Pet Center Comércio e Participações S.A. (PETZ3) — Capital Reinvestment Ratio

Latest as of September 2025: 0.15x

Pet Center Comércio e Participações S.A. (PETZ3) has a Capital Reinvestment Ratio of 0.15x as of September 2025, meaning it reinvests 0% of its operating cash flow (R$231.96 Million) in capital expenditures (R$34.98 Million). See how leveraged is Pet Center Comércio e Participações S.A.'s balance sheet to measure how much of total assets are equity-financed.

Capital Reinvestment Ratio

0.15x
Capex / Operating Cash Flow

Operating Cash Flow

R$231.96 Million
BRL

Capital Expenditures

R$34.98 Million
BRL

Data as of

Sep 2025
Most recent filing

Pet Center Comércio e Participações S.A. Capital Reinvestment Ratio (2013–2024)

This chart tracks Pet Center Comércio e Participações S.A.'s Capital Reinvestment Ratio across 11 annual periods. Check how aggressively does Pet Center Comércio e Participações S.A. reinvest cash to assess the company's total reinvestment commitment from operating cash flow.

Annual Capital Reinvestment Ratio for Pet Center Comércio e Participações S.A. (2013–2024)

Year-by-year Capital Reinvestment Ratio for Pet Center Comércio e Participações S.A. from 2013 to 2024. For live market cap and broader valuation context, see Pet Center Comércio e Participações S.A. market capitalisation.

Year Reinvestment Ratio Operating CF (BRL) Capital Expenditures YoY Change
2024 0.36x R$460.54 Million R$164.40 Million ▼ -35.3%
2023 0.55x R$429.10 Million R$236.79 Million ▼ -70.7%
2022 1.89x R$202.79 Million R$382.54 Million ▲ +14.4%
2021 1.65x R$165.19 Million R$272.32 Million ▲ +75.7%
2020 0.94x R$188.19 Million R$176.59 Million ▼ -5.9%
2019 1.00x R$135.01 Million R$134.58 Million ▼ -32.9%
2018 1.48x R$58.71 Million R$87.17 Million ▼ -85.9%
2017 10.52x R$6.16 Million R$64.78 Million ▲ +418.7%
2016 2.03x R$23.84 Million R$48.34 Million ▼ -33.2%
2015 3.03x R$12.13 Million R$36.80 Million ▼ -53.7%
2013 6.55x R$7.16 Million R$46.91 Million
Capital Reinvestment Ratio = ABS(Capital Expenditures) / Operating Cash Flow