PDTC3PADTEC HOLDING S.A.Company Data · 2T26updated 2026-08-24
1 Overview 4T10 — 2T26 · 63 quarters
PADTEC HOLDING S.A.
PDTC3Emp. Adm. Part. - Telecomunicações

Padtec Holding S.A. provides equipment/DWDM and services, and software and platforms. It offers network maintenance and management; characterization; SPaaS; fiber monitoring; and training services. The company also provides transceivers, lightpads, switches and routers, standalone, and DCI generation products, as well as digital solutions. It offers its products and services to regional operators, internet and telecommunications providers, datacenters, network operators, IT and multimedia, government, utilities and integrators, finance, and research networks. The company was formerly known as Ideiasnet S.A. and changed its name to Padtec Holding S.A. in July 2020. Padtec Holding S.A. was founded in 2001 and is based in Campinas, Brazil.

SectorEmp. Adm. Part. - Telecomunicações
Company HeadquartersCampinas, SP
Full Time Employees
CEOMr. Carlos Raimar Schoeninger
Listing SegmentNovo Mercado
Foundation1998
Customer Rating
Employee Rating
Estrutura Acionária
23%Free Float
Fundação CPqD - Centro de Pesquisa e Desenvolvimento em Telecomunicações54%
BNDES Participações S.A. - BNDESPAR23%
Free Float23%
Valuation
PriceR$ 1,82
Shares Outstanding79.470
Market Capitalization145
( - ) Cash & Equivalents61
( + ) Total Debt281
( = ) Enterprise Value364
P/E13,0x
EV / EBITDA34,4x
R$ 1,82
Adj close · daily
▼ 2,7%
Income Statement
Revenue(13)
EBITDA11
EBIT14
Net Income11
SG&A %(66,6%)
Balance Sheet
Assets639
Cash61
Total Debt281
Net Debt219
Fixed Assets101
Working Capital197
Equity141
Invested Capital & Reinvestment
Invested Capital Turnover(0,05x)
Marginal IC Turnover5,68x
Reinvestment % NOPAT(146,0%)
Working Capital Turnover(0,08x)
Cash Conv. Cycle(3.994,9)
Fixed Assets Turnover(0,16x)
D&A % Fixed Assets(4,1%)
Capex % Revenue44,6%
5,0 %
RoIC · LTM
RoIC (LTM)
Margins & Returns
Revenue Growth(167,3%)
Gross Margin1,0%
EBITDA Margin(83,8%)
Net Income Margin(88,4%)
Effective Tax Rate(0,1%)
Operating Leverage0,01x
RoIC5,0%
RoE10,9%
Capital Structure
Current Ratio3,01x
Financial Leverage4,54x
Asset Turnover(0,03x)
Net Debt / EBITDA20,75x
Net Debt & Lease / EBITDA21,18x
Cash Flow
CFO Conversion137,4%
FCFF Yield6,5%
FCFE Yield48,9%
Payout Ratio0,0%
Dividend Yield0,0%
Interest % FCFF3,0%
Latest CVM filings
  • 2026-08-07reported 2T26
  • 2026-05-06reported 1T26
  • 2026-02-25reported 4T25
  • 2025-11-05reported 3T25
  • 2025-08-06reported 2T25
  • 2025-05-07reported 1T25