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EC Ecopetrol

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  • 8.110
  • -0.190-2.29%
Close Apr 30 16:00 ET
  • 8.150
  • +0.040+0.49%
Post 20:01 ET
16.67BMarket Cap5.13P/E (TTM)

Ecopetrol Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
127.91%45.13T
-45.35%19.8T
-49.01%3.14T
-45.30%2.07T
60.79%36.23T
11.36T
182.87%14.94T
85.70%6.15T
29.09%3.79T
145.31%22.54T
Net income from continuing operations
-27.12%18.5T
-27.89%25.38T
-28.29%7.51T
-4.91%6.96T
99.65%35.2T
--7.67T
175.49%10.49T
181.15%10.47T
137.33%7.32T
543.96%17.63T
Operating gains losses
83.21%-473.29B
-565.27%-2.82T
-238.42%-163.34B
-62.69%80.6B
249.91%605.94B
--244.41B
127.70%64.53B
59.46%118B
-11.47%216.02B
-798.82%-404.2B
Depreciation and amortization
10.03%15.2T
13.88%13.81T
17.70%3.36T
16.73%3.16T
19.38%12.13T
--3.37T
18.79%3.19T
19.20%2.86T
17.70%2.71T
8.96%10.16T
Deferred tax
6.01%12.21T
-39.27%11.52T
-77.94%1.17T
44.00%5.59T
115.62%18.96T
--2.75T
220.16%7.02T
200.28%5.31T
152.69%3.88T
331.42%8.8T
Other non cash items
-11.02%8.12T
21.27%9.12T
-33.45%2.3T
52.06%2.36T
81.72%7.52T
--2.08T
-121.23%-345.55B
193.04%3.45T
79.64%1.55T
119.35%4.14T
Change In working capital
109.88%2.66T
11.86%-26.93T
49.65%-6.37T
-39.46%-14.29T
-128.12%-30.55T
---3.81T
-1.37%-3.9T
-258.94%-12.65T
-157.58%-10.25T
-381.15%-13.39T
-Change in receivables
144.28%9.05T
25.78%-20.44T
---6.01T
-27.92%-9.86T
-191.19%-27.54T
---5.74T
----
----
---7.71T
-1,494.19%-9.46T
-Change in inventory
-34.10%532.56B
128.54%808.13B
--491.23B
121.95%598.71B
4.98%-2.83T
---948.22B
----
----
---2.73T
-516.18%-2.98T
-Change in payables and accrued expense
-351.60%-1.28T
-86.24%507.58B
--1.6T
-320.64%-2.59T
18.35%3.69T
--4.22T
----
----
--1.17T
222.25%3.12T
-Change in other working capital
27.64%-5.65T
-101.61%-7.8T
---2.45T
-147.26%-2.44T
4.96%-3.87T
---1.34T
----
----
---986.08B
-150.26%-4.07T
Cash from discontinued investing activities
Operating cash flow
127.91%45.13T
-45.35%19.8T
-49.01%3.14T
-45.30%2.07T
60.79%36.23T
--11.36T
182.87%14.94T
85.70%6.15T
29.09%3.79T
145.31%22.54T
Investing cash flow
Cash flow from continuing investing activities
-10.06%-22.03T
-10.64%-20.02T
-30.08%-4.5T
-34.53%-3.74T
11.81%-18.1T
-7.04T
64.00%-4.82T
-31.72%-3.46T
-301.49%-2.78T
-140.58%-20.52T
Net PPE purchase and sale
13.95%-20.06T
-12.47%-23.31T
-21.40%-5.34T
-55.37%-4.95T
-61.32%-20.73T
---8T
-50.54%-5.15T
-62.56%-4.4T
-31.65%-3.18T
-16.54%-12.85T
Net intangibles purchase and sale
-11.47%-865.71B
32.32%-776.6B
-14.47%-214.06B
-21.42%-206.15B
-158.25%-1.15T
---445.51B
-139.58%-345B
-315.56%-187B
-843.28%-169.79B
-393.27%-444.35B
Net business purchase and sale
-20,783.35%-178.14B
99.74%-853M
--0
--0
96.34%-329.38B
---119.72B
98.45%-144.66B
---33B
---32.33B
---9T
Net investment purchase and sale
-351.45%-2.46T
-24.97%976.47B
-36.93%486.3B
87.80%750.35B
1.44%1.3T
--908.3B
-40.74%-776.9B
12,950.00%771B
-76.68%399.54B
-39.14%1.28T
Net other investing changes
-172.05%-525.25B
95.11%729B
-23.38%22.22B
-83.06%8.49B
1,977.36%373.63B
---28.74B
8,159.33%322.37B
1,350.00%29B
526.20%50.1B
-24.15%17.99B
Cash from discontinued investing activities
Investing cash flow
-10.06%-22.03T
-10.64%-20.02T
-30.08%-4.5T
-34.53%-3.74T
11.81%-18.1T
---7.04T
64.00%-4.82T
-31.72%-3.46T
-301.49%-2.78T
-140.58%-20.52T
Financing cash flow
Cash flow from continuing financing activities
-6,297.79%-22.69T
98.13%-354.61B
69.75%-2.24T
222.00%1.89T
-372.10%-18.93T
-2.62T
-155.80%-7.37T
-206.29%-7.4T
-98.51%-1.55T
364.67%6.96T
Net issuance payments of debt
-96.33%434.78B
59,209,005.00%11.84T
1,272.20%1.98T
1,040.46%3.44T
-100.00%-20M
--1.47T
-106.61%-931.93B
75.82%-169B
-174.68%-365.32B
54.58%13.06T
Cash dividends paid
-179.40%-15.57T
58.29%-5.57T
59.00%-2.33T
17.08%-226.92B
-381.98%-13.36T
---2.17T
-1,805.82%-5.22T
-479.63%-5.69T
-62.89%-273.65B
68.27%-2.77T
Net other financing activities
31.50%-30.67B
47.22%-44.77B
----
----
---84.82B
---70B
---7.83B
---7B
----
----
Cash from discontinued financing activities
Financing cash flow
-6,297.79%-22.69T
98.13%-354.61B
69.75%-2.24T
222.00%1.89T
-372.10%-18.93T
---2.62T
-155.80%-7.37T
-206.29%-7.4T
-98.51%-1.55T
364.67%6.96T
Net cash flow
Beginning cash position
-19.90%12.34T
5.85%15.4T
10.70%15.5T
5.85%15.4T
186.29%14.55T
--12.92T
101.19%10.1T
109.32%14T
186.30%14.55T
-28.17%5.08T
Current changes in cash
170.83%406.41B
27.78%-573.8B
23.44%-3.61T
140.88%220.11B
-108.85%-794.51B
--1.7T
-46.26%2.75T
-172.04%-4.71T
-136.82%-538.37B
555.38%8.98T
Effect of exchange rate changes
152.66%1.31T
-251.38%-2.49T
-169.70%-567.33B
-891.02%-123.82B
234.87%1.65T
--778.45B
230.42%65.21B
1,152.31%814B
-108.68%-12.49B
2,304.31%491.43B
End cash Position
13.93%14.05T
-19.90%12.34T
12.08%11.32T
10.70%15.5T
5.85%15.4T
--15.4T
28.06%12.92T
101.19%10.1T
109.32%14T
186.29%14.55T
Free cash flow
664.05%24.2T
-129.88%-4.29T
-254.11%-2.42T
-813.72%-3.08T
55.36%14.36T
--2.92T
450.23%9.44T
178.51%1.57T
-12.91%431.95B
578.77%9.24T
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
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
(FY)Dec 31, 2024(FY)Dec 31, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 127.91%45.13T-45.35%19.8T-49.01%3.14T-45.30%2.07T60.79%36.23T11.36T182.87%14.94T85.70%6.15T29.09%3.79T145.31%22.54T
Net income from continuing operations -27.12%18.5T-27.89%25.38T-28.29%7.51T-4.91%6.96T99.65%35.2T--7.67T175.49%10.49T181.15%10.47T137.33%7.32T543.96%17.63T
Operating gains losses 83.21%-473.29B-565.27%-2.82T-238.42%-163.34B-62.69%80.6B249.91%605.94B--244.41B127.70%64.53B59.46%118B-11.47%216.02B-798.82%-404.2B
Depreciation and amortization 10.03%15.2T13.88%13.81T17.70%3.36T16.73%3.16T19.38%12.13T--3.37T18.79%3.19T19.20%2.86T17.70%2.71T8.96%10.16T
Deferred tax 6.01%12.21T-39.27%11.52T-77.94%1.17T44.00%5.59T115.62%18.96T--2.75T220.16%7.02T200.28%5.31T152.69%3.88T331.42%8.8T
Other non cash items -11.02%8.12T21.27%9.12T-33.45%2.3T52.06%2.36T81.72%7.52T--2.08T-121.23%-345.55B193.04%3.45T79.64%1.55T119.35%4.14T
Change In working capital 109.88%2.66T11.86%-26.93T49.65%-6.37T-39.46%-14.29T-128.12%-30.55T---3.81T-1.37%-3.9T-258.94%-12.65T-157.58%-10.25T-381.15%-13.39T
-Change in receivables 144.28%9.05T25.78%-20.44T---6.01T-27.92%-9.86T-191.19%-27.54T---5.74T-----------7.71T-1,494.19%-9.46T
-Change in inventory -34.10%532.56B128.54%808.13B--491.23B121.95%598.71B4.98%-2.83T---948.22B-----------2.73T-516.18%-2.98T
-Change in payables and accrued expense -351.60%-1.28T-86.24%507.58B--1.6T-320.64%-2.59T18.35%3.69T--4.22T----------1.17T222.25%3.12T
-Change in other working capital 27.64%-5.65T-101.61%-7.8T---2.45T-147.26%-2.44T4.96%-3.87T---1.34T-----------986.08B-150.26%-4.07T
Cash from discontinued investing activities
Operating cash flow 127.91%45.13T-45.35%19.8T-49.01%3.14T-45.30%2.07T60.79%36.23T--11.36T182.87%14.94T85.70%6.15T29.09%3.79T145.31%22.54T
Investing cash flow
Cash flow from continuing investing activities -10.06%-22.03T-10.64%-20.02T-30.08%-4.5T-34.53%-3.74T11.81%-18.1T-7.04T64.00%-4.82T-31.72%-3.46T-301.49%-2.78T-140.58%-20.52T
Net PPE purchase and sale 13.95%-20.06T-12.47%-23.31T-21.40%-5.34T-55.37%-4.95T-61.32%-20.73T---8T-50.54%-5.15T-62.56%-4.4T-31.65%-3.18T-16.54%-12.85T
Net intangibles purchase and sale -11.47%-865.71B32.32%-776.6B-14.47%-214.06B-21.42%-206.15B-158.25%-1.15T---445.51B-139.58%-345B-315.56%-187B-843.28%-169.79B-393.27%-444.35B
Net business purchase and sale -20,783.35%-178.14B99.74%-853M--0--096.34%-329.38B---119.72B98.45%-144.66B---33B---32.33B---9T
Net investment purchase and sale -351.45%-2.46T-24.97%976.47B-36.93%486.3B87.80%750.35B1.44%1.3T--908.3B-40.74%-776.9B12,950.00%771B-76.68%399.54B-39.14%1.28T
Net other investing changes -172.05%-525.25B95.11%729B-23.38%22.22B-83.06%8.49B1,977.36%373.63B---28.74B8,159.33%322.37B1,350.00%29B526.20%50.1B-24.15%17.99B
Cash from discontinued investing activities
Investing cash flow -10.06%-22.03T-10.64%-20.02T-30.08%-4.5T-34.53%-3.74T11.81%-18.1T---7.04T64.00%-4.82T-31.72%-3.46T-301.49%-2.78T-140.58%-20.52T
Financing cash flow
Cash flow from continuing financing activities -6,297.79%-22.69T98.13%-354.61B69.75%-2.24T222.00%1.89T-372.10%-18.93T-2.62T-155.80%-7.37T-206.29%-7.4T-98.51%-1.55T364.67%6.96T
Net issuance payments of debt -96.33%434.78B59,209,005.00%11.84T1,272.20%1.98T1,040.46%3.44T-100.00%-20M--1.47T-106.61%-931.93B75.82%-169B-174.68%-365.32B54.58%13.06T
Cash dividends paid -179.40%-15.57T58.29%-5.57T59.00%-2.33T17.08%-226.92B-381.98%-13.36T---2.17T-1,805.82%-5.22T-479.63%-5.69T-62.89%-273.65B68.27%-2.77T
Net other financing activities 31.50%-30.67B47.22%-44.77B-----------84.82B---70B---7.83B---7B--------
Cash from discontinued financing activities
Financing cash flow -6,297.79%-22.69T98.13%-354.61B69.75%-2.24T222.00%1.89T-372.10%-18.93T---2.62T-155.80%-7.37T-206.29%-7.4T-98.51%-1.55T364.67%6.96T
Net cash flow
Beginning cash position -19.90%12.34T5.85%15.4T10.70%15.5T5.85%15.4T186.29%14.55T--12.92T101.19%10.1T109.32%14T186.30%14.55T-28.17%5.08T
Current changes in cash 170.83%406.41B27.78%-573.8B23.44%-3.61T140.88%220.11B-108.85%-794.51B--1.7T-46.26%2.75T-172.04%-4.71T-136.82%-538.37B555.38%8.98T
Effect of exchange rate changes 152.66%1.31T-251.38%-2.49T-169.70%-567.33B-891.02%-123.82B234.87%1.65T--778.45B230.42%65.21B1,152.31%814B-108.68%-12.49B2,304.31%491.43B
End cash Position 13.93%14.05T-19.90%12.34T12.08%11.32T10.70%15.5T5.85%15.4T--15.4T28.06%12.92T101.19%10.1T109.32%14T186.29%14.55T
Free cash flow 664.05%24.2T-129.88%-4.29T-254.11%-2.42T-813.72%-3.08T55.36%14.36T--2.92T450.23%9.44T178.51%1.57T-12.91%431.95B578.77%9.24T
Currency Unit COPCOPCOPCOPCOPCOPCOPCOPCOPCOP
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified Opinion----Unqualified Opinion--------Unqualified Opinion

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