Valid Soluções S.A. (VSSPY)
OTCMKTS · Delayed Price · Currency is USD
3.850
-0.300 (-7.23%)
At close: Dec 22, 2025

Valid Soluções Balance Sheet

Millions BRL. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
493.69569.47422.03365.16390.04486.54
Short-Term Investments
38.4132.72----
Cash & Short-Term Investments
532.1602.2422.03365.16390.04486.54
Cash Growth
-1.85%42.69%15.57%-6.38%-19.83%52.75%
Accounts Receivable
448.24471.85386.93347.12428.87358.16
Other Receivables
188.75137.9386.1496.4882.6584.34
Receivables
636.99609.78473.07443.59511.52442.51
Inventory
236.81274.49267.48344.16323.27270.01
Prepaid Expenses
26.88----35.06
Other Current Assets
19.0166.1104.86158.8101.8670.71
Total Current Assets
1,4521,5531,2671,3121,3271,305
Property, Plant & Equipment
225.65226.49205.45261.24424.74445.61
Long-Term Investments
129.02114.8832.4268.9270.9468.49
Goodwill
-561.72476.7452.59582.66559.49
Other Intangible Assets
800.67144.53179.65213.66312.19310.63
Long-Term Accounts Receivable
17.13--3.825.623.66
Long-Term Deferred Tax Assets
67.8875.1293.64103.86115.53104.47
Other Long-Term Assets
181.93268.54290.33247.56259.4451.98
Total Assets
2,8742,9442,5462,6633,0982,869
Accounts Payable
176.21176.42165.34185.96203.06188.06
Accrued Expenses
130.91181.67152.43138.74118.9886.47
Current Portion of Long-Term Debt
78.21106.2163.77272.05423.53734.45
Current Portion of Leases
-9.938.299.7522.7422.15
Current Income Taxes Payable
57.2121.0816.3813.823.162.96
Other Current Liabilities
19.9844.0744.9781.8982.8456.8
Total Current Liabilities
462.51539.37551.17702.22854.311,091
Long-Term Debt
526.82473.15529.61568.07726.68457.53
Long-Term Leases
-9.938.2917.2893.6893.96
Long-Term Deferred Tax Liabilities
26.3513.439.949.5938.3444.85
Other Long-Term Liabilities
126.2885.86115.3593.5278.2669.26
Total Liabilities
1,1421,1221,2141,3911,7911,756
Common Stock
1,0221,0221,0221,0221,004904.51
Additional Paid-In Capital
-----0.1
Retained Earnings
562.44469.06199.6238.7145.77-2.84
Treasury Stock
-69.13-49.38-25.32-25.67-31.8-24.91
Comprehensive Income & Other
205.86352.65101.79199.95241.31186.02
Total Common Equity
1,7221,7951,2981,2351,2591,063
Minority Interest
10.5527.3932.8137.3147.7249.78
Shareholders' Equity
1,7321,8221,3311,2731,3071,113
Total Liabilities & Equity
2,8742,9442,5462,6633,0982,869
Total Debt
605.03599.22709.95867.161,2671,308
Net Cash (Debt)
-72.932.98-287.93-490.05-876.58-821.55
Net Cash Per Share
-0.920.04-3.60-6.16-11.21-11.74
Filing Date Shares Outstanding
78.4779.1480.1379.8279.7169.3
Total Common Shares Outstanding
78.4779.1480.1379.8279.7169.3
Working Capital
989.281,013716.27609.5472.38213.94
Book Value Per Share
21.9422.6816.2015.4815.7915.34
Tangible Book Value
920.881,088642.12569.12363.96192.77
Tangible Book Value Per Share
11.7413.758.017.134.572.78
Land
-3.223.223.223.684.48
Buildings
-82.3489.3997.24103.95129.3
Machinery
-608.87512.24646.79806.34733.56
Construction In Progress
-0.653.313.56.1428.71
Leasehold Improvements
-48.7534.1636.48119.56106.69
Source: S&P Global Market Intelligence. Standard template. Financial Sources.