Skip to content

Energy Company of Minas Gerais

US · CIG #1904 by market cap Listed 1970
2.32 -0.04 -1.69%
Live - 5344 symbols - heartbeat 196s ago · 2026-10-08 06:45
Pre-market 2.33 +0.43%
After-hours 2.33 +0.43%
Market cap
6.64B
P/B
1.16
EPS
0.35
Reader sentiment Are you bullish or bearish on CIG?

Anonymous reader poll. Unscientific, not investment advice.

Revenue annual, last 8 years

Latest year +7.36% YoY

Margins

Gross margin
16.93%
Operating margin
14.80%
Net margin
11.45%

Key ratios & quality

PEG uses trailing P/E against the 3-year net income growth rate (6.17%/yr) since forward earnings estimates aren't available here, so this is not a "forward PEG."

Income statement

Line item 2018 2019 2020 2021 2022 2023 2024 2025
Revenue 22.30B25.49B25.23B33.65B34.46B36.85B39.82B42.75B
Gross profit 4.62B5.89B5.38B6.72B6.81B8.38B7.83B7.24B
Selling & admin expenses 936.00M642.00M583.00M463.00M1.41B1.43B1.26B124.00M
Research & development ----------------
Operating profit 2.81B2.88B4.19B5.75B3.52B6.21B7.94B6.33B
Pretax profit 2.01B4.57B3.80B4.70B4.12B6.85B9.36B5.67B
Tax 610.00M1.60B936.00M946.00M26.00M1.08B2.24B771.00M
Net profit 1.76B3.20B2.87B3.75B4.09B5.77B7.12B4.90B
Basic EPS 11112222
Diluted EPS 0.541.121.001.311.862.012.491.73

Balance sheet

Line item 2018 2019 2020 2021 2022 2023 2024 2025
Total current assets 27.97B10.35B15.46B12.95B13.47B11.87B12.23B14.48B
Cash & ST investments 2.49B2.17B5.30B4.05B4.24B3.13B3.45B4.34B
Inventory ----------------
Total assets 60.34B50.53B54.08B52.05B53.67B55.00B59.73B67.03B
Total current liabilities 23.44B7.97B9.69B10.69B11.20B13.09B14.15B14.46B
Short-term debt 2.20B2.83B2.11B1.53B1.01B2.71B2.96B3.14B
Long-term debt 12.57B12.03B12.96B9.90B9.63B7.20B9.40B16.41B
Total liabilities 44,255,000,000.0034,423,000,000.0036,605,000,000.0032,584,000,000.0031,887,000,000.0030,344,000,000.0032,345,000,000.0038,447,000,000.00
Total equity 16.08B16.10B17.48B19.46B21.78B24.66B27.38B28.58B
Retained earnings 145.00M212.00M000------

Cash flow

Line item 2018 2019 2020 2021 2022 2023 2024 2025
Operating cash flow 1.01B2.04B8.61B3.69B6.54B6.65B5.50B4.08B
Depreciation & amortization 850.00M958.00M989.00M1.05B1.18B1.27B1.38B1.53B
Free cash flow 130.00M1.03B8.43B3.45B6.25B5.38B4.58B3.00B
Dividends paid -509.00M-701.00M-598.00M-1.42B-2.09B000
Stock buybacks / issuance ----------------
Ending cash balance 891.00M536.00M1.68B825.00M1.44B1.54B1.90B1.90B

Returns & efficiency

Line item 2018 2019 2020 2021 2022 2023 2024 2025
ROE % 11.7620.5317.1720.3119.8524.8327.3617.50
ROA % 3.335.705.517.077.7410.6112.417.73
ROIC % 8.0612.2510.8914.8817.7718.6720.1213.15
5-year avg ROE % 13.6712.5711.9115.4617.9620.5621.8821.97
EBIT margin % 14.5822.4719.9519.0418.6221.3425.9816.78
FCF / sales % 4.050.4333.4310.2618.3414.6111.497.02
Current ratio 1.191.301.601.211.200.910.861.00
Quick ratio 0.331.031.351.131.120.800.760.85
Debt / assets 24.4829.8228.1922.3020.3718.6621.2829.66
LT debt / equity 85.4075.9975.2051.8145.5630.6535.6258.59
Interest coverage 2.564.624.093.752.797.7610.464.77
Revenue CAGR (3Y) % 0.6510.735.1314.7010.5813.465.787.45
Net income CAGR (3Y) % -11.32112.2641.9629.638.6126.2623.806.17
FCF CAGR (3Y) % -59.28143.07--198.3482.18-13.919.86-21.72

✦ Quant Revenue Concentration how this is computed

Single-engine
  • Distribution is the largest reported line at 70.65% of revenue, across 7 reported segments.
  • The next-largest line, Trading, is a distant second at 19.31% - a sharp slowdown here would have little to offset it.

Revenue breakdown most recent period

Business

Distribution70.65%
Trading19.31%
Generation7.70%
Gas4.70%
Transmission3.36%
Equity income / Holding0.42%

Quote time 2026-10-08 06:45:47 · For reference only, not investment advice and not tailored to your situation.