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INDICATIVE · SAMPLE DATA
CAMB356

Cambuci SA

Recreational ProductsVerified

Cambuci SA maintains a relatively strong liquidity position, with a current ratio of 2.27, indicating that the company has more than twice as many current assets as current liabilities. However, the company's net cash position is negative after subtracting total debt, which could pose a liquidity risk in the short term. In terms of profitability, the company's return on equity (ROE) is 8.17%, and its return on assets (ROA) is 5.64%. These figures suggest that the company is generating a moderate return on its equity and assets, which is in line with the typical performance metrics for the recreational products industry. Cambuci SA's revenue is primarily concentrated in the recreational products segment, with no disclosed geographic diversification. The company's revenue concentration in a single segment may expose it to higher business risk if market conditions for recreational products deteriorate. The company's growth trajectory is expected to remain stable, with no significant changes in revenue or earnings anticipated in the next fiscal year. The company's capital expenditure is negative, indicating that it is generating more cash from operations than it is spending on capital investments. The risk assessment for Cambuci SA indicates a medium liquidity risk and a low dilution risk. The company's debt-to-equity ratio is 0.04, which is relatively low, suggesting that the company is not heavily leveraged. However, the negative net cash position after subtracting total debt could be a concern for liquidity. Recent events and filings do not indicate any significant changes in the company's operations or financial position. The company's last actual EPS was -0.05 BRL, and its last actual revenue was 134,950,000 BRL, according to analyst estimates.

30-day price · CAMB3+0.29 (+3.1%)
Low$9.10High$10.14Close$9.66As of17 May, 00:00 UTC
Profile
CompanyCambuci SA
TickerCAMB3.SA
SectorConsumer Cyclicals
BusinessCyclical Consumer Products
Industry groupCyclical Consumer Products
IndustryRecreational Products
AI analysis

Business. Cambuci SA is a Brazilian company engaged in the production and distribution of recreational products, primarily operating within the consumer cyclicals sector.

Classification. Cambuci SA is classified under the industry of Recreational Products within the Cyclical Consumer Products business sector, with a classification confidence of 0.92.

Cambuci SA maintains a relatively strong liquidity position, with a current ratio of 2.27, indicating that the company has more than twice as many current assets as current liabilities. However, the company's net cash position is negative after subtracting total debt, which could pose a liquidity risk in the short term. In terms of profitability, the company's return on equity (ROE) is 8.17%, and its return on assets (ROA) is 5.64%. These figures suggest that the company is generating a moderate return on its equity and assets, which is in line with the typical performance metrics for the recreational products industry. Cambuci SA's revenue is primarily concentrated in the recreational products segment, with no disclosed geographic diversification. The company's revenue concentration in a single segment may expose it to higher business risk if market conditions for recreational products deteriorate. The company's growth trajectory is expected to remain stable, with no significant changes in revenue or earnings anticipated in the next fiscal year. The company's capital expenditure is negative, indicating that it is generating more cash from operations than it is spending on capital investments. The risk assessment for Cambuci SA indicates a medium liquidity risk and a low dilution risk. The company's debt-to-equity ratio is 0.04, which is relatively low, suggesting that the company is not heavily leveraged. However, the negative net cash position after subtracting total debt could be a concern for liquidity. Recent events and filings do not indicate any significant changes in the company's operations or financial position. The company's last actual EPS was -0.05 BRL, and its last actual revenue was 134,950,000 BRL, according to analyst estimates.
Key takeaways
  • Cambuci SA has a strong current ratio of 2.27, indicating good short-term liquidity.
  • The company's ROE of 8.17% and ROA of 5.64% suggest moderate profitability.
  • Revenue is concentrated in the recreational products segment, which may increase business risk.
  • The company's capital expenditure is negative, indicating efficient cash flow management.
  • The company has a low debt-to-equity ratio of 0.04, suggesting a conservative capital structure.
  • # RATIONALES
  • {
  • "margin_outlook_rationale": "The company's gross profit margin is expected to remain stable, driven by consistent demand for recreational products.",
Financial snapshot
PeriodHA-latest
CurrencyBRL
Revenue$110.1M
Gross profit$57.2M
Operating income$29.4M
Net income$20.6M
R&D
SG&A
D&A
SBC
Operating cash flow$23.2M
CapEx-$4.1M
Free cash flow$19.5M
Total assets$365.8M
Total liabilities$113.0M
Total equity$252.8M
Cash & equivalents$2.1M
Long-term debt$9.7M
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4$240.1M$36.1M$27.5M$25.5M
FY-3$440.4M$89.2M$56.6M$41.4M
FY-2$459.2M$98.1M$71.9M$73.7M
FY-1$437.9M$95.1M$76.4M$47.3M
FY0$383.1M$68.4M$68.4M$43.5M
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
FY0
PeriodAssetsEquityCashDebt
FY-4$318.7M$125.4M$3.5M
FY-3$386.5M$171.7M$8.1M
FY-2$335.6M$232.8M$2.1M
FY-1$368.9M$281.3M$1.7M
FY0$373.0M$305.6M$813.0k
PeriodOCFCapExFCFSBC
FY-4-$11.2M-$9.1M$25.5M
FY-3$42.7M-$25.6M$41.4M
FY-2$136.5M-$10.4M$73.7M
FY-1$85.8M-$23.7M$47.3M
FY0$80.9M-$13.5M$43.5M
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7$110.1M$29.4M$20.6M$19.5M
FQ-6$112.9M$27.3M$25.4M$15.8M
FQ-5$124.3M$26.6M$20.7M$14.5M
FQ-4$90.6M$11.9M$9.7M$1.8M
FQ-3$97.9M$19.9M$19.1M$20.3M
FQ-2$99.6M$20.2M$20.1M$20.8M
FQ-1$105.6M$18.9M$17.1M$7.5M
FQ0$80.0M$9.3M$12.1M-$904.0k
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7$365.8M$252.8M$2.1M
FQ-6$383.8M$272.9M$1.0M
FQ-5$398.0M$283.1M$1.2M
FQ-4$368.9M$281.3M$1.7M
FQ-3$379.7M$296.5M$1.9M
FQ-2$385.9M$307.6M$1.4M
FQ-1$396.5M$310.8M$1.7M
FQ0$373.0M$305.6M$813.0k
PeriodOCFCapExFCFSBC
FQ-7$23.2M-$4.1M$19.5M
FQ-6$49.4M-$17.1M$15.8M
FQ-5$74.4M-$20.5M$14.5M
FQ-4$85.8M-$23.7M$1.8M
FQ-3$11.3M-$2.3M$20.3M
FQ-2$36.7M-$5.1M$20.8M
FQ-1$59.2M-$9.7M$7.5M
FQ0$80.9M-$13.5M-$904.0k
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$252.8M
Net cash-$7.6M
Current ratio2.3
Debt/Equity0.0
ROA5.6%
ROE8.2%
Cash conversion1.1%
CapEx/Revenue-3.8%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Recreational Products · cohort 92 companies
MetricCAMB3Activity
Op margin26.7%3.0% medp25 -6.3% · p75 8.6%top quartile
Net margin18.8%2.5% medp25 -5.8% · p75 7.8%top quartile
Gross margin52.0%29.7% medp25 17.8% · p75 41.9%top quartile
R&D / revenue3.1% medp25 3.1% · p75 3.1%
CapEx / revenue-3.8%-3.2% medp25 -7.8% · p75 -1.6%below median
Debt / equity4.0%31.6% medp25 9.2% · p75 56.1%bottom quartile
Observations
IR observations
Last actual EPS-0.05 BRL
Last actual revenue134,950,000 BRL
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-10 08:34 UTC#ebd3216a
Source: analysis-pipeline (hybrid)Generated: 2026-05-27 14:28 UTCJob: 9718532a