Sociedad Minera Cerro Verde S.A.A. (BVL:CVERDEC1)
Peru flag Peru · Delayed Price · Currency is PEN · Price in USD
56.20
+0.90 (1.63%)
At close: May 29, 2026

BVL:CVERDEC1 Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
999.11,088689.68509.62553.76937.68
Cash & Short-Term Investments
999.11,088689.68509.62553.76937.68
Cash Growth
28.65%57.77%35.33%-7.97%-40.94%75.68%
Accounts Receivable
866.02755.33540.18543.58603.42586.22
Other Receivables
132.68124.0837.4147.5240.642.64
Receivables
998.7879.41577.59591.1644.02628.86
Inventory
698.06677.14638.87643.51650.21567.21
Prepaid Expenses
-15.957.31---
Other Current Assets
15.71137.07-37.645.2198.7723.43
Total Current Assets
2,7122,7981,8761,7891,9472,157
Property, Plant & Equipment
5,8075,7565,5815,5295,3875,372
Other Intangible Assets
3.854.446.789.1211.4613.81
Other Long-Term Assets
639.64667571.03603.7648.26582.04
Total Assets
9,1629,2258,0347,9317,9948,125
Accounts Payable
286.18293.44250.63259.32286.76223.24
Accrued Expenses
122.38147.6125.81124.52158.6180.64
Current Portion of Long-Term Debt
-----324.7
Current Portion of Leases
24.4525.139.459.917.037.62
Current Income Taxes Payable
190.99157.7788.3129.5160.19464.87
Other Current Liabilities
360.9837.9153.2638.7951.4851.04
Total Current Liabilities
984.98661.85527.45462.04564.061,252
Long-Term Leases
80.5187.2141.1849.6856.162.5
Pension & Post-Retirement Benefits
8.277.493.791.126.516.26
Long-Term Deferred Tax Liabilities
589.43614.19414.92460.15490.79427.32
Other Long-Term Liabilities
273.43252.88263.64277.55224.98249.38
Total Liabilities
1,9371,6241,2511,2511,3421,998
Common Stock
990.66990.66990.66990.66990.66990.66
Retained Earnings
6,0276,5995,7825,6795,6505,125
Comprehensive Income & Other
207.8711.1210.7210.7910.8111.74
Shareholders' Equity
7,2267,6016,7836,6806,6516,127
Total Liabilities & Equity
9,1629,2258,0347,9317,9948,125
Total Debt
104.96112.3450.6259.5963.13394.82
Net Cash (Debt)
894.14975.74639.05450.02490.64542.87
Net Cash Growth
22.77%52.68%42.00%-8.28%-9.62%-
Net Cash Per Share
2.552.791.831.291.401.55
Filing Date Shares Outstanding
350.06350.06350.06350.06350.06350.06
Total Common Shares Outstanding
350.06350.06350.06350.06350.06350.06
Working Capital
1,7272,1361,3481,3271,383905.09
Book Value Per Share
20.6421.7119.3819.0819.0017.50
Tangible Book Value
7,2227,5976,7776,6716,6406,113
Tangible Book Value Per Share
20.6321.7019.3619.0618.9717.46
Land
35.735.3433.5633.5633.230.38
Buildings
2,6902,6902,6812,6732,6082,596
Machinery
5,8125,7895,5735,4205,2715,168
Construction In Progress
462.03406.81300.58185.07184.27126.53