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BLX Banco Latinoamericano de Comercio Exterior

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  • 34.465
  • +0.625+1.85%
Trading Nov 25 12:04 ET
1.26BMarket Cap6.30P/E (TTM)

Banco Latinoamericano de Comercio Exterior Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-578.13%-243.26M
1.77%476.33M
-66.13%175.54M
238.00%1.06B
-84.43%25M
611.78%50.88M
206.59%468.03M
207.69%518.21M
11.71%-769.65M
120.92%160.58M
Net income from continuing operations
15.82%52.99M
35.22%50.12M
38.73%51.27M
80.53%166.16M
49.51%46.39M
70.25%45.75M
61.00%37.07M
232.35%36.95M
46.80%92.04M
54.61%31.03M
Operating gains losses
-251.81%-22.41M
-83.43%3.83M
-221.16%-9.09M
19,330.23%41.78M
-129.27%-3.58M
358.25%14.76M
485.24%23.09M
2,560.33%7.5M
117.04%215K
4,714.72%12.23M
Depreciation and amortization
12.19%893K
13.50%841K
11.29%818K
13.96%3.09M
18.10%822K
10.40%796K
15.60%741K
11.87%735K
-22.23%2.72M
-5.43%696K
Other non cashItems
-10.06%-66.63M
-15.24%-62.76M
-19.51%-62.89M
-57.57%-233.22M
-32.71%-65.6M
-50.75%-60.54M
-66.54%-54.46M
-104.58%-52.62M
-70.55%-148.01M
-99.25%-49.43M
Change in working capital
-2,401.50%-254.58M
7.79%403.08M
-72.03%134.07M
191.83%820.95M
-121.32%-22.21M
70.07%-10.18M
180.42%373.96M
196.04%479.37M
6.37%-894.01M
113.15%104.15M
-Change in loans
-500.05%-648.16M
15.27%-98.78M
-249.59%-152.44M
61.47%-406.06M
-197.04%-283.37M
65.89%-108.02M
61.00%-116.58M
113.95%101.91M
-28.28%-1.05B
166.90%292.01M
-Change in other current assets
4,357.89%809K
516.38%12.51M
-268.76%-13.55M
-531.60%-7.38M
-120.98%-678K
97.91%-19K
-3,437.78%-3M
-422.02%-3.68M
200.23%1.71M
212.03%3.23M
-Change in other current liabilities
249.78%11.76M
-432.10%-3.32M
-992.56%-16.33M
117.28%26.69M
260.60%20.5M
-54.66%3.36M
-75.64%1M
-86.48%1.83M
362.65%12.28M
-5,009.62%-12.77M
-Change in other working capital
303.20%381.02M
0.02%492.67M
-16.59%316.39M
727.82%1.21B
235.34%241.34M
-65.78%94.5M
389.28%492.54M
73.75%379.32M
214.95%145.89M
49.48%-178.33M
Cash from discontinued operating activities
Operating cash flow
-578.13%-243.25M
1.77%476.33M
-66.13%175.54M
238.00%1.06B
-84.43%25M
611.78%50.88M
206.59%468.03M
207.69%518.21M
11.71%-769.65M
120.92%160.58M
Investing cash flow
Cash flow from continuing investing activities
-2,474.81%-66.04M
51.85%-35.39M
-216.60%-89.22M
92.34%-12.77M
-119.75%-13.22M
-104.56%-2.57M
-326.65%-73.5M
128.06%76.52M
62.64%-166.66M
203.87%66.9M
Net investment purchase and sale
-3,369.70%-64.47M
52.12%-35.02M
-215.30%-88.91M
95.00%-10.67M
-170.99%-12.78M
-103.23%-1.86M
-334.83%-73.14M
128.31%77.11M
52.03%-213.62M
128.04%18.01M
Net proceeds payment for loan
----
----
----
--0
----
----
----
----
--49.68M
----
Net PPE purchase and sale
-214.62%-818K
54.61%-128K
45.52%-79K
53.91%-761K
87.75%-74K
56.95%-260K
22.95%-282K
-88.31%-145K
-264.46%-1.65M
-313.70%-604K
Net intangibles purchase and sale
-69.80%-759K
-207.69%-240K
47.78%-235K
-24.77%-1.34M
-95.65%-360K
28.59%-447K
-90.24%-78K
-105.48%-450K
-203.12%-1.07M
-228.57%-184K
Cash from discontinued investing activities
Investing cash flow
-2,474.81%-66.04M
51.85%-35.39M
-216.60%-89.22M
92.34%-12.77M
-119.75%-13.22M
-104.56%-2.57M
-326.65%-73.5M
128.06%76.52M
62.64%-166.66M
203.87%66.9M
Financing cash flow
Cash flow from continuing financing activities
144.62%116.58M
-410.82%-305.97M
21.86%-407.22M
-127.64%-253.22M
4,325.13%430.79M
-342.98%-261.3M
-84.75%98.44M
-440.03%-521.14M
-45.55%916.25M
-99.31%9.74M
Change in federal funds and securities sold for repurchase
120.54%43.53M
-201.77%-61.04M
13.82%53.61M
107.64%9.7M
151.02%114.58M
-30.85%-211.95M
-82.42%59.98M
157.68%47.1M
-130.47%-127M
-332.71%-224.56M
Net issuance payments of debt
326.50%91.26M
-576.38%-226.7M
20.83%-442.7M
-121.00%-226.65M
33.68%325.21M
-114.47%-40.29M
-84.83%47.59M
-329.25%-559.15M
-20.90%1.08B
-82.04%243.27M
Net commonstock issuance
----
----
----
--0
----
----
----
----
--0
----
Cash dividends paid
-101.12%-18.22M
-99.81%-18.23M
-99.45%-18.12M
-0.35%-36.27M
-0.27%-9M
-0.20%-9.06M
0.07%-9.13M
-1.01%-9.09M
6.30%-36.14M
2.57%-8.98M
Cash from discontinued financing activities
Financing cash flow
144.62%116.58M
-410.82%-305.97M
21.86%-407.22M
-127.64%-253.22M
4,325.13%430.79M
-342.98%-261.3M
-84.75%98.44M
-440.03%-521.14M
-45.55%916.25M
-99.31%9.74M
Net cash flow
Beginning cash position
2.48%1.8B
31.76%1.67B
66.85%1.99B
-1.66%1.19B
61.94%1.54B
119.74%1.76B
107.16%1.26B
-1.66%1.19B
43.14%1.21B
50.82%953.72M
Current changes in cash
9.52%-192.72M
-72.62%134.96M
-536.07%-320.9M
4,067.76%796.13M
86.57%442.57M
-238.39%-212.99M
160.28%492.97M
112.25%73.59M
-105.50%-20.07M
-59.01%237.22M
End cash position
4.14%1.61B
2.48%1.8B
31.76%1.67B
66.85%1.99B
66.85%1.99B
61.94%1.54B
119.74%1.76B
107.16%1.26B
-1.66%1.19B
-1.66%1.19B
Free cash flow
-588.01%-244.83M
1.77%475.96M
-66.15%175.23M
237.24%1.06B
-84.63%24.56M
549.10%50.17M
206.41%467.67M
207.50%517.62M
11.48%-772.37M
120.81%159.8M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -578.13%-243.26M1.77%476.33M-66.13%175.54M238.00%1.06B-84.43%25M611.78%50.88M206.59%468.03M207.69%518.21M11.71%-769.65M120.92%160.58M
Net income from continuing operations 15.82%52.99M35.22%50.12M38.73%51.27M80.53%166.16M49.51%46.39M70.25%45.75M61.00%37.07M232.35%36.95M46.80%92.04M54.61%31.03M
Operating gains losses -251.81%-22.41M-83.43%3.83M-221.16%-9.09M19,330.23%41.78M-129.27%-3.58M358.25%14.76M485.24%23.09M2,560.33%7.5M117.04%215K4,714.72%12.23M
Depreciation and amortization 12.19%893K13.50%841K11.29%818K13.96%3.09M18.10%822K10.40%796K15.60%741K11.87%735K-22.23%2.72M-5.43%696K
Other non cashItems -10.06%-66.63M-15.24%-62.76M-19.51%-62.89M-57.57%-233.22M-32.71%-65.6M-50.75%-60.54M-66.54%-54.46M-104.58%-52.62M-70.55%-148.01M-99.25%-49.43M
Change in working capital -2,401.50%-254.58M7.79%403.08M-72.03%134.07M191.83%820.95M-121.32%-22.21M70.07%-10.18M180.42%373.96M196.04%479.37M6.37%-894.01M113.15%104.15M
-Change in loans -500.05%-648.16M15.27%-98.78M-249.59%-152.44M61.47%-406.06M-197.04%-283.37M65.89%-108.02M61.00%-116.58M113.95%101.91M-28.28%-1.05B166.90%292.01M
-Change in other current assets 4,357.89%809K516.38%12.51M-268.76%-13.55M-531.60%-7.38M-120.98%-678K97.91%-19K-3,437.78%-3M-422.02%-3.68M200.23%1.71M212.03%3.23M
-Change in other current liabilities 249.78%11.76M-432.10%-3.32M-992.56%-16.33M117.28%26.69M260.60%20.5M-54.66%3.36M-75.64%1M-86.48%1.83M362.65%12.28M-5,009.62%-12.77M
-Change in other working capital 303.20%381.02M0.02%492.67M-16.59%316.39M727.82%1.21B235.34%241.34M-65.78%94.5M389.28%492.54M73.75%379.32M214.95%145.89M49.48%-178.33M
Cash from discontinued operating activities
Operating cash flow -578.13%-243.25M1.77%476.33M-66.13%175.54M238.00%1.06B-84.43%25M611.78%50.88M206.59%468.03M207.69%518.21M11.71%-769.65M120.92%160.58M
Investing cash flow
Cash flow from continuing investing activities -2,474.81%-66.04M51.85%-35.39M-216.60%-89.22M92.34%-12.77M-119.75%-13.22M-104.56%-2.57M-326.65%-73.5M128.06%76.52M62.64%-166.66M203.87%66.9M
Net investment purchase and sale -3,369.70%-64.47M52.12%-35.02M-215.30%-88.91M95.00%-10.67M-170.99%-12.78M-103.23%-1.86M-334.83%-73.14M128.31%77.11M52.03%-213.62M128.04%18.01M
Net proceeds payment for loan --------------0------------------49.68M----
Net PPE purchase and sale -214.62%-818K54.61%-128K45.52%-79K53.91%-761K87.75%-74K56.95%-260K22.95%-282K-88.31%-145K-264.46%-1.65M-313.70%-604K
Net intangibles purchase and sale -69.80%-759K-207.69%-240K47.78%-235K-24.77%-1.34M-95.65%-360K28.59%-447K-90.24%-78K-105.48%-450K-203.12%-1.07M-228.57%-184K
Cash from discontinued investing activities
Investing cash flow -2,474.81%-66.04M51.85%-35.39M-216.60%-89.22M92.34%-12.77M-119.75%-13.22M-104.56%-2.57M-326.65%-73.5M128.06%76.52M62.64%-166.66M203.87%66.9M
Financing cash flow
Cash flow from continuing financing activities 144.62%116.58M-410.82%-305.97M21.86%-407.22M-127.64%-253.22M4,325.13%430.79M-342.98%-261.3M-84.75%98.44M-440.03%-521.14M-45.55%916.25M-99.31%9.74M
Change in federal funds and securities sold for repurchase 120.54%43.53M-201.77%-61.04M13.82%53.61M107.64%9.7M151.02%114.58M-30.85%-211.95M-82.42%59.98M157.68%47.1M-130.47%-127M-332.71%-224.56M
Net issuance payments of debt 326.50%91.26M-576.38%-226.7M20.83%-442.7M-121.00%-226.65M33.68%325.21M-114.47%-40.29M-84.83%47.59M-329.25%-559.15M-20.90%1.08B-82.04%243.27M
Net commonstock issuance --------------0------------------0----
Cash dividends paid -101.12%-18.22M-99.81%-18.23M-99.45%-18.12M-0.35%-36.27M-0.27%-9M-0.20%-9.06M0.07%-9.13M-1.01%-9.09M6.30%-36.14M2.57%-8.98M
Cash from discontinued financing activities
Financing cash flow 144.62%116.58M-410.82%-305.97M21.86%-407.22M-127.64%-253.22M4,325.13%430.79M-342.98%-261.3M-84.75%98.44M-440.03%-521.14M-45.55%916.25M-99.31%9.74M
Net cash flow
Beginning cash position 2.48%1.8B31.76%1.67B66.85%1.99B-1.66%1.19B61.94%1.54B119.74%1.76B107.16%1.26B-1.66%1.19B43.14%1.21B50.82%953.72M
Current changes in cash 9.52%-192.72M-72.62%134.96M-536.07%-320.9M4,067.76%796.13M86.57%442.57M-238.39%-212.99M160.28%492.97M112.25%73.59M-105.50%-20.07M-59.01%237.22M
End cash position 4.14%1.61B2.48%1.8B31.76%1.67B66.85%1.99B66.85%1.99B61.94%1.54B119.74%1.76B107.16%1.26B-1.66%1.19B-1.66%1.19B
Free cash flow -588.01%-244.83M1.77%475.96M-66.15%175.23M237.24%1.06B-84.63%24.56M549.10%50.17M206.41%467.67M207.50%517.62M11.48%-772.37M120.81%159.8M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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