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CSMG3:BVMF
Companhia de Saneamento d Mns Grs CPS MG
R$54.56
0.00%
(0.00) 1D
Aug 24, 5:05:40 PM GMT-3  ·   BRL
All symbols
SymbolPriceChange% Change
Generating top insights for CSMG3...
Open
R$53.80
High
R$55.45
Low
R$53.57
Mkt. cap
20.75B
Avg. vol.
4.02M
Volume
3.78M
P/E ratio
16.00
52-wk high
R$67.82
52-wk low
R$26.27
EPS
R$3.41
Shares outstanding
380.25M
No. of employees
10K
Open
R$53.80
High
R$55.45
Low
R$53.57
Mkt. cap
20.75B
Avg. vol.
4.02M
Volume
3.78M
P/E ratio
16.00
52-wk high
R$67.82
52-wk low
R$26.27
EPS
R$3.41
Shares outstanding
380.25M
No. of employees
10K
About Companhia de Saneamento d Mns Grs CPS MG
CEOMarília Carvalho de Melo
Employees9.73K
Founded1963
HeadquartersBelo Horizonte, State of Minas Gerais, Brazil
SectorWater
Last report
Aug 14, 2026
Fiscal period
Q2 2026
EPS / Est. (BRL)
R$0.73 / R$0.73
-0.51%miss
Revenue / Est. (BRL)
2.27B / 1.96B
+15.67%beat
Fiscal Q2 2026 earnings call
Waiting for the earnings call
At a glance
Insights from the latest news and reports
Previous reportsAll values in BRL
Loading Previous Earnings...
Income statement
Revenue
Net income
All values in BRL
Sep 2025
Dec 2025
Mar 2026
Jun 2026
Revenue
2.11B
2.17B
2.13B
2.27B
Cost of goods sold
1.25B
1.28B
1.21B
1.34B
Cost of revenue
1.25B
1.28B
1.21B
1.34B
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
287.37M
295.14M
263.76M
282.78M
Operating expense
360.66M
522.07M
372.33M
450.63M
Total operating expenses
1.61B
1.80B
1.58B
1.79B
Operating income
506.99M
372.80M
549.84M
476.76M
Other non operating income
64.62M
-14.93M
28.84M
-42.14M
EBT including unusual items
451.11M
381.10M
459.52M
268.00M
EBT excluding unusual items
476.68M
262.56M
439.56M
242.40M
Income tax expense
90.28M
44.13M
91.42M
40.86M
Effective tax rate
20.01%
11.58%
19.89%
15.25%
Other operating expenses
27.46M
167.33M
34.99M
102.39M
Net income
360.83M
336.96M
368.10M
227.14M
Net profit margin
17.06%
15.50%
17.30%
10.00%
Earnings per share
0.95
0.88
0.97
0.73
Interest and investment income
45.95M
49.94M
6.91M
6.86M
Interest expense
-140.88M
-145.24M
-146.04M
-199.08M
Net interest expenses
-94.93M
-95.31M
-139.13M
-192.22M
Depreciation and amortization charges
-
-
-
-
EBITDA
734.34M
612.58M
801.43M
741.10M
Gain or loss from assets sale
-
-
-
-
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