BMC Bolsa Mercantil de Colombia S.A. (BVC:BMC)
Colombia flag Colombia · Delayed Price · Currency is COP
3,500.00
0.00 (0.00%)
At close: Sep 5, 2025

BVC:BMC Balance Sheet

Millions COP. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 20202016 - 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2016 - 2020
Cash & Equivalents
26,13420,94113,95813,1154,2357,052
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Short-Term Investments
----4,028-
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Trading Asset Securities
30,29940,27251,99354,69245,68450,008
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Cash & Short-Term Investments
56,43361,21365,95167,80853,94657,059
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Cash Growth
26.47%-7.18%-2.74%25.70%-5.46%-0.17%
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Accounts Receivable
1,2492,0742,6722,1392,1952,414
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Other Receivables
20,38117,34216,10213,32810,1356,142
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Receivables
21,63019,41618,77515,46812,3308,556
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Prepaid Expenses
-456.75697.6541.32479.48343.78
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Other Current Assets
2,559957.95416.29572.99269.39189.65
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Total Current Assets
80,62282,04485,83984,39067,02466,149
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Property, Plant & Equipment
20,60620,89920,72718,68314,16717,344
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Long-Term Investments
0.640.63,1863,2793,3673,449
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Other Intangible Assets
-214.85200.93250.7543.483,530
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Long-Term Deferred Charges
-14,67110,6778,0466,475426.34
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Other Long-Term Assets
15,4470.3378.29,99310,08210,019
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Total Assets
116,676117,829120,708124,641101,660100,917
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Accounts Payable
917.14-628.551,673554.631,227
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Accrued Expenses
6,7935,5698,47410,2744,6104,599
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Current Portion of Leases
----63.01213.62
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Current Income Taxes Payable
1,0274,5886,9336,2972,009306.13
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Current Unearned Revenue
5,4093,5533,0392,1501,9771,593
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Other Current Liabilities
4,1343,8703,4745,7311,9971,774
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Total Current Liabilities
18,28017,58022,54926,12511,2109,712
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Long-Term Leases
-----300.86
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Long-Term Unearned Revenue
2,304964.1613.22421.25234.75186.88
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Long-Term Deferred Tax Liabilities
1,5032,3472,6151,6153,0163,474
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Total Liabilities
22,68723,13327,04028,96214,46113,674
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Common Stock
36,99936,99936,99936,99936,99936,999
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Additional Paid-In Capital
16,62616,62616,62616,62616,62616,626
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Retained Earnings
33,77735,30935,17138,21730,19620,634
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Comprehensive Income & Other
6,5875,7614,8713,8373,37712,983
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Shareholders' Equity
93,98994,69693,66895,68087,19987,243
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Total Liabilities & Equity
116,676117,829120,708124,641101,660100,917
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Total Debt
----63.01514.48
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Net Cash (Debt)
56,43361,21365,95167,80853,88356,545
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Net Cash Growth
26.47%-7.18%-2.74%25.84%-4.71%0.43%
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Net Cash Per Share
953.271034.021114.051145.42910.20955.16
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Filing Date Shares Outstanding
59.259.259.259.259.259.2
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Total Common Shares Outstanding
59.259.259.259.259.259.2
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Working Capital
62,34264,46463,29158,26555,81456,436
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Book Value Per Share
1587.691599.631582.251616.241472.971473.72
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Tangible Book Value
93,98994,48293,46795,42986,65583,713
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Tangible Book Value Per Share
1587.691596.001578.861612.001463.791414.10
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Land
1,6141,6141,5551,4531,3631,520
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Buildings
16,44416,44415,72714,62913,65715,711
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Machinery
6,0375,9886,0241,8062,1222,980
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Construction In Progress
---3,035--
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Updated Jun 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.