Inversiones Aguas Metropolitanas SA
SGO:IAM
Balance Sheet
Balance Sheet Decomposition
Inversiones Aguas Metropolitanas SA
Inversiones Aguas Metropolitanas SA
Balance Sheet
Inversiones Aguas Metropolitanas SA
| Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||||||||||||||
| Cash & Cash Equivalents |
130
|
416
|
132
|
197
|
572
|
26 297
|
7 460
|
6 554
|
37 206
|
40 299
|
27 720
|
2 885
|
27 754
|
3 437
|
3 174
|
10 850
|
3 421
|
2 669
|
180 546
|
110 795
|
109 991
|
|
| Cash |
130
|
416
|
132
|
197
|
572
|
0
|
0
|
2 566
|
2 846
|
3 374
|
2 763
|
2 885
|
27 754
|
3 437
|
3 174
|
10 850
|
3 421
|
2 669
|
2 117
|
5 347
|
12 030
|
|
| Cash Equivalents |
0
|
0
|
0
|
0
|
0
|
26 297
|
7 460
|
3 988
|
34 360
|
36 925
|
24 956
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
178 428
|
105 449
|
97 961
|
|
| Short-Term Investments |
42 696
|
24 721
|
2 480
|
12 601
|
3 902
|
99
|
1 181
|
1 390
|
1 780
|
232
|
1 023
|
33 024
|
38 706
|
17 740
|
40 250
|
64 661
|
174 544
|
161 890
|
178 428
|
105 449
|
97 961
|
|
| Total Receivables |
57 901
|
44 937
|
47 037
|
51 187
|
71 513
|
63 534
|
66 700
|
73 299
|
79 567
|
90 483
|
95 997
|
110 326
|
113 565
|
126 635
|
122 669
|
119 372
|
115 920
|
110 355
|
124 923
|
145 989
|
165 832
|
|
| Accounts Receivables |
31 531
|
37 129
|
42 903
|
48 493
|
66 118
|
61 819
|
62 372
|
70 208
|
78 146
|
87 959
|
94 571
|
99 973
|
106 303
|
113 532
|
116 829
|
115 960
|
77 377
|
95 714
|
116 782
|
122 911
|
123 406
|
|
| Other Receivables |
26 370
|
7 808
|
4 134
|
2 694
|
5 395
|
1 715
|
4 328
|
3 091
|
1 421
|
2 524
|
1 426
|
10 352
|
7 262
|
13 103
|
5 840
|
3 412
|
38 543
|
14 641
|
8 142
|
23 079
|
42 426
|
|
| Inventory |
1 381
|
933
|
1 664
|
2 172
|
2 124
|
1 695
|
1 883
|
3 005
|
4 383
|
3 608
|
3 903
|
3 644
|
3 310
|
3 925
|
3 636
|
3 811
|
3 955
|
5 186
|
12 791
|
12 812
|
10 477
|
|
| Other Current Assets |
993
|
1 255
|
1 336
|
1 868
|
2 472
|
1 395
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
7 640
|
5 000
|
7 799
|
7 184
|
3 642
|
|
| Total Current Assets |
103 101
|
72 262
|
52 648
|
68 025
|
80 583
|
93 020
|
77 224
|
84 248
|
122 937
|
134 623
|
128 642
|
149 879
|
183 335
|
151 737
|
169 729
|
198 693
|
305 479
|
285 100
|
326 058
|
276 781
|
289 941
|
|
| PP&E Net |
595 889
|
591 430
|
604 122
|
647 993
|
922 255
|
1 022 578
|
1 031 960
|
1 117 762
|
1 152 361
|
1 171 228
|
1 188 431
|
1 248 154
|
1 294 601
|
1 351 788
|
1 440 115
|
1 499 114
|
1 571 951
|
1 662 916
|
1 717 896
|
1 809 681
|
2 048 276
|
|
| PP&E Gross |
595 889
|
591 430
|
604 122
|
647 993
|
922 255
|
1 022 578
|
1 031 960
|
1 117 762
|
1 152 361
|
1 171 228
|
1 188 431
|
1 248 154
|
1 294 601
|
1 351 788
|
1 440 115
|
1 499 114
|
1 571 951
|
1 662 916
|
1 717 896
|
1 809 681
|
2 048 276
|
|
| Accumulated Depreciation |
518 690
|
539 719
|
574 309
|
621 957
|
747 183
|
793 795
|
835 638
|
882 954
|
931 418
|
987 483
|
1 033 820
|
1 094 165
|
1 152 301
|
1 219 434
|
1 285 238
|
1 354 688
|
1 242 966
|
1 307 041
|
1 374 899
|
1 441 231
|
1 507 572
|
|
| Intangible Assets |
36 119
|
36 111
|
36 147
|
39 633
|
45 134
|
217 801
|
218 513
|
223 106
|
225 273
|
227 347
|
232 175
|
230 528
|
227 951
|
227 084
|
224 864
|
223 787
|
218 654
|
221 481
|
233 019
|
231 748
|
619 304
|
|
| Goodwill |
379 153
|
353 682
|
329 338
|
326 260
|
325 409
|
307 941
|
307 941
|
307 941
|
307 581
|
307 581
|
307 581
|
307 581
|
307 581
|
307 581
|
307 581
|
307 581
|
305 171
|
305 171
|
305 171
|
305 171
|
305 171
|
|
| Note Receivable |
10 618
|
8 385
|
8 640
|
9 854
|
12 344
|
3 265
|
2 961
|
2 019
|
3 036
|
1 880
|
2 198
|
2 184
|
2 082
|
2 276
|
4 500
|
4 252
|
4 179
|
3 438
|
2 816
|
3 779
|
3 441
|
|
| Long-Term Investments |
0
|
0
|
0
|
0
|
0
|
0
|
7 239
|
7 239
|
7 367
|
7 413
|
7 413
|
7 560
|
7 792
|
7 808
|
7 853
|
7 853
|
7 896
|
7 896
|
7 896
|
7 896
|
15 898
|
|
| Other Long-Term Assets |
10 466
|
9 659
|
14 493
|
19 072
|
15 707
|
26 883
|
33 554
|
710
|
733
|
683
|
12 940
|
17 928
|
21 118
|
21 096
|
23 995
|
32 566
|
5 701
|
15 819
|
59 073
|
61 420
|
8 740
|
|
| Other Assets |
379 153
|
353 682
|
329 338
|
326 260
|
325 409
|
307 941
|
307 941
|
307 941
|
307 581
|
307 581
|
307 581
|
307 581
|
307 581
|
307 581
|
307 581
|
307 581
|
305 171
|
305 171
|
305 171
|
305 171
|
305 171
|
|
| Total Assets |
1 135 347
N/A
|
1 071 529
-6%
|
1 045 388
-2%
|
1 110 837
+6%
|
1 401 434
+26%
|
1 671 951
+19%
|
1 679 392
+0%
|
1 743 024
+4%
|
1 819 288
+4%
|
1 850 756
+2%
|
1 879 381
+2%
|
1 963 814
+4%
|
2 044 462
+4%
|
2 069 371
+1%
|
2 178 638
+5%
|
2 273 846
+4%
|
2 419 031
+6%
|
2 501 822
+3%
|
2 651 930
+6%
|
2 696 476
+2%
|
3 290 771
+22%
|
|
| Liabilities | ||||||||||||||||||||||
| Accounts Payable |
25 181
|
21 841
|
16 646
|
20 046
|
38 240
|
67 970
|
39 872
|
77 985
|
69 510
|
35 527
|
30 590
|
51 927
|
17 958
|
28 047
|
49 231
|
42 060
|
20 296
|
23 353
|
46 546
|
65 587
|
55 708
|
|
| Accrued Liabilities |
5 812
|
6 692
|
7 476
|
9 046
|
9 978
|
3 899
|
22 490
|
19 816
|
22 365
|
25 100
|
21 596
|
23 339
|
30 628
|
23 586
|
27 674
|
34 408
|
43 782
|
52 556
|
59 611
|
63 323
|
69 743
|
|
| Short-Term Debt |
4 976
|
21 480
|
18 470
|
592
|
11 476
|
0
|
418
|
0
|
0
|
0
|
0
|
0
|
1 431
|
1 941
|
2 641
|
3 536
|
4 425
|
4 410
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
34 971
|
111 974
|
27 804
|
21 743
|
30 260
|
35 576
|
21 519
|
84 754
|
42 472
|
93 620
|
56 680
|
75 672
|
43 630
|
63 045
|
33 963
|
37 889
|
72 164
|
70 207
|
75 714
|
157 173
|
118 141
|
|
| Other Current Liabilities |
17 754
|
20 329
|
21 485
|
26 697
|
29 543
|
8 935
|
9 369
|
16 151
|
32 996
|
66 786
|
68 652
|
82 418
|
118 704
|
121 201
|
129 419
|
124 715
|
104 797
|
98 611
|
84 755
|
76 551
|
108 610
|
|
| Total Current Liabilities |
88 694
|
182 317
|
91 880
|
78 125
|
119 496
|
116 380
|
93 668
|
198 707
|
167 343
|
221 033
|
177 518
|
233 356
|
212 350
|
237 819
|
242 928
|
242 608
|
245 463
|
249 137
|
266 626
|
362 634
|
352 203
|
|
| Long-Term Debt |
301 057
|
197 574
|
273 311
|
315 057
|
474 763
|
508 405
|
549 288
|
445 307
|
529 530
|
626 272
|
698 422
|
722 133
|
808 003
|
802 978
|
912 513
|
1 004 910
|
1 001 110
|
1 085 705
|
1 217 276
|
1 122 080
|
1 201 829
|
|
| Deferred Income Tax |
3 412
|
2 812
|
3 678
|
0
|
12 613
|
78 452
|
74 432
|
34 354
|
37 755
|
34 360
|
42 756
|
40 607
|
38 419
|
38 089
|
35 720
|
33 861
|
25 414
|
23 706
|
16 239
|
15 208
|
130 984
|
|
| Minority Interest |
191 713
|
186 432
|
195 112
|
215 978
|
269 101
|
374 631
|
369 216
|
371 389
|
372 739
|
368 767
|
360 391
|
362 361
|
369 155
|
371 326
|
367 027
|
364 587
|
419 527
|
420 425
|
418 602
|
442 179
|
644 760
|
|
| Other Liabilities |
9 786
|
10 263
|
10 733
|
13 304
|
16 210
|
12 995
|
16 327
|
113 555
|
128 134
|
19 412
|
22 660
|
24 731
|
26 852
|
25 670
|
28 776
|
33 340
|
33 396
|
28 883
|
41 393
|
38 525
|
42 009
|
|
| Total Liabilities |
594 662
N/A
|
579 397
-3%
|
574 713
-1%
|
622 464
+8%
|
892 183
+43%
|
1 090 863
+22%
|
1 102 931
+1%
|
1 163 312
+5%
|
1 235 500
+6%
|
1 269 844
+3%
|
1 301 747
+3%
|
1 383 187
+6%
|
1 454 779
+5%
|
1 475 883
+1%
|
1 586 964
+8%
|
1 679 306
+6%
|
1 724 910
+3%
|
1 807 857
+5%
|
1 960 136
+8%
|
1 980 626
+1%
|
2 371 784
+20%
|
|
| Equity | ||||||||||||||||||||||
| Common Stock |
491 228
|
485 872
|
461 827
|
475 182
|
492 580
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
468 358
|
|
| Retained Earnings |
49 457
|
6 260
|
8 848
|
13 191
|
16 671
|
112 730
|
145 370
|
148 622
|
152 698
|
149 822
|
146 544
|
149 536
|
158 593
|
162 398
|
160 584
|
163 450
|
263 031
|
262 875
|
260 704
|
284 760
|
487 896
|
|
| Additional Paid In Capital |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Equity |
0
|
0
|
0
|
0
|
0
|
0
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
37 268
|
|
| Total Equity |
540 684
N/A
|
492 132
-9%
|
470 675
-4%
|
488 373
+4%
|
509 251
+4%
|
581 088
+14%
|
576 460
-1%
|
579 712
+1%
|
583 788
+1%
|
580 912
0%
|
577 634
-1%
|
580 626
+1%
|
589 683
+2%
|
593 488
+1%
|
591 674
0%
|
594 540
+0%
|
694 121
+17%
|
693 965
0%
|
691 794
0%
|
715 850
+3%
|
918 986
+28%
|
|
| Total Liabilities & Equity |
1 135 347
N/A
|
1 071 529
-6%
|
1 045 388
-2%
|
1 110 837
+6%
|
1 401 434
+26%
|
1 671 951
+19%
|
1 679 392
+0%
|
1 743 024
+4%
|
1 819 288
+4%
|
1 850 756
+2%
|
1 879 381
+2%
|
1 963 814
+4%
|
2 044 462
+4%
|
2 069 371
+1%
|
2 178 638
+5%
|
2 273 846
+4%
|
2 419 031
+6%
|
2 501 822
+3%
|
2 651 930
+6%
|
2 696 476
+2%
|
3 290 771
+22%
|
|
| Shares Outstanding | ||||||||||||||||||||||
| Common Shares Outstanding |
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
1 000
|
|