Ecopetrol S.A. (BVMF:E1CO34)
Brazil flag Brazil · Delayed Price · Currency is BRL
39.08
+0.78 (2.04%)
Last updated: Mar 20, 2026, 4:25 PM GMT-3

Ecopetrol 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
10,694,00014,054,00012,336,11515,401,05814,549,906
Short-Term Investments
1,838,000851,0001,860,9281,162,1271,627,150
Cash & Short-Term Investments
12,532,00014,905,00014,197,04316,563,18516,177,056
Cash Growth
-15.92%4.99%-14.29%2.39%122.30%
Accounts Receivable
13,320,00019,262,00031,875,05538,007,10017,377,025
Other Receivables
16,074,00012,602,0009,546,6668,002,2917,345,659
Receivables
29,394,00031,864,00041,421,80546,010,47824,724,070
Inventory
8,609,00010,028,00010,202,44811,880,0348,398,212
Prepaid Expenses
1,079,0001,595,000789,029693,341549,456
Other Current Assets
1,831,0002,250,0002,004,7812,129,8071,846,953
Total Current Assets
53,445,00060,642,00068,615,10677,276,84551,695,747
Property, Plant & Equipment
155,505,000156,101,000141,229,071143,948,921126,483,048
Long-Term Investments
9,506,00013,041,0008,790,47911,060,3449,664,770
Goodwill
4,591,0004,905,0004,606,1915,109,6374,686,324
Other Intangible Assets
14,041,00016,413,00014,714,80918,146,60515,508,516
Long-Term Accounts Receivable
30,608,00027,889,00025,891,35528,905,70621,475,036
Long-Term Deferred Tax Assets
10,170,00016,237,00012,902,70117,210,0339,024,858
Other Long-Term Assets
5,740,0005,769,0005,387,6384,711,0813,887,982
Total Assets
284,137,000301,344,000282,280,588306,369,507242,426,616
Accounts Payable
11,636,00015,137,00013,769,58515,102,55610,536,858
Accrued Expenses
3,886,0003,649,0003,333,9433,084,0602,590,367
Short-Term Debt
-47,000125,000683,949815,0561,483,701
Current Portion of Long-Term Debt
9,258,00010,109,00014,523,92321,106,5087,434,059
Current Portion of Leases
869,0001,054,000342,136277,019288,523
Current Income Taxes Payable
2,368,0002,769,0002,869,2257,630,9012,152,104
Other Current Liabilities
6,544,0006,791,0008,040,6168,766,2385,763,119
Total Current Liabilities
34,514,00039,634,00043,563,37756,782,33830,248,731
Long-Term Debt
98,443,000108,026,00089,225,01992,000,92984,978,069
Long-Term Leases
677,000651,0001,040,500935,327876,576
Pension & Post-Retirement Benefits
10,472,00014,008,00015,213,50910,211,5429,082,792
Long-Term Deferred Tax Liabilities
11,910,00011,996,00011,118,87611,872,45110,850,463
Other Long-Term Liabilities
18,875,00017,053,00019,020,50315,479,87015,806,213
Total Liabilities
174,891,000191,368,000179,181,784187,282,457151,842,844
Common Stock
25,040,00025,040,00025,040,06725,040,06725,040,067
Additional Paid-In Capital
6,608,0006,608,0006,607,6996,607,6996,607,699
Retained Earnings
40,755,00040,525,00038,519,84143,839,94925,483,887
Comprehensive Income & Other
11,357,00011,524,0008,224,45215,546,98911,357,894
Total Common Equity
83,760,00083,697,00078,392,05991,034,70468,489,547
Minority Interest
25,486,00026,279,00024,706,74528,052,34622,094,225
Shareholders' Equity
109,246,000109,976,000103,098,804119,087,05090,583,772
Total Liabilities & Equity
284,137,000301,344,000282,280,588306,369,507242,426,616
Total Debt
109,200,000119,965,000105,815,527115,134,83995,060,928
Net Cash (Debt)
-96,668,000-105,060,000-91,618,484-98,571,654-78,883,872
Net Cash Per Share
-2351.06-2555.17-2228.26-2397.36-1918.54
Filing Date Shares Outstanding
41,11741,11741,11741,11741,117
Total Common Shares Outstanding
41,11741,11741,11741,11741,117
Working Capital
18,931,00021,008,00025,051,72920,494,50721,447,016
Book Value Per Share
2037.132035.601906.572214.061665.74
Tangible Book Value
65,128,00062,379,00059,071,05967,778,46248,294,707
Tangible Book Value Per Share
1583.981517.121436.671648.441174.58
Land
4,843,0005,137,0004,832,6505,199,0694,800,297
Buildings
19,923,00019,528,00016,668,02615,354,0659,660,227
Machinery
62,112,00063,139,00054,852,95562,763,10857,452,843
Construction In Progress
17,533,00018,274,00015,490,28113,432,61610,566,114
Source: S&P Global Market Intelligence. Standard template. Financial Sources.