CPFL Energia

CPFE3 · B3 · BRL

R$48.09Change from previous close: +3.29%Absolute change: +R$1.53

Close · October 2, 2026

At a glance

Revenue growth
+4.08%
2025 vs 2024
Net income growth
+0.49%
2025 vs 2024
Net margin
12.4%
2024: 12.8%

Financial data

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

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow7,1636,7898,9008,9803,8626,1795,7688572,0344,634
Depreciation and amortization2,3972,3032,2502,031——————
Capital expenditure-370-510-678-374-538—————
Investing cash flow-4,444-5,531-4,694-6,526-4,207-2,937-3,048-1,851-2,509-3,815
Financing cash flow-2,463-3,720-3,517-908-1,374-1,260-2,674-364-2,440-337
Dividends paid-3,520-3,480-3,570-3,872-2,568-2,116-534-322-337-232
Share repurchases-0.8-2.7-3.7———————
Debt issued14,6417,7615,31011,3926,121—————
Debt repaid-13,526-7,461-4,640-8,208-3,997—————
Net change in cash256-2,4626891,546-1,7191,98245.7-1,358-2,915482
Free cash flow6,7936,2798,2228,6063,324—————
Levered free cash flow2,3621,9453,1265,486-1,7881,5842,87977.3-484-899