PGMN3EMPREENDIMENTOS PAGUE MENOS S.A.Company Data · 2T26updated 2026-08-24
1 Overview 1T22 — 2T26 · 18 quarters
EMPREENDIMENTOS PAGUE MENOS S.A.
PGMN3Comércio (Atacado e Varejo)

Empreendimentos Pague Menos S.A. engages in the retail sale of medicines, perfumeries, and personal hygiene and beauty products in Brazil. The company offers medicines and health care products; personal hygiene products, including deodorant, intimate care, and oral hygiene; foot, hair, face, and hand care products; dermo and beauty products; and repellent, diaper, cloth, and food products, as well as other accessories for moms and babies. The company also offers vaccines, clinical analysis tests, and basic health services; clothing and accessories, supplements, first aid, food and drinks, chocolates, ice creams, popsicles, toys, pet and home products, laptop accessories, utilities, and others; and cereals, fibers, vitamins and minerals, first aid, and herbal medicines and natural products. It sells its products through retail stores and online. Empreendimentos Pague Menos S.A. was incorporated in 1981 and is based in Fortaleza, Brazil.

SectorComércio (Atacado e Varejo)
Company HeadquartersFortaleza, CE
Full Time Employees28.316
CEOMr. Jonas Marques Neto
Listing SegmentNovo Mercado
Foundation1981
Customer Rating
Employee Rating
Estrutura Acionária
49%Free Float
Francisco Deusmar De Queirós26%
Patriciana Maria De Queirós Rodrigues6%
Carlos Henrique Alves De Queirós6%
Rosilândia Maria Alves De Queirós Lima6%
Mário Henrique Alves De Queirós6%
Free Float49%
Valuation
PriceR$ 3,37
Shares Outstanding720.148
Market Capitalization2.427
( - ) Cash & Equivalents111
( + ) Total Debt1.581
( = ) Enterprise Value3.897
P/E7,4x
EV / EBITDA2,6x
R$ 3,37
Adj close · daily
▲ +4,7%
Income Statement
Revenue15.637
EBITDA1.498
EBIT953
Net Income329
SG&A %(26,3%)
Balance Sheet
Assets9.815
Cash111
Total Debt1.581
Net Debt1.470
Fixed Assets2.739
Working Capital2.704
Equity3.426
Invested Capital & Reinvestment
Invested Capital Turnover2,41x
Marginal IC Turnover2,10x
Reinvestment % NOPAT29,6%
Working Capital Turnover6,24x
Cash Conv. Cycle75,7
Fixed Assets Turnover5,70x
D&A % Fixed Assets19,9%
Capex % Revenue2,1%
17,6 %
RoIC · LTM
RoIC (LTM)
Margins & Returns
Revenue Growth14,3%
Gross Margin32,3%
EBITDA Margin9,6%
Net Income Margin2,1%
Effective Tax Rate(23,0%)
Operating Leverage2,63x
RoIC17,6%
RoE10,3%
Capital Structure
Current Ratio1,78x
Financial Leverage2,87x
Asset Turnover1,61x
Net Debt / EBITDA0,98x
Net Debt & Lease / EBITDA2,25x
Cash Flow
CFO Conversion40,3%
FCFF Yield5,5%
FCFE Yield(3,7%)
Payout Ratio31,4%
Dividend Yield2,7%
Interest % FCFF90,5%
Latest CVM filings
  • 2026-08-05reported 2T26
  • 2026-05-04reported 1T26
  • 2026-02-27reported 4T25
  • 2025-11-03reported 3T25
  • 2025-08-04reported 2T25
  • 2025-05-05reported 1T25