Citigroup

C · NYSE · USD

128,50 $Variación respecto al cierre anterior: +1,18 %Variación absoluta: +1,50 $

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+6,72 %
2025 frente a 2024
Crecimiento del beneficio neto
+12,81 %
2025 frente a 2024
Margen neto
18,9 %
2024: 17,9 %

Datos financieros

Importes en millones de USD; valores por acción en USD; acciones en millones.

Balance · Anual
Partida2025202420232022202120202019201820172016
Activo total2.657.2022.352.9452.411.8342.416.6762.291.4132.260.0901.951.1581.917.3831.842.4651.792.077
Activo corriente1.323.1141.056.4001.081.2391.102.547975.6331.024.255761.299750.455704.312672.360
Efectivo y equivalentes325.161256.990241.915325.049248.611282.238155.168148.597142.30116.243
Inversiones a corto plazo356.195274.062345.700365.401327.288294.712251.322270.684232.478374.264
Cuentas por cobrar62.67950.84153.91554.19254.34044.80639.85735.45038.38428.887
Existencias22,018,036,015,027,043,061,099,0144186
Inmovilizado material neto33.33930.19228.74726.25324.3282.8003.100———
Fondo de comercio19.09819.30020.09819.69121.29922.16222.12622.04622.25621.659
Otros activos intangibles4.2844.4944.4214.4284.4954.7474.8225.2205.1466.678
Inversiones a largo plazo444.229476.657519.085526.582512.822447.359368.563358.607352.290353.304
Pasivo corriente2.086.3971.788.8491.851.3001.861.9951.764.7471.728.2211.450.4731.432.1601.347.0631.299.624
Proveedores1.403.5731.284.4581.308.6811.365.9541.317.2301.280.6711.070.5901.013.170959.822929.406
Deuda a largo plazo271.972287.300279.619267.306249.074271.686248.760231.999236.709206.178
Deuda total314.357280.191283.479270.076255.756262.156244.838219.788215.697182.884
Pasivo total2.443.3802.143.5792.205.5832.214.8382.088.7412.059.8901.757.2121.720.3091.640.7931.565.934
Patrimonio neto (incl. minoritarios)213.822209.366206.251201.838202.672200.200193.946197.074201.672226.143
Reservas215.128206.294198.905194.734184.948168.272165.369151.347138.425146.477
Intereses minoritarios1.5317687986497007587048549321.023