SBFG3Grupo SBF S.A.Company Data · 2T26updated 2026-08-24
1 Overview 4T18 — 2T26 · 31 quarters
Grupo SBF S.A.
SBFG3Comércio (Atacado e Varejo)

Grupo SBF S.A. engages in the sale of sporting goods and leisure products in Brazil. The company offers footwear, clothing, entertainment in general, equipment, and accessories. It also offers free weekly Yoga and FitDance classes; promotes several events and free sports classes; free activities, such as classes in various modalities and sporting events; and loan of soccer, basketball, volleyball, rackets, and yoga mats. The company sells its products through physical store, website, and application under the Oxer, Nord, and Adams brands, as well as Go Equal, Farm, Asics, Brazilian Football Confederation (CBF) collection brands. In addition, it is involved in the provision of logistics services; and sports commerce and audio vision production businesses. Grupo SBF S.A. was founded in 1981 and is headquartered in São Paulo, Brazil.

SectorComércio (Atacado e Varejo)
Company HeadquartersSão Paulo, SP
Full Time Employees
CEOMr. Gustavo de Lima Furtado
Listing SegmentNovo Mercado
Foundation2011
Customer Rating
Employee Rating
Estrutura Acionária
35%Free Float
Pacipar Participações S.A.35%
Nefele Investments, LLC.10%
Sebastião Vicente Bomfim Filho7%
Xp Investimentos Corretora De Câmbio, Títulos E Valores Mobiliários S.A.7%
Tordesilhas Capital Gestora de Recursos Ltda5%
Free Float35%
Valuation
PriceR$ 8,20
Shares Outstanding230.664
Market Capitalization1.891
( - ) Cash & Equivalents429
( + ) Total Debt3.201
( = ) Enterprise Value4.663
P/E4,5x
EV / EBITDA4,1x
R$ 8,20
Adj close · daily
▲ +3,0%
Income Statement
Revenue8.369
EBITDA1.140
EBIT658
Net Income419
SG&A %(40,5%)
Balance Sheet
Assets9.342
Cash429
Total Debt3.201
Net Debt2.771
Fixed Assets2.624
Working Capital2.410
Equity3.204
Invested Capital & Reinvestment
Invested Capital Turnover1,20x
Marginal IC Turnover1,00x
Reinvestment % NOPAT145,5%
Working Capital Turnover4,40x
Cash Conv. Cycle150,3
Fixed Assets Turnover3,26x
D&A % Fixed Assets10,0%
Capex % Revenue6,0%
10,5 %
RoIC · LTM
RoIC (LTM)
Margins & Returns
Revenue Growth14,4%
Gross Margin48,8%
EBITDA Margin13,6%
Net Income Margin5,0%
Effective Tax Rate(13,6%)
Operating Leverage0,93x
RoIC10,5%
RoE13,6%
Capital Structure
Current Ratio1,62x
Financial Leverage2,92x
Asset Turnover0,90x
Net Debt / EBITDA2,43x
Net Debt & Lease / EBITDA3,82x
Cash Flow
CFO Conversion34,8%
FCFF Yield(1,9%)
FCFE Yield12,6%
Payout Ratio0,0%
Dividend Yield0,0%
Interest % FCFF(160,6%)
Latest CVM filings
  • 2026-08-11reported 2T26
  • 2026-05-11reported 1T26
  • 2026-03-09reported 4T25
  • 2025-11-10reported 3T25
  • 2025-08-11reported 2T25
  • 2025-05-12reported 1T25