VTRU3VITRU EDUCAÇÃO S.A.Company Data · 2T26updated 2026-08-24
1 Overview 4T21 — 2T26 · 19 quarters
VITRU EDUCAÇÃO S.A.
VTRU3Educação

Vitru Educação S.A., together with its subsidiaries, provides educational services in Brazil. It offers distance and on-site undergraduate, graduate, and technical and professional courses, as well as digital education services under the Uniasselvi and UniCesumar brands. The company was formerly known as Vitru Brasil Empreendimentos, Participações e Comércio S.A. and changed its name to Vitru Educação S.A. in December 2025. The company was incorporated in 2014 and is headquartered in São Paulo, Brazil.

SectorEducação
Company HeadquartersSão Paulo, SP
Full Time Employees9.414
CEOMr. Jose Aroldo Alves Jr.
Listing SegmentNovo Mercado
Foundation2014
Customer Rating
Employee Rating
Estrutura Acionária
51%Free Float
Nb Verrocchio Lp12%
Vt Fundo De Investimento Em Participacoes Multiestrategia Responsabilidade Limitada11%
Dboat I Fundo De Investimento Em Participações Multiestrategia11%
Spx Gestão De Recursos Ltda9%
Crescera Growth Capital Master V Fip Multiestrategia6%
Free Float51%
Valuation
PriceR$ 13,52
Shares Outstanding149.309
Market Capitalization2.019
( - ) Cash & Equivalents698
( + ) Total Debt1.861
( = ) Enterprise Value3.182
P/E1,9x
EV / EBITDA3,6x
R$ 13,52
Adj close · daily
▲ +6,4%
Income Statement
Revenue2.348
EBITDA893
EBIT663
Net Income1.093
SG&A %(28,9%)
Balance Sheet
Assets6.622
Cash698
Total Debt1.861
Net Debt1.163
Fixed Assets4.706
Working Capital82
Equity4.014
Invested Capital & Reinvestment
Invested Capital Turnover0,47x
Marginal IC Turnover0,32x
Reinvestment % NOPAT(6,0%)
Working Capital Turnover37,14x
Cash Conv. Cycle(20,1)
Fixed Assets Turnover0,50x
D&A % Fixed Assets4,9%
Capex % Revenue4,9%
43,5 %
RoIC · LTM
RoIC (LTM)
Margins & Returns
Revenue Growth6,1%
Gross Margin66,0%
EBITDA Margin38,0%
Net Income Margin46,6%
Effective Tax Rate(241,5%)
Operating Leverage6,14x
RoIC43,5%
RoE32,4%
Capital Structure
Current Ratio2,56x
Financial Leverage1,65x
Asset Turnover0,36x
Net Debt / EBITDA1,30x
Net Debt & Lease / EBITDA1,73x
Cash Flow
CFO Conversion103,5%
FCFF Yield24,9%
FCFE Yield(53,2%)
Payout Ratio0,3%
Dividend Yield0,2%
Interest % FCFF51,1%
Latest CVM filings
  • 2026-08-12reported 2T26
  • 2026-05-06reported 1T26
  • 2026-03-17reported 4T25
  • 2025-11-13reported 3T25
  • 2025-08-13reported 2T25
  • 2025-05-13reported 1T25