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Corporacion Financiera Colombiana SA (CFV)

Corporacion Financiera Colombiana SA (CFV)

32,000.0 0.00 0.00%
20/01 - Closed. Currency in COP
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For the nine months ended 30 September 2020,Corporacion Financiera Colombiana SA revenues decreased 3%to COP6.242T. Net income before extraordinary itemsdecreased 13% to COP1.04T. Revenues reflect Hotel segmentdecrease of 61% to COP107.32B, Gas & Energy segmentdecrease of 2% to COP2.997T. Net income also reflects FVAdjustments of Financial Investments increase fromCOP51.99B (income) to COP24.81B (expense).

Income Statement

Total Revenue Net Income
Sep 30, 2020 Jun 30, 2020 Mar 31, 2020 Dec 31, 2019
2208280 1634054 2399554 2810291
1048005 719657 1173636 1096909
797532 401027 800814 708842
415549 186245 433111 383640
Period Ending:
Total Revenue
Gross Profit
Operating Income
Net Income
Gross marginTTM 44.61%
Operating marginTTM 29.92%
Net Profit marginTTM 21.08%
Return on InvestmentTTM 6.42%

Balance Sheet

Total Assets Total Liabilities
Sep 30, 2020 Jun 30, 2020 Mar 31, 2020 Dec 31, 2019
36313837 36061957 34848562 31812173
27586059 27778604 26780008 24114511
8727778 8283353 8068554 7697662
Period Ending:
Total Assets
Total Liabilities
Total Equity
Quick RatioMRQ -
Current RatioMRQ -
LT Debt to EquityMRQ 134.35%
Total Debt to EquityMRQ 134.39%

Cash Flow

Cash Net Change in Cash
Sep 30, 2020 9 Months Jun 30, 2020 6 Months Mar 31, 2020 3 Months Dec 31, 2019 12 Months
-317487 -280377 -103940 423051
-477201 -145330 -239765 -552675
1071095 1149698 573539 1561331
286357 726248 303939 1500597
Period Ending:
Cash From Operating Activities
Cash From Investing Activities
Cash From Financing Activities
Net Change in Cash
Cash Flow/ShareTTM 7,139.6
Revenue/ShareTTM 28,614.68
Operating Cash Flow -

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