Ingresos y estados financieros de Grupo Energía Bogotá S.A. E.S.P.
3.055,00 $Variación respecto al cierre anterior: +0,83 %Variación absoluta: +25,00 $
En el ejercicio cerrado en diciembre de 2025, Grupo Energía Bogotá S.A. E.S.P. registró ingresos de 8.016 mil M $ (+0,55 % interanual). El beneficio neto fue de 3.178 mil M $, con un margen neto del 39,7 %.
Ejercicio cerrado en diciembre. Fuentes y método en la página Metodología y fuentes.
En resumen
- Crecimiento de los ingresos
- +0,55 %
- 2025 frente a 2024
- Crecimiento del beneficio neto
- +29,08 %
- 2025 frente a 2024
- Margen neto
- 39,7 %
- 2024: 30,9 %
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 | 46.169.858 | 46.776.173 | 46.502.039 | 45.992.917 | 46.351.336 | 46.492.532 | 46.174.810 | 45.782.130 | 45.705.619 | 44.009.001 | 43.525.811 | 44.180.166 |
| Activo corriente | 6.129.483 | 5.611.925 | 5.355.798 | 4.648.712 | 5.241.958 | 5.828.827 | 4.588.843 | 5.310.186 | 6.072.362 | 6.040.126 | 5.066.417 | 5.224.825 |
| Efectivo y equivalentes | 2.251.799 | 1.745.924 | 1.268.824 | 1.421.110 | 1.320.899 | 1.702.356 | 1.583.528 | 1.664.493 | 2.070.143 | 1.961.781 | 2.289.704 | 1.397.323 |
| Inversiones a corto plazo | 177.311 | 1.250.869 | 1.679.105 | — | — | — | — | — | — | — | — | — |
| Existencias | 230.421 | 234.777 | 240.572 | 382.942 | 432.848 | — | — | — | — | — | — | — |
| Inmovilizado material neto | 17.996.501 | 17.893.103 | 17.828.448 | 17.550.063 | 17.275.346 | 17.114.223 | 16.998.593 | 16.607.021 | 16.387.042 | 16.117.726 | 15.979.838 | 15.951.632 |
| Fondo de comercio | 552.870 | 563.509 | 577.074 | 578.932 | 586.551 | 584.072 | 595.042 | 579.213 | 571.296 | 554.037 | 553.305 | 566.347 |
| Otros activos intangibles | 7.178.836 | 7.548.018 | 7.728.909 | 7.868.389 | 8.120.689 | — | — | — | — | — | — | — |
| Inversiones a largo plazo | 13.013.925 | 13.834.943 | 13.688.151 | 14.355.217 | 13.996.886 | — | — | — | — | — | — | — |
| Pasivo corriente | 4.541.902 | 4.373.026 | 2.422.321 | 4.551.393 | 5.759.728 | 5.936.020 | 3.399.231 | 3.923.484 | 6.183.290 | 6.212.611 | 3.682.433 | 5.539.529 |
| Proveedores | 3.104.588 | 3.276.120 | 916.695 | 1.963.178 | 3.066.602 | — | — | — | — | — | — | — |
| Deuda a largo plazo | 18.514.265 | 19.922.526 | 19.762.978 | 18.375.847 | 17.983.961 | — | — | — | — | — | — | — |
| Deuda total | 19.595.767 | 20.611.292 | 20.778.702 | 19.620.272 | 19.541.942 | — | — | — | — | — | — | — |
| Pasivo total | 27.738.587 | 28.681.869 | 26.382.147 | 26.603.899 | 27.439.500 | 28.198.455 | 26.307.959 | 26.295.517 | 27.181.956 | 26.321.155 | 24.015.654 | 24.449.910 |
| Patrimonio neto (incl. minoritarios) | 18.431.271 | 18.094.304 | 20.119.892 | 19.389.018 | 18.911.836 | 18.294.077 | 19.866.851 | 19.486.613 | 18.523.663 | 17.687.846 | 19.510.157 | 19.730.256 |
| Reservas | 6.852.355 | 6.190.752 | 8.838.367 | 7.946.815 | 7.168.841 | 6.607.788 | 8.125.143 | 7.805.700 | 7.004.167 | 6.415.260 | 8.261.364 | 7.966.179 |
| Intereses minoritarios | 453.836 | 436.931 | 576.198 | 562.185 | 549.444 | 525.256 | 705.178 | 614.421 | 568.225 | 497.387 | 601.885 | 627.144 |