Balanços
Demonstrações FinanceirasAnuais - 12 mesesParciais - 3 meses
BalançosDez/2007Dez/2008Dez/2009Dez/2008Dez/2009
Patrimônio L¡quido53.965.632,0096.274.640,0095.736.974,0096.274.640,0095.736.974,00
Ativo Total132.897.842,00185.779.471,00175.739.055,00185.779.471,00175.739.055,00
  Qde de Ações4.919.314,005.365.304,005.365.305,005.365.304,005.365.305,00
ATIVO CIRCULANTE21.152.005,0056.058.740,0038.257.232,0056.058.740,0038.257.232,00
REALIZÁVEL A LONGO PRAZO4.961.925,006.057.258,007.604.666,006.057.258,007.604.666,00
ATIVO PERMANENTE106.783.912,00123.663.473,00129.877.157,00123.663.473,00129.877.157,00
PASSIVO CIRCULANTE19.345.675,0018.639.037,0017.418.429,0018.639.037,0017.418.429,00
EXIGÍVEL A LONGO PRAZO54.903.162,0064.784.475,0056.776.226,0064.784.475,0056.776.226,00
ResultadosDez/2007Dez/2008Dez/2009Dez/2008Dez/2009
RECEITA LÍQUIDA64.763.466,0070.540.994,0048.496.566,0070.540.994,0048.496.566,00
  Custo Prods. Vendidos30.083.750,0032.155.623,0027.720.391,0032.155.623,0027.720.391,00
LUCRO BRUTO34.679.716,0038.385.371,0020.776.175,0038.385.371,0020.776.175,00
  Despesas com Vendas439.959,00564.866,00426.317,00564.866,00426.317,00
  Despesas Adm. Gerais2.109.666,003.053.550,001.943.250,003.053.550,001.943.250,00
  Desps. Financ. Brutas4.230.388,005.058.534,008.567.523,005.058.534,008.567.523,00
  Receitas Financ.4.507.867,001.221.000,0010.519.818,001.221.000,0010.519.818,00
  Desps. Financeiras Liqs.-277.479,003.837.534,00-1.952.295,003.837.534,00-1.952.295,00
  Res. Equiv. Patrimonial-2.404.794,00-1.324.580,00116.180,00-1.324.580,00116.180,00
  Outras Desp. Oper. L¡q.2.815.341,007.367.146,005.225.865,007.367.146,005.225.865,00
LUCRO OPERACIONAL27.187.435,0022.237.695,0015.249.218,0022.237.695,0015.249.218,00
  Res. Nao-oper. Líq.1.457.636,00138.879,0093.139,00138.879,0093.139,00
LUCRO ANTES DO IR E CS28.645.071,0022.376.574,0015.342.357,0022.376.574,0015.342.357,00
  Provisao IR e CS7.085.573,00664.728,004.925.478,00664.728,004.925.478,00
LUCRO LÍQUIDO PUBLICADO20.005.562,0021.279.629,0010.248.950,0021.279.629,0010.248.950,00
LUCRO LÍQUIDO NORMALIZADO20.005.562,0021.279.629,0010.248.950,0021.279.629,0010.248.950,00
IndicadoresDez/2007Dez/2008Dez/2009Dez/2008Dez/2009
GERAÇÃO OPER. de CAIXA LÍQUIDA24.139.010,00-359.591,00-8.252.027,00-359.591,00-8.252.027,00
Deprec.,Amortiz.,Exaust.---5.112.446,005.446.951,005.112.446,005.446.951,00
Margem Bruta - %53,5554,4242,8454,4242,84
Margem Líquida - %30,8930,1721,1330,1721,13
Margem Operacional - %41,9831,5231,4431,5231,44
Endiv. Financ./P. L¡quido - %61,0844,6041,5744,6041,57
Liquidez Corrente - x1,093,012,203,012,20
Liquidez Seca - x0,722,491,862,491,86
EBITDA com Result.Extraord.- $28.367.592,0031.326.554,0018.837.013,00------
Exig.Oner.CP/Exig.Oner.Tot.-%9,436,2014,186,2014,18
Lucro por Ação - $/a4,073,971,913,971,91
Preço/Venda Hist. - x3,851,824,671,824,67
Retorno sobre Patrim. L¡q.- %51,4231,8111,1031,8111,10
Valor Patr.da Ação - $/a10,9717,9417,8417,9417,84
Preço/Val.Patrim.Ação Hist.- %462,62133,14236,50133,14236,50
Preço/Lucro Hist - x12,486,0222,096,0222,09