CM Hospitalar S/A (BVMF:VVEO3)
Brazil flag Brazil · Delayed Price · Currency is BRL
1.480
+0.140 (10.45%)
At close: Jun 2, 2026

CM Hospitalar S/A Cash Flow Statement

Millions BRL. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Net Income
20.1718.24-1,415359.92259.73395.16
Depreciation & Amortization
200.66187.01266.85260.61176.3698.19
Other Amortization
143.36143.3644.27---
Loss (Gain) From Sale of Assets
-0.59---16.676.352.28
Asset Writedown & Restructuring Costs
8.668.66222.667.15--
Loss (Gain) From Sale of Investments
5.265.1797.26---
Loss (Gain) on Equity Investments
0.75111.861.683.533
Stock-Based Compensation
2.673.174.426.944.51-
Provision & Write-off of Bad Debts
27.0826.78109.94-8.465.971.34
Other Operating Activities
-194.14-185.49888.2-208.3493.62-42
Change in Accounts Receivable
158.0956.75216.76-404.93-387.02-67.75
Change in Inventory
43.1145.16-138.82-684.34-53.06-162.7
Change in Accounts Payable
14.0542.09-397.78-55.49441.66185.57
Change in Income Taxes
-105.44-89.41109-193.82-14.27-132.54
Change in Other Net Operating Assets
11.3614.0815.0240.11-4.6339.58
Operating Cash Flow
335.06276.5834.15-895.63532.75320.12
Operating Cash Flow Growth
209.40%709.90%--66.42%72.47%
Capital Expenditures
-45.99-45.49-81.62-168.1-152.24-77.95
Sale (Purchase) of Intangibles
-103.94-105.82-103.67-134.18-107.08-48.24
Investment in Securities
-53.15487.37-57.7370.82-1,318-1,184
Other Investing Activities
---29.8-68.15-32.31-105.58
Investing Cash Flow
-203.08336.05-272.790.39-1,609-1,416
Long-Term Debt Issued
-63.871,450232.351,3891,589
Long-Term Debt Repaid
--506.18-983.02-384.54-296.55-685.85
Net Debt Issued (Repaid)
-403.23-442.31467.4-152.181,092903.26
Issuance of Common Stock
---778.35-652.87
Repurchase of Common Stock
---18.72--40.45-25.36
Common Dividends Paid
---43.48-74.74-112.99-
Other Financing Activities
-119.08-140.34-95.59-226.05-184.3-7.66
Financing Cash Flow
-522.3-582.65309.61325.38754.341,523
Net Cash Flow
-390.3329.9870.96-569.86-322.29427.51
Free Cash Flow
289.07231.09-47.47-1,064380.51242.16
Free Cash Flow Growth
665.42%---57.13%77.73%
Free Cash Flow Margin
2.49%2.00%-0.41%-9.60%4.35%3.89%
Free Cash Flow Per Share
-0.73-0.15-3.541.340.93
Cash Interest Paid
512.64512.64412.76450.52245.0178.88
Cash Income Tax Paid
31.3331.3323.9773.5158.4828.66
Levered Free Cash Flow
426.6323.54-79.81-1,69468.8535.39
Unlevered Free Cash Flow
809.36692.85226.09-1,28168.85277.11
Change in Working Capital
121.1768.67-195.82-1,298-17.31-137.84