Grupo Cibest S.A. (BVC:CIBEST)
80,000
-2,700 (-3.26%)
At close: Mar 6, 2026
Grupo Cibest Cash Flow Statement
Financials in millions COP. Fiscal year is January - December.
Millions COP. Fiscal year is Jan - Dec.
Fiscal Year | FY 2025 | FY 2024 | FY 2023 | FY 2022 | FY 2021 | 2020 - 2016 |
|---|---|---|---|---|---|---|
Period Ending | Dec '25 Dec 31, 2025 | Dec '24 Dec 31, 2024 | Dec '23 Dec 31, 2023 | Dec '22 Dec 31, 2022 | Dec '21 Dec 31, 2021 | 2020 - 2016 |
| Net Income | - | 6,267,744 | 6,116,936 | 6,783,490 | 4,086,795 | Upgrade
|
| Depreciation & Amortization | - | 1,011,455 | 1,078,358 | 949,448 | 855,167 | Upgrade
|
| Gain (Loss) on Sale of Assets | - | -103,481 | -170,910 | -171,482 | -227,445 | Upgrade
|
| Gain (Loss) on Sale of Investments | - | -2,061,762 | -1,572,228 | -1,735,349 | -788,330 | Upgrade
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| Total Asset Writedown | - | -93,830 | -151,025 | -205,490 | -2,371 | Upgrade
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| Provision for Credit Losses | - | 6,339,920 | 8,232,413 | 4,396,319 | 3,086,614 | Upgrade
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| Change in Trading Asset Securities | - | -8,401,726 | -1,988,166 | 6,321,440 | 1,834,085 | Upgrade
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| Change in Accounts Payable | - | -859,352 | 945,923 | 2,719,586 | 1,271,347 | Upgrade
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| Change in Other Net Operating Assets | - | -23,245,706 | -11,167,366 | -37,614,027 | -24,855,603 | Upgrade
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| Other Operating Activities | - | 3,475,389 | 916,907 | 1,900,290 | 2,252,007 | Upgrade
|
| Operating Cash Flow | - | -17,893,921 | 2,127,727 | -16,874,880 | -12,687,386 | Upgrade
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| Capital Expenditures | - | -2,042,094 | -2,412,123 | -3,538,855 | -2,185,800 | Upgrade
|
| Sale of Property, Plant and Equipment | - | 414,030 | 185,324 | 421,729 | 553,652 | Upgrade
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| Cash Acquisitions | - | - | - | -815,282 | -9,178 | Upgrade
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| Investment in Securities | - | 1,271,980 | 2,418,578 | -476,890 | 1,135,188 | Upgrade
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| Income (Loss) Equity Investments | - | -222,572 | -113,115 | -219,105 | -199,652 | Upgrade
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| Other Investing Activities | - | -203,112 | -351,468 | -245,204 | -144,348 | Upgrade
|
| Investing Cash Flow | - | -559,196 | -159,689 | -4,654,502 | -650,486 | Upgrade
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| Long-Term Debt Issued | - | 14,122,576 | 11,941,607 | 16,512,235 | 5,570,059 | Upgrade
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| Total Debt Issued | - | 14,122,576 | 11,941,607 | 16,512,235 | 5,570,059 | Upgrade
|
| Long-Term Debt Repaid | - | -19,948,671 | -14,032,851 | -13,310,942 | -11,912,814 | Upgrade
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| Total Debt Repaid | - | -19,948,671 | -14,032,851 | -13,310,942 | -11,912,814 | Upgrade
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| Net Debt Issued (Repaid) | - | -5,826,095 | -2,091,244 | 3,201,293 | -6,342,755 | Upgrade
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| Common Dividends Paid | - | -3,398,756 | -3,298,183 | -2,310,666 | -467,217 | Upgrade
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| Net Increase (Decrease) in Deposit Accounts | - | 18,329,816 | 17,025,357 | 23,214,318 | 19,290,140 | Upgrade
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| Other Financing Activities | - | -19,525 | -41,245 | -37,191 | - | Upgrade
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| Financing Cash Flow | - | 9,085,440 | 11,594,685 | 24,067,754 | 12,480,168 | Upgrade
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| Foreign Exchange Rate Adjustments | - | 2,412,167 | -5,408,405 | 3,777,073 | 2,486,401 | Upgrade
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| Net Cash Flow | - | -6,955,510 | 8,154,318 | 6,315,445 | 1,628,697 | Upgrade
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| Free Cash Flow | - | -19,936,015 | -284,396 | -20,413,735 | -14,873,186 | Upgrade
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| Free Cash Flow Margin | - | -89.87% | -1.36% | -100.12% | -98.73% | Upgrade
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| Free Cash Flow Per Share | - | -20727.24 | -295.68 | -21224.78 | -15463.47 | Upgrade
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| Cash Interest Paid | - | 14,982,367 | 15,978,748 | 7,508,066 | 4,410,742 | Upgrade
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| Cash Income Tax Paid | - | 1,954,871 | 2,737,511 | 2,057,388 | 1,441,413 | Upgrade
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Source: S&P Capital IQ. Banks template. Financial Sources.