Grupo SBF
BOVESPA:SBFG3
R$ 12,88
R$-0,20 (-1,53%)
12,88 R$
R$-0,20 (-1,53%)
End-of-day quote: 04/10/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

R$1,74
Earnings Per Share
R$35,82
Revenue Per Share
48,28%
Gross Margin %
R$2,78 B
Market Cap
R$0,93 B
Long-Term Debt
Earnings Per Share
R$1,74
Revenue Per Share
R$35,82
Gross Margin %
48,28%
Market Cap
R$2,78 B
Long-Term Debt
R$0,93 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019
EPS Earnings Per Share R$1,74 R$1,66 R$0,54 R$0,63 R$1,68 R$-0,24 R$0,75
Earnings Earnings R$375,81M R$399,08M R$131,59M R$153,47M R$408,24M R$-58,05M R$157,61M
RPS Revenue Per Share R$0,00 R$35,82 R$29,75 R$28,68 R$25,70 R$21,03 R$9,95 R$12,11
Revenue Revenue R$0,00M R$7,74B R$7,15B R$6,99B R$6,26B R$5,11B R$2,41B R$2,55B
OCF Operating Cash Flow R$0,00M R$351,00M R$1,07B R$625,41M R$138,10M R$407,08M R$-508,83M R$-123,37M
FCF Free Cash Flow R$0,00M R$140,00M R$931,27M R$-140,00M R$-92,16M R$0,00M R$-656,06M R$-242,33M
OM Operating Margin 0,00% 6,83% 8,46% 7,42% 6,38% 7,87% -3,02% 23,37%
GM % Gross Margin % 0,00% 48,28% 49,03% 47,24% 46,94% 46,02% 43,63% 49,45%
FCFS Free Cash Flow Per Share R$0,00 R$1,02 R$3,32 R$1,50 R$-0,96 R$0,49 R$-3,87 R$-1,24
LT Debt Long-Term Debt N/A R$926,22M R$833,77M R$973,50M R$855,64M R$616,30M R$505,61M R$7,55M
Sha. Stocks 215,98M 215,98M 240,41M 243,69M 243,6M 243M 241,89M 210,14M
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