Grupo Financiero Inbursa SAB de CV
BMV:GFINBURO

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Grupo Financiero Inbursa SAB de CV
BMV:GFINBURO
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Price: 43.45 MXN -1.29% Market Closed
Market Cap: 266B MXN
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Balance Sheet

Balance Sheet Decomposition
Grupo Financiero Inbursa SAB de CV

Net Loans 434.4B
Investments 238.4B
PP&E 9.3B
Intangibles 5.6B
Other Assets 70.3B
Total Deposits 345.7B
Short Term Debt 1.7B
Long Term Debt 62.8B
Other Liabilities 107.6B

Balance Sheet
Grupo Financiero Inbursa SAB de CV

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Balance Sheet
Currency: MXN
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Net Loans
188 302
226 782
271 263
277 732
240 556
239 969
218 242
245 483
284 596
353 678
Investments
149 590
149 704
194 350
180 563
212 431
189 821
231 668
246 391
237 865
260 895
PP&E Net
5 661
6 117
6 401
6 314
6 793
7 165
7 429
7 699
9 206
9 924
PP&E Gross
5 661
6 117
6 401
6 314
6 793
7 165
7 429
7 699
9 206
9 924
Accumulated Depreciation
2 897
3 089
3 190
3 470
3 815
4 107
4 494
4 755
4 981
5 318
Intangible Assets
11
395
319
1 366
1 799
1 661
1 567
1 635
1 036
1 015
Goodwill
162
1 517
1 512
1 512
1 512
1 731
1 518
1 518
1 614
1 614
Long-Term Investments
9 132
11 987
13 298
11 436
11 582
11 558
11 650
15 344
13 540
13 233
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
0
34
16
16
53
92
8
6 508
10 866
18 303
Other Assets
23 628
32 322
31 442
27 918
23 706
20 089
41 598
19 336
17 387
17 919
Total Assets
385 704
N/A
439 241
+14%
530 348
+21%
517 675
-2%
509 501
-2%
486 095
-5%
522 829
+8%
570 852
+9%
593 156
+4%
691 241
+17%
Liabilities
Accounts Payable
9 148
12 907
18 051
13 174
36 169
18 531
13 459
8 653
15 407
23 170
Accrued Liabilities
488
799
820
933
1 134
1 153
1 215
410
0
0
Short-Term Debt
6 486
9 466
13 025
4 740
3 681
1 688
14 931
54 046
6 033
12
Total Deposits
83 434
92 636
123 611
137 169
148 891
163 772
177 442
195 443
242 535
301 742
Other Current Liabilities
1 810
1 811
1 932
2 699
2 338
2 282
3 749
1 217
6 130
9 875
Total Current Liabilities
17 932
24 983
33 828
21 546
43 322
23 654
33 354
64 326
27 570
33 057
Long-Term Debt
91 818
107 506
138 434
128 770
98 325
87 749
87 724
76 740
74 729
67 629
Deferred Income Tax
3 450
163
2 209
2 416
3 587
1 853
0
2 577
0
0
Minority Interest
88
96
103
113
119
130
132
141
134
141
Other Liabilities
91 765
108 314
114 916
93 635
66 975
61 235
67 547
57 668
53 122
63 654
Total Liabilities
288 487
N/A
333 698
+16%
413 101
+24%
383 649
-7%
361 219
-6%
338 393
-6%
366 199
+8%
396 895
+8%
398 090
+0%
466 223
+17%
Equity
Common Stock
14 207
14 207
14 193
14 182
14 177
14 167
14 139
14 021
13 964
13 955
Retained Earnings
70 780
79 106
90 824
107 614
121 875
121 305
130 261
147 706
168 872
198 833
Additional Paid In Capital
13 201
13 201
13 201
13 201
13 201
13 201
13 201
13 201
13 201
13 201
Unrealized Security Profit/Loss
971
971
971
971
971
971
971
971
971
971
Other Equity
0
0
0
0
0
0
0
0
0
0
Total Equity
97 217
N/A
105 543
+9%
117 247
+11%
134 026
+14%
148 282
+11%
147 702
0%
156 630
+6%
173 957
+11%
195 066
+12%
225 018
+15%
Total Liabilities & Equity
385 704
N/A
439 241
+14%
530 348
+21%
517 675
-2%
509 501
-2%
486 095
-5%
522 829
+8%
570 852
+9%
593 156
+4%
691 241
+17%
Shares Outstanding
Common Shares Outstanding
6 667
6 667
6 667
6 667
6 667
6 667
6 667
6 261
6 124
6 102

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