VLID3 Valid Soluções S.A.
NOVO MERCADO
Ação
R$ 20,96
+0,53%
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 | 540,40 | 490,10 | 500,67 | 579,70 | 518,15 | 484,32 | 558,41 | 534,36 | 529,28 | 496,30 | 463,95 | 579,66 | 583,43 | 541,12 | 489,71 | 522,06 | 414,62 | 463,74 | 569,04 | 463,34 | 426,78 | 478,85 | 421,85 | 386,33 | 412,11 | 391,93 | 358,52 | 425,90 | 437,80 | 443,15 | 451,29 | 378,46 | 361,09 | 342,80 | 294,51 | 300,14 | 315,81 | 275,29 | 267,28 | 231,88 | 241,98 | 231,87 | 228,21 | 211,99 | 205,00 |
| Custo dos Produtos | -360,30 | -331,91 | -332,29 | -369,32 | -328,72 | -305,12 | -362,97 | -341,04 | -321,76 | -315,93 | -293,94 | -426,09 | -443,69 | -399,43 | -392,04 | -412,82 | -372,55 | -376,93 | -433,02 | -369,73 | -334,07 | -359,24 | -318,69 | -285,80 | -312,17 | -307,42 | -281,40 | -309,98 | -325,52 | -336,58 | -334,10 | -270,72 | -264,86 | -240,85 | -215,62 | -221,98 | -229,44 | -211,13 | -201,10 | -161,28 | -167,24 | -165,43 | -159,50 | -154,74 | -151,60 |
| Lucro Bruto | 180,10 | 158,19 | 168,38 | 210,38 | 189,44 | 179,20 | 195,44 | 193,32 | 207,52 | 180,37 | 170,01 | 153,57 | 139,74 | 141,69 | 97,67 | 109,24 | 42,07 | 86,81 | 136,02 | 93,62 | 92,70 | 119,61 | 103,16 | 100,54 | 99,94 | 84,51 | 77,13 | 115,92 | 112,28 | 106,56 | 117,18 | 107,74 | 96,23 | 101,94 | 78,89 | 78,16 | 86,37 | 64,15 | 66,18 | 70,60 | 74,74 | 66,45 | 68,71 | 57,25 | 54,40 |
| Despesas Operacionais | -114,18 | -102,48 | -60,25 | -103,60 | -85,24 | 20,97 | -83,35 | -90,00 | -106,00 | -90,29 | -80,67 | -93,23 | -81,96 | -132,78 | -77,60 | -78,98 | -190,12 | -54,37 | -75,17 | -63,75 | -58,97 | -70,87 | -66,20 | -63,83 | -66,46 | -62,62 | -67,98 | -73,01 | -106,87 | -68,41 | -60,20 | -59,29 | -48,45 | -47,38 | -40,59 | -36,41 | -58,13 | -40,26 | -28,56 | -26,60 | -21,90 | -27,14 | -24,39 | -20,16 | -19,06 |
| EBIT | 65,92 | 55,71 | 108,13 | 106,78 | 104,20 | 200,17 | 112,09 | 103,32 | 101,52 | 90,08 | 89,34 | 60,34 | 57,78 | 8,91 | 20,07 | 30,26 | -148,05 | 32,44 | 60,85 | 29,87 | 33,74 | 48,74 | 36,96 | 36,70 | 33,49 | 21,90 | 9,15 | 42,90 | 5,41 | 38,15 | 56,98 | 48,45 | 47,78 | 54,56 | 38,30 | 41,75 | 28,24 | 23,89 | 37,61 | 44,00 | 52,84 | 39,31 | 44,32 | 37,09 | 35,34 |
| EBITDA | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
| Resultado Financeiro | -7,64 | -23,17 | -21,80 | 4,09 | -15,91 | -30,10 | -24,22 | -32,67 | -18,94 | -51,04 | -16,71 | -84,75 | 1,09 | -31,64 | -18,59 | -33,16 | -11,02 | -23,99 | -16,36 | -17,97 | -10,73 | -13,28 | -14,09 | -4,49 | -7,93 | -14,15 | -1,92 | -12,09 | -9,10 | -19,09 | 10,90 | -12,07 | 5,59 | -2,34 | -7,97 | -10,27 | -6,16 | 7,23 | -6,79 | -3,71 | -2,61 | -3,29 | -10,95 | -22,22 | -3,63 |
| LAIR | 58,28 | 32,54 | 86,33 | 110,87 | 88,29 | 170,07 | 87,86 | 70,64 | 82,58 | 39,04 | 72,62 | -24,41 | 58,86 | -22,73 | 1,48 | -2,90 | -159,06 | 8,45 | 44,49 | 11,90 | 23,01 | 35,46 | 22,87 | 32,21 | 25,56 | 7,75 | 7,23 | 30,82 | -3,68 | 19,06 | 67,88 | 36,38 | 53,37 | 52,22 | 30,33 | 31,48 | 22,08 | 31,12 | 30,82 | 40,29 | 50,23 | 36,02 | 33,37 | 14,87 | 31,72 |
| IR/CSLL | -6,48 | 22,34 | -12,75 | -19,44 | -8,67 | -23,44 | -26,86 | -15,45 | -22,94 | -0,33 | -26,08 | 7,93 | -6,04 | 4,46 | -4,26 | 2,43 | 10,96 | -7,44 | -11,93 | -4,95 | -8,91 | -11,23 | -9,40 | -11,91 | -10,19 | -4,32 | 0,76 | -0,58 | 2,06 | -7,29 | -24,36 | -6,02 | -17,72 | -16,03 | -6,85 | -8,05 | -1,13 | -10,77 | -4,46 | -12,85 | -9,95 | -12,73 | -10,90 | -4,09 | -10,47 |
| Lucro Liquido | 51,80 | 54,88 | 73,58 | 91,44 | 79,62 | 146,64 | 61,00 | 55,20 | 59,64 | 38,72 | -4,26 | -16,47 | 52,82 | -18,27 | -2,78 | -0,47 | -148,11 | 1,01 | 32,56 | 6,94 | 14,09 | 24,23 | 13,46 | 20,30 | 15,36 | 3,43 | 7,00 | 50,07 | -1,62 | 11,77 | 43,52 | 30,37 | 35,64 | 36,19 | 23,48 | 23,43 | 20,96 | 20,35 | 26,37 | 27,44 | 40,29 | 23,29 | 30,82 | 30,51 | 21,24 |
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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 | 2.874,06 | 2.863,66 | 2.949,03 | 2.823,30 | 2.733,82 | 2.733,30 | 2.679,66 | 2.611,02 | 2.718,05 | 3.111,94 | 2.984,00 | 2.959,34 | 3.048,87 | 2.896,77 | 3.168,88 | 3.096,70 | 3.021,78 | 2.834,47 | 2.610,68 | 2.425,50 | 2.368,99 | 2.301,21 | 2.422,28 | 2.053,48 | 2.075,91 | 2.091,92 | 2.018,55 | 2.161,36 | 1.878,16 | 2.053,62 | 2.190,42 | 1.584,05 | 1.432,23 | 1.284,56 | 1.213,63 | 1.193,61 | 1.263,55 | 1.229,86 | 1.123,30 | 883,97 | 883,71 | 937,13 | 832,00 | 807,02 | 825,94 |
| Ativo Circulante | 1.451,79 | 1.412,08 | 1.516,90 | 1.492,42 | 1.419,31 | 1.456,04 | 1.348,35 | 1.253,40 | 1.393,61 | 1.630,68 | 1.418,84 | 1.342,60 | 1.307,59 | 1.208,18 | 1.517,93 | 1.456,33 | 1.397,76 | 1.181,42 | 1.160,92 | 1.050,37 | 980,99 | 999,94 | 1.141,45 | 866,15 | 884,78 | 894,28 | 867,72 | 994,95 | 729,41 | 827,32 | 1.211,02 | 717,30 | 694,09 | 620,18 | 564,43 | 551,80 | 653,11 | 529,95 | 438,28 | 419,82 | 414,75 | 479,72 | 393,93 | 379,21 | 400,87 |
| Caixa | 493,69 | 459,13 | 587,12 | 542,16 | 525,81 | 561,74 | 434,63 | 282,50 | 330,71 | 345,45 | 234,24 | 392,76 | 368,44 | 321,80 | 533,28 | 491,60 | 524,13 | 333,88 | 342,36 | 306,28 | 290,80 | 347,56 | 497,57 | 313,67 | 308,36 | 311,54 | 353,46 | 423,03 | 119,82 | 210,80 | 245,25 | 193,10 | 188,22 | 178,52 | 151,12 | 155,31 | 253,39 | 152,00 | 99,60 | 101,20 | 87,71 | 175,67 | 109,85 | 94,25 | 124,77 |
| Contas a Receber | 454,30 | 410,80 | 432,61 | 473,17 | 411,17 | 410,39 | 429,22 | 471,01 | 549,73 | 391,65 | 354,04 | 431,74 | 456,76 | 399,95 | 442,26 | 504,99 | 454,90 | 466,84 | 456,31 | 431,73 | 418,02 | 411,40 | 391,02 | 330,08 | 368,43 | 352,55 | 308,62 | 356,65 | 356,65 | 372,25 | 368,46 | 325,39 | 319,46 | 285,75 | 260,43 | 247,69 | 256,73 | 243,01 | 225,29 | 192,41 | 180,64 | 163,88 | 154,47 | 142,93 | 149,65 |
| Estoques | 236,81 | 269,84 | 260,99 | 293,03 | 316,19 | 334,73 | 341,62 | 363,64 | 362,32 | 303,80 | 286,72 | 334,57 | 307,06 | 325,74 | 325,55 | 280,54 | 265,11 | 264,76 | 238,55 | 207,52 | 160,72 | 153,15 | 144,32 | 124,31 | 122,71 | 130,42 | 124,06 | 148,14 | 155,38 | 176,01 | 180,47 | 176,81 | 156,54 | 125,56 | 121,16 | 117,58 | 119,41 | 115,88 | 96,74 | 99,74 | 103,71 | 98,94 | 92,17 | 95,09 | 90,35 |
| Ativo Não Circulante | 1.422,28 | 1.451,58 | 1.432,12 | 1.330,88 | 1.314,51 | 1.277,26 | 1.331,32 | 1.357,62 | 1.324,44 | 1.481,26 | 1.566,15 | 1.616,75 | 1.741,28 | 1.688,58 | 1.650,95 | 1.640,37 | 1.624,01 | 1.653,05 | 1.449,77 | 1.375,13 | 1.387,00 | 1.301,27 | 1.280,83 | 1.187,34 | 1.191,14 | 1.197,64 | 1.150,83 | 1.166,41 | 1.148,75 | 1.226,29 | 979,41 | 866,75 | 738,14 | 664,38 | 649,20 | 641,81 | 610,44 | 699,91 | 685,02 | 464,14 | 468,96 | 457,41 | 439,07 | 427,81 | 425,07 |
| Imobilizado | 225,65 | 218,93 | 225,09 | 216,73 | 201,74 | 204,71 | 243,60 | 246,20 | 255,15 | 265,83 | 265,58 | 402,84 | 424,99 | 405,48 | 462,54 | 485,77 | 507,73 | 503,04 | 488,94 | 470,83 | 473,38 | 367,78 | 367,12 | 357,41 | 360,76 | 379,64 | 384,00 | 411,07 | 407,92 | 418,56 | 435,28 | 401,54 | 403,01 | 384,26 | 364,96 | 360,20 | 334,39 | 338,15 | 334,38 | 248,64 | 254,94 | 252,39 | 239,15 | 230,71 | 231,40 |
| Intangíveis | 800,67 | 836,69 | 809,25 | 642,37 | 652,81 | 618,67 | 695,28 | 694,07 | 647,49 | 717,58 | 778,74 | 787,75 | 891,26 | 848,43 | 935,16 | 911,36 | 868,11 | 914,84 | 758,97 | 715,10 | 723,95 | 701,89 | 682,74 | 615,82 | 631,46 | 626,34 | 609,25 | 626,02 | 619,64 | 676,31 | 428,09 | 358,47 | 235,71 | 195,97 | 193,06 | 192,86 | 191,92 | 176,64 | 170,95 | 171,15 | 170,34 | 169,79 | 169,54 | 168,42 | 169,16 |
| Passivo Total | 1.141,97 | 1.113,14 | 1.190,80 | 1.106,44 | 1.053,54 | 1.167,68 | 1.286,53 | 1.285,50 | 1.401,96 | 1.790,24 | 1.731,85 | 1.767,74 | 1.764,54 | 1.725,38 | 1.908,35 | 1.900,95 | 1.850,39 | 1.575,48 | 1.430,12 | 1.321,57 | 1.267,19 | 1.200,49 | 1.349,80 | 1.055,53 | 1.091,74 | 1.094,48 | 1.034,30 | 1.155,40 | 915,52 | 1.008,24 | 1.083,75 | 940,54 | 791,45 | 694,02 | 656,92 | 639,38 | 720,88 | 694,45 | 600,02 | 369,46 | 379,82 | 407,23 | 347,25 | 327,77 | 352,42 |
| Passivo Circulante | 462,51 | 464,88 | 535,97 | 519,76 | 454,95 | 515,66 | 674,22 | 618,39 | 736,51 | 891,53 | 826,95 | 904,65 | 832,66 | 743,39 | 1.163,12 | 1.045,18 | 985,75 | 707,45 | 575,38 | 520,57 | 484,30 | 445,26 | 599,44 | 443,52 | 417,82 | 395,87 | 506,29 | 578,92 | 555,26 | 408,65 | 397,11 | 344,84 | 324,76 | 305,65 | 256,91 | 199,02 | 267,38 | 242,29 | 275,71 | 216,28 | 226,10 | 214,34 | 221,05 | 202,40 | 189,00 |
| Passivo Não Circulante | 679,46 | 648,26 | 654,83 | 586,68 | 598,59 | 652,02 | 612,31 | 667,11 | 665,45 | 898,71 | 904,90 | 863,10 | 931,88 | 981,99 | 745,23 | 855,77 | 864,64 | 868,03 | 854,74 | 800,00 | 782,89 | 755,23 | 750,36 | 612,01 | 673,92 | 698,62 | 528,01 | 576,48 | 360,27 | 599,58 | 686,63 | 595,70 | 466,69 | 388,37 | 400,00 | 440,36 | 453,50 | 452,16 | 324,31 | 153,18 | 153,71 | 192,89 | 126,20 | 125,37 | 162,43 |
| Patrimônio Líquido | 1.732,09 | 1.750,51 | 1.758,22 | 1.716,86 | 1.680,28 | 1.565,62 | 1.393,14 | 1.325,52 | 1.316,09 | 1.321,71 | 1.253,14 | 1.191,60 | 1.284,33 | 1.171,38 | 1.260,53 | 1.195,74 | 1.171,39 | 1.258,99 | 1.180,56 | 1.103,93 | 1.101,80 | 1.100,72 | 1.072,48 | 997,96 | 984,18 | 997,44 | 984,25 | 1.005,96 | 962,63 | 1.045,38 | 1.106,68 | 643,51 | 640,78 | 590,55 | 556,72 | 554,24 | 542,67 | 535,40 | 523,28 | 514,50 | 503,89 | 529,90 | 485,75 | 479,25 | 473,52 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| FCO (Operacional) | 144,96 | -12,66 | 58,37 | 83,52 | -68,40 | 38,63 | 43,41 | 46,96 | -10,28 | 25,39 | 44,71 | 51,16 | -7,00 | 26,31 | -0,05 |
| FCI (Investimentos) | -31,72 | 168,77 | -11,17 | -30,97 | -64,24 | -23,40 | -19,34 | -15,99 | -3,02 | -28,19 | -40,46 | -36,29 | -6,93 | -12,56 | -8,53 |
| FCF (Financiamento) | -67,76 | -30,12 | -10,25 | -24,90 | 163,10 | -27,42 | -46,63 | -15,31 | -31,37 | -19,62 | 7,25 | -13,42 | -3,25 | -9,64 | -6,97 |
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| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Receitas | 588,94 | 537,34 | 565,71 | 615,93 | 526,12 | 504,40 | 462,25 | 420,78 | 390,00 | 474,69 | 391,96 | 330,34 | 296,02 | 264,62 | 236,44 |
| Insumos de Terceiros | -249,96 | -267,62 | -260,23 | -309,78 | -268,24 | -246,07 | -213,28 | -184,59 | -176,74 | -216,08 | -162,48 | -134,56 | -145,77 | -107,27 | -109,14 |
| Valor Adicionado Bruto | 338,99 | 269,72 | 305,48 | 306,16 | 257,87 | 258,33 | 248,98 | 236,20 | 213,26 | 258,62 | 229,48 | 195,78 | 150,26 | 157,34 | 127,29 |
| Retencoes | -25,04 | -25,77 | -29,14 | -38,40 | -36,37 | -34,36 | -32,82 | -28,86 | -28,17 | -28,88 | -18,21 | -13,66 | -9,10 | -7,00 | -6,61 |
| VA Liquido Produzido | 313,94 | 243,95 | 276,33 | 267,75 | 221,50 | 223,96 | 216,16 | 207,33 | 185,09 | 229,73 | 211,27 | 182,12 | 141,15 | 150,34 | 120,68 |
| VA Recebido em Transferencia | 34,89 | 182,70 | 45,47 | 33,08 | 17,34 | 15,75 | 13,36 | 22,53 | 21,08 | 13,00 | 16,08 | 4,38 | 5,43 | 5,87 | 3,99 |
| VA Total a Distribuir | 348,83 | 426,65 | 321,80 | 300,83 | 238,85 | 239,71 | 229,52 | 229,86 | 206,17 | 242,73 | 227,35 | 186,50 | 146,59 | 156,21 | 124,67 |
| Pessoal | 138,82 | 121,35 | 115,81 | 149,55 | 150,30 | 138,25 | 130,22 | 114,80 | 118,27 | 133,58 | 108,20 | 89,67 | 59,43 | 60,50 | 47,42 |
| Impostos e Contribuicoes | 77,94 | 78,87 | 76,00 | 44,68 | 51,41 | 57,26 | 57,36 | 58,03 | 45,90 | 52,87 | 63,85 | 48,86 | 42,33 | 57,04 | 47,49 |
| Juros e Alugueis | 58,48 | 79,79 | 69,35 | 123,07 | 39,91 | 43,20 | 27,84 | 36,73 | 34,01 | 44,52 | 19,66 | 24,54 | 18,46 | 15,39 | 8,52 |
| Remuneracao de Capitais Proprios | 73,58 | 146,64 | 59,64 | -16,47 | -2,78 | 1,01 | 14,09 | 20,30 | 7,00 | 11,77 | 35,64 | 23,43 | 26,37 | 23,29 | 21,24 |