60 | 543,88 | 520,19 | 533,81 | 563,30 | 673,47 | 502,68 | 672,87 | 435,94 | 441,07 | 470,53 | 437,86 | 411,58 | 376,08 | 419,83 | 355,84 | 328,11 | 244,02 | 245,55 | 244,88 | 250,98 | 257,58 | 266,40 |
| Patrimônio Líquido | 194,56 | 248,68 | 315,79 | 394,84 | 388,94 | 371,12 | 382,27 | 373,94 | 458,51 | 456,10 | 453,34 | 408,59 | 373,40 | 403,13 | 397,74 | 421,67 | 411,36 | 371,31 | 362,42 | 369,50 | 344,31 | 351,82 | 361,96 | 291,78 | 288,57 | 279,20 | 260,18 | 241,33 | 242,99 | 232,70 | 222,63 | 231,01 | 236,82 | 221,82 | 213,26 | 208,03 | 170,87 | 152,95 | 140,80 | 124,12 | 102,61 | 94,06 | 73,26 | 66,68 | 63,22 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 143,59 | -62,67 | -11,75 | 84,95 | 40,91 | 48,21 | -21,29 | 9,90 | 38,93 | 46,07 | -14,91 | -28,91 | 1,80 | 14,54 | 0,10 |
| FCI (Investimentos) | -46,04 | -30,82 | -85,19 | -15,56 | -79,22 | -14,32 | -16,45 | -19,75 | -4,19 | -10,11 | -38,64 | -20,53 | -32,23 | -5,60 | -1,97 |
| FCF (Financiamento) | 236,19 | -67,99 | 230,60 | -34,89 | -45,12 | 15,52 | 106,29 | -19,43 | -21,82 | -34,13 | 98,68 | 16,10 | 38,66 | -12,00 | 19,82 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 743,02 | 677,37 | 602,82 | 653,04 | 504,20 | 416,06 | 294,50 | 298,15 | 291,12 | 297,54 | 298,50 | 255,38 | 216,29 | 188,49 | 159,21 |
| Insumos de Terceiros | -384,09 | -307,13 | -287,19 | -294,71 | -228,49 | -242,10 | -151,99 | -140,40 | -115,64 | -152,39 | -149,29 | -123,57 | -110,39 | -92,56 | -85,91 |
| Valor Adicionado Bruto | 358,92 | 370,24 | 315,63 | 358,33 | 275,71 | 173,96 | 142,51 | 157,75 | 175,47 | 145,15 | 149,21 | 131,81 | 105,90 | 95,92 | 73,30 |
| Retencoes | -50,22 | -43,73 | -30,36 | -20,55 | -16,74 | -20,47 | -13,00 | -10,84 | -9,84 | -9,39 | -6,48 | -6,42 | -3,53 | -4,04 | -3,95 |
| VA Liquido Produzido | 308,70 | 326,51 | 285,28 | 337,77 | 258,96 | 153,49 | 129,51 | 146,90 | 165,63 | 135,76 | 142,72 | 125,39 | 102,37 | 91,89 | 69,35 |
| VA Recebido em Transferencia | -1,03 | 8,38 | 7,68 | -9,98 | 11,87 | 51,96 | 11,20 | 8,36 | 11,00 | 25,18 | 50,04 | 11,37 | 6,93 | 9,71 | 6,86 |
| VA Total a Distribuir | 307,67 | 334,88 | 292,95 | 327,80 | 270,83 | 205,45 | 140,71 | 155,27 | 176,63 | 160,93 | 192,76 | 136,76 | 109,30 | 101,60 | 76,21 |
| Pessoal | 121,04 | 129,60 | 124,02 | 105,92 | 85,49 | 55,12 | 67,70 | 56,78 | 53,71 | 52,50 | 47,11 | 40,73 | 29,05 | 25,67 | 23,68 |
| Impostos e Contribuicoes | 147,97 | 157,52 | 131,83 | 146,01 | 115,37 | 82,30 | 62,18 | 63,96 | 72,98 | 66,51 | 68,15 | 60,68 | 53,38 | 47,83 | 37,15 |
| Juros e Alugueis | 71,38 | 68,47 | 52,17 | 38,22 | 29,56 | 47,01 | 28,04 | 27,53 | 30,06 | 48,14 | 66,71 | 20,79 | 13,81 | 16,94 | 13,75 |
| Remuneracao de Capitais Proprios | -32,72 | -20,70 | -15,07 | 37,64 | 40,41 | 21,01 | -17,20 | 6,00 | 19,87 | -6,22 | 10,79 | 14,56 | 13,06 | 11,16 | 1,63 |





























