Vamos Locacao de Caminhoes, Maquinas e Equipamentos revenue and financials

VAMO3 · B3 · BRL

R$6.01Change from previous close: +4.52%Absolute change: +R$0.26

Close · October 6, 2026

In the fiscal year ended December 2025, Vamos Locacao de Caminhoes, Maquinas e Equipamentos reported revenue of R$5.76B (+22.48% year over year). Net income was R$328.7M, a net margin of 5.7%.

Annual revenue · 2025: R$5.76B
  1. R$2.82B2021
  2. R$4.91B2022
  3. R$3.55B2023
  4. R$4.7B2024
  5. R$5.76B2025

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

At a glance

Revenue growth
+22.48%
2025 vs 2024
Net income growth
−13.72%
2025 vs 2024
Net margin
5.7%
2024: 8.1%

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 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023
Operating cash flow886233-164101268-1,4971,034-435-37176.1-1,387-372
Depreciation and amortization295295264273257243165180165147141117
Capital expenditure-18.8-2.4-7.1-20.8-12.0-3.4-8.5-18.9-1.8-45.8-23.0-15.3
Investing cash flow-24.2-3.71,806-518-10.1-3.41,49534699.7-74.5-190-15.3
Financing cash flow-852-380-1,464460-2291,423-2,64255.44531965081,560
Dividends paid-132—0.0-0.0-249—-40.4-300—-18.0-229—
Share repurchases-0.30.0-0.60.0-11.1-50.7-55.1-13.6-31.8———
Debt issued49574.62,0111,4985152,120-1,10525.175151.71,0211,105
Debt repaid-1,458-175-2,315-1,678-307-500-205-65.6-59.0-278-130-65.7
Net change in cash10.4-15117843.228.5-77.3-113-33.5181197-1,0691,173
Free cash flow867231-17180.2256-1,4971,026-454-37330.3-1,410-387
Levered free cash flow112346778-96.1-3354271,834-189724-278-1,359-1,291