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SMTO3 — SÃO MARTINHO SA

CNPJ 51.466.860/0001-56 · listed classes: SMTO3 · CVM code 20516

6.7P/E
0.8P/B
5.2EV/EBITDA
37.9%FCF yield
11.9%ROE 2026
9.5%ROIC 2026
P/E, P/B and EV/EBITDA priced at the session of 2026-05-25 (R$ 17.31), the first one after the 2026 filing became public on 2026-05-25 — point-in-time, not the 31 December price.

The full history, year by year

The arrow opens the path from the figure down to the line in the regulator's file. A cell with ! carries a caveat; a dash is a withheld figure — hover for the reason. Nothing is hidden.

indicator2011201220132014201520162017201820192020202120222023202420252026
ROE 7.3%!6.4%3.5%6.5%12.2%7.4%9.4%14.7%9.4%19.0%25.3%31.8%18.1%23.1%8.2%11.9%
ROIC 7.0%!6.6%4.7%5.3%10.5%9.3%!8.2%10.8%10.0%15.1%14.4%18.6%14.9%16.3%11.0%!9.5%!
ROA 3.5%!2.9%1.4%2.5%4.7%2.7%3.5%5.5%3.3%5.8%7.6%9.9%5.6%7.5%2.6%3.7%
Gross margin 30.8%27.5%24.6%29.0%28.5%26.7%26.2%32.0%25.9%31.9%36.1%42.3%30.7%24.3%24.9%26.2%
EBIT margin 18.2%16.7%12.2%15.9%23.8%20.0%25.6%23.3%20.8%32.1%36.0%42.2%31.3%36.7%21.2%18.8%
Net margin 11.0%9.3%4.5%8.8%15.0%8.3%10.9%14.3%9.3%17.3%21.5%25.9%15.3%21.4%7.8%11.3%
Revenue growth (1y) 5.6%19.7%18.8%24.9%22.1%11.6%31.7%-2.2%9.9%16.5%32.9%15.9%4.0%3.9%3.8%
Revenue growth (5y CAGR) 12.5%13.8%21.6%17.0%14.0%13.0%17.0%14.0%15.4%14.2%11.5%
Net debt/EBITDA 0.86x1.42x2.07x1.89x2.36x2.33x1.95x1.45x2.13x2.50x2.07x1.85x2.09x1.70x2.90x2.96x
Current ratio 1.39x1.28x1.55x1.24x1.23x1.33x1.25x2.20x2.59x2.01x1.74x2.55x2.17x2.18x2.43x2.62x

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.

quarterrevenueprofitnet marginP/E TTMP/Bfiled on
2022T3!1,581.8212.613.4%1.752022-11-07
2023T2!1,342.6220.316.4%1.962023-08-14
2023T3!1,535.0418.127.2%1.932023-11-09
2024T2!1,643.7106.36.5%1.512024-08-12
2024T3!1,958.4187.49.6%1.282024-11-11
2025T2!1,857.262.83.4%0.792025-08-11
2025T3!1,738.6176.410.1%0.632025-11-10
2026T2!1,528.038.12.5%0.652026-08-10

Full series, every quarter: GET /empresas/SMTO3/trimestres

Dividends per year

yearper sharepayments
2026R$ 0.21661
2025R$ 0.45651
2024R$ 1.34793
2023R$ 1.24142
2022R$ 1.13303
2021R$ 2.33153
2020R$ 0.54152
2019R$ 0.65822

Piotroski F-Score 7/9 (2026) — 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
2013BPA 15,633.14,923.3
2013BPP 25,633.14,923.3
2016BPA 1.011,539.32,009.6
2013BPP 2.02.011,618.41,176.0
2013DRE 3.011,636.01,291.5
2013DRE 3.02-1,233.7-929.7
2017DMPL 5.04320.9127.6
2017DMPL 5.06-193.30.0

This company appears in

Other companies in Consumer Defensive

26 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/SMTO3/indicadores. WEGE3 is open for testing without a key; for the rest, create a free key (200 calls/day, no card).

Price coverage: 4,137 sessions, 2010-01-04 → 2026-09-04 · methodology · how we verify

Numbers on this page are live. Data version 2026-09-01-supressao-declarada · page generated 2026-09-08 10:36 UTC. If this does not match /saude, you are reading a cached copy.