Energisa Mato Grosso - Distribuidora de Energia S/A

B3:ENMT3.SA

85 (BRL) • At close August 29, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) BRL.

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 162.215154.977.274350.974108.32547.365243.496173.495192.754130.64128.026122.629158.896109.37635.14526.52668.16823.008
Kortetermijnbeleggingen 782.649755.356878.5371,546.135412.484379.465291.134458.229306.11550.9621.0851.093-386.1750013.7611.908142.564
Liquide middelen en kortetermijnbeleggingen 944.864910.256955.8111,897.109520.809426.83534.63631.724498.864681.602129.111123.722158.896109.37635.14540.28680.076165.572
Nettovorderingen 2,557.8272,057.7951,820.1321,590.2851,307.2341,038.882-229.348-23.453634.858473.114464.836629.61589.047451.602368.135372.276322.127302.248
Voorraad 23.10223.55522.58621.1723.09118.07315.36211.62512.7966.1711.03120.30917.38118.8911.90210.66911.13612.964
Overige vlottende activa 79.0612,083.861764.884194.382279.54254.8821,303.801892.529220.799207.7885.804129.101161.11885.27988.78556.62878.16166.122
Totaal vlottende activa 3,604.8543,017.6723,202.3433,648.4292,130.6741,738.6671,624.4451,512.4251,367.3171,368.666690.782902.742926.442665.147503.967479.859491.5546.906
Niet-vlottende activa:
Materiële vaste activa, netto 44.12641.29834.90626.18514.89813.78713.81815.64410.34913.782,467.9352,412.71436.081346.77260.8351,728.4811,376.3371,349.325
Goodwill 000000000000000000
Immateriële activa 1,797.6411,562.5981,618.8551,689.4042,016.2151,996.0181,849.1392,020.8961,830.7711,650.965-702.082-894.946000000
Goodwill en immateriële activa 1,797.6411,562.5981,618.8551,689.4042,016.2151,996.0181,849.1392,020.8961,830.7711,650.965-702.082-894.9461,649.831,618.4311,602.06000
Langetermijnbeleggingen 7,024.3634,262.5273,276.9621,734.1292,393.0231,882.611,675.431960.268860.6751,011.93736.855800.94392.603360.354411.814-11.37-9.506-139.807
Belastingvorderingen 265.774318.365316.77374.55488.74772.489139.437145.893126.281151.772156.99143.107111.101133.786162.779000
Overige niet-vlottende activa 540.0352,604.9132,840.0061,993.6121,095.282893.209615.254673.987471.358205.759324.993451.94430.998203.841245.4611,033.582912.602826.374
Totaal niet-vlottende activa 9,671.9398,789.7018,087.4995,817.8845,608.1654,858.1134,293.0793,816.6883,299.4343,034.2062,984.6912,913.7552,620.6132,663.1822,682.9492,750.6932,279.4332,035.892
Totaal activa 13,276.79311,807.37311,289.8429,466.3137,738.8396,596.785,917.5245,329.1134,666.7514,402.8723,675.4733,816.4973,547.0553,328.3293,186.9163,230.5522,770.9332,582.798
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 572.875435.698631.755514.293422.691401.442465.802427.144428.471188.018446.087290.038183.505127.032167.355221.037201.579186.226
Kortlopende schulden 1,355.5421,256.941,130.4911,276.049649.853174.491417.72224.59183.84129.208645.313567.433405.611440.264320.767000
Belastingschulden 203.672151.438227.498214.40687.11865.836123.151105.837144.9494.413136.864158.36232.434175.552179.717130.278123.14685.454
Uitgestelde opbrengsten 1.7740439.78493.976252.93465.836367.985328.585237.123121.656181.772232.619318.449194.528232.372000
Overige kortlopende verplichtingen 1,084.0011,032.767388.106234.415218.289609.843346.462409.913239.191342.663343.125251.574101.013124.42787.952450.044262.819287.132
Totaal kortlopende verplichtingen 3,014.1922,725.4052,590.1322,518.7331,543.7671,251.6121,597.9691,390.2321,088.625781.5451,616.2971,341.6641,008.578886.251808.446671.081464.398473.358
Langlopende verplichtingen:
Langetermijnschulden 4,072.7853,718.6463,424.2853,263.2163,170.5223,014.8821,909.7221,467.3731,297.6161,201.838594.342670.874934.599844.152714.054000
Uitgestelde opbrengsten niet-vlottend 1.6730899.042720.104-283.484-232.198-158.503-141.69-172.84203.2676.436118.1400000
Uitgestelde belastingverplichtingen niet-vlottend 593.075173.852156.07613.047283.484232.198158.503141.69172.8420102.883131.47136.43500000
Overige niet-vlottende verplichtingen 1,833.9562,090.2771,342.962170.55805.979584.334610.985677.899930.8841,102.393541.739427.49772.144429.316508.4111,430.0351,243.061,104.248
Totaal niet-vlottende verplichtingen 6,501.4895,982.7755,822.3654,166.9173,976.5013,599.2162,520.7072,145.2722,228.52,304.2311,242.2311,236.2771,261.3181,273.4681,222.4651,430.0351,243.061,104.248
Totaal passiva 9,515.6818,708.188,412.4976,685.655,520.2684,850.8284,118.6763,535.5043,317.1253,085.7762,858.5282,577.9412,269.8962,159.7192,030.9112,101.1161,707.4581,577.606
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 1,677.1131,677.1131,677.1131,677.1131,514.5691,514.5691,514.5691,469.7861,118.911,118.91710.197710.197710.197710.197710.197710.197710.197589.891
Ingehouden winsten 717.245451.238283.872302.802491.93265.205187.275202.25595.38953.783-50.615304.48400-92.94100-238.783
Overige gereserveerde algehele resultaten 1,366.754970.842698.107800.748212.07166.17897.004142.214135.327144.403157.3630000000
Overige totale aandeelhoudersvermogen 00218.2530000-20.646000223.875566.962458.413538.749419.239353.278654.084
Totaal eigen vermogen van aandeelhouders 3,761.1123,099.1932,877.3452,780.6632,218.5711,745.9521,798.8481,793.6091,349.6261,317.096816.9451,238.5561,277.1591,168.611,156.0051,129.4361,063.4751,005.192
Totaal eigen vermogen 3,761.1123,099.1932,877.3452,780.6632,218.5711,745.9521,798.8481,793.6091,349.6261,317.096816.9451,238.5561,277.1591,168.611,156.0051,129.4361,063.4751,005.192
Totaal passiva en aandeelhoudersvermogen 13,276.79311,807.37311,289.8429,466.3137,738.8396,596.785,917.5245,329.1134,666.7514,402.8723,675.4733,816.4973,547.0553,328.3293,186.9163,230.5522,770.9332,582.798