Olin Corp
XMUN:OLN
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O
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Olin Corp
XMUN:OLN
|
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ID |
Balance general
Desglose del balance general
Olin Corp
Olin Corp
Balance general
Olin 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 | |||||||||||||||||||||||||
| Efectivo y equivalentes de efectivo |
111
|
190
|
147
|
304
|
200
|
306
|
247
|
459
|
459
|
305
|
165
|
308
|
257
|
392
|
185
|
218
|
179
|
221
|
190
|
181
|
194
|
170
|
176
|
168
|
|
| Equivalentes de efectivo |
111
|
190
|
147
|
304
|
200
|
306
|
247
|
459
|
459
|
305
|
165
|
308
|
257
|
392
|
185
|
218
|
179
|
221
|
190
|
181
|
194
|
170
|
176
|
168
|
|
| Inversiones a corto plazo |
25
|
0
|
0
|
0
|
77
|
27
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Cuentas por cobrar totales |
177
|
182
|
243
|
295
|
135
|
202
|
213
|
203
|
193
|
238
|
307
|
282
|
285
|
816
|
701
|
750
|
782
|
774
|
786
|
1.107
|
968
|
890
|
1.019
|
911
|
|
| Cuentas por cobrar comerciales |
153
|
171
|
227
|
271
|
119
|
188
|
196
|
155
|
168
|
221
|
279
|
267
|
263
|
783
|
675
|
733
|
776
|
760
|
771
|
1.107
|
925
|
875
|
1.008
|
845
|
|
| Otras cuentas por cobrar |
24
|
11
|
16
|
25
|
16
|
14
|
17
|
48
|
25
|
17
|
28
|
16
|
22
|
33
|
26
|
17
|
6
|
14
|
15
|
0
|
43
|
15
|
12
|
67
|
|
| Inventario |
255
|
239
|
257
|
263
|
83
|
107
|
131
|
124
|
156
|
177
|
195
|
187
|
210
|
685
|
630
|
683
|
711
|
696
|
675
|
868
|
942
|
859
|
824
|
785
|
|
| Otros activos corrientes |
70
|
48
|
66
|
12
|
430
|
86
|
79
|
75
|
76
|
61
|
82
|
64
|
65
|
40
|
31
|
48
|
35
|
23
|
67
|
93
|
53
|
54
|
61
|
108
|
|
| Activos corrientes totales |
638
|
659
|
713
|
873
|
925
|
727
|
670
|
860
|
883
|
780
|
749
|
840
|
816
|
1.933
|
1.546
|
1.699
|
1.707
|
1.714
|
1.717
|
2.248
|
2.156
|
1.973
|
2.080
|
1.971
|
|
| PP&E neto |
552
|
495
|
478
|
482
|
251
|
504
|
630
|
695
|
675
|
885
|
1.034
|
988
|
931
|
3.953
|
3.705
|
3.576
|
3.482
|
3.702
|
3.532
|
3.286
|
3.030
|
2.864
|
2.631
|
2.496
|
|
| PP&E bruto |
552
|
495
|
478
|
482
|
251
|
504
|
630
|
695
|
675
|
885
|
1.034
|
988
|
0
|
3.953
|
3.705
|
3.576
|
3.482
|
3.702
|
3.532
|
3.286
|
3.030
|
2.864
|
2.631
|
2.496
|
|
| Depreciación acumulada |
1.308
|
1.301
|
1.348
|
1.391
|
869
|
913
|
956
|
1.001
|
1.068
|
1.144
|
1.164
|
1.259
|
0
|
1.499
|
1.892
|
2.333
|
2.781
|
3.268
|
3.720
|
4.077
|
4.413
|
4.826
|
5.189
|
5.509
|
|
| Activos intangibles |
0
|
0
|
0
|
0
|
0
|
20
|
18
|
17
|
15
|
19
|
153
|
138
|
124
|
678
|
630
|
579
|
512
|
448
|
399
|
332
|
1.322
|
1.308
|
1.254
|
1.170
|
|
| Fondo de comercio |
82
|
80
|
78
|
75
|
0
|
302
|
300
|
300
|
300
|
627
|
747
|
747
|
747
|
2.174
|
2.118
|
2.120
|
2.120
|
2.120
|
1.420
|
1.421
|
1.421
|
1.424
|
1.424
|
1.428
|
|
| Pagaré por cobrar |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
14
|
2
|
18
|
10
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Inversiones a largo plazo |
0
|
0
|
0
|
0
|
0
|
7
|
19
|
20
|
26
|
28
|
29
|
22
|
23
|
25
|
27
|
29
|
9
|
0
|
0
|
0
|
0
|
0
|
23
|
21
|
|
| Otros activos a largo plazo |
152
|
198
|
349
|
367
|
466
|
172
|
82
|
40
|
150
|
110
|
65
|
68
|
43
|
524
|
720
|
1.206
|
1.168
|
1.204
|
1.203
|
1.231
|
115
|
144
|
168
|
240
|
|
| Otros activos |
82
|
80
|
78
|
75
|
0
|
302
|
300
|
300
|
300
|
627
|
747
|
747
|
747
|
2.174
|
2.118
|
2.120
|
2.120
|
2.120
|
1.420
|
1.421
|
1.421
|
1.424
|
1.424
|
1.428
|
|
| Activos totales |
1.424
N/A
|
1.432
+1%
|
1.618
+13%
|
1.797
+11%
|
1.642
-9%
|
1.731
+5%
|
1.720
-1%
|
1.932
+12%
|
2.049
+6%
|
2.450
+20%
|
2.778
+13%
|
2.803
+1%
|
2.698
-4%
|
9.289
+244%
|
8.763
-6%
|
9.218
+5%
|
8.997
-2%
|
9.188
+2%
|
8.271
-10%
|
8.518
+3%
|
8.044
-6%
|
7.713
-4%
|
7.579
-2%
|
7.326
-3%
|
|
| Pasivos | |||||||||||||||||||||||||
| Cuentas por pagar |
110
|
129
|
118
|
177
|
88
|
151
|
146
|
118
|
116
|
150
|
174
|
149
|
147
|
608
|
571
|
670
|
637
|
652
|
729
|
848
|
838
|
775
|
862
|
806
|
|
| Pasivos acumulados |
145
|
128
|
152
|
165
|
174
|
245
|
254
|
193
|
198
|
237
|
229
|
245
|
207
|
287
|
222
|
236
|
307
|
333
|
378
|
477
|
487
|
400
|
423
|
581
|
|
| Deuda a corto plazo |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Porción corriente de la deuda a largo plazo |
2
|
27
|
52
|
1
|
2
|
10
|
0
|
0
|
78
|
12
|
24
|
13
|
16
|
204
|
80
|
1
|
126
|
2
|
26
|
201
|
10
|
79
|
129
|
110
|
|
| Otros pasivos corrientes |
0
|
11
|
0
|
23
|
162
|
3
|
1
|
0
|
0
|
0
|
8
|
2
|
7
|
47
|
50
|
48
|
49
|
95
|
65
|
156
|
227
|
274
|
219
|
133
|
|
| Pasivos corrientes totales |
257
|
295
|
322
|
367
|
425
|
408
|
400
|
311
|
391
|
399
|
434
|
408
|
378
|
1.146
|
923
|
954
|
1.118
|
1.082
|
1.199
|
1.682
|
1.561
|
1.528
|
1.632
|
1.630
|
|
| Deuda a largo plazo |
328
|
314
|
261
|
257
|
252
|
249
|
252
|
398
|
418
|
524
|
680
|
671
|
654
|
3.643
|
3.537
|
3.611
|
3.104
|
3.339
|
3.838
|
2.578
|
2.571
|
2.591
|
2.713
|
2.718
|
|
| Impuesto sobre la renta diferido |
0
|
0
|
0
|
0
|
0
|
30
|
7
|
26
|
24
|
100
|
110
|
118
|
107
|
1.095
|
1.033
|
511
|
519
|
455
|
443
|
559
|
507
|
476
|
431
|
318
|
|
| Interés minoritario |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
36
|
32
|
32
|
|
| Otros pasivos |
608
|
647
|
679
|
746
|
422
|
380
|
356
|
375
|
386
|
441
|
555
|
506
|
546
|
985
|
997
|
1.388
|
1.424
|
1.895
|
1.341
|
1.046
|
861
|
849
|
748
|
791
|
|
| Pasivos totales |
1.193
N/A
|
1.256
+5%
|
1.262
+0%
|
1.371
+9%
|
1.099
-20%
|
1.068
-3%
|
1.015
-5%
|
1.110
+9%
|
1.218
+10%
|
1.464
+20%
|
1.779
+22%
|
1.702
-4%
|
1.685
-1%
|
6.870
+308%
|
6.490
-6%
|
6.465
0%
|
6.165
-5%
|
6.770
+10%
|
6.820
+1%
|
5.866
-14%
|
5.501
-6%
|
5.481
0%
|
5.556
+1%
|
5.487
-1%
|
|
| Patrimonio | |||||||||||||||||||||||||
| Acciones ordinarias |
57
|
59
|
71
|
72
|
73
|
75
|
77
|
79
|
80
|
80
|
80
|
79
|
77
|
165
|
165
|
167
|
165
|
158
|
158
|
157
|
132
|
120
|
116
|
114
|
|
| Ganancias retenidas |
29
|
100
|
101
|
25
|
67
|
2
|
96
|
169
|
170
|
348
|
433
|
548
|
591
|
510
|
374
|
790
|
1.071
|
941
|
155
|
1.014
|
2.225
|
2.584
|
2.358
|
2.140
|
|
| Capital adicional pagado |
442
|
464
|
659
|
684
|
722
|
742
|
802
|
823
|
842
|
852
|
856
|
839
|
788
|
2.236
|
2.244
|
2.281
|
2.247
|
2.122
|
2.138
|
1.970
|
683
|
25
|
0
|
0
|
|
| Otro patrimonio |
239
|
247
|
273
|
304
|
319
|
151
|
269
|
248
|
262
|
294
|
371
|
365
|
443
|
493
|
510
|
485
|
651
|
803
|
690
|
488
|
496
|
496
|
450
|
415
|
|
| Patrimonio total |
231
N/A
|
176
-24%
|
356
+102%
|
427
+20%
|
543
+27%
|
664
+22%
|
705
+6%
|
822
+17%
|
830
+1%
|
986
+19%
|
998
+1%
|
1.101
+10%
|
1.013
-8%
|
2.419
+139%
|
2.273
-6%
|
2.754
+21%
|
2.832
+3%
|
2.418
-15%
|
1.451
-40%
|
2.652
+83%
|
2.544
-4%
|
2.232
-12%
|
2.023
-9%
|
1.839
-9%
|
|
| Total pasivos y patrimonio |
1.424
N/A
|
1.432
+1%
|
1.618
+13%
|
1.797
+11%
|
1.642
-9%
|
1.731
+5%
|
1.720
-1%
|
1.932
+12%
|
2.049
+6%
|
2.450
+20%
|
2.778
+13%
|
2.803
+1%
|
2.698
-4%
|
9.289
+244%
|
8.763
-6%
|
9.218
+5%
|
8.997
-2%
|
9.188
+2%
|
8.271
-10%
|
8.518
+3%
|
8.044
-6%
|
7.713
-4%
|
7.579
-2%
|
7.326
-3%
|
|
| Acciones en circulación | |||||||||||||||||||||||||
| Acciones ordinarias en circulación |
58
|
59
|
71
|
72
|
73
|
75
|
77
|
79
|
80
|
80
|
80
|
79
|
77
|
165
|
165
|
167
|
165
|
158
|
158
|
157
|
132
|
120
|
116
|
114
|
|