Méliuz S.A. (BVMF:CASH3)
Brazil flag Brazil · Delayed Price · Currency is BRL
3.680
-0.080 (-2.13%)
Mar 26, 2026, 12:45 PM GMT-3

Méliuz Balance Sheet

Millions BRL. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
72.8637.3769.36455.77514.75
Short-Term Investments
16.25209.51594.99287.61-
Cash & Short-Term Investments
89.1246.87664.35743.39514.75
Cash Growth
-63.91%-62.84%-10.63%44.42%55.42%
Accounts Receivable
83.8840.143.831.1866.88
Other Receivables
1.268.837.5627.7334.73
Receivables
85.1448.9351.3758.91120.2
Other Current Assets
21.6330.425.2120.6932.17
Total Current Assets
195.87326.21740.91922.99667.12
Property, Plant & Equipment
0.591.473.014.617.81
Long-Term Investments
2.92.9000
Goodwill
-38.12114.11-114.11
Other Intangible Assets
396.0872.5864.61338.6469.9
Long-Term Deferred Tax Assets
29.3939.0255.0973.2639.28
Other Long-Term Assets
5.823.471.2618.454.61
Total Assets
633.89486.799791,358902.83
Accounts Payable
12.1510.535.118.726.95
Accrued Expenses
24.4331.1746.2841.7917
Current Portion of Long-Term Debt
---0.130.31
Current Portion of Leases
-0.170.35-0.66
Current Income Taxes Payable
1.820.430.740.660.72
Current Unearned Revenue
5.85.7565.753.38
Other Current Liabilities
51.2453.3373.11404.5768.84
Total Current Liabilities
95.42101.38131.57471.6197.86
Long-Term Debt
----0.15
Long-Term Leases
-0.060.5-0.84
Long-Term Unearned Revenue
17.252328.7434.4923.63
Long-Term Deferred Tax Liabilities
0.560.060.380.872.18
Other Long-Term Liabilities
2.5712.8435.3251.7782.69
Total Liabilities
115.8137.32196.51558.75207.35
Common Stock
523.44390.41920.48920.48772.18
Retained Earnings
-10.21-9.59-109.56-91-34.4
Treasury Stock
-----10.99
Comprehensive Income & Other
-1.74-38.35-34.45-43.03-47.88
Total Common Equity
511.48342.47776.48786.46678.91
Minority Interest
6.617.016.0112.7416.58
Shareholders' Equity
518.1349.47782.49799.2695.48
Total Liabilities & Equity
633.89486.799791,358902.83
Total Debt
-0.230.850.131.96
Net Cash (Debt)
89.1246.65663.5743.25512.79
Net Cash Growth
-63.87%-62.83%-10.73%44.94%54.92%
Net Cash Per Share
1.432.837.678.546.38
Filing Date Shares Outstanding
-87.1786.5886.4980.13
Total Common Shares Outstanding
-87.1786.5886.4980.13
Working Capital
100.45224.83609.34451.38569.26
Book Value Per Share
-3.938.979.098.47
Tangible Book Value
115.41231.76597.76447.82494.9
Tangible Book Value Per Share
-2.666.905.186.18
Machinery
-4.094.63-6.8
Leasehold Improvements
----0.98
Source: S&P Global Market Intelligence. Standard template. Financial Sources.