Grupo Nutresa S. A.

NUTRESA · BVC · COP

318.340,00 $Variación respecto al cierre anterior: 0,00 %

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+10,70 %
2025 frente a 2024
Crecimiento del beneficio neto
+64,49 %
2025 frente a 2024
Margen neto
6,0 %
2024: 4,0 %

Datos financieros

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

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total32.806.84529.638.32827.419.32527.288.30126.158.25825.562.61916.942.46216.788.63916.326.06915.377.67815.688.83019.126.846
Activo corriente9.322.02610.883.0408.817.9908.157.59615.695.75615.237.4706.416.2256.415.0186.184.2495.614.1615.781.7996.426.607
Efectivo y equivalentes2.471.1973.809.8963.195.1962.149.783850.8581.128.7961.128.399886.437802.600770.1591.068.071915.687
Inversiones a corto plazo1.057.5741.287.036102.540263.3398.930.4728.460.768————78.747—
Cuentas por cobrar2.991.5033.006.8022.672.9142.451.3882.676.6782.583.9852.486.3822.357.0062.352.8372.230.6252.087.1282.476.208
Existencias2.708.3782.678.4002.737.8702.685.2742.808.7182.859.6892.629.9682.622.5882.584.4292.350.1412.460.2762.822.352
Inmovilizado material neto5.161.3355.158.5475.218.6345.158.3675.284.9225.289.8325.352.1665.195.1865.069.0384.891.1944.903.6994.835.912
Fondo de comercio2.267.5932.301.9732.347.1662.333.1102.416.8002.437.9892.463.6052.479.8402.420.3882.290.2662.378.9192.436.602
Otros activos intangibles1.283.7911.323.5541.328.7621.326.7891.368.0531.393.6481.391.9831.384.8061.372.7351.333.1361.357.5781.387.510
Inversiones a largo plazo7.955.0748.520.4868.739.6229.427.915486.471332.323423.752418.896405.419402.025395.2943.168.013
Pasivo corriente6.079.7795.761.5374.473.3684.374.3294.150.21211.649.6213.701.4073.647.4203.391.1723.319.4593.703.2734.158.383
Proveedores1.217.0281.245.9511.357.9941.390.1031.353.4391.219.1051.167.1521.091.3531.014.226906.559970.7421.074.872
Deuda a largo plazo13.884.09915.060.91515.401.46914.100.19012.619.4454.462.0383.834.9063.997.8303.637.9713.358.2403.343.6623.397.772
Deuda total17.438.94918.424.98417.309.67915.980.12414.228.15514.177.5475.546.0475.562.3305.128.8255.138.866——
Pasivo total22.753.28523.244.62722.002.61420.662.78619.029.20018.352.7909.823.6099.938.9249.294.2018.859.9399.244.5799.852.234
Patrimonio neto (incl. minoritarios)10.053.5606.393.7015.416.7116.625.5157.129.0587.209.8297.118.8536.849.7157.031.8686.517.7396.444.2519.274.612
Reservas1.852.938-15.3363.010.302963.668712.767237.4612.525.818577.546365.925204.8112.495.020592.755
Intereses minoritarios33.99034.51038.97356.75756.32778.37982.29279.52274.36076.59276.58374.217