Ingresos y estados financieros de Grupo Cibest
91.940,00 $Variación respecto al cierre anterior: −0,39 %Variación absoluta: −360,00 $
En el ejercicio cerrado en diciembre de 2025, Grupo Cibest registró ingresos de 23.502 mil M $ (+12,27 % interanual). El beneficio neto fue de 3.821 mil M $, con un margen neto del 16,3 %.
Ejercicio cerrado en diciembre. Fuentes y método en la página Metodología y fuentes.
En resumen
- Crecimiento de los ingresos
- +12,27 %
- 2025 frente a 2024
- Crecimiento del beneficio neto
- −39,04 %
- 2025 frente a 2024
- Margen neto
- 16,3 %
- 2024: 29,9 %
Datos financieros
Importes en millones de COP; valores por acción en COP; acciones en millones.
| Partida | T2 2026 | T1 2026 | T4 2025 | T3 2025 | T2 2025 | T1 2025 | T4 2024 | T3 2024 | T2 2024 | T1 2024 | T4 2023 | T3 2023 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Activo total | 363.082.271 | 389.144.477 | 379.752.380 | 374.631.658 | 375.250.726 | 364.125.311 | 372.215.382 | 353.433.297 | 352.199.072 | 336.956.429 | 342.928.809 | 338.183.915 |
| Efectivo y equivalentes | 21.368.978 | 20.089.981 | 16.480.334 | 20.393.082 | 19.736.685 | 18.210.868 | 19.617.016 | 18.652.209 | 17.502.071 | 18.003.648 | 20.710.453 | 17.424.840 |
| Inversiones a corto plazo | 3.809.139 | 3.924.334 | 2.658.002 | 5.253.429 | 5.105.677 | — | — | — | — | — | — | — |
| Cuentas por cobrar | 28.031.898 | 27.649.656 | 30.068.137 | 26.731.318 | 26.434.167 | — | — | — | — | — | — | — |
| Inmovilizado material neto | 6.559.986 | 6.676.582 | 6.736.592 | 7.089.739 | 7.133.509 | 7.433.880 | 7.663.270 | 7.547.217 | 7.716.647 | 7.710.688 | 8.156.579 | 8.260.388 |
| Fondo de comercio | — | — | 1.947.325 | — | — | — | 9.017.419 | 8.545.852 | 8.484.039 | 7.859.491 | 7.818.125 | 8.291.449 |
| Otros activos intangibles | — | — | 589.855 | — | — | — | — | — | — | — | — | — |
| Inversiones a largo plazo | 51.665.104 | 42.173.436 | 37.628.765 | 42.769.017 | 43.955.483 | — | — | — | — | — | — | — |
| Proveedores | 1.849.051 | 1.749.252 | 1.943.318 | 1.621.866 | 1.594.798 | — | — | — | — | — | — | — |
| Deuda a largo plazo | 15.762.115 | 16.672.303 | 16.766.121 | 23.095.237 | 21.819.618 | — | — | — | — | — | — | — |
| Deuda total | 17.134.851 | 18.047.209 | 18.091.160 | 24.692.030 | 23.455.411 | — | — | — | — | — | — | — |
| Pasivo total | 323.685.842 | 351.528.206 | 338.756.746 | 331.041.647 | 332.866.440 | — | — | — | — | — | — | — |
| Patrimonio neto (incl. minoritarios) | 39.396.429 | 37.616.271 | 40.995.634 | 43.590.011 | 42.384.286 | 41.689.035 | 44.584.275 | 41.914.506 | 40.204.950 | 37.450.564 | 39.049.729 | 38.494.670 |
| Reservas | 30.245.238 | 27.591.078 | 30.632.795 | 32.546.934 | 30.796.386 | 29.602.114 | 31.558.894 | 29.913.215 | 28.412.032 | 27.001.959 | 28.676.983 | 27.262.179 |
| Intereses minoritarios | 1.272.757 | 1.239.544 | 1.241.001 | 1.212.154 | 1.090.211 | — | — | — | — | — | — | — |
