TASA4 Taurus Armas S.A.
NIVEL 2
Ação
R$ 5,16
-0,77%
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 | 320,29 | 402,44 | 349,09 | 360,65 | 407,91 | 448,87 | 439,32 | 470,28 | 453,23 | 639,97 | 625,59 | 676,57 | 718,00 | 651,04 | 551,10 | 490,80 | 423,81 | 298,32 | 242,30 | 232,98 | 252,08 | 192,29 | 200,20 | 231,04 | 211,12 | 181,54 | 212,39 | 222,95 | 198,30 | 185,54 | 212,22 | 175,48 | 173,54 | 123,56 | 132,95 | 168,13 | 218,68 | 203,88 | 228,70 | 151,05 | 175,39 | 178,36 | 139,99 | 153,86 | 164,56 |
| Custo dos Produtos | -220,56 | -249,60 | -236,19 | -232,78 | -263,60 | -303,45 | -274,67 | -298,27 | -276,85 | -346,04 | -327,86 | -342,03 | -347,48 | -354,08 | -297,06 | -262,42 | -243,94 | -195,45 | -158,44 | -152,63 | -160,04 | -114,62 | -121,47 | -151,33 | -177,41 | -134,42 | -154,16 | -174,70 | -134,05 | -139,24 | -136,75 | -120,47 | -138,38 | -105,23 | -106,84 | -122,42 | -150,90 | -143,38 | -150,74 | -81,30 | -101,52 | -112,22 | -73,74 | -94,13 | -104,43 |
| Lucro Bruto | 99,73 | 152,85 | 112,91 | 127,87 | 144,31 | 145,41 | 164,65 | 172,02 | 176,38 | 293,93 | 297,73 | 334,54 | 370,52 | 296,96 | 254,04 | 228,38 | 179,87 | 102,87 | 83,86 | 80,36 | 92,04 | 77,67 | 78,73 | 79,71 | 33,71 | 47,13 | 58,24 | 48,26 | 64,24 | 46,30 | 75,48 | 55,01 | 35,16 | 18,32 | 26,10 | 45,71 | 67,78 | 60,50 | 77,95 | 69,76 | 73,87 | 66,15 | 66,25 | 59,72 | 60,12 |
| Despesas Operacionais | -62,99 | -114,41 | -117,43 | -96,00 | -100,30 | -89,95 | -103,39 | -98,72 | -120,29 | -120,94 | -99,76 | -100,83 | -83,02 | -79,77 | -85,59 | -82,52 | -78,65 | -63,22 | -65,24 | -31,51 | -61,17 | -60,71 | -51,57 | -50,60 | -67,27 | -61,08 | -60,59 | -77,17 | -81,18 | -70,83 | -56,68 | -51,29 | -110,26 | -86,17 | -37,55 | -41,17 | -44,77 | -52,19 | -40,92 | -39,12 | -36,36 | -35,78 | -39,10 | -42,67 | -40,24 |
| EBIT | 36,74 | 38,44 | -4,52 | 30,88 | 44,01 | 55,46 | 61,26 | 73,30 | 56,09 | 172,98 | 197,97 | 233,72 | 287,50 | 217,19 | 168,45 | 145,87 | 101,22 | 39,65 | 18,62 | 48,84 | 30,88 | 16,96 | 27,16 | 29,11 | -33,56 | -13,95 | -2,35 | -28,92 | -16,93 | -24,53 | 18,79 | 3,72 | -75,10 | -67,85 | -11,44 | 4,54 | 23,01 | 8,31 | 37,03 | 30,64 | 37,51 | 30,37 | 27,14 | 17,05 | 19,88 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -1,17 | 5,85 | 20,61 | -0,43 | -57,94 | -26,04 | -22,26 | 4,48 | -0,11 | -20,61 | -44,63 | 43,51 | -52,60 | 59,40 | -76,10 | -41,85 | -55,37 | -188,87 | -64,24 | -1,49 | -12,03 | -39,16 | -118,59 | -26,17 | 3,84 | -62,77 | -6,04 | -24,42 | 29,90 | 19,84 | -131,85 | -3,50 | -68,33 | -30,26 | -16,43 | -9,88 | -21,39 | -19,01 | -13,03 | -10,83 | -17,96 | -1,94 | -29,30 | -10,74 | -4,07 |
| LAIR | 35,57 | 44,29 | 16,09 | 30,45 | -13,93 | 29,41 | 38,00 | 77,77 | 55,98 | 152,37 | 153,34 | 277,22 | 234,90 | 276,58 | 92,35 | 104,02 | 45,84 | -149,23 | -45,62 | 47,35 | 18,85 | -22,20 | -91,43 | 2,94 | -29,73 | -76,73 | -8,39 | -53,33 | 12,97 | -4,69 | -113,06 | 0,21 | -143,42 | -98,11 | -27,87 | -5,35 | 1,62 | -10,70 | 24,01 | 19,80 | 19,55 | 28,43 | -2,16 | 6,32 | 15,81 |
| IR/CSLL | -4,10 | -11,13 | 2,54 | -4,31 | 4,94 | -10,47 | -13,73 | -28,23 | -20,04 | -48,55 | -51,33 | -81,89 | -66,79 | -82,90 | -24,10 | -4,64 | -6,97 | -8,35 | 18,40 | -4,36 | -14,28 | 64,01 | 0,42 | -1,96 | 11,24 | 51,28 | 1,94 | -2,11 | 1,59 | 1,42 | 9,78 | 4,51 | -6,47 | 3,49 | 2,26 | 0,81 | -0,50 | -9,70 | -14,81 | -8,45 | -7,45 | -11,12 | 38,26 | -6,52 | -8,66 |
| Lucro Liquido | 31,48 | 33,16 | 18,63 | 26,13 | -8,98 | 18,94 | 26,00 | 48,86 | 35,40 | 103,14 | 100,82 | 194,99 | 166,41 | 193,63 | 68,10 | 102,24 | 39,04 | -157,12 | -26,37 | 43,63 | 4,05 | 47,97 | -93,78 | 1,19 | -18,49 | -25,45 | -6,45 | -55,44 | 14,56 | -3,27 | -103,28 | 4,72 | -149,89 | -94,62 | -25,61 | -4,54 | 1,12 | -20,40 | 9,19 | 8,58 | -114,94 | 12,14 | 16,47 | -0,20 | 7,15 |
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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 | 2.489,84 | 2.563,36 | 2.537,35 | 2.324,48 | 2.288,49 | 2.176,19 | 2.170,63 | 2.050,21 | 2.233,35 | 2.340,90 | 2.158,51 | 2.083,73 | 1.863,30 | 1.643,00 | 1.697,89 | 1.295,71 | 1.228,24 | 1.170,34 | 1.084,83 | 1.012,43 | 948,42 | 980,38 | 817,48 | 777,46 | 923,06 | 934,66 | 896,82 | 929,51 | 954,99 | 924,24 | 1.045,34 | 981,37 | 1.000,41 | 1.024,46 | 1.091,12 | 1.089,17 | 1.261,69 | 1.266,86 | 1.150,87 | 1.147,74 | 1.059,82 | 1.126,93 | 1.107,96 | 960,72 | 971,60 |
| Ativo Circulante | 1.405,12 | 1.480,44 | 1.463,28 | 1.285,02 | 1.270,14 | 1.203,95 | 1.275,88 | 1.212,21 | 1.405,76 | 1.571,08 | 1.447,45 | 1.441,76 | 1.268,67 | 1.080,49 | 1.111,51 | 870,87 | 817,60 | 772,51 | 763,36 | 706,13 | 645,13 | 635,70 | 534,88 | 501,07 | 508,23 | 512,80 | 480,41 | 538,39 | 564,40 | 508,99 | 623,44 | 588,57 | 597,57 | 634,73 | 703,46 | 695,92 | 853,66 | 854,99 | 743,70 | 746,07 | 660,38 | 753,80 | 718,79 | 609,64 | 624,36 |
| Caixa | 50,01 | 48,80 | 59,04 | 32,96 | 129,01 | 131,10 | 48,29 | 111,77 | 164,49 | 111,50 | 166,75 | 237,71 | 174,08 | 163,61 | 250,64 | 61,10 | 107,95 | 66,53 | 26,42 | 15,69 | 31,72 | 11,38 | 6,79 | 24,84 | 6,59 | 11,49 | 22,86 | 23,41 | 22,60 | 32,88 | 57,35 | 87,53 | 67,96 | 210,22 | 286,11 | 232,81 | 327,81 | 337,11 | 247,34 | 187,27 | 134,31 | 185,98 | 60,49 | 76,36 | 92,47 |
| Contas a Receber | 256,54 | 351,79 | 337,48 | 312,25 | 288,12 | 254,77 | 274,97 | 201,64 | 276,14 | 428,36 | 409,99 | 409,42 | 412,93 | 353,77 | 315,37 | 320,14 | 245,68 | 197,83 | 167,16 | 141,35 | 150,36 | 175,43 | 121,11 | 114,14 | 166,16 | 137,90 | 157,45 | 145,42 | 160,88 | 137,56 | 176,51 | 144,52 | 193,54 | 118,55 | 105,44 | 132,08 | 206,19 | 180,43 | 161,61 | 171,56 | 166,80 | 145,12 | 141,79 | 99,51 | 109,68 |
| Estoques | 799,49 | 781,03 | 751,11 | 720,44 | 642,40 | 603,62 | 683,58 | 635,19 | 636,10 | 677,17 | 614,87 | 517,89 | 539,64 | 443,37 | 405,19 | 323,08 | 298,87 | 326,16 | 351,49 | 300,89 | 290,82 | 267,92 | 225,76 | 177,77 | 251,50 | 267,84 | 236,72 | 280,02 | 275,70 | 233,38 | 238,33 | 211,88 | 201,60 | 209,58 | 216,31 | 222,82 | 200,00 | 214,43 | 227,70 | 277,44 | 256,03 | 223,71 | 227,33 | 277,60 | 265,46 |
| Ativo Não Circulante | 1.084,72 | 1.082,92 | 1.074,07 | 1.039,46 | 1.018,35 | 972,24 | 894,76 | 837,00 | 827,59 | 769,82 | 711,05 | 641,97 | 594,63 | 563,50 | 586,38 | 424,84 | 410,64 | 397,83 | 321,47 | 306,30 | 303,29 | 344,68 | 282,61 | 276,39 | 414,83 | 421,85 | 416,41 | 391,12 | 390,59 | 415,25 | 421,90 | 392,80 | 402,83 | 389,74 | 387,66 | 393,24 | 408,03 | 411,88 | 407,17 | 401,66 | 399,45 | 373,13 | 389,17 | 351,08 | 347,23 |
| Imobilizado | 642,27 | 638,84 | 630,75 | 613,25 | 623,64 | 590,44 | 558,84 | 538,02 | 540,21 | 482,21 | 446,79 | 398,05 | 322,24 | 279,65 | 274,96 | 220,24 | 208,75 | 199,10 | 151,03 | 142,87 | 144,10 | 193,58 | 194,88 | 189,46 | 226,78 | 234,05 | 234,74 | 240,04 | 257,22 | 265,45 | 267,50 | 256,90 | 264,29 | 257,75 | 257,36 | 261,89 | 277,18 | 280,69 | 280,84 | 269,94 | 267,82 | 264,32 | 253,89 | 268,28 | 264,01 |
| Intangíveis | 191,84 | 187,76 | 188,23 | 163,00 | 141,99 | 137,75 | 137,07 | 129,48 | 128,45 | 119,97 | 104,24 | 105,42 | 100,29 | 95,16 | 98,94 | 98,39 | 95,98 | 90,19 | 79,22 | 75,48 | 73,97 | 74,59 | 73,92 | 69,52 | 72,23 | 73,53 | 71,77 | 74,34 | 77,37 | 79,06 | 80,26 | 71,33 | 72,52 | 66,36 | 64,25 | 65,62 | 66,22 | 66,16 | 59,61 | 63,90 | 63,10 | 46,35 | 42,36 | 9,74 | 13,07 |
| Passivo Total | 1.195,36 | 1.288,79 | 1.269,17 | 1.126,48 | 1.107,32 | 1.048,18 | 1.062,56 | 991,68 | 1.185,60 | 1.257,28 | 1.231,67 | 1.197,81 | 1.261,46 | 1.282,44 | 1.544,54 | 1.551,87 | 1.596,21 | 1.587,62 | 1.405,00 | 1.318,14 | 1.308,35 | 1.436,44 | 1.327,61 | 1.222,27 | 1.141,75 | 1.124,87 | 1.071,77 | 1.062,74 | 1.035,74 | 1.010,76 | 1.107,62 | 1.038,45 | 1.056,79 | 927,82 | 987,03 | 954,42 | 1.054,80 | 1.062,05 | 941,00 | 918,09 | 830,96 | 792,58 | 784,94 | 501,09 | 506,03 |
| Passivo Circulante | 929,82 | 816,01 | 860,88 | 851,43 | 893,66 | 832,87 | 788,09 | 783,53 | 970,30 | 1.015,50 | 967,01 | 914,32 | 623,86 | 581,23 | 698,83 | 594,20 | 700,92 | 713,02 | 679,21 | 624,78 | 506,62 | 609,60 | 1.087,34 | 1.004,65 | 513,07 | 436,54 | 372,74 | 934,61 | 898,19 | 807,44 | 736,54 | 656,80 | 633,10 | 530,35 | 556,89 | 679,45 | 725,28 | 720,21 | 693,80 | 660,27 | 630,07 | 457,21 | 393,94 | 259,40 | 254,45 |
| Passivo Não Circulante | 265,54 | 472,78 | 408,29 | 275,06 | 213,66 | 215,32 | 274,48 | 208,14 | 215,30 | 241,78 | 264,66 | 283,49 | 637,60 | 701,22 | 845,71 | 957,67 | 895,28 | 874,59 | 725,79 | 693,36 | 801,74 | 826,83 | 240,27 | 217,61 | 628,68 | 688,33 | 699,04 | 128,14 | 137,55 | 203,32 | 371,09 | 381,65 | 423,69 | 397,47 | 430,14 | 274,98 | 329,52 | 341,84 | 247,20 | 257,82 | 200,89 | 335,38 | 390,00 | 241,69 | 251,58 |
| Patrimônio Líquido | 1.294,48 | 1.274,57 | 1.268,18 | 1.197,00 | 1.181,17 | 1.128,00 | 1.108,07 | 1.058,54 | 1.047,75 | 1.083,62 | 926,83 | 885,92 | 601,83 | 361,55 | 153,36 | -256,16 | -367,97 | -417,28 | -320,17 | -305,72 | -359,93 | -456,06 | -510,13 | -444,81 | -218,69 | -190,22 | -174,95 | -133,23 | -80,75 | -86,51 | -62,29 | -57,08 | -56,38 | 96,64 | 104,09 | 134,74 | 206,90 | 204,81 | 209,87 | 229,65 | 228,86 | 334,34 | 323,02 | 459,63 | 465,57 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | -82,58 | 99,41 | 90,55 | 133,34 | 206,56 | 77,75 | 28,62 | 60,61 | 1,20 | 54,59 | -35,04 | 12,97 | 89,92 | -3,51 | 39,06 |
| FCI (Investimentos) | 5,36 | -15,98 | -87,62 | -80,35 | -41,95 | -11,41 | -4,80 | -5,94 | -9,98 | 0,45 | 9,67 | -2,68 | -10,96 | -20,75 | -14,42 |
| FCF (Financiamento) | 23,57 | -35,73 | -41,94 | -18,30 | 0,08 | -27,64 | -18,86 | -36,51 | 4,93 | -82,48 | -11,21 | -58,61 | -12,40 | 48,01 | -5,92 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 405,15 | 482,22 | 487,92 | 834,32 | 651,51 | 361,58 | 252,38 | 276,96 | 196,48 | 211,36 | 215,45 | 200,41 | 264,32 | 229,70 | 201,15 |
| Insumos de Terceiros | -281,54 | -326,37 | -311,57 | -384,61 | -317,42 | -213,98 | -173,80 | -176,57 | -138,77 | -138,75 | -205,61 | -126,71 | -168,34 | -121,22 | -108,56 |
| Valor Adicionado Bruto | 123,60 | 155,85 | 176,35 | 449,71 | 334,09 | 147,59 | 78,58 | 100,39 | 57,71 | 72,61 | 9,84 | 73,70 | 95,98 | 108,49 | 92,58 |
| Retencoes | -11,51 | -9,14 | -8,54 | -8,33 | -7,22 | -5,83 | -7,59 | -7,96 | -8,47 | -11,96 | -8,50 | -8,08 | -8,08 | -7,56 | -7,27 |
| VA Liquido Produzido | 112,09 | 146,71 | 167,82 | 441,38 | 326,87 | 141,76 | 70,99 | 92,43 | 49,24 | 60,65 | 1,34 | 65,62 | 87,89 | 100,93 | 85,31 |
| VA Recebido em Transferencia | 60,24 | 12,32 | 41,49 | 154,68 | 15,59 | 20,74 | 3,69 | 2,21 | 17,23 | 46,00 | 38,11 | 36,76 | 13,91 | 41,87 | 8,49 |
| VA Total a Distribuir | 172,34 | 159,03 | 209,31 | 596,06 | 342,46 | 162,50 | 74,68 | 94,64 | 66,47 | 106,65 | 39,45 | 102,38 | 101,81 | 142,80 | 93,80 |
| Pessoal | 50,86 | 52,20 | 53,87 | 62,46 | 52,03 | 36,35 | 33,77 | 30,68 | 34,62 | 73,22 | 46,31 | 40,93 | 50,23 | 38,54 | 42,24 |
| Impostos e Contribuicoes | 62,96 | 48,19 | 75,76 | 225,45 | 129,20 | 73,79 | 20,34 | 34,42 | 15,05 | 9,26 | 33,07 | 18,72 | 9,26 | 34,16 | 29,87 |
| Juros e Alugueis | 39,89 | 39,71 | 44,28 | 113,17 | 93,13 | 209,48 | 16,52 | 28,56 | 23,25 | 27,44 | 109,96 | 47,27 | 33,13 | 57,97 | 14,56 |
| Remuneracao de Capitais Proprios | 18,63 | 0,00 | 0,00 | 0,00 | 0,00 | 0,00 | 0,00 | 0,98 | -6,45 | -3,27 | -149,89 | -4,54 | 9,19 | 12,14 | 7,14 |





























