AXIA Energia revenue and financials

AXIA3 · B3 · BRL

R$59.48Change from previous close: −3.10%Absolute change: −R$1.90

Close · October 6, 2026

In the fiscal year ended December 2025, AXIA Energia reported revenue of R$41.28B (+2.74% year over year). Net income was R$6.56B, a net margin of 15.9%.

Annual revenue · 2025: R$41.28B
  1. R$31.72B2016
  2. R$24.52B2017
  3. R$25.77B2018
  4. R$29.71B2019
  5. R$29.08B2020
  6. R$34.63B2021
  7. R$34.07B2022
  8. R$37.16B2023
  9. R$40.18B2024
  10. R$41.28B2025

Fiscal year ending in December. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+2.74%
2025 vs 2024
Net income growth
−36.80%
2025 vs 2024
Net margin
15.9%
2024: 25.8%

Financial data

Amounts in millions of BRL; per-share values in BRL; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q1 2023
Operating cash flow6,5242,7613,2164,2133,9413,1395,4673,7761,8561,2861,9681,046
Depreciation and amortization1,2331,2531,1781,1561,131———————
Capital expenditure-611-415-784-554-501-226-1,229-356-852-662-1,656-688
Investing cash flow-2,517-4,793-3,516-3,6171,065495-5,3411,807-3,776-1,351-2773,031
Financing cash flow-5,503-1,851-1,783-4,625-5,141-7,5434,768-1,8498,371-1,489-9,649-3,198
Dividends paid-90.3-0.2-4,204-3,985-1,805-2,192-132—-1,291-0.4-95.6-3.1
Share repurchases0.00.00.0-36.70.0—-46.7-68.4——-143-148
Debt issued5002,7004,7022,830-0.35008,8134,22916,399525-2.014.6
Debt repaid-3,201-2,999-2,069-2,935-1,402-4,957-3,867-6,125-5,608-1,167-9,852-1,986
Net change in cash-1,496-3,883-2,084-4,028-134-3,9094,8943,7356,452-1,554-7,959879
Free cash flow5,9132,3462,4313,6603,4402,9134,2383,4201,004624311358
Levered free cash flow8,341-5,4125,384-7,2686,7982,864-2,1668,852-3,0841681,795959