$33100.00
$-2120.00 (-6.02%)
End-of-day quote: 05/15/2024
BVC:NUTRESA

Grupo Nutresa S. A. Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2006
Rev. Revenue
$18.91T $17.04T $12.74T $11.13T $9.96T $9.02T $8.70T $8.68T $7.95T $6.48T $5.90T $5.31T $5.06T $4.46T $4.59T $4.01T $2.87T
GM % Gross Margin %
37.27% 35.12% 38.45% 40.02% 42.48% 43.25% 42.56% 41.06% 41.54% 42.28% 42.43% 39.93% 37.65% 39.23% 38.58% 40.54% 38.21%
OM Operating Margin
9.19% 8.53% 8.36% 8.92% 9.12% 9.15% 8.39% 8.93% 9.80% 10.53% 11.02% 9.82% 8.55% 9.71% 9.78% 11.62% 10.45%
EPS Earnings Per Share
$0.00 $1.57k $1.93k $1.54k $1.25k $1.14k $1.11k $915.57 $864.07 $944.28 $651.98 $826.22 $750.90 $534.38 $639.82 $437.02 $687.00 $0.20
Div. Dividends
$1.35k $948.00 $702.00 $702.00 $612.00 $566.40 $534.00 $534.00 $498.00 $462.00 $432.00 $396.00 $360.00 $342.00 $280.91 $0.00 $0.09
PR % Payout Ratio %
85.79% 49.14% 45.50% 56.08% 53.86% 50.96% 58.32% 61.80% 52.74% 70.86% 52.29% 52.74% 67.37% 53.45% 64.28% 0 45.00%
Sha. Shares
457.76m 457.76m 457.76m 460.12m 460.12m 460.12m 460.12m 460.12m 460.12m 460.12m 460.12m 460.12m 460.12m 435.12m 435.12m 435.12m 435.12m
OCF Operating Cash Flow
$2.11T $532.49B $1.08T $1.19T $1.02T $841.94B $960.29B $807.94B $615.54B $528.46B $673.12B $583.86B $325.01B $298.25B $424.10B $165.59B $157.58B
FCF Free Cash Flow
$1.61T $85.94B $674.95B $886.84B $739.97B $590.06B $717.18B $404.88B $220.57B $72.20B $481.62B $395.56B $196.06B $255.51B $196.68B $-46659.00M $-53907.00M
FCFS Free Cash Flow Per Share
$3.52k $187.74 $1.47k $1.93k $1.59k $1.28k $1.53k $862.31 $445.41 $372.15 $1.16k $977.22 $455.11 $432.99 $381.38 $-226.02 $-1562.29