| Dec 25 | Dec 24 | Dec 23 | Dec 22 | Dec 21 | |
|---|---|---|---|---|---|
| Income Statement | |||||
| Total Revenue | R$ 17.21B | R$ 17.88B | R$ 16.13B | R$ 15.12B | R$ 14.74B |
| Gross Profit | R$ 2.85B | R$ 3.17B | R$ 5.17B | R$ 4.36B | R$ 3.09B |
| Operating Income | R$ 3.94B | R$ 3.61B | R$ 4.28B | R$ 3.45B | R$ 2.87B |
| EBITDA | R$ 4.62B | R$ 4.41B | R$ 4.78B | R$ 4.91B | R$ 3.52B |
| Net Income | R$ 1.20B | R$ 1.48B | R$ 1.66B | R$ 1.49B | R$ 1.37B |
| Balance Sheet | |||||
| Cash & Short-Term Investments | R$ 3.53B | R$ 3.67B | R$ 2.54B | R$ 2.41B | R$ 1.36B |
| Total Assets | R$ 32.90B | R$ 30.06B | R$ 27.65B | R$ 25.26B | R$ 24.20B |
| Total Debt | R$ 19.08B | R$ 15.77B | R$ 12.45B | R$ 10.96B | R$ 9.84B |
| Net Debt | R$ 18.73B | R$ 15.54B | R$ 12.08B | R$ 10.61B | R$ 9.57B |
| Total Liabilities | R$ 26.26B | R$ 23.57B | R$ 21.68B | R$ 19.74B | R$ 19.30B |
| Stockholders' Equity | R$ 6.19B | R$ 4.30B | R$ 4.02B | R$ 3.85B | R$ 3.43B |
| Cash Flow | |||||
| Free Cash Flow | R$ 14.29M | R$ 1.10B | R$ 2.25B | R$ 1.80B | R$ -327.82M |
| Operating Cash Flow | R$ 3.59B | R$ 4.01B | R$ 4.23B | R$ 3.82B | R$ 1.04B |
| Investing Cash Flow | R$ -2.34B | R$ -3.60B | R$ -2.28B | R$ -2.30B | R$ 806.50M |
| Financing Cash Flow | R$ -1.13B | R$ -561.93M | R$ -1.92B | R$ -1.45B | R$ -2.32B |
Rede Energia S.A. Forecast EPS vs Actual EPS
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