Suzano revenue and financials

SUZB3 · B3 · BRL

R$41.72Change from previous close: −0.57%Absolute change: −R$0.24

Close · October 6, 2026

In the fiscal year ended December 2025, Suzano reported revenue of R$50.12B (+5.72% year over year). Net income was R$13.41B, a net margin of 26.8%.

Annual revenue · 2025: R$50.12B
  1. R$9.84B2016
  2. R$10.58B2017
  3. R$13.44B2018
  4. R$26.01B2019
  5. R$30.46B2020
  6. R$40.97B2021
  7. R$49.83B2022
  8. R$39.76B2023
  9. R$47.4B2024
  10. R$50.12B2025

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

At a glance

Revenue growth
+5.72%
2025 vs 2024
Net margin
26.8%
2024: -14.9%

Financial data

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

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow18,15220,60417,31521,64117,63713,1257,5765,1693,0673,076
Depreciation and amortization11,2979,2247,3217,4387,0836,7528,0531,5631,4111,419
Capital expenditure-12,492-16,371-17,452-14,749-5,958-4,896-4,851-2,416-1,772-2,313
Investing cash flow-9,833-20,513-26,035-17,016-10,359-736-11,695-21,961-1,008-3,342
Financing cash flow-1,820-83.87,799-8,107-1,574-9,7853,14220,035-2,612566
Dividends paid-2,208-1,625-193-4,151-9.7—-607-210-571-300
Share repurchases-192-2,807-881-1,904————-0.1—
Debt issued23,87215,69310,9451,33616,99214,76218,99425,6462,5625,666
Debt repaid-23,801-10,736-5,515-3,562-16,482-19,917-14,640-3,739-4,534-4,853
Effect of exchange rates-339665-239-6021,051983-16267.414.7-162
Net change in cash6,161673-1,160-4,0856,7563,586-1,1383,311-538137
Free cash flow5,6604,233-1376,89211,679—————
Levered free cash flow-536-201-4,575-7196,6256,1982111,631609527