Cementos Argos S.A. (BVC:CEMARGOS)
10,960
-100 (-0.90%)
At close: Mar 20, 2026
Cementos Argos Cash Flow Statement
Financials in millions COP. Fiscal year is January - December.
Millions COP. Fiscal year is Jan - Dec.
Fiscal Year | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 |
|---|---|---|---|---|---|
Period Ending | Dec '25 Dec 31, 2025 | Dec '24 Dec 31, 2024 | Dec '23 Dec 31, 2023 | Dec '22 Dec 31, 2022 | Dec '21 Dec 31, 2021 |
Net Income | 2,505,553 | 5,519,523 | 241,519 | 142,287 | 431,132 |
Depreciation & Amortization | 445,969 | 472,704 | 347,633 | 961,740 | 921,141 |
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 | 25,185 | 41,954 | 12,351 | 23,509 | 39,702 |
Loss (Gain) on Equity Investments | -929 | 42,446 | -874 | -7,461 | 8,157 |
Other Operating Activities | -2,015,232 | -5,073,791 | 635,702 | 927,352 | 743,837 |
Change in Accounts Receivable | -23,369 | -8,503 | 44,606 | -39,729 | -100,068 |
Change in Inventory | -37,899 | 1,433 | 51,277 | -338,800 | -166,667 |
Change in Accounts Payable | 23,899 | -39,648 | -9,927 | 165,287 | -25,558 |
Change in Other Net Operating Assets | -411,032 | -33,764 | -381,066 | -286,604 | -263,173 |
Operating Cash Flow | 615,561 | 907,372 | 1,958,742 | 1,424,563 | 1,356,904 |
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 | 25,331 | 21,660 | 45,399 | 35,293 | 60,814 |
Divestitures | -25,139 | 2,447,965 | -774 | 383,942 | 652,900 |
Sale (Purchase) of Intangibles | -40,023 | -1,832 | 6,148 | -4,037 | -1,485 |
Investment in Securities | -12,778,184 | -375,807 | 464,755 | -472,148 | 41,229 |
Other Investing Activities | 19,065,803 | 554,213 | -254,993 | 38,801 | 27,478 |
Investing Cash Flow | 5,979,456 | 2,295,624 | 17,488 | -735,046 | 329,955 |
Long-Term Debt Issued | 884,199 | 1,904,875 | 1,679,068 | 4,359,109 | 3,372,246 |
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 | -1,515,033 | 79,724 | 388,715 | -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 | -320,828 | 68,520 | -139,257 | 93,705 | 44,738 |
Net Cash Flow | 2,525,384 | 56,548 | 326,651 | 306,857 | -128,785 |
Free Cash Flow | 347,229 | 556,797 | 1,715,695 | 707,666 | 905,923 |
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 | 269.90 | 441.93 | 1466.62 | 604.60 | 773.98 |
Cash Interest Paid | 328,733 | 553,538 | 527,316 | 485,960 | 316,618 |
Cash Income Tax Paid | 167,773 | 180,431 | 184,096 | 250,969 | 241,685 |
Levered Free Cash Flow | 9,341,065 | -8,176,237 | 225,428 | 203,246 | 467,712 |
Unlevered Free Cash Flow | 9,625,637 | -7,735,382 | 583,819 | 597,558 | 739,102 |
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.