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Consumer Cyclical

PETTENATI S.A. INDUSTRIA TEXTIL

PTNT3 — PETTENATI S.A. INDUSTRIA TEXTIL

CNPJ 88.613.658/0001-10 · listed classes: PTNT3, PTNT4 · CVM code 9539

1964founded
Caxias do Sul · RSheadquarters
Privadocontrol
Itaú Corretora de Valores S.A.share registrar
KPMG Auditores Independentes Ltda.auditor
pettenati.com.brinvestor site
R$ 0.0 mavg. daily traded value (63 sessions)

Verdict

Net margin 6.8%; ROIC 9.0%; debt 1.4x EBITDA; P/E 8.6 against 8.9 for the sector; 2025 data, no relevant restatement.

Confidence flag: Clean data

Data for fiscal year 2025, received by the CVM on 2025-09-25; 5 of the 5 core figures published; last restatement recorded in 2023.

Does the company make money?

Is it sound or indebted?

Is the share expensive or cheap relative to the sector and its own history?

Descriptive: number, numeric band and comparison with the sector, the company's own history and the whole universe. Not investment advice. JSON · how the verdict works

Follow PTNT3: get an e-mail when profit turns into loss, debt or margin change band, or the statements are restated. That is all, and you can cancel in one click. See every event already recorded for PTNT3.

Quote

R$ 8.42close of 2026-05-26 · B3 (COTAHIST), updated nightly — the price the API, the MCP and the dump serve

1m -3.2% · 12m — · YTD -4.0% · since 2025-08 R$ 7.22–9.20

15-minute delayed quote, shown by TradingView — display only: it never enters our API, MCP or dump
Close, weekly, 5 years · return -41.3% (-10.1% a year) · not split-adjustedR$ 8.42 2026-05-26
high 2021-10-15: R$ 27.00low 2025-01-10: R$ 7.442026-05-26: R$ 8.42
2021low R$ 7.44 · high R$ 27.002026

Return by window

1 month3 months1 year2 years5 years10 years
Price-3.2%-0.9%-9.1%-16.2%-40.9%+42.7%
With dividends reinvested-3.2%-0.9%-6.1%-11.0%-34.1%+76.2%
Real, net of inflation (IPCA to 05/2026)-3.8%-3.1%-10.3%-19.3%-50.5%-1.6%
R$ 1,000 would be worthR$ 968R$ 991R$ 939R$ 890R$ 659R$ 1,762

Closing prices from the base up to 2026-05-26. The starting price is adjusted by the corporate actions checked against the price (the small mark says how many); a jump they do not explain leaves the window blank. Reinvestment buys more shares at the close of the ex-date, with no tax or cost; only the main ticker class. The real line divides the reinvested return by the IPCA accumulated in the window (Banco Central series 433, monthly, edge months pro rata by days); the latest month is only published around the 10th of the following month.

Corporate actions

last day with rightseventmultipliercheck
2011-01-13stock split inferred4.00× sharesnot checked
2011-01-13stock split inferred4.00× sharesnot checked
2007-07-23reverse split inferred0.01× sharesnot checked
2007-07-23reverse split inferred0.01× sharesnot checked
1989-09-05bonus issue inferred20.00× sharesnot checked
1989-08-31bonus issue inferred20.00× sharesnot checked
1989-08-31bonus issue inferred20.00× sharesnot checked

Why the price chart jumps: prices are not split-adjusted. Inferred means detected from the share count and the price, not announced in the exchange file.

Valuation

Today

R$ 405 mmarket value
close of 2026-05-26 × sharesprice × shares outstanding
R$ 535 menterprise value
+ net debt 2025market value + net debt
R$ 0.88EPS 2025
profit per sharenet income for the year ÷ shares
R$ 8.76BVPS 2025
book value per shareshareholders' equity ÷ shares
9.0P/E 12m
to 1T26today's market value ÷ net income of the last 12 months (built by identity from the quarterly filings)
0.93P/B 1T26
latest quarterly balancetoday's market value ÷ equity to controlling shareholders at quarter end
10.3%ROE 12m
to 1T26net income of the last 12 months ÷ average equity over the same 12 months
5.3%net margin 12m
to 1T26net income ÷ net revenue, both over the last 12 months
5.2P/FCO 2025
FCO R$ 78 mmarket value ÷ operating cash flow
18.4P/FCF 2025
FCF R$ 22 mmarket value ÷ (operating cash flow + capex)
48.0 mshares outstandinglatest public count, treasury excluded

Snapshot: today's close over the latest public share count. Cards marked 12m use the last four quarterly filings; the others use the 2025 annual filing. The multiples below are point-in-time: priced on the day the filing became public.

At the filing date (point-in-time)

8.6P/E 2025
price of 2025-09-25 · sector 8.9 · 36 cos. · 18th of 37price ÷ earnings per share for the year
0.9P/B 2025
price of 2025-09-25 · sector 1.2 · 33 cos. · 13th of 34price ÷ book value per share
5.3EV/EBITDA 2025
price of 2025-09-25 · sector 5.5 · 34 cos. · 17th of 35enterprise value on the filing date ÷ EBITDA for the year (other sites use trailing 12 months and today's price)
6.0%FCF yield 2025
price of 2025-09-25 · sector 8.1% · 34 cos. · 21th of 35(operating cash flow + capex) ÷ market value
10.4%ROE 2025
sector 5.4% · 95 cos. · 35th of 96net income to controlling ÷ average equity
9.0%ROIC 2025
sector 15.2% · 48 cos. · 36th of 49EBIT × (1 − effective tax rate) ÷ average invested capital (gross debt + total equity − cash − investments), goodwill included — /metodologia/roic
P/E, P/B and EV/EBITDA use the price of 2025-09-25 (R$ 7.62), the first one after the 2025 filing became public on 2025-09-25 — point-in-time, not the 31 December price.

By theme, fiscal year 2025

Valuation

P/Receita todaymarket value ÷ net revenue for the year0.47×
EV/Receita todayenterprise value ÷ net revenue0.63×
P/EBITDA todaymarket value ÷ EBITDA4.36×
P/EBIT todaymarket value ÷ EBIT7.37×
EV/EBIT todayenterprise value ÷ EBIT9.75×
Earning yield todaynet income ÷ market value (the inverse of P/E)10.5%

Debt and liquidity

Dívida líquida/PLnet debt ÷ shareholders' equity0.26×
Dívida bruta/PLshort- and long-term borrowings ÷ equity0.72×
Dívida líquida/EBITDAnet debt ÷ EBITDA for the year1.41×
PL/Ativosequity ÷ total assets0.50×
Passivos/Ativos(total assets − equity) ÷ total assets0.50×
Liquidez correntecurrent assets ÷ current liabilities2.48×

Efficiency

Margem brutagross profit ÷ net revenue16.1%
Margem EBITDAEBITDA ÷ net revenue10.9%
Margem EBITEBIT ÷ net revenue6.4%
Margem líquidanet income ÷ net revenue6.8%

Profitability

ROEnet income to controlling ÷ average equity10.4%
ROICEBIT × (1 − effective tax rate) ÷ average invested capital (gross debt + total equity − cash − investments), goodwill included9.0%
ROAnet income ÷ total assets6.1%
Giro do ativonet revenue ÷ total assets0.83×

Growth

Receita, 1 anorevenue this year ÷ previous year − 114.4%
Receita, CAGR 5 anoscompound annual growth of revenue over 5 years12.5%
EBITDA, CAGR 5 anoscompound annual growth of EBITDA over 5 years (positive at both ends only)22.4%

Standardized accounts and published indicators of the fiscal year; items marked today divide today's market value or enterprise value by an account of that year.

Indicators, year by year

Four indicators as charts and the full table below. A hollow point carries a caveat; a gap is a year without the figure — we never draw a line across a hole. In the table, the arrow opens the path from the figure down to the line in the regulator's file; a cell with ! carries a caveat; a dashed dash is a suppressed figure — hover to see why. Nothing is hidden.

Fact checklist 5 of 9

Nine objective checks with the threshold written in each line and the figure behind it. Descriptive, not a recommendation; the thresholds are ours and are declared.

ROE10.4% 2025
2011: -6.8% — pl_final_sem_media2012: -3.6%2013: 2.7%2014: 7.7%2015: 11.4%2016: 7.0%2017: 16.1%2018: 10.2%2019: 12.4%2020: -1.0%2021: 20.3%2022: 22.1%2023: 14.1%2024: 5.1%2025: 10.4%
20112025
ROIC9.0%! 2025
2011: -1.7% — aliq_fallback_34;capital_final_sem_media2012: -1.6% — aliq_fallback_342013: 2.8%2014: 6.9%2015: 11.0%2016: 11.6%2017: 16.6%2018: 12.0%2019: 14.6%2020: 0.8% — aliq_fallback_342021: 18.0%2022: 13.9%2023: 13.1%2024: 6.4%2025: 9.0% — aliq_travada_0
20112025
Net margin6.8% 2025
2011: -3.5%2012: -1.4%2013: 1.0%2014: 3.1%2015: 5.1%2016: 4.2%2017: 8.0%2018: 6.4%2019: 7.0%2020: 0.8%2021: 9.7%2022: 9.7%2023: 8.2%2024: 4.6%2025: 6.8%
20112025
Point-in-time P/E8.6x 2025
2020: -107.4x — pl_negativo2021: 13.7x2022: 7.4x2023: 11.7x2024: 24.3x2025: 8.6x
20112025

Full table

indicator201120122013201420152016201720182019202020212022202320242025sector
ROE ⟶-6.8%!-3.6%2.7%7.7%11.4%7.0%16.1%10.2%12.4%-1.0%20.3%22.1%14.1%5.1%10.4%5.4%
ROIC ⟶-1.7%!-1.6%!2.8%6.9%11.0%11.6%16.6%12.0%14.6%0.8%!18.0%13.9%13.1%6.4%9.0%!15.2%
ROA ⟶-3.4%!-1.4%1.0%3.5%6.1%5.1%9.1%6.6%7.7%0.7%10.3%10.7%8.5%4.1%6.1%3.5%
Gross margin ⟶12.1%11.0%12.7%14.2%16.6%18.3%19.0%16.2%14.6%10.3%17.9%16.3%17.0%15.3%16.1%37.7%
EBIT margin ⟶-1.6%-1.5%2.3%4.4%6.4%7.4%11.8%9.0%8.0%0.9%12.2%11.1%10.3%5.3%6.4%11.1%
Net margin ⟶-3.5%-1.4%1.0%3.1%5.1%4.2%8.0%6.4%7.0%0.8%9.7%9.7%8.2%4.6%6.8%7.4%
Revenue growth (1y) ⟶—-1.9%7.8%17.3%15.7%17.1%-5.7%-4.2%18.3%-13.5%60.0%11.3%-0.3%-11.3%14.4%5.8%
Revenue growth (5y CAGR) ⟶—————11.0%10.1%7.5%7.7%1.6%8.1%11.8%12.7%6.4%12.5%14.5%
Net debt/EBITDA ⟶7.44x7.99x4.03x2.63x2.40x1.52x0.88x0.90x0.75x3.39x0.88x1.24x0.88x1.35x1.41x1.24x
Current ratio ⟶1.84x1.89x0.97x1.38x1.32x1.34x1.22x1.36x1.26x1.24x1.63x1.60x1.68x2.29x2.48x1.66x

In reais, year by year

The three statements behind the ratios — income statement, balance sheet and cash flow — in the standardized lines, consolidated as filed (or parent-only when that is what the company files). EBITDA and net debt follow the published methodology; gross debt, cash and investments and free cash flow are sums the line names spell out.

line2011201220132014201520162017201820192020202120222023202420251T26TTM
Income statement
Net revenue (R$ m)305299322378438513484463548474758844841746854220853
Cost of goods and services (R$ m)-268-266-281-325-365-419-392-388-468-425-622-707-698-633-716-177-705
Gross profit (R$ m)3733415473949275804913613714311413844149
EBITDA (R$ m)91021304459776167341241211167293——
Depreciation and amortization (R$ m)131413141621202023293127293338——
EBIT (operating result) (R$ m)-5-57172838574144492948740552355
Pre-tax profit (R$ m)-12-64132427513739-3871098338502554
Income taxes (R$ m)12-1-2-2-5-12-8-17-13-26-15-48-97
Net income (R$ m)-11-43122222393038474826934581661
Net income (controlling) (R$ m)-8-4391510251824-253684919421145
Balance sheet
Total assets (R$ bn)0.30.30.30.30.40.40.40.50.50.70.70.80.80.91.01.21.2
Current assets (R$ m)143142158152189203201231248331382435384440570705705
Current liabilities (R$ m)7875162110143151165170197268235271228192230203203
Gross debt (short + long term) (R$ m)102112122106148153110103109233209212214261367510510
Cash and investments (R$ m)37363926426343475911910162111163236361361
Net debt (R$ m)657683801069067565111510915110398131——
Shareholders' equity (R$ m)124123125130161169196232246303342414430482510501501
Cash flow
Operating cash flow (R$ m)-31082420433835471189171758478——
Capital expenditures (R$ m)-11-4-9-16-25-23-16-23-50-46-33-59-87-24-56——
Free cash flow (FCO + capex) (R$ m)-145-18-5202212-3-3556-43896022——

The two right-hand columns come from the quarterly filing (ITR): the latest quarter alone and the last 12 months (TTM) built by the same identity as the TTM P/E. EBITDA and net debt have no quarterly series here.

The current year, quarter by quarter

As the company filed it in its interim report. The fourth quarter does not exist on its own in that filing — the closed year comes in the annual one, and we do not derive a Q4, so that a figure we computed never sits beside the figures the company reported. Filed on is the date the report became public, and the price is taken from it.

quarterrevenue (R$ m)profit (R$ m)net marginP/E TTMP/Bfiled on
2022T3!226.115.87.0%—1.502022-11-15
2023T1219.419.58.9%5.91.072023-05-12
2023T3!177.99.85.5%—1.502023-11-13
2024T1197.610.35.2%8.41.202024-07-12
2024T3!214.013.46.3%—1.062024-11-13
2025T1220.912.75.8%20.30.982025-05-13
2025T3!197.215.98.1%—1.022025-11-14
2026T1220.215.87.2%9.10.942026-05-14

Full series, every quarter: GET /empresas/PTNT3/trimestres

Dividends

No ex-date or payment scheduled in the base (exchange announcements through 2026-09-21 · filings to the regulator through 2026-09-18).

The latest dividend by PTNT3 was a JCP of R$ 0.1402 per share (record date 2025-10-30, payment 2025-11-28). In the last 12 months: 2 payments adding up to R$ 0.2651 per share. Average yield of the last 5 full years: 2.4%.

typerecord dateex-datepaymentper share
dividend2023-11-062023-11-07—R$ 0.1061

Ex-date is the first trading session after the record date, from our own price history. Payment date comes from the exchange file; CVM marks a date taken from the filing to the regulator. Only the main ticker class.

Record dates in the last 5 years, by month: JanFebMarAprMayJunJulAugSepOct5Nov2Dec

Per year

yearper sharepaymentsyield
2025R$ 0.265123.0%
2024R$ 0.270723.2%
2023R$ 0.106111.0%
2022R$ 0.318713.5%
2021R$ 0.202711.3%
2019R$ 0.176722.2%
2018R$ 0.149912.1%
2017R$ 0.124911.6%
2016R$ 0.124912.0%
2015R$ 0.124912.1%

Yield per year = the year's dividends over the close of its last session; the current year is partial.

Shareholders and free float

0.00%free floatshares outstanding held by the market, as filed in the FRE
9shareholders
7 individuals · 2 companies · 0 institutionalcount at the last shareholders meeting, from the FRE
GLADIUM ADMINISTRAÇÃO E PARTICIPAÇÕES LTDAcontrolling shareholder
as declared in the FREshareholders the company marks as controlling
80% ONtag along (minimum)
no listing segment on fileminimum guaranteed by the listing segment or by law; the bylaws may grant more
shareholdertype% ON% PN% total
GLADIUM ADMINISTRAÇÃO E PARTICIPAÇÕES LTDA ctrlPJ97.98%62.38%74.33%
Others (market)———3.70%
Treasury shares———21.97%

Direct holdings from the reference form (FRE) filed on 2026-06-25, version 4. The chain of control (who owns the holding) is not reproduced here. Names of individuals appear as in the public filing.

Filings and notices

filedcategorysubjectdocument
2026-06-26Fato RelevantePagamento do Preço de Resgateopen
2026-06-25Assembleia · AGEResgate das ações de emissão da Companhia que remanesceram em circulação após a conclusão da OPAopen
2026-06-18Assembleia · AGEResgate das ações remanescentes em circulação após a conclusão da OPAopen
2026-06-18Assembleia · AGEResgate das ações de emissão da Companhia remanescentes em circulação após a conclusão da OPAopen
2026-06-16Assembleia · AGEResgate das ações de emissão da Companhia que remanesceram em circulação após a conclusão da OPAopen
2026-06-16Assembleia · AGEResgate das ações de emissão da Companhia que remanesceram em circulação após a conclusão da OPAopen
2026-06-16Assembleia · AGEResgate das ações de emissão da Companhia que remanesceram em circulação após a conclusão da OPAopen
2026-05-29Fato RelevanteConversão de registro da companhia da categoria A para categoria Bopen
2026-05-28Assembleia · AGE—open
2026-05-28Assembleia · AGEResgate da totalidade das ações de emissão da Companhia após a conclusão da OPAopen

The last filings this company sent to the CVM outside its financial statements, newest first, from the regulator's own IPE index. The subject line is the company's own free text. We do not summarise or classify these documents — read the original.

Piotroski F-Score 7/9 (2025) — what each criterion means.

Restated filings for this company

The regulator overwrites the old version; we keep both. Figures in R$ millions: first filing on the left, restatement on the right.

fiscal yearaccountfirst filingrestated
2023DFC_MI 6.01175.5172.4
2022DFC_MI 6.0116.917.4

Every restatement of this company, year by year

This company appears in

Compare

Side by side, with each figure's caveat and how often each company restated its filings.

PTNT3 × MGLU3 · PTNT3 × RAIZ4 · PTNT3 × LREN3 · PTNT3 × RADL3 · PTNT3 × AMER3 · PTNT3 × VBBR3

compare with the sector: CEAB3 × AZZA3 × ALPA4

Other companies in Consumer Cyclical

109 more with a page, same CVM sector — a classification of the regulator's, not ours.

Take this into your code

Everything on this page is also JSON: GET /empresas/PTNT3/indicadores. WEGE3 is open for testing without a key; for the rest, create a free key (200 calls/day, no card).

Price coverage: 1,399 sessions, 2010-01-06 → 2026-05-26 · methodology · how we verify

Sources: CVM (open data, ODbL) and B3 (COTAHIST). Not affiliated with B3 or the CVM. Not investment advice.

Numbers on this page are live. Data version 2026-09-27-reapresentacao-agreg · page generated 2026-09-27 08:49 UTC. If this does not match /saude, you are reading a cached copy.