VVEO3

VVEO3 CM Hospitalar S/A

NOVO MERCADO Ação
R$ 1,51 +1,34%
Fonte: B3 Atualizado: 14/04/2026 09:21

Valores em R$ milhões. Fonte: CVM Dados Abertos

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202520252025202420242024202320232023202220222022202120212021
Receita Liquida2.833,652.815,512.784,892.953,322.753,542.958,142.844,812.534,042.799,842.273,701.946,221.899,851.495,761.616,601.485,09
Custo dos Produtos-2.418,02-2.393,06-2.400,68-2.561,40-2.356,25-2.559,05-2.417,98-2.079,38-2.367,38-1.903,29-1.622,16-1.601,58-1.229,47-1.245,89-1.281,48
Lucro Bruto415,63422,45384,22391,92397,28399,09426,84454,66432,46370,41324,06298,28266,28370,71203,61
Despesas Operacionais-137,74-337,40-312,17-572,33-363,24-329,34-259,21-259,64-277,13-238,17-198,29-174,79-240,92-65,89-138,44
EBIT277,8985,0572,05-180,4134,0569,76167,63195,02155,33132,24125,77123,4925,36304,8265,17
EBITDA---------------
Resultado Financeiro-37,89-157,67-101,45-135,62-165,97-112,77-146,33-137,80-125,69-99,64-75,88-36,35-30,26-6,73-16,74
LAIR239,00-72,62-29,40-316,03-131,92-43,0121,2957,2329,6432,6049,8987,13-4,90298,0948,43
IR/CSLL-13,121,26-29,5378,2944,2046,06-14,98-1,767,2521,28-4,219,8766,16-79,88-14,37
Lucro Liquido226,88-71,36-58,93-237,74-87,723,046,3255,4736,8953,8745,6897,0061,26218,2234,06

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202520252025202420242024202320232023202220222022202120212021
Ativo Total9.063,539.204,039.371,0310.335,5510.525,8111.096,099.962,159.001,428.952,288.257,117.079,256.816,895.691,665.353,534.510,75
Ativo Circulante4.695,574.814,005.160,125.962,696.223,276.853,255.958,884.998,765.056,354.762,974.087,034.479,873.894,193.486,482.835,66
 Caixa753,11788,88861,451.130,06720,731.137,091.033,89616,56699,09532,71731,781.276,381.706,891.318,09694,28
 Contas a Receber1.895,711.980,332.076,421.810,122.348,582.663,852.107,211.901,882.146,841.701,381.624,041.426,11967,191.057,221.112,17
 Estoques1.682,481.683,361.867,441.904,941.910,581.901,741.732,341.648,541.531,351.307,721.366,201.038,69877,12803,18710,60
Ativo Não Circulante4.367,964.390,034.210,914.372,864.302,544.242,844.003,274.002,663.895,943.494,142.992,222.337,021.797,471.867,051.675,09
 Imobilizado493,73510,57522,37536,99547,46549,80490,92480,77447,40369,11329,92307,58238,18235,38226,14
 Intangíveis2.558,522.573,692.549,182.589,962.594,832.609,092.633,032.635,962.594,212.171,061.915,811.399,651.060,891.063,42876,67
Passivo Total7.048,787.416,837.502,407.320,737.266,527.809,816.832,726.626,006.633,625.964,314.846,934.622,003.519,583.873,173.289,12
Passivo Circulante3.154,022.771,732.793,122.701,682.622,522.953,592.925,882.728,932.628,802.325,142.242,442.038,981.562,091.893,381.902,20
Passivo Não Circulante3.894,764.645,094.709,284.619,054.644,014.856,223.906,843.897,074.004,823.639,162.604,492.583,021.957,491.979,781.386,92
Patrimônio Líquido2.014,761.787,201.868,633.014,823.259,293.286,283.129,442.375,422.318,662.292,802.232,322.194,882.172,081.480,361.221,63

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20252024202320222021
FCO (Operacional)-106,28-176,99-700,92-225,91-112,86
FCI (Investimentos)525,76-114,92578,66291,76-23,18
FCF (Financiamento)-101,69956,30-221,20-154,32-107,01

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20252024202320222021
Receitas3.125,563.319,803.185,062.119,051.743,51
Insumos de Terceiros-2.750,65-2.195,75-1.972,35-1.448,10-1.453,58
Valor Adicionado Bruto374,921.124,061.212,70670,94289,93
Retencoes-79,45-73,68-61,10-40,53-21,45
VA Liquido Produzido295,461.050,381.151,60630,41268,48
VA Recebido em Transferencia76,7230,0750,61157,0163,15
VA Total a Distribuir372,181.080,441.202,21787,42331,63
Pessoal107,76124,05136,0782,3564,23
Impostos e Contribuicoes142,52805,61846,47406,64149,19
Juros e Alugueis180,83147,75182,78201,4284,14
Remuneracao de Capitais Proprios-58,933,0436,8997,0034,06