Parque Arauco SA
SGO:PARAUCO
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P
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Parque Arauco SA
SGO:PARAUCO
|
CL |
Balance Sheet
Balance Sheet Decomposition
Parque Arauco SA
Parque Arauco SA
Balance Sheet
Parque Arauco SA
| 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 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
250
|
540
|
311
|
577
|
1 827
|
2 513
|
6 120
|
2 693
|
85 296
|
136 429
|
104 290
|
68 946
|
110 061
|
114 225
|
158 809
|
146 599
|
281 224
|
315 435
|
358 927
|
298 662
|
243 043
|
319 187
|
387 091
|
153 100
|
|
| Cash |
250
|
540
|
311
|
577
|
1 827
|
2 513
|
6 120
|
2 693
|
85 296
|
3 485
|
4 558
|
7 629
|
13 915
|
8 097
|
36 026
|
1 803
|
21 511
|
19 214
|
5 249
|
8 777
|
14 099
|
10 265
|
6 738
|
7 850
|
|
| Cash Equivalents |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
132 944
|
99 732
|
61 317
|
96 146
|
106 128
|
122 783
|
144 796
|
259 713
|
296 221
|
353 678
|
289 885
|
228 944
|
308 922
|
380 353
|
145 250
|
|
| Short-Term Investments |
14 102
|
13 690
|
11 255
|
12 687
|
14 140
|
18 152
|
15 238
|
41 493
|
654
|
289
|
0
|
0
|
0
|
18 748
|
557
|
2
|
6 607
|
3
|
0
|
0
|
0
|
2
|
35 400
|
20 933
|
|
| Total Receivables |
7 072
|
7 267
|
7 450
|
6 987
|
9 298
|
14 632
|
22 217
|
27 376
|
24 485
|
23 188
|
40 504
|
45 013
|
48 891
|
61 505
|
63 895
|
64 423
|
67 935
|
71 649
|
55 928
|
55 540
|
58 206
|
65 904
|
59 669
|
71 933
|
|
| Accounts Receivables |
4 237
|
4 278
|
5 142
|
4 954
|
6 988
|
9 098
|
12 434
|
13 188
|
22 148
|
12 347
|
14 709
|
17 042
|
18 229
|
23 641
|
23 659
|
26 823
|
26 670
|
34 469
|
18 642
|
23 653
|
22 421
|
27 761
|
25 741
|
27 883
|
|
| Other Receivables |
2 835
|
2 989
|
2 308
|
2 033
|
2 310
|
5 534
|
9 783
|
14 188
|
2 337
|
10 841
|
25 795
|
27 971
|
30 662
|
37 865
|
40 236
|
37 600
|
41 265
|
37 179
|
37 286
|
31 887
|
35 785
|
38 142
|
33 928
|
44 050
|
|
| Inventory |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Current Assets |
16 560
|
5 944
|
3 837
|
6 898
|
60 175
|
9 190
|
23 371
|
15 570
|
9 024
|
14 349
|
3 077
|
3 148
|
2 785
|
3 971
|
5 454
|
21 683
|
8 402
|
22 836
|
15 932
|
14 495
|
14 879
|
35 632
|
45 876
|
28 067
|
|
| Total Current Assets |
37 985
|
27 441
|
22 853
|
27 148
|
85 440
|
44 488
|
66 947
|
87 133
|
119 460
|
174 256
|
147 870
|
117 108
|
161 736
|
198 448
|
228 714
|
232 707
|
364 168
|
409 922
|
430 787
|
368 698
|
316 128
|
420 724
|
528 036
|
274 033
|
|
| PP&E Net |
133 832
|
135 292
|
140 133
|
157 135
|
192 098
|
277 058
|
390 411
|
426 274
|
2 855
|
2 899
|
2 693
|
2 724
|
2 837
|
3 076
|
3 838
|
10 222
|
13 371
|
40 682
|
29 154
|
35 684
|
34 759
|
37 031
|
14 616
|
20 922
|
|
| PP&E Gross |
133 832
|
135 292
|
140 133
|
157 135
|
192 098
|
277 058
|
390 411
|
426 274
|
2 855
|
2 899
|
2 693
|
2 724
|
2 837
|
3 076
|
3 838
|
10 222
|
13 371
|
40 682
|
29 154
|
35 684
|
34 759
|
37 031
|
14 616
|
20 922
|
|
| Accumulated Depreciation |
29 596
|
32 709
|
36 775
|
41 523
|
47 556
|
58 702
|
66 151
|
73 041
|
4 729
|
3 194
|
3 293
|
2 671
|
3 398
|
4 059
|
4 488
|
5 000
|
6 168
|
7 216
|
7 951
|
9 281
|
10 585
|
13 042
|
15 415
|
17 878
|
|
| Intangible Assets |
187
|
170
|
231
|
262
|
2 434
|
2 115
|
4 182
|
6 224
|
15 567
|
10 702
|
16 258
|
14 988
|
14 751
|
18 261
|
15 731
|
14 137
|
16 171
|
18 105
|
12 984
|
12 522
|
15 054
|
16 371
|
16 742
|
19 798
|
|
| Goodwill |
4 736
|
3 540
|
3 032
|
2 504
|
3 327
|
949
|
22 576
|
1 162
|
8 443
|
3 030
|
2 964
|
15 629
|
16 383
|
13 089
|
15 074
|
14 881
|
16 318
|
3 258
|
2 733
|
2 809
|
2 871
|
4 367
|
1 264
|
1 264
|
|
| Note Receivable |
939
|
1 750
|
1 277
|
780
|
680
|
576
|
551
|
518
|
1 628
|
1 755
|
2 096
|
1 351
|
327
|
9 300
|
8 823
|
13 195
|
17 488
|
2 079
|
49
|
1 150
|
1 323
|
1 432
|
1 458
|
8 853
|
|
| Long-Term Investments |
90 045
|
74 089
|
70 014
|
66 371
|
69 474
|
68 088
|
82 144
|
71 040
|
622 207
|
701 810
|
877 506
|
997 473
|
1 144 217
|
1 366 773
|
1 607 109
|
1 713 065
|
1 881 160
|
2 145 308
|
2 144 133
|
2 327 887
|
2 531 867
|
2 948 974
|
3 324 930
|
3 815 877
|
|
| Other Long-Term Assets |
2 668
|
4 425
|
4 262
|
3 977
|
4 438
|
3 403
|
16 855
|
25 783
|
39 891
|
46 787
|
26 423
|
52 683
|
73 507
|
62 992
|
79 731
|
82 807
|
69 424
|
65 625
|
31 563
|
27 148
|
36 209
|
54 071
|
43 434
|
143 936
|
|
| Other Assets |
4 736
|
3 540
|
3 032
|
2 504
|
3 327
|
949
|
22 576
|
1 162
|
8 443
|
3 030
|
2 964
|
15 629
|
16 383
|
13 089
|
15 074
|
14 881
|
16 318
|
3 258
|
2 733
|
2 809
|
2 871
|
4 367
|
1 264
|
1 264
|
|
| Total Assets |
270 392
N/A
|
246 707
-9%
|
241 803
-2%
|
258 177
+7%
|
357 889
+39%
|
394 778
+10%
|
583 667
+48%
|
615 810
+6%
|
810 050
+32%
|
941 239
+16%
|
1 075 809
+14%
|
1 201 956
+12%
|
1 413 758
+18%
|
1 671 939
+18%
|
1 959 020
+17%
|
2 081 014
+6%
|
2 378 100
+14%
|
2 684 979
+13%
|
2 651 404
-1%
|
2 775 898
+5%
|
2 938 211
+6%
|
3 482 971
+19%
|
3 930 480
+13%
|
4 284 683
+9%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
575
|
648
|
835
|
1 620
|
2 153
|
5 313
|
1 535
|
2 317
|
7 349
|
2 148
|
6 934
|
6 999
|
10 967
|
12 712
|
23 036
|
17 586
|
19 757
|
26 360
|
21 336
|
38 429
|
34 850
|
41 555
|
38 768
|
42 959
|
|
| Accrued Liabilities |
481
|
659
|
676
|
186
|
617
|
625
|
1 210
|
1 428
|
146
|
628
|
902
|
576
|
3 569
|
4 124
|
3 949
|
3 921
|
4 759
|
5 300
|
2 280
|
6 159
|
8 349
|
8 257
|
12 562
|
17 569
|
|
| Short-Term Debt |
8 084
|
5 915
|
3 129
|
4 998
|
5 022
|
35 121
|
1 822
|
1 502
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
18 508
|
4 091
|
927
|
3 744
|
4 980
|
21 909
|
12 793
|
16 046
|
31 509
|
24 339
|
37 263
|
35 726
|
52 055
|
77 965
|
78 462
|
33 138
|
119 473
|
235 811
|
55 524
|
103 391
|
118 961
|
164 884
|
189 844
|
155 988
|
|
| Other Current Liabilities |
1 456
|
1 818
|
1 627
|
1 961
|
2 742
|
2 737
|
7 189
|
5 202
|
19 995
|
33 069
|
29 604
|
32 762
|
29 060
|
30 365
|
49 345
|
42 201
|
46 343
|
53 775
|
14 722
|
21 096
|
29 492
|
46 209
|
55 186
|
61 602
|
|
| Total Current Liabilities |
29 104
|
13 132
|
7 195
|
12 508
|
15 515
|
65 705
|
24 548
|
26 495
|
58 999
|
60 183
|
74 704
|
76 064
|
95 651
|
125 167
|
154 793
|
96 846
|
190 332
|
321 246
|
93 862
|
169 075
|
191 652
|
260 906
|
296 360
|
278 118
|
|
| Long-Term Debt |
80 921
|
88 820
|
90 129
|
98 779
|
123 581
|
98 719
|
262 356
|
288 618
|
302 493
|
311 503
|
326 608
|
397 240
|
405 945
|
595 867
|
687 528
|
791 932
|
872 160
|
924 821
|
1 223 050
|
1 071 418
|
1 113 161
|
1 263 429
|
1 477 166
|
1 627 694
|
|
| Deferred Income Tax |
517
|
755
|
979
|
1 664
|
5 195
|
6 434
|
7 588
|
10 817
|
50 651
|
52 173
|
68 775
|
75 999
|
106 379
|
130 050
|
157 064
|
191 594
|
214 750
|
247 849
|
216 050
|
224 138
|
257 958
|
296 562
|
340 429
|
396 009
|
|
| Minority Interest |
0
|
0
|
0
|
0
|
4 946
|
6 354
|
19 143
|
26 122
|
41 782
|
48 815
|
123 767
|
124 963
|
142 244
|
120 032
|
136 552
|
142 595
|
158 201
|
110 808
|
109 355
|
212 838
|
211 136
|
332 049
|
323 590
|
362 361
|
|
| Other Liabilities |
12 144
|
12 596
|
11 369
|
10 262
|
9 453
|
9 703
|
13 967
|
11 083
|
10 472
|
13 800
|
9 523
|
17 345
|
25 655
|
44 452
|
60 691
|
59 873
|
22 831
|
23 185
|
30 817
|
21 003
|
19 375
|
31 114
|
28 477
|
25 979
|
|
| Total Liabilities |
122 687
N/A
|
115 303
-6%
|
109 672
-5%
|
123 213
+12%
|
158 689
+29%
|
186 915
+18%
|
327 603
+75%
|
363 134
+11%
|
464 397
+28%
|
486 473
+5%
|
603 377
+24%
|
691 612
+15%
|
775 874
+12%
|
1 015 568
+31%
|
1 196 628
+18%
|
1 282 839
+7%
|
1 458 274
+14%
|
1 627 909
+12%
|
1 673 135
+3%
|
1 698 473
+2%
|
1 793 282
+6%
|
2 184 060
+22%
|
2 466 022
+13%
|
2 690 161
+9%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
78 991
|
79 781
|
81 776
|
84 720
|
129 394
|
139 833
|
152 278
|
149 141
|
150 928
|
233 643
|
233 643
|
233 643
|
336 925
|
338 573
|
412 552
|
416 047
|
420 017
|
423 575
|
423 575
|
423 575
|
423 575
|
423 575
|
423 575
|
423 575
|
|
| Retained Earnings |
50 808
|
49 048
|
55 477
|
62 988
|
72 975
|
77 654
|
89 493
|
110 936
|
220 654
|
234 807
|
251 255
|
290 550
|
309 445
|
321 680
|
363 828
|
416 885
|
497 558
|
582 626
|
569 613
|
603 243
|
690 021
|
785 484
|
888 247
|
993 486
|
|
| Additional Paid In Capital |
923
|
933
|
956
|
990
|
8 418
|
9 194
|
10 012
|
9 782
|
0
|
0
|
0
|
0
|
201
|
201
|
289
|
289
|
289
|
289
|
289
|
289
|
289
|
289
|
289
|
289
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Treasury Stock |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
3 737
|
3 737
|
3 737
|
3 737
|
3 737
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Equity |
16 982
|
1 643
|
6 078
|
13 733
|
11 586
|
18 817
|
4 281
|
17 182
|
22 192
|
9 948
|
8 729
|
10 113
|
4 951
|
4 083
|
14 277
|
35 046
|
1 963
|
50 580
|
15 209
|
50 317
|
31 043
|
89 562
|
152 346
|
177 171
|
|
| Total Equity |
147 704
N/A
|
131 404
-11%
|
132 130
+1%
|
134 965
+2%
|
199 200
+48%
|
207 863
+4%
|
256 063
+23%
|
252 676
-1%
|
345 653
+37%
|
454 766
+32%
|
472 433
+4%
|
510 344
+8%
|
637 883
+25%
|
656 371
+3%
|
762 392
+16%
|
798 175
+5%
|
919 826
+15%
|
1 057 070
+15%
|
978 269
-7%
|
1 077 425
+10%
|
1 144 929
+6%
|
1 298 911
+13%
|
1 464 458
+13%
|
1 594 522
+9%
|
|
| Total Liabilities & Equity |
270 392
N/A
|
246 707
-9%
|
241 803
-2%
|
258 177
+7%
|
357 889
+39%
|
394 778
+10%
|
583 667
+48%
|
615 810
+6%
|
810 050
+32%
|
941 239
+16%
|
1 075 809
+14%
|
1 201 956
+12%
|
1 413 758
+18%
|
1 671 939
+18%
|
1 959 020
+17%
|
2 081 014
+6%
|
2 378 100
+14%
|
2 684 979
+13%
|
2 651 404
-1%
|
2 775 898
+5%
|
2 938 211
+6%
|
3 482 971
+19%
|
3 930 480
+13%
|
4 284 683
+9%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
478
|
478
|
478
|
478
|
614
|
617
|
617
|
618
|
622
|
714
|
714
|
711
|
821
|
826
|
894
|
898
|
902
|
906
|
906
|
906
|
906
|
906
|
906
|
906
|
|