Visteon Corporation (VC) Demonstrações Financeiras e Histórico

Visteon Corporation (VC) — Preço 87,06 $ — Consumo Cíclico — Auto - Parts — NASDAQ

Últimos resultados publicados:

Demonstrações financeiras detalhadas de Visteon Corporation (VC): demonstração de resultados, balanço patrimonial e fluxo de caixa. Acompanhe a evolução de margens, dívida, liquidez e rentabilidade ano a ano: dez exercícios grátis e até 20 com Premium.

Resumo da Análise

Visteon Corporation registou receitas de 3,77 mil M$ no último exercício, com um CAGR de 5 anos de 8,1 %.

Margens dos últimos 12 meses: margem bruta 12,8 %, margem operacional 7,4 %, margem líquida 4,0 %. O fluxo de caixa livre cresceu a CAGR de 34,0 % em 5 anos.

Ao preço atual de 87,06 $, VC negocia a um P/L de 15,85 e um ROE de 9,71 %. A capitalização de mercado é de 2,3 mil M$.

Demonstração de Resultados (10 anos)

Ano2016201720182019202020212022202320242025
Receita3,16 mil M$3,15 mil M$2,98 mil M$2,94 mil M$2,55 mil M$2,77 mil M$3,76 mil M$3,95 mil M$3,87 mil M$3,77 mil M$
Custo da Receita2,70 mil M$2,65 mil M$2,57 mil M$2,32 mil M$2,10 mil M$2,32 mil M$3,18 mil M$3,26 mil M$3,33 mil M$3,24 mil M$
Lucro Bruto456,0 M$491,0 M$411,0 M$626,0 M$446,0 M$453,0 M$572,0 M$697,0 M$531,0 M$532,0 M$
I&D295,0 M$253,0 M$286,0 M$300,0 M$201,0 M$191,0 M$196,0 M$210,0 M$191,0 M$220,0 M$
Despesas Gerais e Administrativas220,0 M$226,0 M$193,0 M$221,0 M$193,0 M$175,0 M$188,0 M$207,0 M$207,0 M$202,0 M$
Despesas Operacionais515,0 M$222,0 M$193,0 M$521,0 M$394,0 M$366,0 M$384,0 M$417,0 M$398,0 M$202,0 M$
Lucro Operacional131,0 M$175,0 M$173,0 M$105,0 M$52,0 M$87,0 M$188,0 M$280,0 M$133,0 M$330,0 M$
EBITDA265,0 M$330,0 M$320,0 M$225,0 M$101,0 M$199,0 M$295,0 M$365,0 M$409,0 M$451,0 M$
Despesas com Juros18,0 M$21,0 M$14,0 M$13,0 M$16,0 M$10,0 M$14,0 M$17,0 M$15,0 M$4,0 M$
Lucro Antes de Impostos161,0 M$223,0 M$216,0 M$106,0 M$-20,0 M$81,0 M$175,0 M$257,0 M$298,0 M$338,0 M$
Imposto30,0 M$48,0 M$43,0 M$24,0 M$28,0 M$31,0 M$45,0 M$-248,0 M$14,0 M$125,0 M$
Lucro Líquido75,0 M$176,0 M$164,0 M$70,0 M$-56,0 M$41,0 M$124,0 M$486,0 M$274,0 M$201,0 M$
LPA2,14 $5,57 $5,56 $2,49 $-2,01 $1,46 $4,41 $17,30 $9,95 $7,39 $
LPA Diluído2,12 $5,47 $5,52 $2,48 $-2,01 $1,44 $4,35 $17,05 $9,82 $7,28 $
Ações em Circulação (Diluídas)35,4 M$32,2 M$29,7 M$28,2 M$27,9 M$28,4 M$28,5 M$28,5 M$27,9 M$27,6 M$

Demonstração de Resultados (Trimestral)

Ano2025-Q32025-Q42026-Q12026-Q2
Receita917,0 M$948,0 M$954,0 M$960,0 M$
Lucro Bruto131,0 M$122,0 M$113,0 M$118,0 M$
Lucro Operacional78,0 M$68,0 M$59,0 M$73,0 M$
EBITDA110,0 M$96,0 M$80,0 M$78,0 M$
Lucro Líquido57,0 M$14,0 M$31,0 M$49,0 M$
LPA2,09 $0,52 $1,16 $1,83 $
LPA Diluído2,04 $0,51 $1,14 $1,79 $

Balanço (10 anos)

Ano2016201720182019202020212022202320242025
Caixa e Equivalentes878,0 M$706,0 M$463,0 M$469,0 M$500,0 M$452,0 M$520,0 M$515,0 M$623,0 M$771,0 M$
Investimentos de Curto Prazo0000000000
Contas a Receber505,0 M$530,0 M$486,0 M$632,0 M$604,0 M$640,0 M$776,0 M$736,0 M$638,0 M$679,0 M$
Estoque151,0 M$189,0 M$184,0 M$169,0 M$177,0 M$262,0 M$348,0 M$298,0 M$283,0 M$269,0 M$
Ativos Circulantes1,71 mil M$1,60 mil M$1,30 mil M$1,34 mil M$1,34 mil M$1,42 mil M$1,71 mil M$1,62 mil M$1,60 mil M$1,78 mil M$
Imobilizado345,0 M$377,0 M$397,0 M$601,0 M$608,0 M$527,0 M$488,0 M$527,0 M$552,0 M$650,0 M$
Ágio45,0 M$47,0 M$47,0 M$46,0 M$49,0 M$50,0 M$45,0 M$44,0 M$81,0 M$113,0 M$
Ativos Intangíveis84,0 M$85,0 M$82,0 M$81,0 M$78,0 M$68,0 M$54,0 M$46,0 M$71,0 M$109,0 M$
Ativos Totais2,37 mil M$2,30 mil M$2,01 mil M$2,27 mil M$2,27 mil M$2,23 mil M$2,45 mil M$2,73 mil M$2,86 mil M$3,39 mil M$
Contas a Pagar463,0 M$470,0 M$436,0 M$520,0 M$509,0 M$522,0 M$657,0 M$551,0 M$505,0 M$540,0 M$
Dívida de Curto Prazo36,0 M$46,0 M$57,0 M$67,0 M$32,0 M$4,0 M$13,0 M$18,0 M$18,0 M$39,0 M$
Passivos Circulantes911,0 M$801,0 M$721,0 M$798,0 M$824,0 M$852,0 M$1,03 mil M$931,0 M$916,0 M$992,0 M$
Dívida de Longo Prazo346,0 M$347,0 M$348,0 M$348,0 M$349,0 M$349,0 M$336,0 M$318,0 M$301,0 M$392,0 M$
Passivos Totais1,65 mil M$1,54 mil M$1,43 mil M$1,68 mil M$1,76 mil M$1,62 mil M$1,68 mil M$1,60 mil M$1,55 mil M$1,74 mil M$
Reservas1,27 mil M$1,45 mil M$1,61 mil M$1,68 mil M$1,62 mil M$1,66 mil M$1,79 mil M$2,27 mil M$2,55 mil M$2,84 mil M$
Patrimônio Líquido586,0 M$637,0 M$465,0 M$480,0 M$387,0 M$516,0 M$675,0 M$1,04 mil M$1,23 mil M$1,57 mil M$
Dívida Total382,0 M$393,0 M$405,0 M$554,0 M$527,0 M$498,0 M$477,0 M$445,0 M$426,0 M$540,0 M$
Dívida Líquida-496,0 M$-313,0 M$-58,0 M$85,0 M$27,0 M$46,0 M$-43,0 M$-70,0 M$-197,0 M$-231,0 M$
Capital de Giro797,0 M$802,0 M$575,0 M$547,0 M$517,0 M$572,0 M$675,0 M$685,0 M$680,0 M$793,0 M$

Fluxo de Caixa (10 anos)

Ano2016201720182019202020212022202320242025
Lucro Líquido91,0 M$192,0 M$174,0 M$81,0 M$-48,0 M$50,0 M$130,0 M$505,0 M$284,0 M$213,0 M$
Depreciação e Amortização84,0 M$87,0 M$91,0 M$100,0 M$104,0 M$108,0 M$108,0 M$104,0 M$96,0 M$109,0 M$
Compensação em Ações8,0 M$12,0 M$8,0 M$17,0 M$18,0 M$18,0 M$26,0 M$36,0 M$41,0 M$45,0 M$
Variação Capital de Giro-110,0 M$-104,0 M$-51,0 M$-17,0 M$92,0 M$-153,0 M$-105,0 M$-72,0 M$38,0 M$-16,0 M$
Fluxo de Caixa Operacional120,0 M$217,0 M$204,0 M$183,0 M$168,0 M$58,0 M$167,0 M$267,0 M$427,0 M$410,0 M$
CapEx-75,0 M$-99,0 M$-127,0 M$-142,0 M$-104,0 M$-70,0 M$-81,0 M$-125,0 M$-137,0 M$-133,0 M$
Aquisições-25,0 M$-97,0 M$16,0 M$0-2,0 M$-5,0 M$-3,0 M$0-55,0 M$-50,0 M$
Recompra de Ações-500,0 M$-200,0 M$-300,0 M$-20,0 M$-16,0 M$00-106,0 M$-63,0 M$-57,0 M$
Dividendos Pagos-1,74 mil M$-1,0 M$-14,0 M$000000-15,0 M$
Fluxo de Caixa Livre45,0 M$118,0 M$77,0 M$41,0 M$64,0 M$-12,0 M$86,0 M$142,0 M$290,0 M$277,0 M$

Crescimento e Margens (10 anos)

Ano2016201720182019202020212022202320242025
Crescimento Receita (anual)-0,5 %-5,1 %-1,3 %-13,5 %+8,8 %+35,4 %+5,3 %-2,2 %-2,5 %
Crescimento Lucro Líquido (anual)+134,7 %-6,8 %-57,3 %-180,0 %+173,2 %+202,4 %+291,9 %-43,6 %-26,6 %
Crescimento LPA (anual)+160,3 %-0,2 %-55,2 %-180,7 %+172,6 %+202,1 %+292,3 %-42,5 %-25,7 %
Variação de Ações (anual)-9,0 %-7,8 %-5,1 %-1,1 %+1,8 %+0,4 %+0,0 %-2,1 %-1,1 %
Crescimento FCF (anual)+162,2 %-34,7 %-46,8 %+56,1 %-118,8 %+816,7 %+65,1 %+104,2 %-4,5 %
Margem Bruta14,4 %15,6 %13,8 %21,3 %17,5 %16,3 %15,2 %17,6 %13,7 %14,1 %
Margem Operacional4,1 %5,6 %5,8 %3,6 %2,0 %3,1 %5,0 %7,1 %3,4 %8,8 %
Margem EBITDA8,4 %10,5 %10,7 %7,6 %4,0 %7,2 %7,9 %9,2 %10,6 %12,0 %
Margem Líquida2,4 %5,6 %5,5 %2,4 %-2,2 %1,5 %3,3 %12,3 %7,1 %5,3 %
Margem FCF1,4 %3,8 %2,6 %1,4 %2,5 %-0,4 %2,3 %3,6 %7,5 %7,4 %
Taxa Efetiva de Imposto18,6 %21,5 %19,9 %22,6 %-140,0 %38,3 %25,7 %-96,5 %4,7 %37,0 %

Dados por Ação (10 anos)

Ano2016201720182019202020212022202320242025
FCF por Ação1,27 $3,66 $2,59 $1,45 $2,29 $-0,42 $3,02 $4,98 $10,39 $10,04 $
Dividendo por Ação49,04 $0,03 $0,47 $0,00 $0,00 $0,00 $0,00 $0,00 $0,00 $0,54 $
Ações em Circulação (Básicas)35,0 M$31,6 M$29,5 M$28,1 M$27,9 M$28,0 M$28,1 M$28,1 M$27,6 M$27,2 M$

O que olhar em empresas de Consumo Cíclico

Rentabilidade

Rendibilidade do capital próprio9,71 %
Retorno sobre capital investido6,62 %
Retorno sobre ativos4,37 %
Margem bruta12,81 %
Margem operacional7,36 %
Margem líquida4,00 %

Saúde financeira

Dívida / Patrimônio0,27
Liquidez corrente1,78
Piotroski F-Score6
Altman Z-Score3,78

Índices Chave (10 anos)

Ano2016201720182019202020212022202320242025
P/L37,5422,4710,8434,78-62,4576,1229,677,228,9212,87
P/VP4,806,213,825,079,056,035,453,381,991,65
P/V0,891,260,600,831,371,120,980,890,630,69
Margem Bruta14,4 %15,6 %13,8 %21,3 %17,5 %16,3 %15,2 %17,6 %13,7 %14,1 %
Margem Operacional4,1 %5,6 %5,8 %3,6 %2,0 %3,1 %5,0 %7,1 %3,4 %8,8 %
Margem Líquida2,4 %5,6 %5,5 %2,4 %-2,2 %1,5 %3,3 %12,3 %7,1 %5,3 %

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Explorar setor: Consumo Cíclico · Auto - Parts

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