Capital One Financial Corp
XMUN:CFX
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|
C
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Capital One Financial Corp
XMUN:CFX
|
US |
Balance general
Desglose del balance general
Capital One Financial Corp
Capital One Financial Corp
Balance general
Capital One Financial Corp
| Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | 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 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Activos | |||||||||||||||||||||||||
| Préstamos netos |
25.624
|
31.255
|
36.711
|
58.058
|
94.332
|
98.842
|
96.494
|
86.492
|
120.319
|
131.642
|
200.733
|
192.884
|
203.933
|
224.721
|
239.083
|
246.971
|
238.679
|
258.601
|
236.060
|
265.910
|
299.091
|
305.176
|
311.517
|
430.213
|
|
| Inversiones |
5.252
|
7.691
|
10.589
|
17.313
|
28.972
|
23.657
|
37.554
|
46.426
|
46.610
|
44.116
|
72.839
|
65.466
|
67.673
|
70.222
|
74.539
|
78.529
|
93.961
|
90.130
|
140.368
|
119.980
|
104.343
|
119.836
|
124.325
|
147.123
|
|
| PP&E neto |
666
|
791
|
711
|
977
|
1.807
|
1.897
|
1.889
|
2.153
|
2.187
|
2.199
|
3.587
|
3.839
|
3.685
|
3.584
|
3.675
|
4.033
|
4.191
|
5.811
|
5.603
|
4.210
|
4.351
|
4.375
|
5.485
|
6.579
|
|
| PP&E bruto |
666
|
791
|
711
|
977
|
1.807
|
1.897
|
1.889
|
2.153
|
2.187
|
2.199
|
0
|
0
|
3.685
|
3.584
|
3.675
|
4.033
|
4.191
|
5.811
|
5.603
|
4.210
|
4.351
|
4.375
|
5.485
|
6.579
|
|
| Depreciación acumulada |
935
|
1.195
|
1.163
|
1.246
|
1.494
|
1.644
|
1.880
|
2.081
|
2.255
|
2.479
|
0
|
0
|
3.197
|
3.415
|
3.812
|
4.231
|
4.536
|
4.810
|
4.706
|
4.534
|
5.004
|
5.181
|
5.602
|
6.601
|
|
| Activos intangibles |
0
|
0
|
0
|
0
|
0
|
1.063
|
862
|
906
|
733
|
611
|
2.571
|
1.849
|
1.316
|
1.041
|
665
|
421
|
254
|
174
|
457
|
531
|
596
|
700
|
577
|
16.881
|
|
| Fondo de comercio |
0
|
0
|
352
|
3.906
|
13.635
|
11.768
|
11.964
|
13.596
|
13.591
|
13.592
|
13.904
|
13.978
|
13.978
|
14.480
|
14.519
|
14.533
|
14.544
|
14.653
|
14.653
|
14.782
|
14.777
|
15.065
|
15.059
|
28.509
|
|
| Pasivos por aceptaciones de clientes |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Otros activos a largo plazo |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
34
|
39
|
28
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Otros activos |
5.646
|
6.279
|
5.507
|
10.939
|
22.656
|
23.467
|
27.681
|
31.114
|
25.047
|
25.401
|
30.780
|
30.920
|
29.357
|
32.095
|
36.142
|
32.618
|
32.115
|
32.759
|
35.818
|
38.835
|
43.233
|
44.945
|
46.120
|
66.091
|
|
| Activos totales |
37.382
N/A
|
46.284
+24%
|
53.747
+16%
|
88.701
+65%
|
149.739
+69%
|
150.590
+1%
|
165.913
+10%
|
169.646
+2%
|
197.503
+16%
|
206.019
+4%
|
312.918
+52%
|
296.933
-5%
|
308.167
+4%
|
334.048
+8%
|
357.033
+7%
|
365.693
+2%
|
372.538
+2%
|
390.365
+5%
|
421.602
+8%
|
432.381
+3%
|
455.249
+5%
|
478.464
+5%
|
490.144
+2%
|
669.009
+36%
|
|
| Pasivos | |||||||||||||||||||||||||
| Cuentas por pagar |
236
|
256
|
237
|
372
|
575
|
632
|
676
|
509
|
488
|
466
|
450
|
307
|
254
|
299
|
327
|
413
|
458
|
439
|
352
|
281
|
527
|
649
|
666
|
844
|
|
| Pasivos acumulados |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1.756
|
1.688
|
1.485
|
1.458
|
1.312
|
1.265
|
1.259
|
|
| Deuda a corto plazo |
6.365
|
7.797
|
9.637
|
2.017
|
5.453
|
5.258
|
833
|
1.140
|
1.517
|
1.464
|
1.248
|
915
|
880
|
981
|
992
|
576
|
352
|
314
|
668
|
820
|
883
|
538
|
562
|
587
|
|
| Porción corriente de la deuda a largo plazo |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
10.047
|
7.356
|
12.159
|
9.831
|
6.209
|
7.999
|
5.325
|
7.111
|
9.499
|
8.421
|
|
| Depósitos totales |
17.326
|
22.416
|
25.687
|
47.933
|
85.771
|
82.761
|
108.621
|
115.809
|
122.210
|
128.226
|
212.485
|
204.523
|
205.548
|
217.721
|
236.768
|
243.702
|
249.764
|
262.697
|
305.442
|
310.980
|
332.992
|
348.413
|
362.707
|
475.771
|
|
| Otros pasivos con intereses |
0
|
0
|
0
|
1.465
|
2.648
|
6.842
|
4.877
|
0
|
0
|
0
|
24.578
|
16.316
|
17.269
|
20.131
|
17.211
|
8.940
|
9.301
|
7.000
|
0
|
0
|
0
|
0
|
0
|
1.537
|
|
| Pasivos corrientes totales |
6.601
|
8.053
|
9.874
|
2.389
|
6.027
|
5.890
|
1.510
|
1.649
|
2.005
|
1.930
|
1.698
|
1.222
|
1.134
|
1.280
|
11.366
|
8.345
|
12.969
|
12.340
|
8.917
|
10.585
|
8.193
|
9.610
|
11.992
|
11.111
|
|
| Deuda a largo plazo |
5.566
|
7.016
|
6.875
|
18.796
|
25.882
|
25.426
|
17.468
|
19.874
|
40.279
|
38.097
|
24.084
|
23.423
|
30.308
|
38.003
|
32.210
|
43.409
|
37.093
|
38.552
|
33.662
|
34.267
|
42.507
|
42.207
|
35.490
|
40.455
|
|
| Otros pasivos |
3.266
|
2.747
|
2.923
|
3.989
|
4.176
|
5.378
|
6.825
|
5.724
|
6.468
|
8.100
|
9.574
|
9.817
|
8.855
|
9.629
|
11.964
|
12.567
|
11.743
|
11.765
|
13.377
|
15.520
|
18.975
|
20.145
|
19.171
|
26.519
|
|
| Pasivos totales |
32.759
N/A
|
40.232
+23%
|
45.359
+13%
|
74.572
+64%
|
124.504
+67%
|
126.296
+1%
|
139.301
+10%
|
143.056
+3%
|
170.962
+20%
|
176.353
+3%
|
272.419
+54%
|
255.301
-6%
|
263.114
+3%
|
286.764
+9%
|
309.519
+8%
|
316.963
+2%
|
320.870
+1%
|
332.354
+4%
|
361.398
+9%
|
371.352
+3%
|
402.667
+8%
|
420.375
+4%
|
429.360
+2%
|
555.393
+29%
|
|
| Patrimonio | |||||||||||||||||||||||||
| Acciones ordinarias |
2
|
2
|
2
|
3
|
4
|
4
|
3.101
|
5
|
5
|
5
|
6
|
6
|
1.828
|
3.300
|
4.367
|
4.367
|
4.367
|
4.860
|
4.854
|
4.852
|
4.852
|
4.852
|
4.852
|
5.414
|
|
| Ganancias retenidas |
2.967
|
4.079
|
5.596
|
7.378
|
9.760
|
11.268
|
10.621
|
10.727
|
10.406
|
13.462
|
16.853
|
20.292
|
23.973
|
27.045
|
29.766
|
30.700
|
35.875
|
40.340
|
40.088
|
51.006
|
57.184
|
60.945
|
64.505
|
65.192
|
|
| Capital adicional pagado |
1.704
|
1.937
|
2.711
|
6.849
|
15.333
|
15.860
|
17.278
|
18.955
|
19.084
|
19.274
|
26.188
|
26.526
|
26.047
|
26.361
|
26.797
|
27.296
|
27.680
|
28.127
|
28.633
|
29.267
|
29.880
|
30.696
|
31.583
|
58.624
|
|
| Ganancia/pérdida no realizada en valores |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
281
|
268
|
708
|
791
|
411
|
563
|
625
|
507
|
629
|
935
|
2.186
|
297
|
7.676
|
6.769
|
7.544
|
5.011
|
|
| Acciones propias |
35
|
50
|
67
|
107
|
128
|
3.153
|
3.166
|
3.180
|
3.202
|
3.244
|
3.287
|
4.320
|
6.365
|
8.806
|
12.467
|
12.707
|
14.991
|
16.472
|
16.865
|
24.470
|
29.418
|
30.136
|
30.870
|
10.146
|
|
| Otro patrimonio |
16
|
83
|
145
|
6
|
266
|
315
|
1.222
|
83
|
33
|
99
|
31
|
81
|
19
|
53
|
324
|
419
|
634
|
221
|
1.308
|
77
|
2.240
|
1.499
|
1.742
|
457
|
|
| Patrimonio total |
4.623
N/A
|
6.052
+31%
|
8.388
+39%
|
14.129
+68%
|
25.235
+79%
|
24.294
-4%
|
26.612
+10%
|
26.590
0%
|
26.541
0%
|
29.666
+12%
|
40.499
+37%
|
41.632
+3%
|
45.053
+8%
|
47.284
+5%
|
47.514
+0%
|
48.730
+3%
|
51.668
+6%
|
58.011
+12%
|
60.204
+4%
|
61.029
+1%
|
52.582
-14%
|
58.089
+10%
|
60.784
+5%
|
113.616
+87%
|
|
| Total pasivos y patrimonio |
37.382
N/A
|
46.284
+24%
|
53.747
+16%
|
88.701
+65%
|
149.739
+69%
|
150.590
+1%
|
165.913
+10%
|
169.646
+2%
|
197.503
+16%
|
206.019
+4%
|
312.918
+52%
|
296.933
-5%
|
308.167
+4%
|
334.048
+8%
|
357.033
+7%
|
365.693
+2%
|
372.538
+2%
|
390.365
+5%
|
421.602
+8%
|
432.381
+3%
|
455.249
+5%
|
478.464
+5%
|
490.144
+2%
|
669.009
+36%
|
|
| Acciones en circulación | |||||||||||||||||||||||||
| Acciones ordinarias en circulación |
226
|
235
|
247
|
301
|
410
|
373
|
392
|
455
|
457
|
460
|
582
|
573
|
553
|
527
|
480
|
486
|
468
|
457
|
459
|
414
|
381
|
380
|
381
|
625
|
|
| Acciones preferentes en circulación |
0
|
0
|
0
|
0
|
0
|
0
|
4
|
0
|
0
|
0
|
0
|
1
|
2
|
3
|
4
|
4
|
4
|
3
|
2
|
1
|
1
|
1
|
1
|
1
|
|