Inversiones la Construccion SA
SGO:ILC
Balance Sheet
Balance Sheet Decomposition
Inversiones la Construccion SA
Inversiones la Construccion SA
Balance Sheet
Inversiones la Construccion SA
| 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 |
50 203
|
15 761
|
68 392
|
135 047
|
245 411
|
225 277
|
146 401
|
256 734
|
391 389
|
550 280
|
760 144
|
240 007
|
404 202
|
276 283
|
|
| Cash |
50 203
|
15 761
|
16 994
|
16 105
|
15 428
|
13 911
|
17 099
|
19 690
|
11 943
|
22 769
|
41 924
|
20 408
|
23 929
|
24 394
|
|
| Cash Equivalents |
0
|
0
|
51 398
|
118 943
|
229 983
|
211 366
|
129 302
|
237 044
|
379 446
|
527 510
|
718 220
|
219 599
|
380 272
|
251 889
|
|
| Short-Term Investments |
205 577
|
250 027
|
4 264 587
|
4 665 196
|
5 341 817
|
5 834 354
|
5 975 498
|
6 384 799
|
6 620 048
|
5 406 241
|
5 830 700
|
6 982 704
|
7 366 864
|
8 104 220
|
|
| Total Receivables |
70 305
|
58 528
|
137 239
|
160 121
|
1 024 809
|
1 112 136
|
1 382 745
|
1 969 414
|
2 333 862
|
2 411 001
|
2 638 678
|
3 022 763
|
3 778 736
|
4 247 355
|
|
| Accounts Receivables |
62 574
|
46 627
|
98 647
|
113 096
|
951 522
|
1 023 343
|
1 254 804
|
1 826 480
|
2 187 091
|
2 266 686
|
2 485 913
|
2 868 720
|
3 623 840
|
4 064 182
|
|
| Other Receivables |
7 731
|
11 901
|
38 592
|
47 024
|
73 287
|
88 793
|
127 941
|
142 934
|
146 772
|
144 315
|
152 765
|
154 043
|
154 896
|
183 173
|
|
| Inventory |
1 733
|
1 984
|
2 138
|
2 363
|
3 862
|
4 223
|
4 285
|
4 424
|
4 249
|
7 347
|
10 622
|
11 088
|
10 812
|
15 675
|
|
| Other Current Assets |
8 960
|
11 977
|
12 332
|
16 584
|
17 161
|
12 932
|
16 821
|
18 000
|
32 214
|
28 915
|
44 041
|
43 249
|
18 129
|
18 768
|
|
| Total Current Assets |
336 779
|
338 277
|
4 484 687
|
4 979 311
|
6 633 060
|
7 188 922
|
7 525 750
|
8 633 372
|
9 381 762
|
8 403 784
|
9 284 185
|
10 299 811
|
11 578 741
|
12 662 301
|
|
| PP&E Net |
227 581
|
234 517
|
207 355
|
222 987
|
314 136
|
323 570
|
296 978
|
331 361
|
382 339
|
432 610
|
425 895
|
432 898
|
471 748
|
575 162
|
|
| PP&E Gross |
227 581
|
234 517
|
207 355
|
222 987
|
314 136
|
323 570
|
296 978
|
331 361
|
382 339
|
432 610
|
425 895
|
432 898
|
471 748
|
575 162
|
|
| Accumulated Depreciation |
28 228
|
34 110
|
42 978
|
77 554
|
90 288
|
99 666
|
103 167
|
119 520
|
154 393
|
168 622
|
201 243
|
226 156
|
245 496
|
276 416
|
|
| Intangible Assets |
74 222
|
71 793
|
93 798
|
92 374
|
130 984
|
80 064
|
83 205
|
89 054
|
91 023
|
94 325
|
95 807
|
98 672
|
106 298
|
111 927
|
|
| Goodwill |
101 507
|
101 507
|
101 562
|
101 562
|
103 840
|
2 334
|
2 334
|
2 271
|
2 271
|
2 271
|
2 271
|
2 271
|
2 271
|
2 271
|
|
| Note Receivable |
4 277
|
3 603
|
2 171
|
5 580
|
11 189
|
11 536
|
1 360
|
7 567
|
4 277
|
6 566
|
7 104
|
730 622
|
771 454
|
818 239
|
|
| Long-Term Investments |
227 597
|
261 130
|
301 643
|
333 429
|
355 730
|
405 623
|
654 498
|
571 931
|
834 307
|
2 141 307
|
2 342 271
|
2 226 861
|
2 000 345
|
1 838 261
|
|
| Other Long-Term Assets |
32 636
|
44 776
|
107 460
|
105 913
|
186 200
|
151 507
|
213 230
|
326 755
|
691 789
|
722 961
|
522 989
|
520 877
|
603 383
|
481 943
|
|
| Other Assets |
101 507
|
101 507
|
101 562
|
101 562
|
103 840
|
2 334
|
2 334
|
2 271
|
2 271
|
2 271
|
2 271
|
2 271
|
2 271
|
2 271
|
|
| Total Assets |
1 004 599
N/A
|
1 055 603
+5%
|
5 298 677
+402%
|
5 841 155
+10%
|
7 735 139
+32%
|
8 163 556
+6%
|
8 777 355
+8%
|
9 962 311
+14%
|
11 387 768
+14%
|
11 803 824
+4%
|
12 680 521
+7%
|
14 312 011
+13%
|
15 534 241
+9%
|
16 490 104
+6%
|
|
| Liabilities | |||||||||||||||
| Accounts Payable |
44 315
|
53 623
|
26 592
|
33 589
|
51 952
|
41 156
|
41 187
|
37 532
|
48 925
|
79 221
|
82 415
|
100 345
|
101 214
|
108 043
|
|
| Accrued Liabilities |
17 247
|
20 509
|
20 318
|
23 190
|
27 320
|
17 326
|
18 439
|
21 420
|
22 706
|
41 990
|
63 326
|
78 996
|
62 567
|
59 814
|
|
| Short-Term Debt |
3 518
|
4 229
|
19 093
|
20 110
|
22 122
|
13 871
|
20 256
|
149 380
|
92 656
|
12 524
|
207 424
|
117 462
|
144 734
|
7 452
|
|
| Current Portion of Long-Term Debt |
22 425
|
28 361
|
42 797
|
65 082
|
303 759
|
89 696
|
82 472
|
138 218
|
145 575
|
1 003 939
|
1 295 432
|
1 246 884
|
1 259 972
|
1 734 939
|
|
| Other Current Liabilities |
43 526
|
67 117
|
3 985 882
|
4 408 878
|
5 745 625
|
1 502 333
|
1 682 265
|
2 124 451
|
2 445 969
|
2 267 625
|
2 348 551
|
2 630 759
|
3 052 222
|
3 034 389
|
|
| Total Current Liabilities |
131 031
|
173 839
|
4 094 682
|
4 550 849
|
6 150 778
|
1 664 381
|
1 844 620
|
2 471 003
|
2 755 831
|
3 405 298
|
3 997 148
|
4 174 446
|
4 620 710
|
4 944 637
|
|
| Long-Term Debt |
149 677
|
187 141
|
406 357
|
504 744
|
656 000
|
695 249
|
742 000
|
905 315
|
1 599 400
|
1 091 582
|
1 160 593
|
1 543 386
|
1 750 157
|
1 371 329
|
|
| Deferred Income Tax |
47 927
|
63 374
|
64 031
|
58 716
|
80 968
|
14 116
|
11 646
|
11 194
|
7 634
|
13 537
|
9 202
|
10 737
|
24 709
|
42 383
|
|
| Minority Interest |
143 358
|
138 077
|
241 320
|
196 994
|
278 569
|
76 402
|
75 820
|
94 061
|
82 189
|
93 415
|
103 687
|
114 106
|
140 117
|
112 406
|
|
| Other Liabilities |
99 091
|
65 216
|
15 711
|
38 722
|
61 573
|
5 032 493
|
5 367 711
|
5 733 624
|
6 171 085
|
6 374 596
|
6 571 444
|
7 588 873
|
8 014 339
|
8 888 010
|
|
| Total Liabilities |
571 084
N/A
|
627 648
+10%
|
4 822 101
+668%
|
5 350 026
+11%
|
7 227 888
+35%
|
7 482 641
+4%
|
8 041 796
+7%
|
9 215 196
+15%
|
10 616 139
+15%
|
10 978 429
+3%
|
11 842 073
+8%
|
13 431 548
+13%
|
14 550 032
+8%
|
15 358 764
+6%
|
|
| Equity | |||||||||||||||
| Common Stock |
213 773
|
239 852
|
239 852
|
239 852
|
239 852
|
239 852
|
239 852
|
239 852
|
239 852
|
239 852
|
239 852
|
239 852
|
239 852
|
237 903
|
|
| Retained Earnings |
219 472
|
187 633
|
236 255
|
250 807
|
266 927
|
440 592
|
495 236
|
506 791
|
531 305
|
585 072
|
598 124
|
642 636
|
750 308
|
900 840
|
|
| Additional Paid In Capital |
270
|
470
|
470
|
470
|
471
|
471
|
471
|
471
|
471
|
471
|
471
|
471
|
471
|
471
|
|
| Treasury Stock |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
2 497
|
6 423
|
7 874
|
|
| Total Equity |
433 515
N/A
|
427 955
-1%
|
476 577
+11%
|
491 129
+3%
|
507 250
+3%
|
680 915
+34%
|
735 560
+8%
|
747 114
+2%
|
771 628
+3%
|
825 395
+7%
|
838 448
+2%
|
880 463
+5%
|
984 209
+12%
|
1 131 340
+15%
|
|
| Total Liabilities & Equity |
1 004 599
N/A
|
1 055 603
+5%
|
5 298 677
+402%
|
5 841 155
+10%
|
7 735 139
+32%
|
8 163 556
+6%
|
8 777 355
+8%
|
9 962 311
+14%
|
11 387 768
+14%
|
11 803 824
+4%
|
12 680 521
+7%
|
14 312 011
+13%
|
15 534 241
+9%
|
16 490 104
+6%
|
|
| Shares Outstanding | |||||||||||||||
| Common Shares Outstanding |
37
|
100
|
100
|
100
|
100
|
100
|
100
|
100
|
100
|
100
|
100
|
100
|
100
|
99
|
|