Companhia Energetica de Minas Gerais CEMIG
NYSE:CIG.C

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Companhia Energetica de Minas Gerais CEMIG Logo
Companhia Energetica de Minas Gerais CEMIG
NYSE:CIG.C
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Price: 2.9722 USD -2.55% Market Closed
Market Cap: $8.5B

Balance Sheet

Balance Sheet Decomposition
Companhia Energetica de Minas Gerais CEMIG

Balance Sheet
Companhia Energetica de Minas Gerais CEMIG

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Balance Sheet
Currency: BRL
Dec-2001 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
Assets
Cash & Cash Equivalents
696
123
440
896
1 344
1 376
2 066
2 284
4 425
95
2 863
2 486
2 202
887
52
995
1 030
891
536
1 680
825
1 441
0
0
Cash
0
0
0
0
0
0
0
0
0
95
158
157
75
89
52
101
113
0
209
93
117
95
0
0
Cash Equivalents
696
123
440
896
1 344
1 376
2 066
2 284
4 425
0
2 705
2 329
2 127
798
0
894
917
891
326
1 587
708
1 345
0
0
Short-Term Investments
0
0
0
0
0
0
0
0
0
3 207
921
1 690
935
995
0
1 382
1 165
704
740
3 360
1 724
1 745
0
0
Total Receivables
762
1 241
1 405
1 612
2 535
3 811
2 822
3 038
2 883
3 879
3 574
6 673
3 317
3 439
0
4 925
5 132
5 354
6 171
7 926
8 266
8 543
7 641
7 662
Accounts Receivables
504
901
1 087
1 239
1 647
2 333
2 500
2 505
2 503
2 663
2 999
2 873
2 195
2 389
0
3 425
3 885
4 574
5 100
5 110
5 030
5 498
0
0
Other Receivables
258
340
318
373
888
1 478
322
533
380
1 216
575
3 800
1 122
1 050
0
1 500
1 247
780
1 071
2 815
3 236
3 045
0
0
Inventory
12
21
22
19
26
35
42
36
35
41
54
68
38
40
37
49
38
0
0
0
0
0
0
0
Other Current Assets
220
436
690
896
1 292
1 173
2 792
2 321
2 101
864
1 120
1 072
177
1 193
87
934
1 172
21 018
2 906
2 490
2 134
1 737
1 916
2 079
Total Current Assets
1 691
1 820
2 558
3 423
5 198
6 395
7 722
7 678
9 444
8 086
8 532
11 990
6 669
6 554
125
8 285
8 537
27 966
10 353
15 456
12 949
13 465
11 869
12 233
PP&E Net
7 633
7 898
7 984
8 248
8 898
10 829
10 564
9 853
13 863
8 229
8 662
8 811
5 817
5 544
0
3 775
2 762
2 662
2 727
2 619
2 645
2 738
3 654
4 102
PP&E Gross
7 633
7 898
7 984
8 248
8 898
10 829
10 564
9 853
0
8 229
0
8 811
5 817
5 544
0
3 775
2 762
0
2 727
2 619
2 645
2 738
0
0
Accumulated Depreciation
4 929
5 420
5 897
6 385
6 858
8 209
8 816
9 159
0
11 044
0
12 268
12 024
12 365
6 887
8 349
4 951
0
4 935
5 098
5 222
5 405
0
0
Intangible Assets
0
0
0
0
0
0
532
604
1 712
4 804
5 261
4 473
2 004
3 379
0
10 820
11 156
10 777
11 624
11 810
12 953
14 622
15 249
16 806
Note Receivable
1 492
837
1 007
1 239
1 738
2 327
2 128
2 073
2 052
2 016
2 525
1 073
832
1 210
0
1 487
1 135
4 385
10 224
8 284
8 230
7 640
9 582
12 819
Long-Term Investments
426
662
798
916
977
999
1 071
1 150
26
24
10 342
12 974
13 271
17 067
0
15 642
16 762
11 657
11 712
11 035
11 584
11 383
11 601
11 433
Other Long-Term Assets
1 973
2 598
2 678
2 957
3 028
2 658
2 250
2 984
1 770
10 398
2 036
1 452
1 221
1 246
0
2 027
1 887
2 891
3 886
4 879
3 684
3 822
0
0
Total Assets
13 215
N/A
13 814
+5%
15 025
+9%
16 782
+12%
19 840
+18%
23 209
+17%
24 267
+5%
24 341
+0%
28 866
+19%
33 556
+16%
37 358
+11%
40 773
+9%
29 814
-27%
35 000
+17%
0
N/A
42 036
N/A
42 240
+0%
60 338
+43%
50 526
-16%
54 083
+7%
52 046
-4%
53 671
+3%
55 000
+2%
59 727
+9%
Liabilities
Accounts Payable
551
1 275
611
676
765
914
936
892
852
717
1 190
1 735
1 066
1 604
0
1 940
2 343
1 801
2 080
2 358
2 683
2 832
3 017
2 952
Accrued Liabilities
97
109
199
174
383
513
236
294
353
270
889
918
822
903
0
1 217
1 144
990
899
1 471
1 804
2 688
2 065
1 701
Short-Term Debt
0
0
0
0
0
0
0
0
0
79
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
332
834
1 587
1 417
985
834
1 020
1 280
4 280
2 124
7 821
7 106
2 238
5 291
0
4 837
2 371
2 198
2 831
2 107
1 527
1 013
2 708
2 956
Other Current Liabilities
796
743
1 119
1 719
3 587
3 488
3 669
3 342
3 236
3 214
2 269
4 548
1 795
2 326
0
3 454
2 805
18 449
2 155
3 754
4 673
4 672
5 303
6 537
Total Current Liabilities
1 776
2 961
3 517
3 986
5 720
5 749
5 861
5 808
8 722
6 403
12 169
14 307
5 922
10 123
0
11 447
8 662
23 437
7 965
9 690
10 688
11 205
13 093
14 146
Long-Term Debt
2 050
2 551
2 271
2 801
3 951
6 815
6 619
6 065
7 013
11 024
7 958
9 064
7 220
8 218
0
10 342
12 027
12 574
12 233
13 140
10 081
9 921
7 556
9 753
Deferred Income Tax
0
217
440
573
799
450
319
371
603
1 758
1 234
948
256
611
0
582
735
803
770
1 040
962
932
1 112
1 543
Minority Interest
15
29
27
21
19
98
319
343
7
0
0
0
0
4
0
4
4
1 361
4
5
5
6
6
5
Other Liabilities
2 472
2 376
2 211
2 151
2 166
2 575
2 758
2 403
2 246
2 894
4 251
4 410
3 779
4 762
0
6 729
6 485
7 438
13 456
12 736
10 853
9 829
8 584
6 902
Total Liabilities
6 313
N/A
8 133
+29%
8 466
+4%
9 531
+13%
12 655
+33%
15 686
+24%
15 876
+1%
14 990
-6%
18 591
+24%
22 080
+19%
25 613
+16%
28 729
+12%
17 176
-40%
23 719
+38%
0
N/A
29 106
N/A
27 914
-4%
45 614
+63%
34 427
-25%
36 610
+6%
32 589
-11%
31 893
-2%
30 351
-5%
32 349
+7%
Equity
Common Stock
1 590
1 622
1 622
1 622
1 622
1 622
2 432
2 482
3 102
3 412
3 412
4 265
6 294
6 294
0
6 294
6 294
7 294
7 294
7 594
8 467
11 007
11 007
14 309
Retained Earnings
5 285
4 059
4 937
5 630
5 563
5 901
5 958
6 843
7 146
2 873
3 293
2 856
3 840
2 594
0
5 200
5 729
6 507
8 962
10 061
10 948
10 395
13 041
13 576
Additional Paid In Capital
0
0
0
0
0
0
0
0
0
69
69
69
69
69
0
69
69
394
394
394
394
394
394
394
Treasury Stock
0
0
0
0
0
0
0
0
0
1
1
1
1
1
0
1
1
1
1
1
1
1
1
1
Other Equity
27
0
0
0
0
0
0
27
27
5 123
4 972
4 855
2 436
2 325
0
1 368
2 235
530
550
575
352
17
209
900
Total Equity
6 902
N/A
5 681
-18%
6 559
+15%
7 251
+11%
7 185
-1%
7 522
+5%
8 390
+12%
9 352
+11%
10 276
+10%
11 476
+12%
11 745
+2%
12 044
+3%
12 638
+5%
11 281
-11%
0
N/A
12 930
N/A
14 326
+11%
14 724
+3%
16 098
+9%
17 473
+9%
19 456
+11%
21 777
+12%
24 649
+13%
27 378
+11%
Total Liabilities & Equity
13 215
N/A
13 814
+5%
15 025
+9%
16 782
+12%
19 840
+18%
23 209
+17%
24 267
+5%
24 341
+0%
28 866
+19%
33 556
+16%
37 358
+11%
40 773
+9%
29 814
-27%
35 000
+17%
0
N/A
42 036
N/A
42 240
+0%
60 338
+43%
50 526
-16%
54 083
+7%
52 046
-4%
53 671
+3%
55 000
+2%
59 727
+9%
Shares Outstanding
Common Shares Outstanding
1 322
1 348
1 348
1 348
1 348
1 348
1 348
1 348
1 348
1 348
1 161
1 161
1 295
1 295
0
1 954
1 954
2 201
2 201
2 201
2 201
2 201
2 861
2 861
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