BMC Bolsa Mercantil de Colombia S.A. (BVC:BMC)
Colombia flag Colombia · Delayed Price · Currency is COP
5,450.00
0.00 (0.00%)
At close: Apr 10, 2026

BVC:BMC Balance Sheet

Millions COP. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
31,11520,94113,95813,1154,235
Short-Term Investments
----4,028
Trading Asset Securities
41,35040,27251,99354,69245,684
Cash & Short-Term Investments
72,46561,21365,95167,80853,946
Cash Growth
18.38%-7.18%-2.74%25.70%-5.46%
Accounts Receivable
1,4742,0742,6722,1392,195
Other Receivables
29,60817,34416,10213,32810,135
Receivables
31,08219,41818,77515,46812,330
Prepaid Expenses
1,039456.75697.6541.32479.48
Other Current Assets
1,096957.95416.29572.99269.39
Total Current Assets
105,68182,04685,83984,39067,024
Property, Plant & Equipment
21,57420,89920,72718,68314,167
Long-Term Investments
6,8760.63,1863,2793,367
Other Intangible Assets
94.19214.85200.93250.7543.48
Long-Term Deferred Tax Assets
913.37----
Long-Term Deferred Charges
15,48414,67110,6778,0466,475
Other Long-Term Assets
44.250.3378.29,99310,082
Total Assets
150,667117,831120,708124,641101,660
Accounts Payable
1,762362.6628.551,673554.63
Accrued Expenses
13,2095,5718,47410,2744,610
Current Portion of Leases
40.85---63.01
Current Income Taxes Payable
5,6734,5886,9336,2972,009
Current Unearned Revenue
6,4293,5533,0392,1501,977
Other Current Liabilities
5,6123,5063,4745,7311,997
Total Current Liabilities
32,72517,58222,54926,12511,210
Long-Term Unearned Revenue
2,033964.1613.22421.25234.75
Pension & Post-Retirement Benefits
1,0742,2421,262800-
Long-Term Deferred Tax Liabilities
-2,3472,6151,6153,016
Total Liabilities
35,83223,13527,04028,96214,461
Common Stock
36,99936,99936,99936,99936,999
Additional Paid-In Capital
16,62616,62616,62616,62616,626
Retained Earnings
54,32335,34735,17138,21730,196
Comprehensive Income & Other
6,8855,7244,8713,8373,377
Shareholders' Equity
114,83494,69693,66895,68087,199
Total Liabilities & Equity
150,667117,831120,708124,641101,660
Total Debt
40.85---63.01
Net Cash (Debt)
72,42461,21365,95167,80853,883
Net Cash Growth
18.32%-7.18%-2.74%25.84%-4.71%
Net Cash Per Share
1223.401034.021114.051145.42910.20
Filing Date Shares Outstanding
59.259.259.259.259.2
Total Common Shares Outstanding
59.259.259.259.259.2
Working Capital
72,95664,46463,29158,26555,814
Book Value Per Share
1939.801599.631582.251616.241472.97
Tangible Book Value
114,74094,48293,46795,42986,655
Tangible Book Value Per Share
1938.211596.001578.861612.001463.79
Land
1,6871,6141,5551,4531,363
Buildings
17,30416,44415,72714,62913,657
Machinery
6,4065,9886,0241,8062,122
Construction In Progress
---3,035-
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.