Grupo Aval Acciones y Valores S.A Key Executives

This section highlights Grupo Aval Acciones y Valores S.A's key executives, including their titles and compensation details.

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Grupo Aval Acciones y Valores S.A Earnings

This section highlights Grupo Aval Acciones y Valores S.A's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: May 21, 2025
Time: Before Market
Est. EPS: $0.10
Status: Unconfirmed

Last Earnings Results

Date: February 20, 2025
EPS: $0.05
Est. EPS: $0.07
Revenue: $677.09M

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS
Read Transcript Q4 2024 2025-02-21 N/A N/A
Read Transcript Q3 2024 2024-11-14 N/A N/A
Read Transcript Q2 2024 2024-08-19 N/A N/A
Read Transcript Q1 2024 2024-05-15 $0.05 $0.02
Read Transcript Q4 2023 2024-03-05 N/A N/A
Read Transcript Q3 2023 2023-11-16 N/A N/A
Read Transcript Q2 2023 2023-08-17 N/A N/A
Read Transcript Q1 2023 2023-05-18 N/A N/A

Grupo Aval Acciones y Valores S.A. (AVAL)

Grupo Aval Acciones y Valores S.A. provides a range of financial services and products to public and private sector customers in Colombia and Central America. It offers traditional deposit services and products, including checking accounts, savings accounts, time deposits, and other deposits. The company also provides commercial loans comprising general purpose loans, working capital loans, leases, loans funded by development banks, corporate credit cards, and overdraft loans; consumer loans, such as payroll loans, personal loans, automobile and other vehicle loans, credit cards, overdrafts, leases, and general purpose loans; and microcredit and mortgage loans. In addition, the company offers pension and severance fund management services; investment banking, including services relating to capital markets, mergers and acquisitions, and project finance transactions; mobile and online banking services; and bancassurance, insurance, trust, bonded warehousing and brokerage transactions, real estate escrow services, merchandise and document storage and deposit, customs agency, cargo management, surety bond and merchandise distribution services, and payment and collection services. Further, it is involved in equity investments in various sectors, including infrastructure, energy and gas, agribusiness, and hospitality; and treasury operations. Grupo Aval Acciones y Valores S.A. was incorporated in 1994 and is headquartered in Bogotá, Colombia.

Financial Services Banks - Regional

$2.43

Stock Price

$3.04B

Market Cap

74.04K

Employees

Bogotá, None

Location

Financial Statements

Access annual & quarterly financial statements for Grupo Aval Acciones y Valores S.A, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Revenue $11.74T $11.71T $16.31T $23.95T $23.08T
Cost of Revenue $- $- $- $16.55B $-
Gross Profit $11.74T $11.71T $16.31T $23.94T $23.08T
Gross Profit Ratio 100.00% 100.00% 100.00% 99.93% 100.00%
Research and Development Expenses $- $- $- $- $-
General and Administrative Expenses $859.50B $3.82T $6.54T $9.98T $9.37T
Selling and Marketing Expenses $525.58B $233.51B $207.07B $301.63B $221.54B
Selling General and Administrative Expenses $6.36T $4.05T $6.54T $9.98T $9.37T
Other Expenses $- $11.75T $-6.43T $-27.79T $367.20B
Operating Expenses $6.36T $15.80T $107.60B $-17.80T $9.73T
Cost and Expenses $6.36T $5.98T $107.60B $-17.80T $9.73T
Interest Income $- $28.92T $19.40T $19.65T $20.22T
Interest Expense $- $22.63T $11.66T $6.92T $8.26T
Depreciation and Amortization $- $1.15T $1.09T $1.02T $1.40T
EBITDA $- $- $- $- $-
EBITDA Ratio 0.00% 0.00% 0.00% 0.00% 0.00%
Operating Income $5.37T $5.73T $16.42T $6.15T $4.19T
Operating Income Ratio 45.78% 48.91% 100.66% 25.67% 18.17%
Total Other Income Expenses Net $-2.24T $-2.24T $2.27T $495.55B $180.03B
Income Before Tax $3.14T $3.49T $6.27T $8.52T $6.48T
Income Before Tax Ratio 26.73% 29.77% 38.47% 35.57% 28.06%
Income Tax Expense $946.43B $1.31T $2.27T $2.85T $1.84T
Net Income $1.02T $739.00B $4.00T $5.67T $4.63T
Net Income Ratio 8.65% 6.31% 24.54% 23.66% 20.07%
EPS $42.75 $31.12 $172.97 $254.41 $207.87
EPS Diluted $42.75 $31.12 $172.97 $254.41 $207.87
Weighted Average Shares Outstanding 23.74B 23.74B 23.14B 22.28B 22.28B
Weighted Average Shares Outstanding Diluted 23.74B 23.74B 23.14B 22.28B 22.28B
SEC Filing Source Source Source Source Source


Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Revenue $2.98T $4.13T $2.85T $11.48T $12.33T $3.71T $3.94T $4.11T $3.88T $3.95T $4.18T $4.30T $6.19T $6.00T $6.07T $5.67T $6.62T $5.98T $5.07T $5.36T
Cost of Revenue $- $- $-8.37T $- $- $- $- $- $- $- $- $- $6.50B $- $- $- $67.20B $- $- $-
Gross Profit $2.98T $4.13T $11.23T $11.48T $12.33T $3.71T $3.94T $4.11T $3.88T $3.95T $4.18T $4.30T $6.19T $6.00T $6.07T $5.67T $6.55T $5.98T $5.07T $5.36T
Gross Profit Ratio 100.00% 100.00% 393.36% 100.00% 100.00% 100.00% 100.00% 100.00% 100.00% 100.00% 100.00% 100.00% 99.90% 100.00% 100.00% 100.00% 98.99% 100.00% 100.00% 100.00%
Research and Development Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $275.72B $1.82T $1.91T $1.86T $-1.67T $1.76T $1.87T $1.61T $1.84T $1.67T $1.55T $1.48T $2.75T $2.53T $2.43T $2.27T $2.45T $2.34T $2.26T $2.31T
Selling and Marketing Expenses $174.42B $- $-342.38B $70.26B $277.37B $62.65B $137.65B $61.52B $256.60B $75.30B $119.20B $- $237.86B $62.60B $56.58B $47.25B $395.22B $81.78B $141.43B $53.56B
Selling General and Administrative Expenses $1.75T $1.82T $1.57T $1.86T $-1.44T $1.76T $1.87T $1.61T $1.84T $1.67T $1.55T $1.48T $2.75T $2.53T $2.43T $2.27T $2.45T $2.34T $2.26T $2.31T
Other Expenses $- $2.31T $- $-2.51T $-3.84T $-5.23T $-5.29T $694.10B $-1.15T $-1.37T $-2.17T $-1.73T $-269.30B $87.70B $87.20B $94.40B $71.70B $85.30B $141.10B $69.10B
Operating Expenses $1.75T $4.13T $1.57T $2.51T $3.84T $-3.47T $-3.42T $2.30T $695.10B $297.70B $-623.40B $-254.10B $-7.23T $2.61T $2.52T $2.37T $2.53T $2.43T $2.40T $2.38T
Cost and Expenses $1.75T $4.13T $1.57T $10.86T $11.93T $-3.47T $-3.42T $2.30T $695.10B $297.70B $-623.40B $-254.10B $6.50B $2.61T $2.52T $2.37T $2.59T $2.43T $2.40T $2.38T
Interest Income $- $6.87T $7.24T $7.24T $7.42T $7.33T $7.15T $7.01T $6.14T $5.21T $4.29T $3.76T $5.17T $4.97T $4.80T $4.70T $4.82T $5.11T $5.20T $5.10T
Interest Expense $- $5.21T $5.32T $5.56T $5.89T $5.70T $5.58T $5.46T $4.38T $3.29T $2.31T $1.68T $1.89T $1.73T $1.65T $1.66T $1.76T $2.08T $2.25T $2.17T
Depreciation and Amortization $- $176.00B $176.60B $302.12B $167.40B $287.83B $282.59B $279.58B $167.40B $270.81B $270.71B $155.50B $271.50B $366.59B $352.09B $356.28B $268.30B $262.60B $249.30B $235.20B
EBITDA $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
EBITDA Ratio 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00%
Operating Income $1.23T $- $1.28T $-268.36B $-199.80B $241.00B $516.80B $6.42T $4.57T $4.25T $3.55T $4.04T $3.25T $3.65T $3.13T $3.03T $2.95T $3.34T $2.78T $3.39T
Operating Income Ratio 41.40% 0.00% 44.99% -2.34% -1.62% 6.50% 13.13% 156.04% 117.92% 107.53% 85.07% 94.09% 52.51% 60.95% 51.65% 53.39% 44.50% 55.75% 54.93% 63.18%
Total Other Income Expenses Net $-631.22B $1.07T $-519.71B $-589.41B $533.80B $235.90B $294.40B $-588.88B $-3.55T $-2.77T $-1.60T $-973.10B $106.48B $102.23B $-407.03B $-997.20B $-996.40B $-1.53T $-1.93T $-586.33B
Income Before Tax $603.56B $1.07T $764.38B $607.76B $533.80B $476.90B $811.20B $1.58T $1.03T $1.48T $1.95T $3.07T $1.88T $2.36T $2.25T $2.03T $1.95T $1.81T $855.60B $1.86T
Income Before Tax Ratio 20.23% 25.94% 26.78% 5.29% 4.33% 12.87% 20.60% 38.41% 26.51% 37.38% 46.71% 71.43% 30.31% 39.33% 37.15% 35.81% 29.45% 30.20% 16.88% 34.72%
Income Tax Expense $63.14B $342.40B $315.26B $225.66B $251.10B $176.20B $350.60B $532.60B $526.30B $547.80B $564.30B $633.00B $585.00B $1.15T $538.80B $580.10B $547.10B $565.50B $214.60B $516.40B
Net Income $281.35B $415.70B $204.30B $113.70B $82.90B $64.80B $166.20B $1.05T $502.00B $929.80B $1.39T $2.44T $1.29T $779.70B $949.50B $791.80B $635.10B $690.90B $323.40B $700.20B
Net Income Ratio 9.43% 10.07% 7.16% 0.99% 0.67% 1.75% 4.22% 25.46% 12.94% 23.52% 33.20% 56.70% 20.86% 13.00% 15.65% 13.96% 9.59% 11.55% 6.38% 13.06%
EPS $11.85 $0.00 $8.60 $4.79 $3.49 $2.73 $7.00 $44.10 $21.14 $783.20 $1216.99 $2186.44 $1159.46 $700.00 $852.00 $710.00 $570.00 $620.00 $290.00 $628.00
EPS Diluted $11.85 $0.00 $8.60 $4.79 $3.49 $2.73 $7.00 $44.10 $21.14 $783.20 $1216.99 $2186.44 $1159.46 $700.00 $852.00 $710.00 $570.00 $620.00 $290.00 $628.00
Weighted Average Shares Outstanding 23.74B - 23.74B 23.74B 23.74B 23.74B 23.74B 23.74B 23.74B 1.19B 1.14B 1.11B 1.11B 1.11B 1.11B 1.11B 1.11B 1.11B 1.11B 1.11B
Weighted Average Shares Outstanding Diluted 23.74B - 23.74B 23.74B 23.74B 23.74B 23.74B 23.74B 23.74B 1.19B 1.14B 1.11B 1.11B 1.11B 1.11B 1.11B 1.11B 1.11B 1.11B 1.11B
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Cash and Cash Equivalents $7.28T $8.41T $17.03T $36.64T $34.03T
Short Term Investments $- $- $23.94T $38.90T $30.48T
Cash and Short Term Investments $7.28T $8.41T $40.97T $75.54T $64.51T
Net Receivables $- $28.21T $25.16T $19.87T $15.34T
Inventory $- $- $-54.13T $-67.71T $-61.24T
Other Current Assets $- $- $- $219.00M $590.39B
Total Current Assets $7.28T $36.63T $66.13T $95.41T $80.44T
Property Plant Equipment Net $6.03T $5.86T $6.06T $8.05T $8.03T
Goodwill $2.22T $2.20T $2.25T $8.49T $7.71T
Intangible Assets $36.33T $15.94T $15.28T $12.98T $10.81T
Goodwill and Intangible Assets $38.56T $18.14T $17.53T $21.47T $18.53T
Long Term Investments $- $49.09T $44.90T $55.66T $47.00T
Tax Assets $- $- $1.85T $1.77T $861.70B
Other Non-Current Assets $275.99T $250.96T $-1.85T $-1.77T $-861.70B
Total Non-Current Assets $320.58T $324.05T $68.49T $85.19T $73.55T
Other Assets $- $-59.49T $160.97T $186.31T $168.90T
Total Assets $327.86T $301.18T $295.59T $366.90T $322.90T
Account Payables $- $3.47T $2.80T $3.23T $2.66T
Short Term Debt $- $- $- $806.07B $864.50B
Tax Payables $- $1.10T $228.80B $382.30B $406.20B
Deferred Revenue $- $527.98B $-32.41T $- $-
Other Current Liabilities $1.32T $-5.10T $-3.03T $-4.42T $-945.85B
Total Current Liabilities $1.32T $- $3.63B $4.03T $2.99T
Long Term Debt $43.13T $59.99T $- $- $58.62T
Deferred Revenue Non-Current $- $530.30B $515.69B $548.17B $581.10B
Deferred Tax Liabilities Non-Current $- $5.55T $5.06T $4.33T $3.18T
Other Non-Current Liabilities $250.25T $229.11T $- $- $-58.62T
Total Non-Current Liabilities $293.38T $300.73T $261.14B $78.16T $62.39T
Other Liabilities $- $269.66T $264.50T $245.23T $222.08T
Total Liabilities $294.70T $269.66T $264.77T $327.43T $287.46T
Preferred Stock $- $- $- $- $-
Common Stock $23.74B $23.74B $23.74B $22.28B $22.28B
Retained Earnings $8.16T $7.73T $8.02B $13.38T $11.30T
Accumulated Other Comprehensive Income Loss $-243.98B $-544.22B $-1.15T $1.12T $862.01B
Other Total Stockholders Equity $9.51T $9.57T $9.57T $8.49T $8.47T
Total Stockholders Equity $17.45T $16.78T $16.47T $23.01T $20.66T
Total Equity $33.16T $31.52T $30.82T $39.47T $35.44T
Total Liabilities and Stockholders Equity $327.86T $301.18T $295.59T $366.90T $322.90T
Minority Interest $15.71T $14.74T $14.35T $16.46T $14.78T
Total Liabilities and Total Equity $327.86T $301.18T $295.59T $366.90T $322.90T
Total Investments $- $49.09T $68.84T $94.56T $77.48T
Total Debt $43.13T $65.54T $72.12T $73.28T $58.62T
Net Debt $35.85T $48.16T $55.08T $36.64T $24.60T


Balance Sheet Charts

Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Cash and Cash Equivalents $7.28T $19.15T $19.30T $18.57T $17.38T $18.38T $19.20T $16.41T $17.03T $18.01T $21.44T $16.41T $36.64T $35.89T $35.61T $35.13T $34.03T $39.01T $40.11T $40.14T
Short Term Investments $- $26.09T $-1.50T $26.35T $-35.98T $23.93T $23.09T $23.96T $23.94T $22.99T $23.11T $23.96T $38.90T $37.22T $36.15T $35.09T $30.48T $30.28T $28.39T $25.76T
Cash and Short Term Investments $7.28T $45.24T $17.80T $-18.57T $-18.60T $42.31T $42.29T $40.37T $40.97T $41.00T $44.55T $40.37T $74.52T $73.11T $71.77T $70.22T $64.43T $69.29T $68.50T $65.89T
Net Receivables $- $30.82T $- $- $- $26.86T $26.56T $20.57T $25.16T $23.62T $22.15T $20.57T $19.87T $18.51T $18.15T $17.30T $15.93T $15.02T $14.69T $14.26T
Inventory $- $- $- $-10.87T $-9.62T $-59.69T $-60.45T $-60.87T $-54.13T $-55.37T $-56.23T $- $-67.71T $-66.91T $-66.48T $-65.25T $- $- $- $-
Other Current Assets $- $- $- $64.90T $62.36T $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Current Assets $7.28T $76.06T $17.80T $64.90T $62.36T $69.17T $68.85T $60.94T $66.13T $64.62T $66.69T $60.94T $94.39T $91.61T $89.92T $87.52T $80.36T $84.31T $83.19T $80.16T
Property Plant Equipment Net $6.03T $5.92T $6.05T $6.19T $6.09T $5.86T $5.94T $5.96T $6.06T $6.02T $5.95T $5.96T $8.05T $7.90T $7.91T $8.05T $8.03T $8.34T $8.40T $8.27T
Goodwill $2.22T $2.22T $2.21T $2.20T $2.20T $2.21T $2.22T $2.22T $2.25T $2.25T $2.23T $2.22T $8.49T $8.33T $8.22T $8.11T $7.71T $8.41T $8.24T $8.57T
Intangible Assets $36.33T $16.62T $35.02T $16.02T $15.94T $15.83T $15.73T $13.03T $15.28T $14.54T $13.80T $13.03T $12.98T $12.25T $11.78T $11.25T $10.81T $9.99T $9.62T $9.34T
Goodwill and Intangible Assets $38.56T $18.83T $37.24T $18.22T $18.14T $18.04T $17.95T $15.25T $17.53T $16.79T $16.04T $15.25T $21.47T $20.57T $20.00T $19.36T $18.53T $18.40T $17.86T $17.91T
Long Term Investments $- $57.23T $- $1.18T $1.34T $46.16T $45.38T $44.41T $44.90T $47.07T $45.57T $44.41T $55.66T $54.04T $53.63T $52.32T $47.00T $46.10T $44.14T $38.59T
Tax Assets $- $- $- $201.02T $1.28T $- $- $- $1.85T $- $- $- $85.26T $- $- $- $- $- $- $-
Other Non-Current Assets $275.99T $-81.98T $-43.28T $15.39T $211.97T $-70.07T $-69.27T $-65.61T $-1.85T $-69.87T $-67.56T $-65.61T $-85.22T $-82.52T $-81.54T $-79.73T $-73.55T $-72.84T $-70.39T $-64.77T
Total Non-Current Assets $320.58T $339.95T $298.82T $242.00T $238.82T $70.07T $69.27T $65.61T $68.49T $69.87T $67.56T $65.61T $85.22T $82.52T $81.54T $79.73T $73.55T $72.84T $70.39T $64.77T
Other Assets $- $-95.40T $- $- $- $159.49T $159.94T $134.57T $160.97T $151.40T $141.85T $134.57T $187.29T $177.58T $172.80T $169.66T $168.98T $176.72T $179.38T $175.50T
Total Assets $327.86T $320.62T $316.62T $306.89T $301.18T $298.73T $298.06T $261.12T $295.59T $285.90T $276.11T $261.12T $366.90T $351.71T $344.25T $336.91T $322.90T $333.87T $332.96T $320.43T
Account Payables $- $- $- $- $3.47T $- $- $- $2.80T $- $- $- $3.23T $- $- $- $2.66T $- $- $-
Short Term Debt $- $- $- $- $- $- $- $- $- $- $- $- $806.07B $- $- $- $864.50B $- $- $-
Tax Payables $- $166.20B $79.20B $312.50B $1.10T $223.40B $118.70B $245.60B $228.80B $189.50B $109.00B $245.60B $382.30B $279.30B $173.60B $378.70B $406.20B $383.30B $267.30B $466.50B
Deferred Revenue $- $- $- $- $527.98B $- $- $- $-32.41T $- $- $- $- $- $- $- $- $- $- $-
Other Current Liabilities $1.32T $-166.20B $-79.20B $-312.50B $-5.10T $-223.40B $-118.70B $-245.60B $-3.03T $-189.50B $-109.00B $-245.60B $-4.42T $-279.30B $-173.60B $-378.70B $-945.85B $-383.30B $-267.30B $-466.50B
Total Current Liabilities $1.32T $- $- $110.08T $131.67T $102.65T $106.29T $105.03T $2.96K $108.11T $109.44T $971.16B $4.03T $149.53T $151.31T $146.91T $2.99T $708.86B $1.06T $633.60B
Long Term Debt $43.13T $70.99T $47.23T $46.01T $34.47T $68.48T $66.92T $62.78T $72.12T $51.66T $46.81T $41.34T $- $47.23T $49.83T $48.22T $58.62T $52.02T $54.72T $53.08T
Deferred Revenue Non-Current $- $- $- $76.62T $530.30B $- $- $- $515.69B $- $- $- $548.17B $- $- $- $581.10B $- $- $-
Deferred Tax Liabilities Non-Current $- $5.69T $- $5.64T $5.55T $5.44T $5.46T $4.19T $5.06T $4.76T $4.52T $4.19T $4.33T $4.18T $3.64T $3.34T $3.18T $2.91T $2.79T $2.65T
Other Non-Current Liabilities $250.25T $-76.68T $-47.23T $-46.01T $-34.47T $-68.48T $-66.92T $-62.78T $-72.12T $-51.66T $-46.81T $-41.34T $- $-47.23T $-49.83T $-48.22T $-58.62T $-52.02T $-54.72T $-53.08T
Total Non-Current Liabilities $293.38T $- $284.94T $165.74T $137.99T $73.92T $72.38T $66.97T $225.73K $254.76T $245.96T $231.52T $4.03T $313.30T $307.30T $301.72T $62.39T $298.44T $298.80T $287.40T
Other Liabilities $- $287.82T $- $- $- $-102.65T $-106.29T $-105.03T $264.77T $-108.11T $-109.44T $-971.16B $319.36T $-149.53T $-151.31T $-146.91T $222.08T $-708.86B $-1.06T $-633.60B
Total Liabilities $294.70T $287.82T $284.94T $275.82T $269.66T $73.92T $72.38T $66.97T $264.77T $254.76T $245.96T $231.52T $327.43T $313.30T $307.30T $301.72T $287.46T $298.44T $298.80T $287.40T
Preferred Stock $- $- $- $- $- $- $- $30.86B $- $- $- $- $47.00M $- $- $- $2.00M $- $- $-
Common Stock $23.74B $- $23.74B $23.74B $23.74B $23.74B $23.74B $23.74B $23.74B $23.74B $23.74B $22.28B $22.28B $22.28B $22.28B $22.28B $22.28B $22.28B $22.28B $22.28B
Retained Earnings $8.16T $- $7.48T $7.28T $499.02B $7.64T $7.58T $7.43T $8.02T $8.35T $7.94T $8.47T $13.38T $12.63T $11.84T $10.89T $11.30T $10.67T $9.98T $9.65T
Accumulated Other Comprehensive Income Loss $-243.98B $-88.19B $-343.49B $-412.84B $6.69T $-855.12B $-714.17B $-847.85B $-1.15T $-1.17T $-1.13T $-752.61B $1.12T $1.20T $1.10T $989.64B $862.01B $1.65T $1.49T $1.35T
Other Total Stockholders Equity $9.51T $17.47T $9.56T $9.56T $2.34T $9.57T $9.57T $9.54T $9.57T $9.56T $9.59T $8.49T $8.49T $8.49T $8.49T $8.47T $8.47T $8.47T $8.45T $8.45T
Total Stockholders Equity $17.45T $17.39T $16.72T $16.45T $16.78T $16.38T $16.47T $16.23T $16.47T $16.77T $16.42T $16.23T $23.01T $22.34T $21.46T $20.38T $20.66T $20.81T $19.94T $19.47T
Total Equity $33.16T $32.79T $31.68T $31.08T $31.52T $30.75T $30.76T $29.60T $30.82T $31.14T $30.15T $29.60T $39.47T $38.40T $36.95T $35.19T $35.44T $35.43T $34.16T $33.03T
Total Liabilities and Stockholders Equity $327.86T $320.62T $316.62T $306.89T $301.18T $298.73T $298.06T $261.12T $295.59T $285.90T $276.11T $261.12T $366.90T $351.71T $344.25T $336.91T $322.90T $333.87T $332.96T $320.43T
Minority Interest $15.71T $15.40T $14.96T $14.62T $14.74T $14.37T $14.30T $13.37T $14.35T $14.37T $13.73T $13.37T $16.46T $16.06T $15.49T $14.82T $14.78T $14.61T $14.22T $13.56T
Total Liabilities and Total Equity $327.86T $320.62T $316.62T $306.89T $301.18T $298.73T $298.06T $261.12T $295.59T $285.90T $276.11T $261.12T $366.90T $351.71T $344.25T $336.91T $322.90T $333.87T $332.96T $320.43T
Total Investments $- $83.32T $80.95T $1.18T $1.34T $70.09T $68.47T $68.37T $68.84T $70.06T $68.68T $68.37T $94.56T $91.26T $89.78T $87.41T $77.48T $76.37T $72.52T $64.34T
Total Debt $43.13T $70.99T $65.53T $66.36T $66.20T $68.48T $66.92T $62.78T $72.12T $70.32T $68.65T $62.78T $73.28T $70.39T $63.88T $62.09T $58.62T $65.41T $70.51T $65.76T
Net Debt $35.85T $51.84T $46.23T $47.79T $48.82T $50.10T $47.73T $46.37T $55.08T $52.31T $47.21T $46.37T $36.64T $34.50T $28.27T $26.96T $24.60T $26.40T $30.40T $25.63T

Annual Cash Flow

Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020
Net Income $1.02T $3.49T $6.27T $8.52T $6.48T
Depreciation and Amortization $1.27T $1.15T $1.09T $1.45T $1.40T
Deferred Income Tax $- $- $- $- $-
Stock Based Compensation $- $- $- $- $-
Change in Working Capital $-11.34T $352.59B $-2.09T $-672.72B $5.17T
Accounts Receivables $- $- $- $- $-
Inventory $- $- $- $- $-
Accounts Payables $- $- $- $- $-
Other Working Capital $-11.34T $352.59B $-2.09T $-672.72B $5.17T
Other Non Cash Items $-5.00T $-3.18T $-5.50T $-3.39T $-3.02T
Net Cash Provided by Operating Activities $-14.04T $1.81T $-222.12B $5.90T $10.02T
Investments in Property Plant and Equipment $-662.67B $-615.19B $-1.15T $-2.26T $-2.01T
Acquisitions Net $- $- $113.61B $-1.08T $-1.34T
Purchases of Investments $- $-32.37T $-27.93T $-47.04T $-40.80T
Sales Maturities of Investments $- $33.90T $32.54T $42.05T $35.73T
Other Investing Activities $-2.48T $932.34B $-16.59T $1.73T $834.77B
Net Cash Used for Investing Activities $-3.14T $1.84T $-13.01T $-6.60T $-7.59T
Debt Repayment $87.50B $-1.85T $-7.53T $827.88B $3.11T
Common Stock Issued $- $- $- $120.00M $-
Common Stock Repurchased $-55.00B $- $-15.01B $-29.75B $-430.32B
Dividends Paid $-728.18B $-766.54B $-414.27B $-1.23T $-1.33T
Other Financing Activities $14.16T $-915.93B $-615.18B $-913.24B $-1.33T
Net Cash Used Provided by Financing Activities $13.46T $-3.54T $-8.57T $-1.35T $404.45B
Effect of Forex Changes on Cash $2.12T $-2.74T $3.59T $4.66T $1.07T
Net Change in Cash $-1.60T $1.57T $-19.61T $2.62T $3.91T
Cash at End of Period $17.00T $18.60T $17.03T $36.64T $34.03T
Cash at Beginning of Period $18.60T $17.03T $36.64T $34.03T $30.12T
Operating Cash Flow $-14.04T $1.81T $-222.12B $5.90T $10.02T
Capital Expenditure $-662.67B $-1.30T $-1.15T $-2.26T $-2.01T
Free Cash Flow $-14.70T $511.93B $-1.37T $3.65T $8.01T

Cash Flow Charts

Breakdown December 31, 2024 September 30, 2024 June 30, 2024 March 31, 2024 December 31, 2023 September 30, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 June 30, 2022 March 31, 2022 December 31, 2021 September 30, 2021 June 30, 2021 March 31, 2021 December 31, 2020 September 30, 2020 June 30, 2020 March 31, 2020
Net Income $281.35B $415.66B $204.33B $113.74B $82.90B $64.80B $166.21B $425.09B $599.10B $408.10B $675.49B $1.73T $776.70B $779.73B $949.48B $791.77B $635.07B $690.87B $323.35B $700.24B
Depreciation and Amortization $336.91B $325.19B $310.40B $302.12B $167.40B $287.83B $282.59B $279.58B $167.40B $270.81B $270.72B $263.21B $271.50B $366.59B $352.09B $356.28B $383.30B $354.89B $339.86B $323.53B
Deferred Income Tax $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Stock Based Compensation $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Change in Working Capital $-4.71T $3.71T $-6.39T $-1.33T $1.50T $530.31B $-778.00B $-901.46B $-563.67B $-1.04T $1.32T $-9.21T $-5.11T $6.20T $785.09B $-911.63B $-5.70T $-4.98T $31.61B $-7.68T
Accounts Receivables $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Inventory $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Accounts Payables $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Other Working Capital $-4.71T $3.71T $-6.39T $-3.95T $688.20B $6.20T $-10.74T $-3.71T $-9.04T $-3.54T $1.32T $-9.21T $-5.39T $577.15B $-1.09T $-2.38T $-5.70T $-4.98T $31.61B $-7.68T
Other Non Cash Items $1.10T $-3.60T $-1.76T $688.03B $933.58B $-6.84T $6.91T $726.74B $-108.13B $359.09B $-1.22T $-1.26T $1.25T $1.62T $1.13T $988.61B $-289.11B $1.08T $577.17B $-1.38T
Net Cash Provided by Operating Activities $-2.99T $850.16B $-7.64T $-829.27B $2.35T $-6.53T $6.02T $-29.21B $-240.10B $-542.36B $1.05T $-8.48T $-3.35T $8.24T $2.51T $512.46B $-4.97T $-2.85T $1.27T $-8.04T
Investments in Property Plant and Equipment $-210.15B $-131.34B $-174.44B $-332.01B $-441.44B $-394.01B $-257.52B $-205.68B $-482.51B $215.03B $-107.90B $-57.76B $-1.13T $46.86B $-809.69B $-364.48B $-216.22B $-161.29B $-169.57B $-112.47B
Acquisitions Net $- $- $- $48.19B $12.25B $32.73B $21.23B $45.35B $-31.07B $64.93B $- $- $-5.98B $75.13B $44.83B $20.84B $- $6.33B $-1.35T $-
Purchases of Investments $- $- $- $-9.81T $-13.60T $-8.18T $-6.65T $-8.80T $-15.86T $-2.59T $- $- $-7.77T $-9.79T $-12.68T $-16.85T $-136.88B $- $- $-
Sales Maturities of Investments $- $- $- $7.26T $12.08T $7.60T $5.69T $8.64T $19.01T $4.01T $- $- $6.46T $10.48T $12.48T $12.70T $- $- $- $-
Other Investing Activities $-2.59T $1.14T $595.77B $15.10B $-80.30B $-101.43B $961.08B $135.95B $390.74B $85.23B $292.18B $-17.28T $14.78B $22.56B $22.79B $16.72B $-2.17T $-1.60T $-538.62B $-1.28T
Net Cash Used for Investing Activities $-2.80T $1.01T $421.33B $-6.10T $-2.31T $3.40T $-10.39T $-1.79T $-6.60T $-4.16T $184.28B $-17.34T $-8.84T $-4.23T $-4.87T $-5.11T $-2.38T $-1.75T $-2.05T $-1.39T
Debt Repayment $529.99B $-35.62B $347.67B $-754.53B $- $- $-349.00B $-586.20B $-2.23T $-4.69T $-689.56B $84.75B $550.61B $168.35B $-474.84B $584.95B $404.67B $55.97B $-377.95B $3.04T
Common Stock Issued $- $- $- $- $- $- $- $- $- $- $- $- $-18.00M $- $- $151.00M $- $- $- $-
Common Stock Repurchased $-55.00B $- $- $- $- $- $- $- $-15.14B $-6.00M $- $- $-29.75B $-10.00M $-3.00M $- $-136.88B $-292.75B $-1.39B $-
Dividends Paid $-190.26B $-141.46B $-141.38B $-255.09B $-255.01B $-255.02B $-255.03B $-1.48B $-1.89B $-2.50B $-109.93B $-299.94B $-300.26B $-300.06B $-299.44B $-331.08B $-331.82B $-332.74B $-332.26B $-333.43B
Other Financing Activities $2.62T $-2.00T $6.66T $7.77T $3.39T $143.69B $4.50T $5.49T $3.87T $4.70T $4.60T $6.29T $4.55T $-2.51T $1.61T $2.35T $7.71T $2.87T $3.38T $9.70T
Net Cash Used Provided by Financing Activities $2.90T $-2.18T $6.87T $6.76T $1.68T $2.46T $4.96T $4.49T $3.05T $9.42B $3.80T $6.07T $11.20T $-4.07T $2.83T $2.33T $7.64T $2.30T $2.67T $12.41T
Effect of Forex Changes on Cash $739.42B $176.35B $1.07T $135.34B $-1.50T $-135.24B $-724.83B $-383.67B $2.81T $1.27T $-3.77B $-483.75B $941.74B $334.31B $17.30B $3.37T $-5.27T $1.21T $-1.91T $7.04T
Net Change in Cash $-2.15T $-144.38B $727.98B $-29.54B $215.58B $-813.39B $-132.18B $2.29T $-981.05B $-3.43T $5.03T $-20.24T $750.41B $278.80B $481.60B $1.11T $-4.99T $-1.10T $-27.63B $10.02T
Cash at End of Period $17.00T $19.15T $19.30T $18.57T $18.60T $18.38T $19.20T $19.33T $17.03T $18.01T $21.44T $16.41T $36.64T $35.89T $35.61T $35.13T $34.03T $39.01T $40.11T $40.14T
Cash at Beginning of Period $19.15T $19.30T $18.57T $18.60T $18.38T $19.20T $19.33T $17.03T $18.01T $21.44T $16.41T $36.64T $35.89T $35.61T $35.13T $34.03T $39.01T $40.11T $40.14T $30.12T
Operating Cash Flow $-2.99T $850.16B $-7.64T $-829.27B $2.35T $-6.53T $6.02T $-29.21B $-240.10B $-542.36B $1.05T $-8.48T $-3.35T $8.24T $2.51T $512.46B $-4.97T $-2.85T $1.27T $-8.04T
Capital Expenditure $-210.15B $-131.34B $-174.44B $-332.01B $-441.44B $-394.01B $-257.52B $-205.68B $-482.51B $215.03B $-107.90B $-57.76B $-1.13T $46.86B $-809.69B $-364.48B $-216.22B $-161.29B $-169.57B $-112.47B
Free Cash Flow $-3.20T $718.82B $-7.81T $-1.16T $1.91T $-6.92T $5.76T $-234.89B $-722.61B $-327.32B $942.75B $-8.54T $-4.48T $8.29T $1.70T $147.99B $-5.19T $-3.02T $1.10T $-8.15T

Grupo Aval Acciones y Valores S.A Dividends

Explore Grupo Aval Acciones y Valores S.A's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

6.86%

Dividend Payout Ratio

71.74%

Dividend Paid & Capex Coverage Ratio

-10.10x

Grupo Aval Acciones y Valores S.A Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$0.008876 $0.008876 April 11, 2025 April 11, 2025 April 17, 2025 April 01, 2025
$0.0094972 $0.0094972 February 28, 2025 February 28, 2025 March 10, 2025 October 07, 2024
$0.0094972 $0.0094972 January 31, 2025 January 31, 2025 February 10, 2025 October 07, 2024
$0.0094972 $0.0094972 December 31, 2024 December 31, 2024 January 09, 2025 October 07, 2024
$0.0094972 $0.0094972 November 29, 2024 November 29, 2024 December 09, 2024 October 07, 2024
$0.0094972 $0.0094972 October 31, 2024 October 31, 2024 November 08, 2024 October 07, 2024
$0.0105402 $0.0105402 September 30, 2024 September 30, 2024 October 09, 2024 April 05, 2024
$0.0105402 $0.0105402 August 30, 2024 August 30, 2024 September 09, 2024 April 05, 2024
$0.0105402 $0.0105402 July 31, 2024 July 31, 2024 August 09, 2024 April 05, 2024
$0.0106168 $0.0106168 July 01, 2024 July 01, 2024 July 10, 2024 April 04, 2024
$0.0106168 $0.0106168 June 03, 2024 June 03, 2024 June 11, 2024 April 04, 2024
$0.0106168 $0.0106168 April 30, 2024 May 01, 2024 May 09, 2024 April 04, 2024
$0.0102258 $0.0102258 March 28, 2024 April 01, 2024 April 08, 2024 March 22, 2024
$0.0184012 $0.0184012 February 28, 2024 February 29, 2024 March 13, 2024 September 19, 2023
$0.0184012 $0.0184012 January 30, 2024 January 31, 2024 February 08, 2024 September 19, 2023
$0.0184012 $0.0184012 December 28, 2023 December 29, 2023 January 09, 2024 September 19, 2023
$0.0184012 $0.0184012 November 29, 2023 November 30, 2023 December 08, 2023 September 19, 2023
$0.0184012 $0.0184012 October 30, 2023 October 31, 2023 November 08, 2023 September 19, 2023
$0.018 $0.018 September 28, 2023 September 29, 2023 October 10, 2023 September 19, 2023
$0.0160632 $0.0160632 August 30, 2023 August 31, 2023 September 11, 2023 April 18, 2023

Grupo Aval Acciones y Valores S.A News

Read the latest news about Grupo Aval Acciones y Valores S.A, including recent articles, headlines, and updates.

Grupo Aval's Q4: Valuation Expanded Significantly (Rating Downgrade)

AVAL's stock valuation has expanded due to a rising share price and decreasing book value post-Q4 earnings. The current price-to-book value of 0.86x aligns with the five-year historical average, but its low ROAE of 6% does not justify it. The company's outlook remains attractive due to expected economic growth and lower inflation in 2025, which could increase loan originations.

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Grupo Aval Acciones y Valores S.A. (AVAL) Q4 2024 Earnings Call Transcript

Grupo Aval Acciones y Valores S.A. (NYSE:AVAL ) Q4 2024 Earnings Conference Call February 19, 2025 9:00 AM ET Company Participants Maria Lorena Gutierrez Botero - Chief Executive Officer Paula Duran - Corporate Vice President of Sustainability and Strategic Projects Camilo Perez Alvarez - Banco de Bogota's Chief Economist Diego Fernando Solano Saravia - Chief Financial Officer Conference Call Participants Brian Flores - Citigroup Nicolas Riva - BofA Securities Carlos Gomez-Lopez - HSBC Daniel Mora - CrediCorp Capital Julian Ausique Chacon - Davivienda Corredores Operator Welcome to Grupo Aval's Fourth Quarter 2024 Consolidated Results Conference Call.

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Grupo Aval: Improving Financials With The Stock Price Not Reacting

Grupo Aval's net income growth is driven by a lower-risk environment due to lower provisions that affected the company in 2023. Fiscal imbalances in LATAM could weigh on AVAL's stock price, but fundamental improvements present near-term opportunities. Despite historical stock declines and trading below book value, Aval shows strong financial recovery and cyclical opportunities, making it a buy.

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Grupo Aval Acciones y Valores SA (AVAL) Q3 2024 Earnings Conference Call Transcript

Grupo Aval Acciones y Valores SA (NYSE:AVAL ) Q3 2024 Earnings Conference Call November 14, 2024 9:00 AM ET Company Participants Maria Gutierrez Botero - CEO Paula Duran - Corporate VP of Sustainability and Strategic Projects Camilo Perez - Banco de Bogota's Chief Economist Diego Solano - CFO Conference Call Participants Brian Flores - Citi Daniel Mora - Credicorp Capital Marlon Medina - J.P. Morgan Julian Ausique - Davivienda Operator Welcome to Grupo Aval's Third Quarter 2024 Consolidated Results Conference Call.

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Is Grupo Aval Acciones y Valores (AVAL) Stock Undervalued Right Now?

Here at Zacks, our focus is on the proven Zacks Rank system, which emphasizes earnings estimates and estimate revisions to find great stocks. Nevertheless, we are always paying attention to the latest value, growth, and momentum trends to underscore strong picks.

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Profit for Colombia's Grupo Aval jumps six fold in third-quarter

Colombian financial conglomerate Grupo Aval reported on Wednesday a more than six-fold increase in its third-quarter net profit, climbing to 415.7 billion Colombian pesos ($94.18 million).

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Should Value Investors Buy Grupo Aval Acciones y Valores (AVAL) Stock?

Here at Zacks, our focus is on the proven Zacks Rank system, which emphasizes earnings estimates and estimate revisions to find great stocks. Nevertheless, we are always paying attention to the latest value, growth, and momentum trends to underscore strong picks.

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Grupo Aval: Still On The Right Track To Recover

Grupo Aval is poised for recovery due to Colombia's improving macroeconomic conditions, interest rate cuts, and a declining inflation rate. The Colombian economy shows signs of recovery with GDP growth, increased domestic demand, and investment, which should benefit Grupo Aval's profitability. Grupo Aval's net interest margin is expected to expand as rate cuts reduce funding costs, with management optimistic about future loan growth.

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Grupo Aval Acciones y Valores SA (AVAL) Q1 2024 Earnings Call Transcript

Grupo Aval Acciones y Valores SA (NYSE:AVAL ) Q1 2024 Earnings Conference Call May 15, 2024 10:00 AM ET Company Participants Maria Lorena Gutierrez Botero – Chief Executive Officer Diego Fernando Solano Saravia – Chief Financial Officer Conference Call Participants Nicolas Riva – Bank of America Julián Ausique – Davivienda Corredores Operator Welcome to Grupo Aval's First Quarter 2024 Consolidated Results Conference Call. My name is Regina and I will be your operator for today's call.

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Grupo Aval Announces the Filing of Its Form 20-F for the Year Ended December 31, 2023

BOGOTÁ, Colombia--(BUSINESS WIRE)--Grupo Aval Acciones y Valores S.A. (“Grupo Aval” or the “Company”) (NYSE: AVAL; BVC: Voting Shares: GRUPOAVAL, Non-Voting Shares: PFAVAL), announces the filing of its Form 20-F for the year ended December 31, 2023, with the Securities and Exchange Commission (the “SEC”). Grupo Aval's Form 20-F can be accessed by visiting either the SEC's website at www.sec.gov or the Investor Relations section of the Company's website at www.grupoaval.com. In addition, shareho.

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Grupo Aval Acciones y Valores S.A. (AVAL) Q4 2023 Earnings Call Transcript

Grupo Aval Acciones y Valores S.A. (NYSE:AVAL ) Q4 2023 Results Conference Call March 5, 2024 9:00 AM ET Company Participants Luis Carlos Sarmiento Gutierrez - Chief Executive Officer Diego Fernando Solano Saravia - Chief Financial Officer Conference Call Participants Julián Ausique - Corredores Daniel Mora - Credicorp Capital Alonso Arambaru - BTG Operator Welcome to Grupo Aval's 4Q 2023 Consolidated Results Conference call.

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Colombia's Grupo Aval reports Q4 profit, despite fall in interest income

Colombian financial conglomerate Grupo Aval posted a year-over-year rise in net profit in the fourth quarter, a securities filing showed on Tuesday, as their investment portfolio experienced positive returns in line with positive financial markets performance.

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Grupo Aval Acciones y Valores S.A. (AVAL) Q3 2023 Earnings Call Transcript

Grupo Aval Acciones y Valores S.A. (AVAL) Q3 2023 Earnings Call Transcript

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Grupo Aval Acciones y Valores S.A. (AVAL) Q2 2023 Earnings Call Transcript

Grupo Aval Acciones y Valores S.A. (NYSE:AVAL ) Q2 2023 Results Conference Call August 17, 2023 10:00 AM ET Company Participants Luis Carlos Sarmiento Gutierrez - Chief Executive Officer Diego Fernando Solano Saravia - Chief Financial Officer Conference Call Participants Nicolas Riva - Bank of America Yuri Fernandes - JPMorgan Operator Welcome to Grupo Aval's Second Quarter 2023 Consolidated Results Conference Call.

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Colombia's Grupo Aval cuts 2023 loan forecast after 'exorbitant costs'

Colombian financial conglomerate Grupo Aval on Thursday cut its 2023 loan growth forecast and hiked its cost of risk estimate, a day after it posted a 75% quarterly profit slump as costs of funds rose for its banking subsidiaries.

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Colombia's Grupo Aval posts 75% fall in profit as bank margins fall

Colombian financial conglomerate Grupo Aval reported a 75.4% year-over-year fall in net profit in the second quarter, according to a securities filing on Wednesday, despite a strong boost in interest income.

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Colombian conglomerate Grupo Aval, subsidiary settle charges of violating US law

Colombian conglomerate Grupo Aval and its bank subsidiary will pay over $80 million to settle charges of violating anti-corruption laws, U.S. authorities said on Thursday.

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Colombian Conglomerate Grupo Aval and Its Bank Subsidiary to Pay $40 Million to Settle FCPA Violations

Washington D.C.--(Newsfile Corp. - August 10, 2023) - The Securities and Exchange Commission today charged Colombian conglomerate Grupo Aval Acciones y Valores S.A.

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Grupo Aval anuncia la presentación de su formulario 20-F para el año finalizado el 31 de diciembre de 2022

BOGOTÁ, Colombia--(BUSINESS WIRE)--Grupo Aval Acciones y Valores S.A. (“Grupo Aval” o la “Compañía”) (NYSE: AVAL; BVC: acciones con voto: GRUPOAVAL, acciones sin voto: PFAVAL) anuncia la presentación de su formulario 20-F para el año finalizado el 31 de diciembre de 2022 ante la Comisión de Valores y Bolsa (“SEC”). Para acceder al formulario 20-F del Grupo Aval, se puede visitar el sitio web de la SEC, www.sec.gov, o la sección Relaciones con los inversores del sitio web de la Compañía, www.grupoaval.com. Además, los accionistas pueden recibir una copia en papel de los estados financieros auditados de la Compañía bajo NIIF presentados en nuestro formulario 20-F, o bien un formulario 20-F de 2022 completo, incluidos los estados financieros auditados de la Compañía bajo NIIF, sin cargo, si solicitan una copia al equipo de relaciones con los inversores. El texto original en el idioma fuente de este comunicado es la versión oficial autorizada. Las traducciones solo se suministran como adaptación y deben cotejarse con el texto en el idioma fuente, que es la única versión del texto que tendrá un efecto legal.

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Grupo Aval anuncia apresentação de seu Formulário 20-F para o ano concluído em 31 de dezembro de 2022

BOGOTÁ, Colômbia--(BUSINESS WIRE)--O Grupo Aval Acciones y Valores S.A. ("Grupo Aval" ou a "Empresa") (NYSE: AVAL; BVC: Ações com direito a voto: GRUPOAVAL, Ações sem direito a voto: PFAVAL), anunciou a apresentação de seu Formulário 20-F para o ano concluído em 31 de dezembro de 2022, junto à Comissão de Valores Mobiliários (Securities and Exchange Commission - SEC). O Formulário 20-F do Grupo Aval pode ser acessado ao acessar o site da SEC em www.sec.gov ou na seção de Relações com Investidores do site da Empresa em www.grupoaval.com. Além disto, os acionistas podem receber uma cópia impressa das demonstrações financeiras auditadas da Empresa em IFRS apresentadas em nosso Formulário 20-F, ou um Formulário 20-F 2022 completo, incluindo demonstrações financeiras auditadas em IFRS, gratuitamente, ao solicitar uma cópia à equipe de Relações com Investidores. O texto no idioma original deste anúncio é a versão oficial autorizada. As traduções são fornecidas apenas como uma facilidade e devem se referir ao texto no idioma original, que é a única versão do texto que tem efeito legal.

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Grupo Aval Announces the Filing of Its Form 20-F for the Year Ended December 31, 2022

BOGOTÁ, Colombia--(BUSINESS WIRE)--Grupo Aval Acciones y Valores S.A. (“Grupo Aval” or the “Company”) (NYSE: AVAL; BVC: Voting Shares: GRUPOAVAL, Non-Voting Shares: PFAVAL), announces the filing of its Form 20-F for the year ended December 31, 2022, with the Securities and Exchange Commission (the “SEC”). Grupo Aval’s Form 20-F can be accessed by visiting either the SEC’s website at www.sec.gov or the Investor Relations section of the Company’s website at www.grupoaval.com. In addition, shareholders may receive a hard copy of the Company’s audited financial statements under IFRS presented in our Form 20-F, or a complete 2022 Form 20-F including audited financial statements under IFRS, free of charge, by requesting a copy from the investors relations team.

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Grupo Aval Acciones y Valores S.A. (AVAL) Q4 2022 Earnings Call Transcript

Grupo Aval Acciones y Valores S.A. (NYSE:AVAL ) Q4 2022 Earnings Conference Call March 6, 2023 9:00 AM ET Company Participants Luis Carlos Sarmiento Gutierrez - CEO Diego Fernando Solano Saravia - CFO Conference Call Participants Yuri Fernandes - JPMorgan Juan Recalde - Scotiabank Operator Welcome to Grupo Aval's Fourth Quarter 2022 Consolidated Results Conference Call.

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Grupo Aval Acciones y Valores S.A. (AVAL) Q3 2022 Earnings Call Transcript

Grupo Aval Acciones y Valores S.A. (NYSE:AVAL ) Q3 2022 Earnings Conference Call November 17, 2022 9:00 AM ET Company Participants Luis Carlos Sarmiento Gutierrez - Chief Executive Officer Diego Fernando Solano Saravia - Chief Financial Officer Conference Call Participants Nicolas Riva - Bank of America Yuri Fernandes - JPMorgan Julian Ausique - Davivienda José Cuenca - Citigroup Daniel Mora - Credicorp Capital Operator Welcome to the Third Quarter 2022 Consolidated Results under IFRS Conference Call.

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Buying Grupo Aval Post Q3 Earnings

Colombia may experience more challenging times in 2023. Shares in Colombian banking companies like Grupo Aval are undervalued.

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7 Penny Stocks That Could Turn $3 Into $30 (or More) by 2027

While these penny stocks to buy do hold significant dangers because of their speculative nature, this market segment can occasionally deliver massive gains. Therefore, if you have your bases covered, it might not be the most terrible idea to have some exposure to high-risk, high-reward endeavors, so long as you're doing it with money you can afford to lose.

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Grupo Aval Hostage To Macro And Politics Despite Strong Execution

Grupo Aval is a Colombian financial conglomerate with both commercial banking and higher return asset management and real economy exposure. A recent spin-off of its Central American business has left the company more exposed to Colombia, but also to higher return businesses.

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Grupo Aval Acciones y Valores S.A. (AVAL) CEO Luis Carlos Sarmiento Gutierrez on Q2 2022 Results - Earnings Call Transcript

Grupo Aval Acciones y Valores S.A. (NYSE:AVAL ) Q2 2022 Earnings Conference Call August 11, 2022 10:00 AM ET Company Participants Luis Carlos Sarmiento Gutierrez - Chief Executive Officer Diego Fernando Solano Saravia - Chief Financial Officer Operator Welcome to Grupo Aval Second Quarter 2022 Consolidated Results Conference Call.

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Down 19.3% in 4 Weeks, Here's Why Grupo Aval Acciones y Valores S.A. (AVAL) Looks Ripe for a Turnaround

Grupo Aval Acciones y Valores S.A. (AVAL) has become technically an oversold stock now, which implies exhaustion of the heavy selling pressure on it.

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Grupo Aval Acciones y Valores S.A. (AVAL) CEO Luis Carlos Sarmiento Gutierrez on Q1 2022 Results - Earnings Call Transcript

Grupo Aval Acciones y Valores S.A. (NYSE:AVAL ) Q1 2022 Earnings Conference Call May 19, 2022 10:00 AM ET Company Participants Luis Carlos Sarmiento Gutierrez - Chief Executive Officer Diego Solano Saravia - Chief Financial Officer Conference Call Participants Nicolas Riva - Bank of America Jason Mollin - Scotiabank Julian Ausique - Davivienda Corredores Alonso Aramburu - BTG Pactual Luis Carlos Sarmiento Gutierrez Good morning and thank you all for joining our First Quarter 2022 Conference Call.

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Grupo Aval Announces the Filing of Its Form 20-F for the Year Ended December 31, 2021

BOGOTÁ, Colombia--(BUSINESS WIRE)--Grupo Aval Acciones y Valores S.A. (“Grupo Aval” or the “Company”) (NYSE: AVAL; BVC: Voting Shares: GRUPOAVAL, Non-Voting Shares: PFAVAL), announces the filing of its Form 20-F for the year ended December 31, 2021, with the Securities and Exchange Commission (the “SEC”). Grupo Aval’s Form 20-F can be accessed by visiting either the SEC’s website at www.sec.gov or the Investor Relations section of the Company’s website at www.grupoaval.com. In addition, shareholders may receive a hard copy of the Company’s audited financial statements under IFRS presented in Form 20-F, or a complete 2021 Form 20-F including audited financial statements under IFRS, free of charge, by requesting a copy from the Investors Relations team.

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