Cementos Argos S.A. (BVC:CEMARGOS)
Colombia flag Colombia · Delayed Price · Currency is COP
10,960
-100 (-0.90%)
At close: Mar 20, 2026

Cementos Argos Cash Flow Statement

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
Net Income
2,505,5535,519,523241,519142,287431,132
Depreciation & Amortization
445,969472,704347,633961,740921,141
Loss (Gain) From Sale of Assets
-11,110-14,982-16,036-109,217-189,611
Asset Writedown & Restructuring Costs
114,526--6,063-13,801-41,988
Loss (Gain) From Sale of Investments
25,18541,95412,35123,50939,702
Loss (Gain) on Equity Investments
-92942,446-874-7,4618,157
Other Operating Activities
-2,015,232-5,073,791635,702927,352743,837
Change in Accounts Receivable
-23,369-8,50344,606-39,729-100,068
Change in Inventory
-37,8991,43351,277-338,800-166,667
Change in Accounts Payable
23,899-39,648-9,927165,287-25,558
Change in Other Net Operating Assets
-411,032-33,764-381,066-286,604-263,173
Operating Cash Flow
615,561907,3721,958,7421,424,5631,356,904
Operating Cash Flow Growth
-32.16%-53.68%37.50%4.99%-5.52%
Capital Expenditures
-268,332-350,575-243,047-716,897-450,981
Sale of Property, Plant & Equipment
25,33121,66045,39935,29360,814
Divestitures
-25,1392,447,965-774383,942652,900
Sale (Purchase) of Intangibles
-40,023-1,8326,148-4,037-1,485
Investment in Securities
-12,778,184-375,807464,755-472,14841,229
Other Investing Activities
19,065,803554,213-254,99338,80127,478
Investing Cash Flow
5,979,4562,295,62417,488-735,046329,955
Long-Term Debt Issued
884,1991,904,8751,679,0684,359,1093,372,246
Long-Term Debt Repaid
-1,798,609-3,419,908-1,599,344-3,970,394-4,462,981
Net Debt Issued (Repaid)
-914,410-1,515,03379,724388,715-1,090,735
Repurchase of Common Stock
-1,054,760-294,512-44,198--
Common Dividends Paid
-501,140-160,019-456,345-290,974-188,129
Other Financing Activities
-570,391-1,023,706-1,041,436-574,106-471,185
Financing Cash Flow
-3,748,805-3,214,968-1,510,322-476,365-1,860,382
Foreign Exchange Rate Adjustments
-320,82868,520-139,25793,70544,738
Net Cash Flow
2,525,38456,548326,651306,857-128,785
Free Cash Flow
347,229556,7971,715,695707,666905,923
Free Cash Flow Growth
-37.64%-67.55%142.44%-21.88%-19.01%
Free Cash Flow Margin
6.73%10.51%43.81%6.06%9.23%
Free Cash Flow Per Share
269.90441.931466.62604.60773.98
Cash Interest Paid
328,733553,538527,316485,960316,618
Cash Income Tax Paid
167,773180,431184,096250,969241,685
Levered Free Cash Flow
9,341,065-8,176,237225,428203,246467,712
Unlevered Free Cash Flow
9,625,637-7,735,382583,819597,558739,102
Change in Working Capital
-448,401-80,482-295,110-499,846-555,466
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.