COELCE (COCE3) Main Indicators
Company Basic DataCompany | COELCE |
Corporate Name | CIA ENERGETICA DO CEARA - COELCE |
Registration Status | ATIVO |
Issuer Status | FASE OPERACIONAL |
Listing Segment | Tradicional - BOVESPA |
Activity | Distribuição de energia elétrica. |
Share | COCE3 |
Quote Date | 03/31/2025 |
Share Type | ON |
Last Closing | R$ 25.10 |
Quotation Factor | 1 Share |
Financial Volume | R$ 2.51 thousand |
Last Statement | DFP - 12/31/2024 |
Sector | Utilidade Pública |
Subsector | Energia Elétrica |
Segment | Energia Elétrica |
Participation Indexes | - |
Updated 04/02/2025 |
Relative Prices, Market Cap, EV, and Dividend Yield | |
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Price/Earnings | 4.20 |
Price/SBV | 0.38 |
Price/Net Sales | 0.23 |
Price/CFO | 1.12 |
Price/FCF | 9.80 |
Price/Total Assets | 0.14 |
Price/EBIT | 1.58 |
Price/Working Capital | -0.75 |
Price/NCAV | -0.16 |
EV/EBIT | 5.82 |
EV/EBITDA | 3.82 |
EV/Net Sales | 0.85 |
EV/CFO | 4.11 |
EV/FCF | 36.02 |
EV/Total Assets | 0.50 |
Company Market Cap | R$ 1.95 B |
Enterprise Value | R$ 7.18 B |
Current Financial Statement Date | 12/31/2024 |
Current Share Price | R$ 25.10 |
Share Price Date | 03/31/2025 |
Dividend Yield | 3.70% |
Summary Income Statement Last 12 Months | |
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Net Revenue | R$ 8.44 B |
Gross Result | R$ 1.60 B |
EBIT | R$ 1.23 B |
Depreciation and Amortization | - R$ 646.21 M |
EBITDA | R$ 1.88 B |
Net Profit | R$ 464.91 M |
Net Profit/Share | R$ 5.97 |
Summary Income Statement Last Quarter | |
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Net Revenue | R$ 2.29 B |
Gross Result | R$ 367.20 M |
EBIT | R$ 283.44 M |
Depreciation and Amortization | - R$ 173.90 M |
EBITDA | R$ 457.34 M |
Net Profit | R$ 202.34 M |
Profit/Share | R$ 2.60 |
Stock Price and Stock Volume BehaviorLowest Price 52 weeks | R$ 25.00 |
Highest Price 52 weeks | R$ 44.00 |
Variation 2025 | 0.40% |
Variation 1 year | -49.86% |
Variation 2 years(total) | -54.90% |
Variation 2 years(yearly) | -31.24% |
Variation 3 years(total) | -54.89% |
Variation 3 years(yearly) | -21.68% |
Variation 4 years(total) | -44.96% |
Variation 4 years(yearly) | -13.50% |
Variation 5 years(total) | -19.35% |
Variation 5 years(yearly) | -4.18% |
Average Daily Volume (3 months) | R$ 511.18 |
Updated 04/02/2025 |
Returns, Margins, and Other Measures | |
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Return on Initial Tangible Capital | 9.73% |
Return on Initial Invested Capital | 8.18% |
Pre-Tax Return on Initial Tangible Capital | 14.74% |
Pre-Tax Return on Initial Invested Capital | 12.40% |
Return on Initial Shareholder´s Equity | 11.09% |
Return on Initial Asset | 3.55% |
Gross Margin | 19.01% |
Net Margin | 5.51% |
EBIT Margin | 14.61% |
EBITDA Margin | 22.26% |
Initial Asset Turnover | 0.64 |
Financial Leverage | 2.80 |
Liabilities/Net Worth | 1.80 |
Net Debt/EBITDA | 2.78 |
Summary Balance Sheet | |
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Cash and Cash Equivalents | R$ 214.12 M |
Total Assets | R$ 14.41 B |
Short-Term Debt | R$ 2.82 B |
Long-Term Debt | R$ 2.63 B |
Gross Debt | R$ 5.45 B |
Net Debt | R$ 5.23 B |
Shareholder´s Equity | R$ 5.14 B |
Share Book Value | R$ 66.02 |
Common Shares | 48,067,937 |
Preferred Shares | 29,787,344 |
Total | 77,855,281 |
Common Shares in Treasury | 0 |
Preferred Shares in Treasury | 0 |
Total in Treasury | 0 |
Common Shares (Except Treasury) | 48,067,937 |
Preferred Shares (Except Treasury) | 29,787,344 |
Total (Except Treasury) | 77,855,281 |
Summary Cash Flow Statement Last 12 Months | |
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Operating Cash Flow | R$ 1.75 B |
Cash Flow from Investments | - R$ 1.45 B |
Financing Cash Flow | - R$ 177.28 M |
Increase (Reduction) in Cash and Equivalents | R$ 117.46 M |
Summary Cash Flow Statement Last Quarter | |
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Operating Cash Flow | R$ 664.78 M |
Cash Flow from Investments | - R$ 386.70 M |
Financing Cash Flow | - R$ 122.66 M |
Increase (Reduction) in Cash and Equivalents | R$ 155.42 M |
Experimental CAPEX and Free Cash Flow Calculation | |
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CAPEX 3 months | - R$ 489.13 M |
Free Cash Flow 3 months | R$ 175.65 M |
CAPEX 12 months | - R$ 1.55 B |
Free Cash Flow 12 months | R$ 199.38 M |