SMTO3 São Martinho S.A.
NOVO MERCADO
Ação
R$ 18,24
-1,08%
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 | 1.592,30 | 1.738,64 | 1.857,16 | 1.822,34 | 1.958,41 | 1.643,71 | 1.592,40 | 1.534,99 | 1.342,59 | 1.534,09 | 1.581,80 | 1.697,46 | 1.531,73 | 1.417,80 | 1.287,78 | 1.210,98 | 919,73 | 1.021,02 | 1.029,19 | 766,66 | 751,73 | 840,78 | 638,71 | 757,18 | 895,07 | 614,02 | 812,27 | 605,42 | 603,67 | 554,75 | 694,69 | 587,66 | 367,18 | 497,12 | 397,71 | 378,01 | 312,83 | 504,26 | 396,24 | 394,92 | 546,91 | 290,31 | 380,45 | 398,12 | 328,95 |
| Custo dos Produtos | -1.129,86 | -1.206,83 | -1.424,61 | -1.394,03 | -1.390,57 | -1.131,54 | -1.252,45 | -1.052,00 | -831,60 | -1.067,98 | -1.048,24 | -1.116,40 | -828,68 | -789,02 | -796,65 | -749,05 | -588,63 | -701,23 | -663,48 | -538,01 | -553,03 | -619,82 | -452,52 | -500,15 | -549,94 | -450,04 | -536,88 | -458,84 | -435,66 | -397,77 | -508,35 | -409,51 | -274,10 | -347,35 | -269,23 | -259,12 | -229,20 | -343,60 | -283,22 | -312,88 | -387,05 | -218,17 | -281,79 | -244,65 | -232,01 |
| Lucro Bruto | 462,44 | 531,81 | 432,55 | 428,31 | 567,85 | 512,17 | 339,95 | 481,99 | 510,99 | 466,11 | 533,55 | 581,06 | 703,06 | 628,78 | 491,12 | 461,93 | 331,10 | 319,79 | 365,71 | 228,66 | 198,70 | 220,96 | 186,19 | 257,03 | 345,12 | 163,98 | 275,39 | 146,58 | 168,01 | 156,98 | 186,34 | 178,15 | 93,08 | 149,77 | 128,48 | 118,88 | 83,62 | 160,66 | 113,02 | 82,03 | 159,87 | 72,14 | 98,65 | 153,47 | 96,94 |
| Despesas Operacionais | -138,14 | -164,36 | -129,10 | 49,13 | -150,68 | -148,55 | -106,30 | 375,85 | -130,50 | 337,30 | -94,47 | -65,24 | 333,65 | -84,01 | -118,96 | -86,44 | 292,69 | -98,24 | 252,88 | -87,26 | -66,30 | -67,10 | -69,66 | -64,63 | -75,75 | -73,35 | -75,19 | -26,05 | -39,87 | -44,68 | -33,41 | -62,98 | -28,58 | -45,58 | 36,35 | -26,96 | -31,33 | -60,19 | -58,43 | -46,24 | -66,60 | -41,93 | -26,35 | -55,56 | -36,10 |
| EBIT | 324,30 | 367,45 | 303,45 | 477,44 | 417,16 | 363,62 | 233,66 | 857,84 | 380,49 | 803,42 | 439,08 | 515,82 | 1.036,71 | 544,77 | 372,17 | 375,49 | 623,79 | 221,56 | 618,59 | 141,40 | 132,40 | 153,86 | 116,54 | 192,40 | 269,38 | 90,63 | 200,20 | 120,53 | 128,14 | 112,30 | 152,93 | 115,17 | 64,50 | 104,19 | 164,84 | 91,93 | 52,29 | 100,47 | 54,59 | 35,80 | 93,26 | 30,21 | 72,30 | 97,91 | 60,84 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -219,56 | -208,62 | -237,98 | -358,43 | -171,77 | -328,13 | -139,82 | -282,28 | -160,82 | -273,38 | -173,58 | -298,80 | -132,84 | -48,93 | -129,44 | -66,22 | -150,44 | -72,85 | -199,40 | -80,15 | -63,52 | -75,03 | -57,60 | -38,58 | -52,92 | -37,56 | -39,29 | -64,97 | -54,61 | -73,02 | -74,53 | -101,92 | -56,03 | -59,16 | -28,14 | -20,92 | -11,35 | -16,50 | -1,79 | -32,19 | -21,39 | -27,26 | -16,44 | -25,48 | -9,14 |
| LAIR | 104,74 | 158,83 | 65,47 | 119,01 | 245,39 | 35,48 | 93,83 | 575,56 | 219,67 | 530,03 | 265,50 | 217,02 | 903,87 | 495,84 | 242,73 | 309,27 | 473,34 | 148,70 | 419,19 | 61,25 | 68,88 | 78,84 | 58,93 | 153,82 | 216,45 | 53,07 | 160,91 | 55,56 | 73,54 | 39,28 | 78,40 | 13,26 | 8,46 | 45,03 | 136,70 | 71,01 | 40,94 | 83,97 | 52,81 | 3,60 | 71,87 | 2,95 | 55,86 | 72,43 | 51,70 |
| IR/CSLL | 319,34 | 17,59 | -2,64 | 38,91 | -57,94 | 70,84 | 116,80 | -157,47 | 0,60 | -100,34 | -52,91 | 4,56 | -206,93 | -127,43 | -52,64 | -37,10 | -141,45 | -32,00 | -76,27 | 0,73 | 22,58 | -12,91 | -0,38 | -49,87 | -47,97 | -0,06 | -44,04 | 0,28 | -4,62 | 0,39 | -2,38 | 7,80 | 19,83 | 9,48 | -20,19 | -10,28 | -7,99 | -23,08 | -18,08 | 3,71 | -21,35 | -0,57 | -10,99 | -23,76 | -13,74 |
| Lucro Liquido | 424,08 | 176,42 | 62,83 | 157,92 | 187,45 | 106,32 | 210,64 | 418,09 | 220,27 | 429,69 | 212,60 | 221,58 | 696,94 | 368,41 | 190,09 | 272,16 | 331,89 | 115,71 | 342,92 | 61,98 | 91,46 | 65,93 | 58,55 | 103,96 | 168,48 | 53,02 | 116,87 | 55,84 | 68,91 | 39,67 | 76,02 | 21,05 | 28,30 | 54,51 | 116,51 | 60,73 | 32,96 | 60,89 | 34,73 | 7,31 | 50,52 | 2,38 | 44,88 | 48,67 | 37,96 |
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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 | 23.139,36 | 22.657,14 | 21.912,20 | 22.315,80 | 21.205,84 | 21.645,46 | 19.492,88 | 19.137,14 | 18.970,98 | 18.855,77 | 18.067,01 | 17.964,46 | 14.398,28 | 13.815,36 | 13.108,36 | 12.280,82 | 12.357,33 | 11.920,22 | 11.507,78 | 11.528,43 | 12.389,76 | 9.467,26 | 9.573,13 | 9.506,61 | 9.286,46 | 9.399,91 | 9.170,45 | 7.709,19 | 7.585,46 | 7.222,34 | 7.123,64 | 7.328,06 | 7.331,56 | 6.779,50 | 6.554,44 | 5.459,43 | 4.984,01 | 4.962,98 | 4.897,54 | 5.449,36 | 5.513,69 | 5.392,98 | 4.834,42 | 4.409,81 | 4.211,30 |
| Ativo Circulante | 7.793,15 | 7.742,42 | 6.596,56 | 7.586,11 | 6.763,00 | 6.948,81 | 6.284,26 | 6.119,89 | 5.880,01 | 6.395,73 | 5.918,59 | 5.773,01 | 4.633,13 | 4.817,14 | 3.782,30 | 3.699,20 | 4.242,98 | 3.511,29 | 3.783,31 | 3.649,10 | 3.819,27 | 3.378,65 | 3.640,23 | 3.212,53 | 3.262,69 | 3.474,13 | 3.097,40 | 2.303,72 | 2.382,74 | 1.988,87 | 1.770,25 | 2.020,24 | 1.936,17 | 1.616,65 | 1.540,99 | 1.300,85 | 1.005,36 | 1.006,52 | 880,26 | 1.303,39 | 1.335,06 | 1.178,46 | 1.013,57 | 848,75 | 663,88 |
| Caixa | 45,59 | 113,45 | 190,34 | 1.352,34 | 221,59 | 205,44 | 124,30 | 111,88 | 86,02 | 252,86 | 130,57 | 175,09 | 323,65 | 246,81 | 45,01 | 237,70 | 121,33 | 236,86 | 18,09 | 48,62 | 76,42 | 152,62 | 197,82 | 313,81 | 373,08 | 327,56 | 79,79 | 230,41 | 212,83 | 170,20 | 345,55 | 592,95 | 1.007,81 | 532,28 | 539,07 | 761,05 | 442,73 | 490,70 | 468,68 | 574,01 | 711,34 | 793,06 | 464,10 | 274,63 | 323,88 |
| Contas a Receber | 415,24 | 439,59 | 543,84 | 791,84 | 552,75 | 595,69 | 450,52 | 363,62 | 325,02 | 371,46 | 448,22 | 431,74 | 370,41 | 532,97 | 268,85 | 312,88 | 306,39 | 266,66 | 377,97 | 253,66 | 171,09 | 292,39 | 249,03 | 215,03 | 331,45 | 215,67 | 303,50 | 207,49 | 108,33 | 142,49 | 197,11 | 191,04 | 116,74 | 197,36 | 137,50 | 142,81 | 126,26 | 140,52 | 91,10 | 117,80 | 128,90 | 64,60 | 63,69 | 62,49 | 55,31 |
| Estoques | 2.025,93 | 2.004,34 | 871,98 | 1.951,03 | 2.021,94 | 1.136,96 | 2.400,95 | 2.377,09 | 1.236,91 | 1.819,07 | 2.205,74 | 1.108,23 | 1.550,36 | 1.843,38 | 940,83 | 1.093,09 | 1.331,74 | 720,18 | 1.035,97 | 1.229,07 | 650,93 | 1.131,24 | 1.365,31 | 727,08 | 1.022,08 | 1.111,89 | 590,60 | 693,59 | 777,85 | 468,58 | 657,41 | 702,61 | 486,98 | 616,05 | 667,31 | 235,58 | 313,30 | 249,80 | 142,70 | 478,63 | 390,80 | 199,29 | 384,01 | 443,85 | 216,39 |
| Ativo Não Circulante | 15.346,21 | 14.914,72 | 15.315,64 | 14.729,69 | 14.441,84 | 14.696,65 | 13.208,62 | 13.017,25 | 13.090,97 | 12.460,04 | 12.148,41 | 12.191,45 | 9.765,15 | 8.998,22 | 9.326,05 | 8.581,63 | 8.114,34 | 8.408,93 | 7.724,48 | 7.879,33 | 8.570,49 | 6.088,60 | 5.932,90 | 6.294,08 | 6.023,78 | 5.925,78 | 6.073,05 | 5.405,47 | 5.202,72 | 5.233,46 | 5.353,39 | 5.307,83 | 5.395,39 | 5.162,84 | 5.013,46 | 4.158,58 | 3.978,64 | 3.956,46 | 4.017,27 | 4.145,97 | 4.178,64 | 4.214,51 | 3.820,84 | 3.561,07 | 3.547,42 |
| Imobilizado | 10.824,74 | 10.675,37 | 11.119,98 | 10.650,66 | 10.618,08 | 10.905,89 | 10.236,40 | 10.140,90 | 10.333,57 | 9.951,94 | 10.010,98 | 10.106,40 | 7.905,16 | 7.552,95 | 7.793,32 | 7.180,46 | 6.984,71 | 7.313,08 | 6.844,12 | 7.078,44 | 7.628,36 | 5.261,51 | 5.091,79 | 5.319,72 | 5.100,89 | 4.994,16 | 5.142,52 | 3.972,58 | 3.904,28 | 3.952,10 | 3.268,06 | 3.274,24 | 3.344,97 | 3.210,48 | 3.095,69 | 2.693,00 | 2.614,70 | 2.587,01 | 2.615,25 | 3.192,41 | 3.206,02 | 3.255,37 | 3.052,82 | 2.842,66 | 2.858,49 |
| Intangíveis | 456,82 | 451,21 | 447,05 | 453,16 | 458,14 | 451,10 | 453,38 | 458,72 | 459,23 | 461,89 | 455,46 | 459,82 | 452,70 | 452,98 | 455,57 | 452,03 | 453,24 | 459,92 | 466,18 | 468,27 | 473,06 | 478,86 | 456,87 | 463,25 | 461,70 | 463,58 | 468,41 | 473,74 | 476,38 | 483,74 | 488,29 | 491,42 | 494,64 | 488,24 | 528,32 | 191,86 | 140,40 | 178,39 | 178,86 | 86,53 | 87,95 | 68,91 | 83,80 | 37,82 | 36,55 |
| Passivo Total | 15.840,74 | 15.685,66 | 14.977,88 | 15.799,58 | 14.638,16 | 15.166,50 | 13.013,32 | 12.969,80 | 12.892,05 | 13.067,04 | 12.614,98 | 12.581,87 | 9.556,12 | 9.329,61 | 8.631,96 | 8.243,56 | 8.702,22 | 8.527,61 | 7.812,78 | 8.101,66 | 8.871,22 | 6.122,64 | 6.316,04 | 6.273,09 | 5.911,38 | 6.068,88 | 5.955,84 | 4.688,32 | 4.727,77 | 4.419,54 | 4.637,84 | 4.882,91 | 4.614,76 | 4.532,81 | 4.316,78 | 3.281,08 | 2.904,85 | 2.887,56 | 2.858,90 | 3.386,89 | 3.480,03 | 3.405,29 | 2.777,73 | 2.420,69 | 2.206,54 |
| Passivo Circulante | 2.713,82 | 2.707,06 | 2.637,02 | 3.344,82 | 3.365,95 | 3.868,16 | 2.413,87 | 2.616,26 | 2.479,33 | 3.029,92 | 3.160,55 | 3.061,27 | 2.095,35 | 2.189,29 | 1.795,85 | 1.791,70 | 1.888,66 | 1.918,79 | 1.377,71 | 1.462,59 | 1.891,68 | 1.196,11 | 1.325,73 | 1.107,74 | 1.772,74 | 1.577,69 | 1.711,93 | 1.408,40 | 1.540,34 | 1.716,94 | 1.223,32 | 1.415,95 | 1.231,94 | 1.251,56 | 1.424,51 | 773,04 | 812,19 | 784,41 | 680,66 | 762,87 | 785,42 | 716,68 | 627,89 | 557,57 | 383,00 |
| Passivo Não Circulante | 13.126,93 | 12.978,59 | 12.340,86 | 12.454,76 | 11.272,21 | 11.298,35 | 10.599,45 | 10.353,54 | 10.412,72 | 10.037,12 | 9.454,44 | 9.520,60 | 7.460,77 | 7.140,32 | 6.836,10 | 6.451,86 | 6.813,56 | 6.608,82 | 6.435,08 | 6.639,07 | 6.979,54 | 4.926,53 | 4.990,32 | 5.165,34 | 4.138,64 | 4.491,18 | 4.243,91 | 3.279,92 | 3.187,42 | 2.702,60 | 3.414,52 | 3.466,96 | 3.382,82 | 3.281,25 | 2.892,27 | 2.508,03 | 2.092,66 | 2.103,15 | 2.178,24 | 2.624,02 | 2.694,60 | 2.688,60 | 2.149,84 | 1.863,11 | 1.822,55 |
| Patrimônio Líquido | 7.298,62 | 6.971,48 | 6.934,32 | 6.516,22 | 6.567,68 | 6.478,96 | 6.479,56 | 6.167,34 | 6.078,94 | 5.788,72 | 5.452,02 | 5.382,59 | 4.842,16 | 4.485,74 | 4.476,40 | 4.037,27 | 3.655,11 | 3.392,61 | 3.695,00 | 3.426,77 | 3.518,54 | 3.344,62 | 3.257,08 | 3.233,53 | 3.375,08 | 3.331,03 | 3.214,61 | 3.020,88 | 2.857,70 | 2.802,80 | 2.485,80 | 2.445,15 | 2.716,80 | 2.246,68 | 2.237,66 | 2.178,35 | 2.079,16 | 2.075,42 | 2.038,63 | 2.062,47 | 2.033,66 | 1.987,69 | 2.056,69 | 1.989,13 | 2.004,76 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 584,72 | 365,32 | 457,09 | 565,14 | 621,56 | 274,63 | 140,77 | 176,48 | 125,11 | -54,94 | -26,39 | 52,69 | 146,12 | 12,31 | 93,87 |
| FCI (Investimentos) | -791,40 | -784,60 | 146,72 | -302,60 | -662,67 | 216,54 | -432,45 | -123,42 | -394,75 | 224,02 | -140,50 | -91,93 | -109,61 | -128,74 | -108,52 |
| FCF (Financiamento) | -495,68 | 403,62 | -791,21 | -202,36 | -202,23 | -346,38 | 170,49 | 119,88 | 206,97 | -265,54 | 154,59 | 248,93 | -98,98 | 498,93 | 113,47 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 2.214,80 | 2.124,75 | 1.709,30 | 2.109,84 | 1.563,56 | 1.268,33 | 1.012,21 | 999,65 | 1.004,30 | 681,88 | 495,06 | 444,38 | 457,43 | 409,34 | 422,64 |
| Insumos de Terceiros | -986,06 | -927,57 | -162,15 | -816,94 | -582,00 | -475,46 | -380,30 | -414,64 | -412,88 | -316,12 | -220,93 | -210,75 | -204,74 | -216,02 | -192,90 |
| Valor Adicionado Bruto | 1.228,74 | 1.197,18 | 1.547,15 | 1.292,91 | 980,57 | 792,87 | 631,91 | 585,01 | 591,42 | 365,75 | 274,13 | 233,63 | 252,68 | 193,31 | 229,74 |
| Retencoes | -574,18 | -447,99 | -417,30 | -512,92 | -365,98 | -362,12 | -278,65 | -199,59 | -202,06 | -131,44 | -101,92 | -78,06 | -101,79 | -77,86 | -86,27 |
| VA Liquido Produzido | 654,57 | 749,19 | 1.129,86 | 779,99 | 614,58 | 430,75 | 353,26 | 385,42 | 389,37 | 234,32 | 172,21 | 155,58 | 150,89 | 115,46 | 143,47 |
| VA Recebido em Transferencia | 188,36 | 36,21 | 320,52 | 281,21 | 279,40 | 200,00 | 107,19 | 58,96 | 75,43 | 368,92 | 297,02 | 70,77 | 35,68 | 41,29 | 29,40 |
| VA Total a Distribuir | 842,92 | 785,40 | 1.450,37 | 1.061,20 | 893,98 | 630,75 | 460,45 | 444,38 | 464,80 | 603,24 | 469,23 | 226,34 | 186,57 | 156,75 | 172,87 |
| Pessoal | 319,21 | 290,50 | 719,03 | 227,46 | 197,92 | 193,19 | 176,17 | 166,90 | 164,17 | 127,48 | 110,71 | 72,95 | 76,19 | 79,27 | 71,50 |
| Impostos e Contribuicoes | 75,79 | 28,12 | 38,16 | 64,70 | 97,54 | 51,06 | 31,53 | 76,40 | 68,95 | 13,33 | -10,55 | 17,99 | 25,26 | 3,82 | 23,54 |
| Juros e Alugueis | 385,10 | 360,46 | 472,91 | 547,46 | 408,44 | 270,80 | 161,29 | 97,12 | 114,80 | 422,76 | 340,78 | 74,68 | 50,38 | 71,28 | 39,87 |
| Remuneracao de Capitais Proprios | 62,83 | 106,32 | 220,27 | 221,58 | 190,09 | 115,71 | 91,46 | 103,96 | 116,87 | 39,67 | 28,30 | 60,73 | 34,73 | 2,38 | 37,96 |