BVC COP
Grupo Argos S.A. (PFGRUPOARG.CL)
16,460.00
-240.00
(-1.44%)
At close: April 24 at 4:00:39 PM EDT
Breakdown
TTM
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Total Revenue
15,156,362,000
15,156,362,000
15,193,284,000
21,339,706,000
16,309,119,000
Cost of Revenue
9,584,799,000
9,584,799,000
10,496,078,000
15,791,372,000
11,848,313,000
Gross Profit
5,571,563,000
5,571,563,000
4,697,206,000
5,548,334,000
4,460,806,000
Operating Expense
1,388,532,000
1,388,532,000
1,546,221,000
2,039,182,000
1,777,658,000
Operating Income
4,183,031,000
4,183,031,000
3,150,985,000
3,509,152,000
2,683,148,000
Net Non Operating Interest Income Expense
-1,370,854,000
-1,370,854,000
-1,695,528,000
-1,441,341,000
-988,649,000
Pretax Income
2,905,442,000
2,905,442,000
1,343,441,000
2,254,277,000
1,656,620,000
Tax Provision
747,617,000
747,617,000
581,242,000
813,936,000
450,587,000
Net Income Common Stockholders
4,544,419,000
4,544,419,000
915,503,000
881,424,000
589,799,000
Diluted NI Available to Com Stockholders
4,544,419,000
4,544,419,000
915,503,000
881,424,000
589,799,000
Basic EPS
5.04k
5.33k
1.05k
1.01k
681.32
Diluted EPS
5.04k
5.33k
1.05k
1.01k
681.32
Basic Average Shares
859,889.48
853,249.91
867,910.35
869,460.23
865,671.05
Diluted Average Shares
859,889.48
853,249.91
867,910.35
869,460.23
865,671.05
Total Operating Income as Reported
4,222,608,000
4,222,608,000
3,120,731,000
3,593,265,000
2,617,454,000
Rent Expense Supplemental
9,392,000
9,392,000
10,698,000
--
--
Total Expenses
10,973,331,000
10,973,331,000
12,042,299,000
17,830,554,000
13,625,971,000
Net Income from Continuing & Discontinued Operation
4,544,419,000
4,544,419,000
915,503,000
881,424,000
589,799,000
Normalized Income
-1,017,078,082.98
-1,017,078,082.98
221,967,350
881,424,000
589,799,000
Interest Income
228,254,000
228,254,000
314,931,000
234,000,000
235,742,000
Interest Expense
1,562,703,000
1,562,703,000
1,956,643,000
1,675,341,000
1,224,391,000
Net Interest Income
-1,370,854,000
-1,370,854,000
-1,695,528,000
-1,441,341,000
-988,649,000
EBIT
4,468,145,000
4,468,145,000
3,300,084,000
3,929,618,000
2,881,011,000
EBITDA
5,357,547,000
5,357,547,000
4,657,072,000
5,556,529,000
4,599,662,000
Reconciled Cost of Revenue
9,584,799,000
9,584,799,000
10,496,078,000
15,791,372,000
11,848,313,000
Reconciled Depreciation
889,402,000
889,402,000
1,356,988,000
1,626,911,000
1,718,651,000
Net Income from Continuing Operation Net Minority Interest
-944,555,000
-944,555,000
217,704,000
881,424,000
589,799,000
Total Unusual Items Excluding Goodwill
97,650,000
97,650,000
-6,559,000
--
--
Total Unusual Items
97,650,000
97,650,000
-6,559,000
--
--
Normalized EBITDA
5,259,897,000
5,259,897,000
4,663,631,000
5,556,529,000
4,599,662,000
Tax Rate for Calcs
0
0
0
0
0
Tax Effect of Unusual Items
25,126,917.02
25,126,917.02
-2,295,650
--
--
12/31/2021 - 6/8/2012
Upgrade to begin using 40 years of financial statements and get so much more.
Perform in-depth fundamental analysis with decades of income statements, balance sheets, and cash flows — all exportable.
Upgrade