JHSF3JHSF PARTICIPACOES S.A.Company Data · 2T26updated 2026-08-24
JHSF PARTICIPACOES S.A.
JHSF3Emp. Adm. Part. - Const. Civil, Mat. Const. e Decoração
JHSF Participações S.A., together with its subsidiaries, engages in the real estate business in Brazil and internationally. It operates through five segments: Recurring Income; Real Estate Business; Airport, Hotels and Restaurants; and Holding. The company is involved in the construction and operation of shopping centers; purchase and sale of residential and commercial properties; retail of fashion goods; leasing of commercial real estate; and development and operation of hotels, tourism activities, hospitality, and gastronomy, including bars, cafés, and restaurants. It also engages in the provision of management services; and financing solutions, services, and real estate investment. JHSF Participações S.A. was founded in 1972 and is headquartered in São Paulo, Brazil.
SectorEmp. Adm. Part. - Const. Civil, Mat. Const. e Decoração
Company HeadquartersSão Paulo, SP
Full Time Employees—
CEOMr. Adilson Augusto Martins Jr.
Listing SegmentNovo Mercado
Foundation2006
Customer Rating—
Employee Rating—
Estrutura Acionária
Jhsf Par S.A.40%
Jhsf Uk Limited12%
José Auriemo Neto4%
Flatly Global Ltd.0%
Free Float44%
Valuation
| Price | R$ 10,16 |
| Shares Outstanding | 662.750 |
| Market Capitalization | 6.734 |
| ( - ) Cash & Equivalents | 4.292 |
| ( + ) Total Debt | 6.272 |
| ( = ) Enterprise Value | 8.714 |
| P/E | 3,2x |
| EV / EBITDA | 2,8x |
R$ 10,16
Adj close · daily
▲ +1,7%
Income Statement
| Revenue | 4.053 |
| EBITDA | 3.163 |
| EBIT | 2.566 |
| Net Income | 2.099 |
| SG&A % | (15,3%) |
Balance Sheet
| Assets | 19.079 |
| Cash | 4.292 |
| Total Debt | 6.272 |
| Net Debt | 1.980 |
| Fixed Assets | 3.314 |
| Working Capital | 655 |
| Equity | 7.898 |
Invested Capital & Reinvestment
| Invested Capital Turnover | 0,45x |
| Marginal IC Turnover | 18,10x |
| Reinvestment % NOPAT | (35,6%) |
| Working Capital Turnover | 10,50x |
| Cash Conv. Cycle | 498,5 |
| Fixed Assets Turnover | 1,43x |
| D&A % Fixed Assets | 22,9% |
| Capex % Revenue | 19,9% |
Margins & Returns
| Revenue Growth | 123,0% |
| Gross Margin | 63,2% |
| EBITDA Margin | 78,0% |
| Net Income Margin | 51,8% |
| Effective Tax Rate | 5,2% |
| Operating Leverage | 0,42x |
| RoIC | 26,7% |
| RoE | 28,7% |
Capital Structure
| Current Ratio | 1,73x |
| Financial Leverage | 2,42x |
| Asset Turnover | 0,23x |
| Net Debt / EBITDA | 0,63x |
| Net Debt & Lease / EBITDA | 0,63x |
Cash Flow
| CFO Conversion | 135,8% |
| FCFF Yield | 35,6% |
| FCFE Yield | 37,0% |
| Payout Ratio | 19,1% |
| Dividend Yield | 5,1% |
| Interest % FCFF | 19,3% |
Latest CVM filings
- 2026-08-13reported 2T26
- 2026-05-08reported 1T26
- 2026-03-31reported 4T25
- 2025-11-13reported 3T25
- 2025-08-15reported 2T25
- 2025-05-15reported 1T25