UNIP3 Unipar Carbocloro S.A.
Ação
R$ 63,77
+2,03%
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 | 2012 | 2012 | 2012 | 2011 | 2011 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receita Liquida | 1.260,88 | 1.273,92 | 1.368,90 | 1.377,01 | 1.254,21 | 1.165,29 | 1.366,29 | 1.319,63 | 1.567,75 | 1.942,82 | 2.001,14 | 1.890,47 | 1.791,91 | 1.161,49 | 1.316,62 | 1.176,88 | 736,56 | 801,68 | 731,79 | 749,01 | 771,60 | 791,05 | 880,30 | 874,96 | 799,46 | 741,61 | 722,72 | 223,51 | 220,42 | 236,75 | 210,00 | 202,64 | 204,97 | 182,77 | 198,33 | 205,39 | 132,52 | 87,39 | 88,99 | 82,51 | 81,19 | 91,96 | 90,90 |
| Custo dos Produtos | -895,50 | -892,41 | -936,86 | -1.016,62 | -962,98 | -834,54 | -943,04 | -827,40 | -955,30 | -1.115,84 | -1.021,01 | -947,97 | -1.044,70 | -680,73 | -679,03 | -765,14 | -526,41 | -591,84 | -530,95 | -545,14 | -547,45 | -473,49 | -553,69 | -556,64 | -571,79 | -510,19 | -513,91 | -126,09 | -126,84 | -135,48 | -127,19 | -104,18 | -107,27 | -101,75 | -111,62 | -111,80 | -71,51 | -51,76 | -50,80 | -48,69 | -53,07 | -56,68 | -50,30 |
| Lucro Bruto | 365,38 | 381,51 | 432,04 | 360,39 | 291,23 | 330,75 | 423,25 | 492,23 | 612,45 | 826,98 | 980,13 | 942,50 | 747,21 | 480,76 | 637,59 | 411,74 | 210,16 | 209,84 | 200,84 | 203,87 | 224,15 | 317,56 | 326,60 | 318,33 | 227,67 | 231,42 | 208,82 | 97,42 | 93,58 | 101,27 | 83,81 | 98,45 | 97,70 | 81,03 | 86,70 | 93,59 | 61,01 | 35,63 | 38,19 | 33,82 | 28,12 | 35,28 | 40,60 |
| Despesas Operacionais | -179,32 | -69,73 | -176,36 | -230,57 | -255,60 | -213,48 | -208,41 | -180,91 | -179,14 | -240,01 | -180,74 | -172,14 | 217,12 | -104,61 | -122,68 | -148,27 | -123,82 | -168,28 | -83,27 | -120,02 | -110,31 | -134,22 | -86,79 | -46,21 | -77,18 | -134,84 | -150,56 | -50,18 | -47,24 | -38,72 | -65,13 | -57,65 | -53,83 | -73,18 | -51,05 | -36,03 | -59,59 | -10,01 | -26,21 | -26,03 | -42,64 | -21,68 | -22,34 |
| EBIT | 186,06 | 311,78 | 255,68 | 129,82 | 35,63 | 117,27 | 214,84 | 311,32 | 433,31 | 586,98 | 799,39 | 770,36 | 964,33 | 376,15 | 514,90 | 263,46 | 86,34 | 41,56 | 117,57 | 83,84 | 113,84 | 183,34 | 239,82 | 272,12 | 150,49 | 96,58 | 58,26 | 47,24 | 46,34 | 62,55 | 18,68 | 40,80 | 43,86 | 7,84 | 35,66 | 57,56 | 1,42 | 25,62 | 11,98 | 7,79 | -14,52 | 13,61 | 18,26 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | 117,57 | 83,84 | 113,84 | 183,34 | 239,82 | 272,12 | 150,49 | 96,58 | - | 47,24 | 46,34 | - | 18,68 | 68,82 | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -55,17 | 2,34 | -32,62 | 25,99 | 69,67 | 6,04 | 34,08 | 47,55 | 24,47 | -316,16 | 29,90 | -68,11 | 145,82 | 76,15 | -85,10 | -56,70 | -27,53 | -100,74 | -91,98 | -27,02 | -5,71 | -17,83 | -104,94 | -27,49 | 1,08 | -33,00 | -11,68 | -13,95 | -25,66 | -10,17 | -18,48 | -14,43 | -13,76 | -15,06 | -14,46 | -17,36 | -8,64 | -0,04 | -1,06 | -0,55 | -3,23 | 2,00 | 3,64 |
| LAIR | 130,89 | 314,12 | 223,06 | 155,81 | 105,31 | 123,31 | 248,92 | 358,87 | 457,78 | 270,82 | 829,28 | 702,25 | 1.110,15 | 452,30 | 429,81 | 206,76 | 58,81 | -59,18 | 25,58 | 56,82 | 108,13 | 165,51 | 134,87 | 244,63 | 151,57 | 63,58 | 46,58 | 33,29 | 20,68 | 52,38 | 0,20 | 26,37 | 30,10 | -7,22 | 21,20 | 40,20 | -7,22 | 25,57 | 10,93 | 7,24 | -17,76 | 16,61 | 21,90 |
| IR/CSLL | -23,63 | -82,61 | -72,71 | -36,86 | -15,77 | -67,41 | -58,12 | -172,54 | -204,82 | -73,03 | -290,13 | -253,22 | -322,10 | -205,33 | -148,00 | -50,48 | -39,64 | -35,18 | -47,90 | -56,41 | -51,94 | -19,20 | -64,12 | -80,11 | -13,22 | -36,82 | -13,74 | -14,01 | -10,26 | -16,21 | 14,20 | -5,30 | -13,55 | 8,87 | -5,48 | -10,49 | -5,12 | -4,23 | -4,81 | -4,21 | -1,16 | -5,37 | -6,88 |
| Lucro Liquido | 107,26 | 231,50 | 150,35 | 118,95 | 89,54 | 55,90 | 190,79 | 186,34 | 252,96 | 197,79 | 539,15 | 449,03 | 788,06 | 246,97 | 280,81 | 156,28 | 19,17 | -94,37 | -22,32 | 0,42 | 56,19 | 146,32 | 70,75 | 164,52 | 138,35 | 26,76 | 32,84 | 19,28 | 10,42 | 36,17 | 14,40 | 21,08 | 16,55 | 1,65 | 15,72 | 29,71 | -12,34 | 21,34 | 6,12 | 3,03 | -18,91 | 11,24 | 15,03 |
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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 | 2012 | 2012 | 2012 | 2011 | 2011 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Ativo Total | 7.633,81 | 7.539,38 | 7.280,91 | 7.582,97 | 7.158,10 | 7.104,94 | 6.198,66 | 5.872,80 | 6.038,08 | 6.454,80 | 6.875,19 | 6.456,70 | 6.075,10 | 4.907,63 | 4.841,77 | 4.335,05 | 4.108,31 | 3.931,39 | 3.636,26 | 3.727,81 | 3.926,44 | 3.978,31 | 4.094,22 | 4.273,97 | 3.561,46 | 3.614,56 | 3.480,23 | 1.706,18 | 1.712,99 | 1.745,07 | 1.711,79 | 1.678,81 | 1.738,08 | 1.666,70 | 1.650,73 | 1.695,34 | 1.387,36 | 865,19 | 828,28 | 868,05 | 882,64 | 1.011,53 | 1.033,13 |
| Ativo Circulante | 3.062,41 | 3.075,52 | 2.862,55 | 3.633,31 | 3.374,10 | 3.542,97 | 2.650,19 | 2.383,71 | 2.601,94 | 3.083,69 | 3.551,20 | 3.227,36 | 2.795,56 | 2.249,45 | 2.181,28 | 1.698,99 | 1.516,11 | 1.334,06 | 1.256,60 | 1.311,46 | 1.511,41 | 1.747,85 | 1.850,04 | 1.957,55 | 1.191,55 | 1.242,42 | 1.090,12 | 434,33 | 433,92 | 432,55 | 424,37 | 359,86 | 396,99 | 325,46 | 306,40 | 353,01 | 388,17 | 461,58 | 427,30 | 481,85 | 478,97 | 594,19 | 688,87 |
| Caixa | 1.077,38 | 1.135,63 | 773,87 | 1.122,84 | 1.538,80 | 1.876,23 | 869,81 | 795,02 | 1.101,46 | 415,02 | 547,66 | 330,67 | 824,38 | 760,35 | 845,59 | 867,25 | 743,09 | 436,37 | 170,74 | 263,85 | 268,40 | 303,93 | 140,83 | 230,28 | 67,47 | 299,06 | 170,09 | 63,66 | 73,10 | 146,23 | 155,84 | 111,38 | 171,08 | 56,68 | 43,37 | 76,44 | 60,10 | 19,70 | 5,14 | 8,17 | 5,16 | 14,28 | 32,37 |
| Contas a Receber | 559,20 | 560,13 | 582,03 | 573,84 | 521,02 | 513,68 | 472,89 | 475,07 | 583,25 | 656,96 | 798,64 | 747,86 | 788,12 | 583,08 | 642,52 | 517,36 | 404,80 | 480,67 | 420,60 | 450,04 | 415,93 | 547,30 | 642,14 | 613,59 | 514,71 | 446,95 | 471,59 | 94,14 | 94,52 | 96,33 | 88,06 | 82,51 | 85,40 | 63,01 | 83,88 | 95,29 | 94,02 | 40,73 | 41,69 | 36,88 | 33,80 | 42,86 | 38,59 |
| Estoques | 485,64 | 439,78 | 433,14 | 396,64 | 450,81 | 373,32 | 339,80 | 363,53 | 370,77 | 508,24 | 499,66 | 426,14 | 393,90 | 409,25 | 420,35 | 225,58 | 286,04 | 262,14 | 210,19 | 191,02 | 177,32 | 198,60 | 215,97 | 185,58 | 196,31 | 255,28 | 201,11 | 35,72 | 28,08 | 29,64 | 30,04 | 33,63 | 22,90 | 24,89 | 17,64 | 14,82 | 17,70 | 10,10 | 8,07 | 8,79 | 9,20 | 9,86 | 11,02 |
| Ativo Não Circulante | 4.571,40 | 4.463,86 | 4.418,36 | 3.949,66 | 3.783,99 | 3.561,97 | 3.548,48 | 3.489,09 | 3.436,14 | 3.371,11 | 3.323,98 | 3.229,35 | 3.279,53 | 2.658,18 | 2.660,49 | 2.636,05 | 2.592,20 | 2.597,32 | 2.379,65 | 2.416,35 | 2.415,03 | 2.230,47 | 2.244,17 | 2.316,42 | 2.369,91 | 2.372,14 | 2.390,11 | 1.271,85 | 1.279,06 | 1.312,52 | 1.287,42 | 1.318,94 | 1.341,10 | 1.341,24 | 1.344,33 | 1.342,32 | 999,19 | 403,61 | 400,98 | 386,20 | 403,67 | 417,33 | 344,26 |
| Imobilizado | 3.503,18 | 3.383,07 | 3.294,78 | 2.789,11 | 2.615,83 | 2.409,10 | 2.368,05 | 2.326,82 | 2.278,61 | 2.243,78 | 2.155,84 | 2.088,20 | 2.078,61 | 2.000,67 | 1.992,88 | 1.958,31 | 1.957,95 | 1.974,46 | 1.860,21 | 1.894,49 | 1.889,21 | 1.812,18 | 1.803,47 | 1.859,38 | 1.882,86 | 1.884,15 | 1.895,19 | 894,54 | 896,01 | 894,83 | 892,60 | 894,53 | 900,29 | 905,97 | 915,98 | 915,58 | 464,69 | 237,58 | 238,26 | 236,78 | 235,60 | 236,04 | 238,65 |
| Intangíveis | 300,54 | 305,51 | 308,31 | 311,89 | 315,52 | 318,72 | 316,57 | 315,94 | 315,76 | 299,64 | 302,41 | 304,92 | 295,64 | 296,97 | 299,14 | 300,60 | 301,14 | 300,45 | 299,25 | 301,82 | 296,91 | 281,40 | 283,82 | 285,23 | 287,66 | 289,09 | 290,15 | 282,73 | 283,58 | 284,42 | 285,92 | 286,77 | 287,78 | 288,91 | 273,54 | 273,61 | 346,40 | 1,14 | 1,13 | 1,12 | 1,12 | 1,16 | 1,21 |
| Passivo Total | 5.149,41 | 4.711,45 | 4.609,50 | 4.798,77 | 4.459,29 | 4.545,61 | 3.362,71 | 3.234,96 | 3.442,01 | 3.597,66 | 3.615,45 | 3.780,10 | 3.508,88 | 2.905,63 | 2.749,26 | 2.797,69 | 2.698,90 | 2.540,02 | 2.250,43 | 2.274,39 | 2.462,91 | 2.604,80 | 2.865,70 | 3.055,16 | 2.482,53 | 2.293,83 | 2.193,97 | 801,14 | 827,73 | 875,84 | 897,88 | 872,22 | 959,65 | 884,90 | 859,90 | 922,84 | 986,84 | 455,11 | 439,55 | 483,80 | 501,16 | 611,14 | 644,03 |
| Passivo Circulante | 964,23 | 1.040,66 | 1.278,32 | 1.608,84 | 1.337,19 | 1.298,50 | 1.378,08 | 1.191,43 | 1.213,42 | 1.498,54 | 1.468,78 | 1.596,35 | 1.277,92 | 1.038,46 | 1.153,70 | 1.157,64 | 1.094,79 | 995,92 | 782,17 | 807,37 | 1.104,19 | 1.066,42 | 1.240,70 | 1.357,66 | 1.276,95 | 999,82 | 953,14 | 375,43 | 408,70 | 405,78 | 306,32 | 269,16 | 310,74 | 277,55 | 251,95 | 269,28 | 242,64 | 200,79 | 200,49 | 219,24 | 137,32 | 241,79 | 202,97 |
| Passivo Não Circulante | 4.185,18 | 3.670,80 | 3.331,18 | 3.189,93 | 3.122,10 | 3.247,11 | 1.984,63 | 2.043,53 | 2.228,58 | 2.099,12 | 2.146,67 | 2.183,76 | 2.230,96 | 1.867,18 | 1.595,56 | 1.640,04 | 1.604,11 | 1.544,10 | 1.468,26 | 1.467,02 | 1.358,73 | 1.538,38 | 1.625,01 | 1.697,50 | 1.205,58 | 1.294,01 | 1.240,83 | 425,71 | 419,03 | 470,06 | 591,56 | 603,06 | 648,91 | 607,34 | 607,95 | 653,56 | 744,20 | 254,32 | 239,06 | 264,56 | 363,85 | 369,35 | 441,06 |
| Patrimônio Líquido | 2.484,40 | 2.827,93 | 2.671,41 | 2.784,19 | 2.698,81 | 2.559,33 | 2.835,95 | 2.637,84 | 2.596,08 | 2.857,14 | 3.259,74 | 2.676,60 | 2.566,22 | 2.001,00 | 2.092,51 | 1.537,36 | 1.409,41 | 1.391,37 | 1.385,83 | 1.453,42 | 1.463,52 | 1.373,51 | 1.228,52 | 1.218,81 | 1.078,93 | 1.320,72 | 1.286,26 | 905,04 | 885,26 | 869,24 | 813,91 | 806,59 | 778,44 | 781,80 | 790,83 | 772,50 | 400,52 | 410,08 | 388,73 | 384,25 | 381,48 | 400,39 | 389,11 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 155,89 | -149,01 | 107,26 | 467,53 | 139,75 | 1,64 | 163,45 | 189,95 | 56,96 | 32,40 | 66,72 | 44,81 | 26,74 | 35,47 |
| FCI (Investimentos) | -270,04 | 319,56 | 612,91 | -264,85 | -43,69 | 143,32 | 77,02 | -545,19 | -81,90 | -5,02 | -0,74 | -0,91 | 7,39 | -14,22 |
| FCF (Financiamento) | 32,06 | 368,44 | -1,34 | -101,00 | -173,51 | -7,07 | -166,02 | 507,10 | -189,43 | -8,11 | 67,35 | -17,40 | -34,60 | -13,79 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 1.691,39 | 1.431,07 | 1.902,57 | 2.323,21 | 1.655,34 | 987,49 | 965,55 | 1.083,21 | 921,86 | 308,33 | 267,13 | 277,71 | 108,76 | 119,86 |
| Insumos de Terceiros | -1.095,09 | -952,32 | -1.089,20 | -1.104,11 | -780,37 | -694,38 | -615,46 | -607,68 | -617,09 | -159,04 | -104,29 | -114,34 | -52,31 | -57,50 |
| Valor Adicionado Bruto | 596,30 | 478,75 | 813,37 | 1.219,10 | 874,97 | 293,11 | 350,09 | 475,53 | 304,77 | 149,29 | 162,84 | 163,36 | 56,45 | 62,36 |
| Retencoes | -79,85 | -70,87 | -56,77 | -55,57 | -49,81 | -47,22 | -43,19 | -36,23 | -33,28 | -12,48 | -12,74 | -11,24 | -5,33 | -5,39 |
| VA Liquido Produzido | 516,45 | 407,88 | 756,60 | 1.163,53 | 825,15 | 245,89 | 306,90 | 439,30 | 271,49 | 136,80 | 150,10 | 152,13 | 51,12 | 56,97 |
| VA Recebido em Transferencia | 24,09 | 53,90 | 75,85 | 8,77 | 66,95 | 93,26 | 44,26 | 72,30 | 13,68 | 18,34 | 0,16 | 8,05 | 6,94 | 19,25 |
| VA Total a Distribuir | 540,54 | 461,79 | 832,45 | 1.172,30 | 892,10 | 339,15 | 351,16 | 511,60 | 285,18 | 155,15 | 150,26 | 160,18 | 58,06 | 76,22 |
| Pessoal | 159,24 | 152,69 | 142,38 | 117,68 | 100,18 | 125,62 | 73,20 | 85,43 | 76,90 | 29,03 | 26,21 | 27,48 | 12,28 | 9,78 |
| Impostos e Contribuicoes | 142,21 | 165,48 | 410,64 | 499,31 | 360,70 | 113,99 | 157,77 | 202,69 | 116,15 | 60,94 | 80,94 | 77,02 | 32,02 | 35,82 |
| Juros e Alugueis | 88,74 | 87,72 | 26,47 | 106,28 | 150,41 | 193,91 | 63,99 | 58,96 | 59,28 | 29,02 | 26,55 | 25,96 | 10,74 | 15,60 |
| Remuneracao de Capitais Proprios | 150,35 | 55,90 | 252,96 | 449,03 | 280,81 | -94,37 | 56,19 | 164,52 | 32,84 | 36,17 | 16,55 | 29,71 | 3,03 | 15,03 |