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Pet Center Comércio e Participações S.A.

PETZ3.SA

SAO

4.1

BRL
-0.61(-12.95%)

As of today

Pet Center Comércio e Participações S.A. fundamentals

Key ratios

P/E Ratio
410
Price/Book
1.11
Debt/Equity
83.30%
Return on Equity
0.22%
Dividend Yield
0.00%
EBITDA
397.80M

Statements Highlights

Period EndingDec 31, 2020Dec 31, 2021Dec 31, 2022Dec 31, 2023Dec 31, 2024
Total Revenue1,436,756,0002,097,525,0002,834,533,0003,173,241,0003,322,608,000
Gross Profit693,507,0001,012,866,0001,350,572,0001,481,788,0001,559,298,000
Operating Income132,788,000194,468,000135,854,000160,985,000118,317,000
Net Income58,387,00075,036,00050,590,00016,349,000-42,756,000
Total Assets1,892,888,0003,447,347,0003,647,129,0003,995,411,0003,895,459,000
Total Current Liabilities654,287,000699,604,000737,213,000760,020,000823,961,000
Total Equity514,759,0001,759,256,0001,840,572,0001,808,893,0001,661,686,000
Free Cash Flow11,595,000-107,127,000-179,754,000192,308,000296,145,000
Cash from Operations188,187,000165,194,000202,790,000429,095,000460,542,000
Cash from Investing-219,324,000-312,656,000-396,406,000-616,532,000-80,530,000
Cash from Financing305,617,000377,377,000-294,645,00058,251,000-359,678,000
Net Change in Cash274,480,000229,915,000-488,261,000-129,186,00020,334,000

Dividends

Analyst Recomendations