PT

Dados B3 › Restatements

Has CPFL TRANSMISSÃO S.A. (EEEL3) ever restated its financial statements? In which years?

Yes: the statements for 2010, 2011, 2012, 2013, 2014, 2015, 2016, 2017, 2019, 2020, 2022, 2023 came back with different figures in the following year's annual filing — 74 account(s) in all, each below with both values.

YearAccountAs first filedAs restatedDifferenceRevealed in (CVM file)
2010internal changes in equity (DMPL 5.06)R$ 49.7 mR$ 0 k100.0%DFP 2011 · 13/04/2012
2010transactions with shareholders (DMPL 5.04)R$ -55.7 mR$ -6.0 m89.3%DFP 2011 · 13/04/2012
2010operating profit (EBIT) (DRE 3.05)R$ 66.2 mR$ 76.9 m13.9%DFP 2011 · 13/04/2012
2010net operating cash flow (DFC_MI 6.01)R$ 106.7 mR$ 120.7 m11.6%DFP 2011 · 13/04/2012
2010opening equity (DMPL 5.03)R$ 2.11 bnR$ 1.89 bn10.5%DFP 2011 · 13/04/2012
2010profit before taxes (DRE 3.07)R$ 95.5 mR$ 106.3 m10.1%DFP 2011 · 13/04/2012
2010equity (BPP 2.03)R$ 2.26 bnR$ 2.05 bn9.4%DFP 2011 · 13/04/2012
2010closing equity (DMPL 5.07)R$ 2.26 bnR$ 2.05 bn9.4%DFP 2011 · 13/04/2012
2010profit in the statement of changes in equity (DMPL 5.05.01)R$ 142.0 mR$ 152.8 m7.0%DFP 2011 · 13/04/2012
2010profit from continuing operations (DRE 3.09)R$ 142.0 mR$ 152.8 m7.0%DFP 2011 · 13/04/2012
2010net profit (DRE 3.11)R$ 142.0 mR$ 152.8 m7.0%DFP 2011 · 13/04/2012
2010net income plus OCI (DMPL 5.05)R$ 157.1 mR$ 167.8 m6.4%DFP 2011 · 13/04/2012
2010total assets (BPA 1)R$ 3.92 bnR$ 3.75 bn4.2%DFP 2011 · 13/04/2012
2010total liabilities (BPP 2)R$ 3.92 bnR$ 3.75 bn4.2%DFP 2011 · 13/04/2012
2010current liabilities (BPP 2.01)R$ 491.6 mR$ 476.5 m3.1%DFP 2011 · 13/04/2012
2010gross profit (DRE 3.03)R$ 304.6 mR$ 297.8 m2.2%DFP 2011 · 13/04/2012
2010net revenue (DRE 3.01)R$ 745.3 mR$ 738.5 m0.9%DFP 2011 · 13/04/2012
2011transactions with shareholders (DMPL 5.04)R$ 14.1 mR$ -74.5 m118.9%DFP 2012 · 26/03/2013
2011internal changes in equity (DMPL 5.06)R$ 0 kR$ 88.5 m100.0%DFP 2012 · 26/03/2013
2012net income plus OCI (DMPL 5.05)R$ 54.8 mR$ -224.2 m124.4%DFP 2013 · 31/03/2014
2012profit in the statement of changes in equity (DMPL 5.05.01)R$ -130.3 mR$ -88.4 m32.1%DFP 2013 · 31/03/2014
2012profit from continuing operations (DRE 3.09)R$ -130.3 mR$ -88.4 m32.1%DFP 2013 · 31/03/2014
2012net profit (DRE 3.11)R$ -130.3 mR$ -88.4 m32.1%DFP 2013 · 31/03/2014
2012equity (BPP 2.03)R$ 2.27 bnR$ 1.88 bn17.0%DFP 2013 · 31/03/2014
2012closing equity (DMPL 5.07)R$ 2.27 bnR$ 1.88 bn17.0%DFP 2013 · 31/03/2014
2012operating profit (EBIT) (DRE 3.05)R$ 226.9 mR$ 268.8 m15.6%DFP 2013 · 31/03/2014
2012profit before taxes (DRE 3.07)R$ 301.1 mR$ 343.0 m12.2%DFP 2013 · 31/03/2014
2012cost of goods and services (DRE 3.02)R$ -463.1 mR$ -421.3 m9.0%DFP 2013 · 31/03/2014
2012gross profit (DRE 3.03)R$ 489.7 mR$ 531.6 m7.9%DFP 2013 · 31/03/2014
2012opening equity (DMPL 5.03)R$ 2.17 bnR$ 2.06 bn4.9%DFP 2013 · 31/03/2014
2013total assets (BPA 1)R$ 3.17 bnR$ 3.15 bn0.7%DFP 2014 · 30/03/2015
2013total liabilities (BPP 2)R$ 3.17 bnR$ 3.15 bn0.7%DFP 2014 · 30/03/2015
2014net operating cash flow (DFC_MI 6.01)R$ 326.9 mR$ 329.6 m0.8%DFP 2015 · 19/04/2016
2015gross profit (DRE 3.03)R$ 155.4 mR$ 102.0 m34.4%DFP 2016 · 03/04/2017
2015cost of goods and services (DRE 3.02)R$ -387.3 mR$ -440.7 m12.1%DFP 2016 · 03/04/2017
2016current liabilities (BPP 2.01)R$ 269.7 mR$ 398.8 m32.4%DFP 2017 · 12/04/2018
2016equity (BPP 2.03)R$ 2.18 bnR$ 2.05 bn5.9%DFP 2017 · 12/04/2018
2017cash and equivalents (BPA 1.01.01)R$ 281.6 mR$ 2.1 m99.3%DFP 2018 · 26/03/2019
2017financial investments (BPA 1.01.02)R$ 135.6 mR$ 415.1 m67.3%DFP 2018 · 26/03/2019
2019net income plus OCI (DMPL 5.05)R$ 164.9 mR$ 373.0 m55.8%DFP 2020 · 09/04/2021
2019non-controlling interests (BPP 2.03.09)R$ 14.4 mR$ 22.5 m36.1%DFP 2020 · 09/04/2021
2019profit in the statement of changes in equity (DMPL 5.05.01)R$ 391.2 mR$ 588.3 m33.5%DFP 2020 · 09/04/2021
2019profit from continuing operations (DRE 3.09)R$ 391.2 mR$ 588.3 m33.5%DFP 2020 · 09/04/2021
2019net profit (DRE 3.11)R$ 391.2 mR$ 588.3 m33.5%DFP 2020 · 09/04/2021
2019profit attributable to controlling shareholders (DRE 3.11.01)R$ 391.2 mR$ 588.3 m33.5%DFP 2020 · 09/04/2021
2019profit before taxes (DRE 3.07)R$ 400.1 mR$ 597.2 m33.0%DFP 2020 · 09/04/2021
2019net operating cash flow (DFC_MI 6.01)R$ 198.9 mR$ 293.4 m32.2%DFP 2020 · 09/04/2021
2019operating profit (EBIT) (DRE 3.05)R$ 431.2 mR$ 628.3 m31.4%DFP 2020 · 09/04/2021
2019gross profit (DRE 3.03)R$ 510.0 mR$ 704.3 m27.6%DFP 2020 · 09/04/2021
2019net revenue (DRE 3.01)R$ 1.04 bnR$ 1.24 bn15.7%DFP 2020 · 09/04/2021
2019current assets (BPA 1.01)R$ 1.12 bnR$ 1.22 bn7.8%DFP 2020 · 09/04/2021
2019current liabilities (BPP 2.01)R$ 541.8 mR$ 503.2 m7.1%DFP 2020 · 09/04/2021
2019equity (BPP 2.03)R$ 2.43 bnR$ 2.61 bn6.7%DFP 2020 · 09/04/2021
2019closing equity (DMPL 5.07)R$ 2.43 bnR$ 2.61 bn6.7%DFP 2020 · 09/04/2021
2019total assets (BPA 1)R$ 5.09 bnR$ 5.19 bn2.1%DFP 2020 · 09/04/2021
2019total liabilities (BPP 2)R$ 5.09 bnR$ 5.19 bn2.1%DFP 2020 · 09/04/2021
2019opening equity (DMPL 5.03)R$ 2.37 bnR$ 2.34 bn1.5%DFP 2020 · 09/04/2021
2020profit from continuing operations (DRE 3.09)R$ 278.9 mR$ 148.6 m46.7%DFP 2021 · 17/03/2022
2020cost of goods and services (DRE 3.02)R$ -540.1 mR$ -304.5 m43.6%DFP 2021 · 17/03/2022
2020net revenue (DRE 3.01)R$ 1.29 bnR$ 868.5 m32.9%DFP 2021 · 17/03/2022
2020profit before taxes (DRE 3.07)R$ 404.8 mR$ 296.9 m26.6%DFP 2021 · 17/03/2022
2020gross profit (DRE 3.03)R$ 754.8 mR$ 563.9 m25.3%DFP 2021 · 17/03/2022
2020net operating cash flow (DFC_MI 6.01)R$ 437.0 mR$ 339.0 m22.4%DFP 2021 · 17/03/2022
2020operating profit (EBIT) (DRE 3.05)R$ 571.9 mR$ 454.5 m20.5%DFP 2021 · 17/03/2022
2020income taxes (DRE 3.08)R$ -125.9 mR$ -148.3 m15.1%DFP 2021 · 17/03/2022
2022cash and equivalents (BPA 1.01.01)R$ -240 kR$ 215.9 m100.1%DFP 2023 · 21/03/2024
2022opening equity (DMPL 5.03)R$ 0 kR$ 2.02 bn100.0%DFP 2023 · 21/03/2024
2022financial investments (BPA 1.01.02)R$ 262.8 mR$ 46.7 m82.2%DFP 2023 · 21/03/2024
2022net operating cash flow (DFC_MI 6.01)R$ 637.5 mR$ 413.7 m35.1%DFP 2023 · 21/03/2024
2022gross profit (DRE 3.03)R$ 910.1 mR$ 1.33 bn31.7%DFP 2023 · 21/03/2024
2022net revenue (DRE 3.01)R$ 1.36 bnR$ 1.78 bn23.6%DFP 2023 · 21/03/2024
2022short-term borrowings (BPP 2.01.04)R$ 84.7 mR$ 83.1 m1.8%DFP 2023 · 21/03/2024
2022long-term borrowings (BPP 2.02.01)R$ 983.0 mR$ 977.9 m0.5%DFP 2023 · 21/03/2024
2023net operating cash flow (DFC_MI 6.01)R$ -87.4 mR$ -86.6 m0.9%DFP 2024 · 26/02/2025

How it is detected: each year appears twice at the CVM — in its own annual filing and as the comparative in the next one. A difference above 0.5% in a key account is recorded, never corrected silently. Only the aggregation the site publishes (consolidated, or individual when the company does not consolidate) counts. Descriptive, not investment advice.

EEEL3 — company page · all restatements in the base

Numbers on this page are live. Data version 2026-09-24-salto-de-acoes · page generated 2026-09-26 23:58 UTC. If this does not match /saude, you are reading a cached copy.

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 2026-09-24-salto-de-acoes · page generated 2026-09-26 23:58 UTC. If this does not match /saude, you are reading a cached copy.