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FINANCIAL OBLIGATIONS (Tables)
12 Months Ended
Dec. 31, 2024
Disclosure of deposits from financial obligations [abstract]  
Schedule of interbank borrowings, overnight funds and borrowings from banks and others

December 

December 

31, 2024

31, 2023

 

Local Currency

 

Interbank funds

 

Overnight funds

 

Ps.

41,570

Ps.

24,539

Interbank funds purchased

 

781,409

671,542

Commitments to transfer open and closed repo operations

 

9,898,971

3,746,752

Commitments to transfer simultaneous operations

 

5,648,747

9,158,585

Commitments originated in short positions simultaneous operations

 

1,093,006

1,093,314

Temporary securities transfer operations

2

Total interbank funds

 

Ps.

17,463,705

Ps.

14,694,732

Foreign currency

 

Interbank funds

 

Overnight funds

 

14,241

Commitments to transfer open and closed repo operations

 

1,046,064

372,947

Total interbank funds

 

Ps.

1,046,064

Ps.

387,188

Total interbank borrowings and overnight funds

Ps.

18,509,769

Ps.

15,081,920

Schedule of borrowings

c

December 

December 

31, 2024

31, 2023

Local Currency

Borrowings from banks and others

Borrowings

 

3,619,457

3,605,693

Leases contracts

1,794,416

1,793,568

Financiera de Desarrollo Territorial “FINDETER” (1)

2,518,426

2,194,515

Fondo para el Financiamiento del Sector Agropecuario - “FINAGRO” (1)

984,179

1,482,091

Banco de Comercio Exterior - “BANCOLDEX” (1)

528,363

1,121,416

Overdrafts in bank checking account

305

13

Other financial obligations

 

9,457

237,129

Total borrowings from banks and others

 

Ps.

9,454,603

Ps.

10,434,425

Foreign currency

 

Borrowings from banks and others

Borrowings

 

14,014,948

12,077,906

Leases contracts

1,071,851

998,180

Andean Development Corporation (Corporación Andina de Fomento)

 

532,140

Banco de Comercio Exterior - “BANCOLDEX” (1)

6,333

15,111

Letters of credit

 

1,566,346

1,026,404

Bankers acceptances

 

1,451,938

2,479,567

Total borrowings from banks and others

 

Ps.

18,643,556

Ps.

16,597,168

Total borrowings from banks and others

 

Ps.

28,098,159

Ps.

27,031,593

(1)The Colombian Government has established certain credit programs for promoting the development of specific sectors of the economy, including foreign trade, agriculture, tourism, housing construction and other industries.

The amount of financial obligations with development entities as of December 31, 2024 is Ps. 4,037,301 and as of December 31, 2023 is Ps. 4,813,133.

Schedule of issued bonds

December

December

Issuer

Issue Date (*)

31, 2024

31, 2023

Maturity Date (*)

Interest Rate (*)

Local Currency

Banco Av. Villas S.A. (1)

23/02/2021

Ps.

87,020

Ps.

296,689

23/02/2026

CPI + 1.36%

Banco de Bogotá S.A. (2)

 

Between 24/09/2020 and 25/07/2024

 

1,088,630

791,579

 

Between 24/09/2025 and 25/07/2028

CPI + 1.16%; and Fix Between 4.75% and 10.45%

Banco de Occidente S.A. (3)

 

Between 09/08/2012 and 20/08/2020

 

1,876,405

2,121,344

 

Between 30/01/2025 and 14/12/2032

CPI + 2.37% to 4.65%

Corporación Financiera Colombiana S.A. (4)

 

Between 11/12/2012 and 19/12/2024

 

3,871,660

3,205,530

 

Between 23/01/2025 and 19/11/2045

CPI + 1.58% to 6.30%; IBR + 3.75% and Fix 3.77%

Banco Popular S.A. (5)

 

Between 12/10/2016 and 10/03/2022

 

1,370,950

2,002,987

 

Between 04/02/2025 and 10/03/2027

CPI + 2.58% to 4.13% and Fix Between 6.12% and 10.20%

Grupo Aval Acciones y Valores S.A. (6)

 

Between 24/11/2016 and 12/12/2024

 

1,177,903

1,136,702

 

Between 24/11/2026 and 28/06/2042

CPI + 3.69% to 6.16% and Fix 10.08%

Local Currency Total

 

Ps.

9,472,568

Ps.

9,554,831

Foreign Currency

 

Banco de Bogotá S.A. Under rule 144A.

 

Between 12/05/2016 and 24/03/2023

 

Ps.

7,720,126

Ps.

6,750,155

 

Between 12/05/2026 and 24/03/2033

Fix Between 4.38% to 6.25% and SOFR6 3.75%

MFH (7)

 

Between 04/02/2020 and 21/06/2024

 

1,596,005

1,377,782

 

Between 04/02/2025 and 28/12/2033

Fix Between 3.00% to 7.75%

Banco Bogotá and MFH Total

 

Ps.

9,316,131

Ps.

8,127,937

Grupo Aval Limited

 

4/02/2020

 

4,428,224

3,834,985

 

4/02/2030

Fix 4.38%

Promigas S.A. and Gases del Pacífico S.A.C. Under rule 144A.

Between 16/10/2019 and 22/10/2020

2,207,133

1,910,073

Between 16/10/2029 and 22/10/2029

Fix 3.75%

Banco de Occidente S.A. (8)

13/05/2024

791,791

13/08/2034

Fix 10.88%

Foreign Currency Total

 

 

Ps.

16,743,279

Ps.

13,872,995

 

 

Total of Bonds

 

 

Ps.

26,215,847

Ps.

23,427,826

 

 

(*) This information as of December 31, 2024

(1) Includes the payment for bonds maturing in 2024 for Ps. 208,231.

(2) Includes the payment for bonds maturing in 2024 for Ps. 209,472; likewise, bonds were issued in the year for a value of Ps. 508,962.

(3) Includes the payment for bonds maturing in 2024 for Ps. 281,306.

(4) Includes the payment for bonds maturing in 2024 for Ps. 172,548; likewise, bonds were issued in the year for a value of Ps. 789,992.

(5) Includes the payment for bonds maturing in 2024 for Ps. 628,383.

(6) Includes the payment for bonds maturing in 2024 for Ps. 226,830; likewise, bonds were issued in the year for a value of Ps. 271,600.

(7) Includes the payment for bonds maturing in 2024 for Ps. 36,247; Likewise, bonds were issued in the year for a value of Ps. 42,969.

(8) Corresponds to the issuance of bonds on May 13, 2024.

Schedule of interest expenses

For the years ended December 31,

2024

2023

2022

Interest expense

Deposits

Checking accounts

Ps.

(261,315)

Ps.

(253,043)

Ps.

(159,114)

Savings accounts

(5,434,063)

(5,953,426)

(3,555,844)

Time deposits

(9,448,857)

(9,944,424)

(4,040,232)

Interest of the derivative designated as the hedging instrument (*)

(49,794)

(63,333)

(1,242)

Total deposits

Ps.

(15,194,029)

Ps.

(16,214,226)

Ps.

(7,756,432)

Financial obligations

Interbank borrowings and overnight funds

Ps.

(1,683,943)

Ps.

(1,856,263)

Ps.

(678,114)

Borrowings from banks and similar

(1,510,447)

(1,601,927)

(739,803)

Leases contracts

(244,651)

(208,781)

(147,330)

Bonds issued

(1,790,729)

(2,159,948)

(2,092,843)

Borrowing from development entities

(490,534)

(591,285)

(249,873)

Total financial obligations

Ps.

(5,720,304)

Ps.

(6,418,204)

Ps.

(3,907,963)

Total interest expense

Ps.

(20,914,333)

Ps.

(22,632,430)

Ps.

(11,664,395)

(*)   Corresponds to the coverage of interest expense for Term Certificates of Deposit "CDTs" over 12 months. See note 10.4 Impact on Interest Income and Expense Line Item from interest rate hedging.

Schedule of reconciliation of movements of liabilities to cash flows arising from financing activities

Liabilities

Equity

Total

Notes

Dividends payable

Bonds issued

Leases contracts

Subscribed and paid-in capital

Additional paid-in capital

Appropriated retained earnings

Non-controlling interest (NCI)

Balance at January 1, 2022

Ps.

598,534

Ps.

32,257,933

Ps.

2,882,157

Ps.

22,281

Ps.

8,490,799

Ps.

13,383,387

Ps.

16,457,994

Ps.

74,093,085

Cash flows from financing activities:

Dividends paid to shareholders

(414,267)

(414,267)

Dividends paid to non-controlling interest

26

(615,177)

(615,177)

Issuance of debt securities

695,136

695,136

Payment of outstanding debt securities

(7,837,898)

(7,837,898)

Leases contracts

(383,472)

(383,472)

Equity transaction

7,280

(22,294)

(15,014)

Net cash used in financing activities

(1,029,444)

(7,142,762)

(383,472)

7,280

(22,294)

(8,570,692)

Cash flows from operating activities:

Accrued interest

2,147,935

148,806

2,296,741

Interest paid

(2,109,636)

(146,275)

(2,255,911)

Effects of changes in foreign exchange rates

6,030,376

142,898

6,173,274

Other Changes

651,725

(2,821,625)

(308,170)

1,463

1,082,307

(1,193,728)

(542,353)

(3,130,381)

Total liabilities related to other changes

651,725

3,247,050

(162,741)

1,463

1,082,307

(1,193,728)

(542,353)

3,083,723

Total equity related to other changes

(9,012)

(4,171,242)

(1,538,658)

(5,718,912)

Balance at December 31, 2022

Ps.

220,815

Ps.

28,362,221

Ps.

2,335,944

Ps.

23,744

Ps.

9,571,374

Ps.

8,018,417

Ps.

14,354,689

Ps.

62,887,204

Cash flows from financing activities:

Dividends paid to shareholders

(766,537)

(766,537)

Dividends paid to non-controlling interest

26

(915,933)

(915,933)

Issuance of debt securities

2,609,994

2,609,994

Payment of outstanding debt securities

(4,072,742)

(4,072,742)

Leases contracts

(391,667)

(391,667)

Net cash used in financing activities

(1,682,470)

(1,462,748)

(391,667)

(3,536,885)

Cash flows from operating activities:

Accrued interest

2,212,345

210,041

2,422,386

Interest paid

(2,171,231)

(202,551)

(2,373,782)

Effects of changes in foreign exchange rates

(3,525,280)

(172,766)

(3,698,046)

Other Changes

1,989,639

12,519

1,012,747

(982,868)

(1,006,721)

1,025,316

Total liabilities related to other changes

1,989,639

(3,471,647)

847,471

(982,868)

(1,006,721)

(2,624,126)

Total equity related to other changes

696,224

1,389,776

2,086,000

Balance at December 31, 2023

Ps.

527,984

Ps.

23,427,826

Ps.

2,791,748

Ps.

23,744

Ps.

9,571,374

Ps.

7,731,773

Ps.

14,737,744

Ps.

58,812,193

Cash flows from financing activities:

Dividends paid to shareholders

(728,181)

(728,181)

Dividends paid to non-controlling interest

26

(667,330)

(667,330)

Issuance of debt securities

2,262,527

2,262,527

Payment of outstanding debt securities

(1,758,387)

(1,758,387)

Leases contracts

(416,640)

(416,640)

Equity transaction (1)

(4,904)

(50,096)

(55,000)

Net cash used in financing activities

(1,395,511)

504,140

(416,640)

(4,904)

(50,096)

(1,363,011)

Cash flows from operating activities:

Accrued interest

1,831,715

245,366

2,077,081

Interest paid

(1,764,802)

(239,988)

(2,004,790)

Effects of changes in foreign exchange rates

2,200,477

142,677

2,343,154

Other Changes

1,161,028

16,491

343,104

(58,408)

(569,843)

(608,824)

283,548

Total liabilities related to other changes

1,161,028

2,283,881

491,159

(58,408)

(569,843)

(608,824)

2,698,993

Total equity related to other changes

21,823

1,001,504

1,632,837

2,656,164

Balance at December 31, 2024

Ps.

315,324

Ps.

26,215,847

Ps.

2,866,267

Ps.

23,744

Ps.

9,508,062

Ps.

8,163,434

Ps.

15,711,661

Ps.

62,804,339

(1) See note 25.4 Equity Transactions