US Stock MarketDetailed Quotes

AVAL Grupo Aval

Watchlist
  • 2.130
  • +0.010+0.47%
Close Aug 16 16:00 ET
  • 2.130
  • 0.0000.00%
Post 20:02 ET
2.53BMarket Cap21.73P/E (TTM)

Grupo Aval Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold
0.52%19.3T
13.17%18.57T
9.19%18.6T
9.19%18.6T
2.05%18.38T
-10.47%19.2T
0.00%16.41T
-53.52%17.03T
-53.52%17.03T
-49.81%18.01T
-Cash and cash equivalents
0.52%19.3T
13.17%18.57T
9.32%17.38T
9.32%17.38T
2.05%18.38T
-10.47%19.2T
0.00%16.41T
-55.38%15.9T
-55.38%15.9T
-49.81%18.01T
-Restricted cash and investments
----
----
7.36%1.22T
7.36%1.22T
----
----
----
11.60%1.14T
11.60%1.14T
----
Receivables
14.06%30.3T
43.10%29.44T
12.12%28.21T
12.12%28.21T
13.74%26.87T
19.95%26.56T
0.00%20.57T
26.64%25.16T
26.64%25.16T
27.64%23.62T
-Accounts receivable
10.85%26.83T
35.00%26.44T
----
----
10.96%24.57T
16.35%24.2T
0.00%19.59T
----
----
25.57%22.14T
-Other receivables
46.96%3.47T
204.35%2.99T
12.12%28.21T
12.12%28.21T
55.38%2.3T
75.60%2.36T
0.00%983.7B
26.64%25.16T
26.64%25.16T
69.62%1.48T
Net loan
3.43%184.02T
15.85%178.47T
-1.65%176.17T
-1.65%176.17T
6.00%178.45T
11.44%177.91T
0.00%154.05T
-18.69%179.12T
-18.69%179.12T
-20.11%168.34T
-Gross loan
3.87%194.6T
16.05%189.03T
-1.12%186.2T
-1.12%186.2T
6.18%188.29T
11.12%187.35T
0.00%162.88T
-18.68%188.31T
-18.68%188.31T
-20.08%177.34T
-Allowance for loans and lease losses
12.17%10.58T
19.64%10.56T
9.11%10.04T
9.11%10.04T
9.47%9.84T
5.52%9.44T
0.00%8.82T
-18.43%9.2T
-18.43%9.2T
-19.37%8.99T
Securities and investments
19.26%52.68T
26.61%50.71T
9.95%47.8T
9.95%47.8T
8.03%44.91T
8.55%44.17T
-0.00%40.05T
-20.21%43.47T
-20.21%43.47T
-21.51%41.57T
-Trading securities
----
----
36.46%13.37T
36.46%13.37T
----
----
--8.5T
-0.24%9.8T
-0.24%9.8T
----
-Available for sale securities
21.66%25.65T
221.13%24.36T
2.23%34.43T
2.23%34.43T
12.93%20.99T
19.89%21.08T
-52.85%7.59T
-24.61%33.67T
-24.61%33.67T
17.98%18.58T
-Short term investments
17.07%27.03T
9.95%26.35T
----
----
4.08%23.93T
-0.08%23.09T
0.00%23.96T
----
----
-38.22%22.99T
Long term equity investment
2.57%1.24T
-74.20%1.12T
-9.32%1.29T
-9.32%1.29T
-77.24%1.25T
-75.19%1.21T
0.00%4.36T
21.36%1.42T
21.36%1.42T
410.09%5.49T
Derivative assets
-40.99%1.17T
-7.41%1.29T
3.10%2.13T
3.10%2.13T
-30.07%1.77T
2.49%1.98T
0.00%1.4T
70.84%2.06T
70.84%2.06T
242.71%2.53T
Net PPE
0.41%5.96T
-1.47%5.87T
-4.61%5.86T
-4.61%5.86T
-2.67%5.86T
-0.28%5.94T
0.00%5.96T
-24.11%6.14T
-24.11%6.14T
-23.81%6.02T
-Gross PPE
0.41%5.96T
-1.47%5.87T
-1.65%9.49T
-1.65%9.49T
-2.67%5.86T
-0.28%5.94T
0.00%5.96T
-27.27%9.65T
-27.27%9.65T
-23.81%6.02T
-Accumulated depreciation
----
----
-3.51%-3.63T
-3.51%-3.63T
----
----
----
32.22%-3.51T
32.22%-3.51T
----
Assets held for sale
-21.36%92.4B
-29.96%103.1B
9.00%101.18B
9.00%101.18B
-31.54%94.2B
-18.91%117.5B
0.00%147.2B
-55.46%92.83B
-55.46%92.83B
-4.64%137.6B
Goodwill and other intangible assets
3.77%18.63T
19.52%18.22T
3.48%18.14T
3.48%18.14T
7.48%18.04T
11.93%17.95T
0.00%15.25T
-18.35%17.53T
-18.35%17.53T
-18.40%16.79T
-Goodwill
-0.05%2.21T
-0.79%2.2T
-2.05%2.2T
-2.05%2.2T
-1.79%2.21T
-0.88%2.22T
0.00%2.22T
-73.51%2.25T
-73.51%2.25T
-72.96%2.25T
-Other intangible assets
4.30%16.41T
22.98%16.02T
4.30%15.94T
4.30%15.94T
8.91%15.83T
14.01%15.73T
0.00%13.03T
17.70%15.28T
17.70%15.28T
18.69%14.54T
Other assets
1.11%1.72T
10.74%1.69T
-5.85%1.6T
-5.85%1.6T
2.59%1.69T
5.10%1.7T
0.01%1.53T
0.82%1.7T
0.82%1.7T
0.90%1.65T
Total assets
6.22%316.62T
17.53%306.89T
1.89%301.18T
1.89%301.18T
4.49%298.73T
7.95%298.06T
0.00%261.12T
-19.44%295.59T
-19.44%295.59T
-18.71%285.9T
Liabilities
Total deposits
10.05%198.37T
23.90%189.21T
4.99%181.99T
4.99%181.99T
8.26%180.3T
12.63%180.24T
0.00%152.71T
-26.07%173.34T
-26.07%173.34T
-26.04%166.53T
Payables
-33.28%79.2B
27.24%312.5B
27.63%5.22T
27.63%5.22T
17.89%223.4B
8.90%118.7B
0.00%245.6B
-19.26%4.09T
-19.26%4.09T
-32.15%189.5B
-Accounts payable
----
----
23.91%3.47T
23.91%3.47T
----
----
----
-13.15%2.8T
-13.15%2.8T
----
-Total tax payable
-33.28%79.2B
27.24%312.5B
15.29%1.1T
15.29%1.1T
17.89%223.4B
8.90%118.7B
0.00%245.6B
-12.29%953.15B
-12.29%953.15B
-32.15%189.5B
-Dividends payable
----
----
139.11%527.98B
139.11%527.98B
----
----
----
-63.11%220.82B
-63.11%220.82B
----
-Other payable
----
----
5.66%117.37B
5.66%117.37B
----
----
----
-26.08%111.08B
-26.08%111.08B
----
Trading liabilities
-26.04%1.38T
-12.30%1.19T
----
----
--1.26T
--1.86T
0.00%1.36T
----
----
----
Long term provisions
-3.15%995.7B
-4.69%1.05T
-11.73%1.08T
-11.73%1.08T
-9.18%985.8B
-4.45%1.03T
0.00%1.1T
6.69%1.23T
6.69%1.23T
21.77%1.09T
Long term debt and capital lease obligation
-2.08%65.53T
5.27%66.09T
-9.12%65.54T
-9.12%65.54T
-2.62%68.48T
-2.52%66.92T
0.00%62.78T
-1.59%72.12T
-1.59%72.12T
-0.10%70.32T
-Long term debt
-2.08%65.53T
5.27%66.09T
-9.12%65.54T
-9.12%65.54T
-2.62%68.48T
-2.52%66.92T
0.00%62.78T
-1.59%72.12T
-1.59%72.12T
-0.10%70.32T
Non current deferred liabilities
4.16%5.69T
34.76%5.64T
8.94%6.08T
8.94%6.08T
14.23%5.44T
20.69%5.46T
0.00%4.19T
14.30%5.58T
14.30%5.58T
14.00%4.76T
Employee benefits
7.42%904.9B
-2.50%926.8B
2.00%907.81B
2.00%907.81B
-0.83%967.9B
-0.46%842.4B
0.00%950.6B
-23.48%890.02B
-23.48%890.02B
-27.97%976B
Derivative product liabilities
648.31%66.6B
204.18%160B
34.68%2.37T
34.68%2.37T
-94.96%116B
-99.53%8.9B
0.00%52.6B
59.28%1.76T
59.28%1.76T
4,519.88%2.3T
Other liabilities
10.35%11.93T
38.00%11.24T
12.28%6.47T
12.28%6.47T
18.86%10.21T
22.55%10.82T
0.00%8.14T
-8.71%5.77T
-8.71%5.77T
-16.10%8.59T
Total liabilities
6.60%284.94T
19.13%275.82T
1.85%269.66T
1.85%269.66T
5.19%267.98T
8.68%267.3T
0.00%231.52T
-19.14%264.77T
-19.14%264.77T
-18.69%254.76T
Shareholders'equity
Share capital
----
----
0.00%23.74B
0.00%23.74B
----
----
----
6.57%23.74B
6.57%23.74B
----
-common stock
----
----
0.00%23.74B
0.00%23.74B
----
----
----
6.57%23.74B
6.57%23.74B
----
Paid-in capital
----
----
0.00%9.57T
0.00%9.57T
----
----
----
12.73%9.57T
12.73%9.57T
----
Retained earnings
----
----
-3.57%7.73T
-3.57%7.73T
----
----
----
-40.09%8.02T
-40.09%8.02T
----
Gains losses not affecting retained earnings
----
----
52.53%-544.22B
52.53%-544.22B
----
----
----
-202.63%-1.15T
-202.63%-1.15T
----
Total stockholders'equity
1.55%16.72T
1.37%16.45T
1.92%16.78T
1.92%16.78T
-2.30%16.38T
0.28%16.47T
0.00%16.23T
-28.45%16.47T
-28.45%16.47T
-24.94%16.77T
Non controlling interests
4.64%14.96T
9.38%14.62T
2.67%14.74T
2.67%14.74T
0.01%14.37T
4.13%14.3T
0.00%13.37T
-12.78%14.35T
-12.78%14.35T
-10.52%14.37T
Total equity
2.98%31.68T
4.98%31.08T
2.27%31.52T
2.27%31.52T
-1.23%30.75T
2.03%30.76T
0.00%29.6T
-21.91%30.82T
-21.91%30.82T
-18.91%31.14T
Currency Unit
COP
COP
COP
COP
COP
COP
COP
COP
COP
COP
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold 0.52%19.3T13.17%18.57T9.19%18.6T9.19%18.6T2.05%18.38T-10.47%19.2T0.00%16.41T-53.52%17.03T-53.52%17.03T-49.81%18.01T
-Cash and cash equivalents 0.52%19.3T13.17%18.57T9.32%17.38T9.32%17.38T2.05%18.38T-10.47%19.2T0.00%16.41T-55.38%15.9T-55.38%15.9T-49.81%18.01T
-Restricted cash and investments --------7.36%1.22T7.36%1.22T------------11.60%1.14T11.60%1.14T----
Receivables 14.06%30.3T43.10%29.44T12.12%28.21T12.12%28.21T13.74%26.87T19.95%26.56T0.00%20.57T26.64%25.16T26.64%25.16T27.64%23.62T
-Accounts receivable 10.85%26.83T35.00%26.44T--------10.96%24.57T16.35%24.2T0.00%19.59T--------25.57%22.14T
-Other receivables 46.96%3.47T204.35%2.99T12.12%28.21T12.12%28.21T55.38%2.3T75.60%2.36T0.00%983.7B26.64%25.16T26.64%25.16T69.62%1.48T
Net loan 3.43%184.02T15.85%178.47T-1.65%176.17T-1.65%176.17T6.00%178.45T11.44%177.91T0.00%154.05T-18.69%179.12T-18.69%179.12T-20.11%168.34T
-Gross loan 3.87%194.6T16.05%189.03T-1.12%186.2T-1.12%186.2T6.18%188.29T11.12%187.35T0.00%162.88T-18.68%188.31T-18.68%188.31T-20.08%177.34T
-Allowance for loans and lease losses 12.17%10.58T19.64%10.56T9.11%10.04T9.11%10.04T9.47%9.84T5.52%9.44T0.00%8.82T-18.43%9.2T-18.43%9.2T-19.37%8.99T
Securities and investments 19.26%52.68T26.61%50.71T9.95%47.8T9.95%47.8T8.03%44.91T8.55%44.17T-0.00%40.05T-20.21%43.47T-20.21%43.47T-21.51%41.57T
-Trading securities --------36.46%13.37T36.46%13.37T----------8.5T-0.24%9.8T-0.24%9.8T----
-Available for sale securities 21.66%25.65T221.13%24.36T2.23%34.43T2.23%34.43T12.93%20.99T19.89%21.08T-52.85%7.59T-24.61%33.67T-24.61%33.67T17.98%18.58T
-Short term investments 17.07%27.03T9.95%26.35T--------4.08%23.93T-0.08%23.09T0.00%23.96T---------38.22%22.99T
Long term equity investment 2.57%1.24T-74.20%1.12T-9.32%1.29T-9.32%1.29T-77.24%1.25T-75.19%1.21T0.00%4.36T21.36%1.42T21.36%1.42T410.09%5.49T
Derivative assets -40.99%1.17T-7.41%1.29T3.10%2.13T3.10%2.13T-30.07%1.77T2.49%1.98T0.00%1.4T70.84%2.06T70.84%2.06T242.71%2.53T
Net PPE 0.41%5.96T-1.47%5.87T-4.61%5.86T-4.61%5.86T-2.67%5.86T-0.28%5.94T0.00%5.96T-24.11%6.14T-24.11%6.14T-23.81%6.02T
-Gross PPE 0.41%5.96T-1.47%5.87T-1.65%9.49T-1.65%9.49T-2.67%5.86T-0.28%5.94T0.00%5.96T-27.27%9.65T-27.27%9.65T-23.81%6.02T
-Accumulated depreciation ---------3.51%-3.63T-3.51%-3.63T------------32.22%-3.51T32.22%-3.51T----
Assets held for sale -21.36%92.4B-29.96%103.1B9.00%101.18B9.00%101.18B-31.54%94.2B-18.91%117.5B0.00%147.2B-55.46%92.83B-55.46%92.83B-4.64%137.6B
Goodwill and other intangible assets 3.77%18.63T19.52%18.22T3.48%18.14T3.48%18.14T7.48%18.04T11.93%17.95T0.00%15.25T-18.35%17.53T-18.35%17.53T-18.40%16.79T
-Goodwill -0.05%2.21T-0.79%2.2T-2.05%2.2T-2.05%2.2T-1.79%2.21T-0.88%2.22T0.00%2.22T-73.51%2.25T-73.51%2.25T-72.96%2.25T
-Other intangible assets 4.30%16.41T22.98%16.02T4.30%15.94T4.30%15.94T8.91%15.83T14.01%15.73T0.00%13.03T17.70%15.28T17.70%15.28T18.69%14.54T
Other assets 1.11%1.72T10.74%1.69T-5.85%1.6T-5.85%1.6T2.59%1.69T5.10%1.7T0.01%1.53T0.82%1.7T0.82%1.7T0.90%1.65T
Total assets 6.22%316.62T17.53%306.89T1.89%301.18T1.89%301.18T4.49%298.73T7.95%298.06T0.00%261.12T-19.44%295.59T-19.44%295.59T-18.71%285.9T
Liabilities
Total deposits 10.05%198.37T23.90%189.21T4.99%181.99T4.99%181.99T8.26%180.3T12.63%180.24T0.00%152.71T-26.07%173.34T-26.07%173.34T-26.04%166.53T
Payables -33.28%79.2B27.24%312.5B27.63%5.22T27.63%5.22T17.89%223.4B8.90%118.7B0.00%245.6B-19.26%4.09T-19.26%4.09T-32.15%189.5B
-Accounts payable --------23.91%3.47T23.91%3.47T-------------13.15%2.8T-13.15%2.8T----
-Total tax payable -33.28%79.2B27.24%312.5B15.29%1.1T15.29%1.1T17.89%223.4B8.90%118.7B0.00%245.6B-12.29%953.15B-12.29%953.15B-32.15%189.5B
-Dividends payable --------139.11%527.98B139.11%527.98B-------------63.11%220.82B-63.11%220.82B----
-Other payable --------5.66%117.37B5.66%117.37B-------------26.08%111.08B-26.08%111.08B----
Trading liabilities -26.04%1.38T-12.30%1.19T----------1.26T--1.86T0.00%1.36T------------
Long term provisions -3.15%995.7B-4.69%1.05T-11.73%1.08T-11.73%1.08T-9.18%985.8B-4.45%1.03T0.00%1.1T6.69%1.23T6.69%1.23T21.77%1.09T
Long term debt and capital lease obligation -2.08%65.53T5.27%66.09T-9.12%65.54T-9.12%65.54T-2.62%68.48T-2.52%66.92T0.00%62.78T-1.59%72.12T-1.59%72.12T-0.10%70.32T
-Long term debt -2.08%65.53T5.27%66.09T-9.12%65.54T-9.12%65.54T-2.62%68.48T-2.52%66.92T0.00%62.78T-1.59%72.12T-1.59%72.12T-0.10%70.32T
Non current deferred liabilities 4.16%5.69T34.76%5.64T8.94%6.08T8.94%6.08T14.23%5.44T20.69%5.46T0.00%4.19T14.30%5.58T14.30%5.58T14.00%4.76T
Employee benefits 7.42%904.9B-2.50%926.8B2.00%907.81B2.00%907.81B-0.83%967.9B-0.46%842.4B0.00%950.6B-23.48%890.02B-23.48%890.02B-27.97%976B
Derivative product liabilities 648.31%66.6B204.18%160B34.68%2.37T34.68%2.37T-94.96%116B-99.53%8.9B0.00%52.6B59.28%1.76T59.28%1.76T4,519.88%2.3T
Other liabilities 10.35%11.93T38.00%11.24T12.28%6.47T12.28%6.47T18.86%10.21T22.55%10.82T0.00%8.14T-8.71%5.77T-8.71%5.77T-16.10%8.59T
Total liabilities 6.60%284.94T19.13%275.82T1.85%269.66T1.85%269.66T5.19%267.98T8.68%267.3T0.00%231.52T-19.14%264.77T-19.14%264.77T-18.69%254.76T
Shareholders'equity
Share capital --------0.00%23.74B0.00%23.74B------------6.57%23.74B6.57%23.74B----
-common stock --------0.00%23.74B0.00%23.74B------------6.57%23.74B6.57%23.74B----
Paid-in capital --------0.00%9.57T0.00%9.57T------------12.73%9.57T12.73%9.57T----
Retained earnings ---------3.57%7.73T-3.57%7.73T-------------40.09%8.02T-40.09%8.02T----
Gains losses not affecting retained earnings --------52.53%-544.22B52.53%-544.22B-------------202.63%-1.15T-202.63%-1.15T----
Total stockholders'equity 1.55%16.72T1.37%16.45T1.92%16.78T1.92%16.78T-2.30%16.38T0.28%16.47T0.00%16.23T-28.45%16.47T-28.45%16.47T-24.94%16.77T
Non controlling interests 4.64%14.96T9.38%14.62T2.67%14.74T2.67%14.74T0.01%14.37T4.13%14.3T0.00%13.37T-12.78%14.35T-12.78%14.35T-10.52%14.37T
Total equity 2.98%31.68T4.98%31.08T2.27%31.52T2.27%31.52T-1.23%30.75T2.03%30.76T0.00%29.6T-21.91%30.82T-21.91%30.82T-18.91%31.14T
Currency Unit COPCOPCOPCOPCOPCOPCOPCOPCOPCOP
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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