Almacenes Éxito S.A. (EXTOY)
OTCMKTS · Delayed Price · Currency is USD
3.470
+0.070 (2.06%)
Inactive · Last trade price on Jan 29, 2025

Almacenes Éxito Balance Sheet

Millions COP. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2023FY 2022FY 2021FY 2020FY 2019
Period Ending
Sep '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19
Cash & Equivalents
881,2781,508,2051,733,6732,541,5792,409,3912,562,674
Short-Term Investments
5,8252,45245,81214,3313,93819,748
Trading Asset Securities
----250132
Cash & Short-Term Investments
887,1031,510,6571,779,4852,555,9102,413,5792,582,554
Cash Growth
-19.59%-15.11%-30.38%5.90%-6.54%-56.89%
Accounts Receivable
580,710755,510826,477682,118374,960371,143
Other Receivables
674,588436,885410,869349,783183,390114,154
Receivables
1,255,2981,192,3951,237,3461,031,901558,350485,297
Inventory
2,931,1112,437,4032,770,4432,104,3031,922,6171,900,660
Prepaid Expenses
35,498---36,81143,351
Other Current Assets
98,212142,636149,613141,246334,639344,803
Total Current Assets
5,207,2225,283,0915,936,8875,833,3605,265,9965,356,665
Property, Plant & Equipment
5,906,8587,084,3637,758,9775,395,2095,025,1475,148,740
Long-Term Investments
319,411257,572332,593330,021324,568258,816
Goodwill
3,260,0923,080,6223,484,3033,024,9832,853,5352,929,751
Other Intangible Assets
400,103366,369424,680363,987307,797304,215
Long-Term Accounts Receivable
11,11164,83885,52182,62018,70519,325
Long-Term Deferred Tax Assets
312,484197,692142,589205,161234,712177,269
Other Long-Term Assets
1,818,9525,2146,7631,665,8381,619,5141,666,234
Total Assets
17,236,23316,339,76118,172,31316,901,17915,649,97415,861,015
Accounts Payable
4,248,3685,249,7815,653,0175,159,6533,886,7053,871,758
Accrued Expenses
87,824122,568117,965163,635389,996376,797
Short-Term Debt
8,0728,18912,5878,9737,76610,261
Current Portion of Long-Term Debt
2,135,5981,021,205903,017666,2951,100,467602,926
Current Portion of Leases
272,011282,180263,175234,178227,614225,917
Current Income Taxes Payable
13,63147--2,465-
Current Unearned Revenue
---180,189134,45591,049
Other Current Liabilities
340,134460,653454,657105,477673,479727,506
Total Current Liabilities
7,105,6387,144,6237,404,4186,518,4006,422,9475,906,214
Long-Term Debt
311,553236,811539,980742,084341,83537,238
Long-Term Leases
1,647,3981,285,7791,392,7801,360,4651,322,1301,314,347
Long-Term Unearned Revenue
---2,167610669
Long-Term Deferred Tax Liabilities
296,868156,098277,713166,751118,722116,503
Other Long-Term Liabilities
43,73459,42390,88664,93919,07320,282
Total Liabilities
9,440,7628,917,9529,737,8678,872,7028,245,7017,416,173
Common Stock
4,4824,4824,4824,4824,4824,482
Additional Paid-In Capital
4,843,4664,843,4664,843,4664,843,4664,843,4664,843,466
Retained Earnings
480,262697,602678,8331,051,914806,575781,300
Treasury Stock
-319,490-319,490-319,490-2,734-2,734-2,734
Comprehensive Income & Other
1,456,101874,6171,931,697984,277552,0741,570,014
Total Common Equity
6,464,8216,100,6777,138,9886,881,4056,203,8637,196,528
Minority Interest
1,330,6501,321,1321,295,4581,147,0721,200,4101,248,314
Shareholders' Equity
7,795,4717,421,8098,434,4468,028,4777,404,2738,444,842
Total Liabilities & Equity
17,236,23316,339,76118,172,31316,901,17915,649,97415,861,015
Total Debt
4,374,6322,834,1643,111,5393,011,9952,999,8122,190,689
Net Cash (Debt)
-3,487,529-1,323,507-1,332,054-456,085-586,233391,865
Net Cash Per Share
-2687.13-1019.76-1026.34-351.41-436.57291.82
Filing Date Shares Outstanding
1,2981,2981,2981,3431,3431,343
Total Common Shares Outstanding
1,2981,2981,2981,3431,3431,343
Working Capital
-1,898,416-1,861,532-1,467,531-685,040-1,156,951-549,549
Book Value Per Share
4981.124700.555500.575124.624620.055359.29
Tangible Book Value
2,804,6262,653,6863,230,0053,492,4353,042,5313,962,562
Tangible Book Value Per Share
2160.952044.662488.712600.842265.792950.94
Land
1,275,2781,145,6251,278,8221,137,8651,034,4851,011,798
Buildings
2,321,5552,149,9052,348,5172,115,5061,950,3441,900,712
Machinery
2,710,2322,552,8532,596,6152,186,7981,781,7091,799,547
Construction In Progress
77,8921,701,8011,891,53345,00964,13782,196
Leasehold Improvements
769,276763,312771,967635,377539,592550,453
Source: S&P Global Market Intelligence. Standard template. Financial Sources.