US Stock MarketDetailed Quotes

BMA Banco Macro

Watchlist
  • 80.910
  • +0.900+1.12%
Close Nov 22 16:00 ET
  • 82.470
  • +1.560+1.93%
Post 16:36 ET
5.17BMarket Cap11.02P/E (TTM)

Banco Macro Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold
261.52%1.69T
324.28%1.43T
87.18%1.82T
87.18%1.82T
129.53%604.89B
119.23%466.96B
91.83%336.73B
144.83%971.65B
144.83%971.65B
39.85%263.54B
-Cash and cash equivalents
408.97%1.69T
286.24%1.15T
54.48%1.2T
54.48%1.2T
122.58%447.53B
82.54%331.68B
69.55%297.61B
132.00%778.8B
132.00%778.8B
21.11%201.06B
-Money market investments
----
613.72%279.19B
219.20%615.58B
219.20%615.58B
151.86%157.36B
332.22%135.28B
--39.12B
215.24%192.85B
215.24%192.85B
178.54%62.48B
Receivables
192.45%361.16B
155.15%199.07B
12.26%395.38B
12.26%395.38B
483.27%174.16B
357.90%123.5B
39,504.21%78.02B
185.53%352.2B
185.53%352.2B
47.46%29.86B
-Accounts receivable
----
----
17.71%220.1B
17.71%220.1B
----
----
----
211.16%186.99B
211.16%186.99B
----
-Other receivables
192.45%361.16B
155.15%199.07B
6.09%175.27B
6.09%175.27B
483.27%174.16B
357.90%123.5B
39,504.21%78.02B
161.18%165.21B
161.18%165.21B
47.46%29.86B
Prepaid assets
424.92%22.62B
402.72%19.66B
113.20%23.75B
113.20%23.75B
138.02%7.46B
61.90%4.31B
--3.91B
350.56%11.14B
350.56%11.14B
154.59%3.13B
Net loan
288.17%3.46T
257.61%2.49T
-3.79%1.61T
-3.79%1.61T
126.62%1.15T
98.37%891.74B
86.27%696.44B
167.81%1.68T
167.81%1.68T
64.02%508.32B
-Gross loan
289.41%3.54T
260.29%2.56T
-1.44%1.71T
-1.44%1.71T
130.89%1.17T
102.33%909.53B
90.02%710.46B
166.83%1.74T
166.83%1.74T
64.02%508.32B
-Allowance for loans and lease losses
351.47%80.3B
393.39%69.18B
56.58%53.65B
56.58%53.65B
--21.69B
--17.79B
--14.02B
82.62%34.26B
82.62%34.26B
----
-Unearned income
----
----
-69.52%-46.48B
-69.52%-46.48B
----
----
----
-312.63%-27.42B
-312.63%-27.42B
----
Securities and investments
250.97%5.21T
339.54%5.03T
-23.48%2.35T
-23.48%2.35T
76.65%1.49T
150.76%1.48T
123.43%1.15T
359.13%3.07T
359.13%3.07T
163.80%842.02B
-Available for sale securities
226.87%4.85T
311.54%4.71T
-22.08%2.05T
-22.08%2.05T
101.54%1.49T
150.76%1.48T
123.43%1.15T
294.82%2.64T
294.82%2.64T
131.23%738.05B
-Short term investments
--357.75B
--320.7B
-32.08%291.69B
-32.08%291.69B
----
----
----
--429.47B
--429.47B
--103.97B
Long term equity investment
141.24%2.7B
45.02%2.16B
-52.60%1.69B
-52.60%1.69B
49.21%1.44B
62.61%1.12B
128.79%1.49B
272.83%3.56B
272.83%3.56B
145.14%963.76M
Derivative assets
17,601.94%46.76B
12,655,164.40%57.58B
9,738.44%13.14B
9,738.44%13.14B
457.36%768.98M
2,635.19%264.17M
--455K
5,192.83%133.59M
5,192.83%133.59M
14,656.04%137.97M
Net PPE
320.28%646.6B
301.18%542.98B
12.48%356.79B
12.48%356.79B
140.63%208.24B
115.60%153.85B
122.20%135.35B
208.00%317.21B
208.00%317.21B
79.72%86.54B
-Gross PPE
358.16%1.02T
----
24.88%558.98B
24.88%558.98B
152.54%304.69B
126.91%222.55B
--135.42B
225.29%447.63B
225.29%447.63B
150.56%120.65B
-Accumulated depreciation
-442.99%-373.03B
----
-55.03%-202.19B
-55.03%-202.19B
-182.74%-96.45B
-157.14%-68.7B
---74.81M
-276.75%-130.42B
-276.75%-130.42B
---34.11B
Assets held for sale
456.59%72.55B
503.48%63.55B
51.89%41.89B
51.89%41.89B
220.57%16.87B
196.80%13.03B
180.96%10.53B
336.77%27.58B
336.77%27.58B
75.87%5.26B
Goodwill and other intangible assets
375.94%128.54B
406.55%110.47B
38.41%75.17B
38.41%75.17B
138.16%35.76B
123.52%27.01B
124.41%21.81B
231.74%54.31B
231.74%54.31B
99.09%15.02B
-Other intangible assets
--128.54B
----
38.41%75.17B
38.41%75.17B
----
----
--21.81B
231.74%54.31B
231.74%54.31B
99.09%15.02B
Other assets
321.03%58.32B
11,155.32%47.94B
12.27%31.03B
12.27%31.03B
84.48%18.88B
323.59%13.85B
-87.19%425.95M
783.67%27.64B
783.67%27.64B
950.73%10.24B
Total assets
267.92%11.7T
311.42%10T
3.22%6.72T
3.22%6.72T
110.09%3.71T
131.11%3.18T
113.05%2.43T
234.37%6.51T
234.37%6.51T
96.32%1.77T
Liabilities
Total deposits
254.23%6.74T
243.89%5.04T
-16.45%3.37T
-16.45%3.37T
78.68%2.01T
121.73%1.9T
116.12%1.46T
251.68%4.03T
251.68%4.03T
107.40%1.12T
Federal funds purchased and securities sold under agreement to repurchase
----
364.89%20.86B
--23.6B
--23.6B
10,967.86%38.79B
2,026.64%7.29B
-62.15%4.49B
----
----
-80.64%350.52M
Payables
185.92%1.02T
375.92%880.85B
36.28%692.22B
36.28%692.22B
265.45%407.94B
280.38%355.81B
33,308.57%185.08B
152.63%507.95B
152.63%507.95B
35.32%111.63B
-Total tax payable
95.06%116.73B
991.02%410.19B
173.12%292.79B
173.12%292.79B
173.17%67.68B
284.03%59.85B
6,686.38%37.6B
419.68%107.2B
419.68%107.2B
141.35%24.77B
-Dividends payable
156.22%168.54B
--146.9M
--80.14M
--80.14M
327.72%21.12B
566.07%65.78B
----
----
----
-81.42%4.94B
-Other payable
218.03%732.04B
219.02%470.51B
-0.35%399.34B
-0.35%399.34B
289.61%319.14B
238.10%230.18B
--147.49B
211.49%400.74B
211.49%400.74B
79.46%81.91B
Trading liabilities
3,587.17%52.97B
702.11%19.87B
744.00%13.83B
744.00%13.83B
1,478.47%10.53B
165.98%1.44B
437.28%2.48B
-48.34%1.64B
-48.34%1.64B
-69.94%667.4M
Long term provisions
278.86%13.75B
271.36%11.76B
1.50%8.81B
1.50%8.81B
25.33%3.94B
54.81%3.63B
58.14%3.17B
169.56%8.68B
169.56%8.68B
129.39%3.14B
Long term debt and capital lease obligation
299.38%441.94B
367.85%432.53B
65.76%396.48B
65.76%396.48B
136.31%153.76B
102.77%110.66B
88.20%92.45B
164.73%239.19B
164.73%239.19B
44.61%65.07B
-Long term debt
299.23%429.44B
369.16%420.74B
66.08%387.09B
66.08%387.09B
136.87%149.94B
103.20%107.57B
82.56%89.68B
166.10%233.07B
166.10%233.07B
45.25%63.3B
-Long term capital lease obligation
304.65%12.5B
325.46%11.79B
53.41%9.39B
53.41%9.39B
116.08%3.82B
88.76%3.09B
--2.77B
121.23%6.12B
121.23%6.12B
24.73%1.77B
Non current deferred liabilities
97.21%38.99B
262.03%59.92B
11.03%45.42B
11.03%45.42B
91.53%25.24B
106.74%19.77B
118.94%16.55B
236.12%40.9B
236.12%40.9B
68.67%13.18B
Employee benefits
44.53%3.03B
78.76%2.04B
-54.66%1.59B
-54.66%1.59B
-3.27%1.02B
34.86%2.1B
--1.14B
325.12%3.5B
325.12%3.5B
187.51%1.06B
Derivative product liabilities
2,915.96%333.23M
5,826.84%5.95B
38,343.23%2.84B
38,343.23%2.84B
1,983.39%39.5M
1,134.53%11.05M
1,334.26%100.4M
49.65%7.38M
49.65%7.38M
-22.30%1.9M
Other liabilities
486.21%199.13B
511.12%168.16B
53.09%119.17B
53.09%119.17B
141.93%50.11B
110.32%33.97B
-74.79%27.52B
255.06%77.84B
255.06%77.84B
128.98%20.71B
Total liabilities
249.04%8.51T
269.31%6.64T
-4.87%4.67T
-4.87%4.67T
101.50%2.7T
135.10%2.44T
109.41%1.8T
232.06%4.91T
232.06%4.91T
93.60%1.34T
Shareholders'equity
Share capital
0.00%639.41M
0.00%639.41M
0.00%639.41M
0.00%639.41M
0.00%639.41M
0.00%639.41M
0.06%639.41M
0.00%639.41M
0.00%639.41M
0.00%639.41M
-common stock
0.00%639.41M
0.00%639.41M
0.00%639.41M
0.00%639.41M
0.00%639.41M
0.00%639.41M
0.06%639.41M
0.00%639.41M
0.00%639.41M
0.00%639.41M
Paid-in capital
0.00%12.43B
0.00%12.43B
0.00%12.43B
0.00%12.43B
0.00%12.43B
0.00%12.43B
-0.00%12.43B
0.00%12.43B
0.00%12.43B
0.00%12.43B
Retained earnings
66.47%94.07B
1,772.27%1.17T
181.41%203.5B
181.41%203.5B
269.37%83.67B
399.90%56.51B
129.57%62.32B
-191.62%-249.98B
-191.62%-249.98B
225.56%22.65B
Gains losses not affecting retained earnings
406.88%2.06T
282.33%1.31T
-0.38%1.26T
-0.38%1.26T
124.13%545.31B
105.06%405.52B
138.33%343.52B
245.41%1.26T
245.41%1.26T
115.15%243.3B
Other equity interest
284.78%1.03T
305.47%866.85B
0.00%567.27B
0.00%567.27B
150.68%365.52B
128.47%267.74B
118.21%213.79B
227.35%567.27B
227.35%567.27B
97.75%145.81B
Total stockholders'equity
329.82%3.19T
431.07%3.36T
28.13%2.04T
28.13%2.04T
137.17%1.01T
118.92%742.84B
124.10%632.7B
241.71%1.59T
241.71%1.59T
105.39%424.84B
Non controlling interests
657.48%778.79M
124.58%261.63M
76.65%465.89M
76.65%465.89M
158.83%165.33M
196.14%102.81M
264.06%116.5M
257.42%263.74M
257.42%263.74M
2,132.58%63.87M
Total equity
329.86%3.19T
431.02%3.36T
28.14%2.04T
28.14%2.04T
137.17%1.01T
118.93%742.94B
124.12%632.82B
241.72%1.6T
241.72%1.6T
105.41%424.9B
Currency Unit
ARS
ARS
ARS
ARS
ARS
ARS
ARS
ARS
ARS
ARS
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
--
--
(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 (Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold 261.52%1.69T 324.28%1.43T 87.18%1.82T 87.18%1.82T 129.53%604.89B 119.23%466.96B 91.83%336.73B 144.83%971.65B 144.83%971.65B 39.85%263.54B
-Cash and cash equivalents 408.97%1.69T 286.24%1.15T 54.48%1.2T 54.48%1.2T 122.58%447.53B 82.54%331.68B 69.55%297.61B 132.00%778.8B 132.00%778.8B 21.11%201.06B
-Money market investments ---- 613.72%279.19B 219.20%615.58B 219.20%615.58B 151.86%157.36B 332.22%135.28B --39.12B 215.24%192.85B 215.24%192.85B 178.54%62.48B
Receivables 192.45%361.16B 155.15%199.07B 12.26%395.38B 12.26%395.38B 483.27%174.16B 357.90%123.5B 39,504.21%78.02B 185.53%352.2B 185.53%352.2B 47.46%29.86B
-Accounts receivable ---- ---- 17.71%220.1B 17.71%220.1B ---- ---- ---- 211.16%186.99B 211.16%186.99B ----
-Other receivables 192.45%361.16B 155.15%199.07B 6.09%175.27B 6.09%175.27B 483.27%174.16B 357.90%123.5B 39,504.21%78.02B 161.18%165.21B 161.18%165.21B 47.46%29.86B
Prepaid assets 424.92%22.62B 402.72%19.66B 113.20%23.75B 113.20%23.75B 138.02%7.46B 61.90%4.31B --3.91B 350.56%11.14B 350.56%11.14B 154.59%3.13B
Net loan 288.17%3.46T 257.61%2.49T -3.79%1.61T -3.79%1.61T 126.62%1.15T 98.37%891.74B 86.27%696.44B 167.81%1.68T 167.81%1.68T 64.02%508.32B
-Gross loan 289.41%3.54T 260.29%2.56T -1.44%1.71T -1.44%1.71T 130.89%1.17T 102.33%909.53B 90.02%710.46B 166.83%1.74T 166.83%1.74T 64.02%508.32B
-Allowance for loans and lease losses 351.47%80.3B 393.39%69.18B 56.58%53.65B 56.58%53.65B --21.69B --17.79B --14.02B 82.62%34.26B 82.62%34.26B ----
-Unearned income ---- ---- -69.52%-46.48B -69.52%-46.48B ---- ---- ---- -312.63%-27.42B -312.63%-27.42B ----
Securities and investments 250.97%5.21T 339.54%5.03T -23.48%2.35T -23.48%2.35T 76.65%1.49T 150.76%1.48T 123.43%1.15T 359.13%3.07T 359.13%3.07T 163.80%842.02B
-Available for sale securities 226.87%4.85T 311.54%4.71T -22.08%2.05T -22.08%2.05T 101.54%1.49T 150.76%1.48T 123.43%1.15T 294.82%2.64T 294.82%2.64T 131.23%738.05B
-Short term investments --357.75B --320.7B -32.08%291.69B -32.08%291.69B ---- ---- ---- --429.47B --429.47B --103.97B
Long term equity investment 141.24%2.7B 45.02%2.16B -52.60%1.69B -52.60%1.69B 49.21%1.44B 62.61%1.12B 128.79%1.49B 272.83%3.56B 272.83%3.56B 145.14%963.76M
Derivative assets 17,601.94%46.76B 12,655,164.40%57.58B 9,738.44%13.14B 9,738.44%13.14B 457.36%768.98M 2,635.19%264.17M --455K 5,192.83%133.59M 5,192.83%133.59M 14,656.04%137.97M
Net PPE 320.28%646.6B 301.18%542.98B 12.48%356.79B 12.48%356.79B 140.63%208.24B 115.60%153.85B 122.20%135.35B 208.00%317.21B 208.00%317.21B 79.72%86.54B
-Gross PPE 358.16%1.02T ---- 24.88%558.98B 24.88%558.98B 152.54%304.69B 126.91%222.55B --135.42B 225.29%447.63B 225.29%447.63B 150.56%120.65B
-Accumulated depreciation -442.99%-373.03B ---- -55.03%-202.19B -55.03%-202.19B -182.74%-96.45B -157.14%-68.7B ---74.81M -276.75%-130.42B -276.75%-130.42B ---34.11B
Assets held for sale 456.59%72.55B 503.48%63.55B 51.89%41.89B 51.89%41.89B 220.57%16.87B 196.80%13.03B 180.96%10.53B 336.77%27.58B 336.77%27.58B 75.87%5.26B
Goodwill and other intangible assets 375.94%128.54B 406.55%110.47B 38.41%75.17B 38.41%75.17B 138.16%35.76B 123.52%27.01B 124.41%21.81B 231.74%54.31B 231.74%54.31B 99.09%15.02B
-Other intangible assets --128.54B ---- 38.41%75.17B 38.41%75.17B ---- ---- --21.81B 231.74%54.31B 231.74%54.31B 99.09%15.02B
Other assets 321.03%58.32B 11,155.32%47.94B 12.27%31.03B 12.27%31.03B 84.48%18.88B 323.59%13.85B -87.19%425.95M 783.67%27.64B 783.67%27.64B 950.73%10.24B
Total assets 267.92%11.7T 311.42%10T 3.22%6.72T 3.22%6.72T 110.09%3.71T 131.11%3.18T 113.05%2.43T 234.37%6.51T 234.37%6.51T 96.32%1.77T
Liabilities
Total deposits 254.23%6.74T 243.89%5.04T -16.45%3.37T -16.45%3.37T 78.68%2.01T 121.73%1.9T 116.12%1.46T 251.68%4.03T 251.68%4.03T 107.40%1.12T
Federal funds purchased and securities sold under agreement to repurchase ---- 364.89%20.86B --23.6B --23.6B 10,967.86%38.79B 2,026.64%7.29B -62.15%4.49B ---- ---- -80.64%350.52M
Payables 185.92%1.02T 375.92%880.85B 36.28%692.22B 36.28%692.22B 265.45%407.94B 280.38%355.81B 33,308.57%185.08B 152.63%507.95B 152.63%507.95B 35.32%111.63B
-Total tax payable 95.06%116.73B 991.02%410.19B 173.12%292.79B 173.12%292.79B 173.17%67.68B 284.03%59.85B 6,686.38%37.6B 419.68%107.2B 419.68%107.2B 141.35%24.77B
-Dividends payable 156.22%168.54B --146.9M --80.14M --80.14M 327.72%21.12B 566.07%65.78B ---- ---- ---- -81.42%4.94B
-Other payable 218.03%732.04B 219.02%470.51B -0.35%399.34B -0.35%399.34B 289.61%319.14B 238.10%230.18B --147.49B 211.49%400.74B 211.49%400.74B 79.46%81.91B
Trading liabilities 3,587.17%52.97B 702.11%19.87B 744.00%13.83B 744.00%13.83B 1,478.47%10.53B 165.98%1.44B 437.28%2.48B -48.34%1.64B -48.34%1.64B -69.94%667.4M
Long term provisions 278.86%13.75B 271.36%11.76B 1.50%8.81B 1.50%8.81B 25.33%3.94B 54.81%3.63B 58.14%3.17B 169.56%8.68B 169.56%8.68B 129.39%3.14B
Long term debt and capital lease obligation 299.38%441.94B 367.85%432.53B 65.76%396.48B 65.76%396.48B 136.31%153.76B 102.77%110.66B 88.20%92.45B 164.73%239.19B 164.73%239.19B 44.61%65.07B
-Long term debt 299.23%429.44B 369.16%420.74B 66.08%387.09B 66.08%387.09B 136.87%149.94B 103.20%107.57B 82.56%89.68B 166.10%233.07B 166.10%233.07B 45.25%63.3B
-Long term capital lease obligation 304.65%12.5B 325.46%11.79B 53.41%9.39B 53.41%9.39B 116.08%3.82B 88.76%3.09B --2.77B 121.23%6.12B 121.23%6.12B 24.73%1.77B
Non current deferred liabilities 97.21%38.99B 262.03%59.92B 11.03%45.42B 11.03%45.42B 91.53%25.24B 106.74%19.77B 118.94%16.55B 236.12%40.9B 236.12%40.9B 68.67%13.18B
Employee benefits 44.53%3.03B 78.76%2.04B -54.66%1.59B -54.66%1.59B -3.27%1.02B 34.86%2.1B --1.14B 325.12%3.5B 325.12%3.5B 187.51%1.06B
Derivative product liabilities 2,915.96%333.23M 5,826.84%5.95B 38,343.23%2.84B 38,343.23%2.84B 1,983.39%39.5M 1,134.53%11.05M 1,334.26%100.4M 49.65%7.38M 49.65%7.38M -22.30%1.9M
Other liabilities 486.21%199.13B 511.12%168.16B 53.09%119.17B 53.09%119.17B 141.93%50.11B 110.32%33.97B -74.79%27.52B 255.06%77.84B 255.06%77.84B 128.98%20.71B
Total liabilities 249.04%8.51T 269.31%6.64T -4.87%4.67T -4.87%4.67T 101.50%2.7T 135.10%2.44T 109.41%1.8T 232.06%4.91T 232.06%4.91T 93.60%1.34T
Shareholders'equity
Share capital 0.00%639.41M 0.00%639.41M 0.00%639.41M 0.00%639.41M 0.00%639.41M 0.00%639.41M 0.06%639.41M 0.00%639.41M 0.00%639.41M 0.00%639.41M
-common stock 0.00%639.41M 0.00%639.41M 0.00%639.41M 0.00%639.41M 0.00%639.41M 0.00%639.41M 0.06%639.41M 0.00%639.41M 0.00%639.41M 0.00%639.41M
Paid-in capital 0.00%12.43B 0.00%12.43B 0.00%12.43B 0.00%12.43B 0.00%12.43B 0.00%12.43B -0.00%12.43B 0.00%12.43B 0.00%12.43B 0.00%12.43B
Retained earnings 66.47%94.07B 1,772.27%1.17T 181.41%203.5B 181.41%203.5B 269.37%83.67B 399.90%56.51B 129.57%62.32B -191.62%-249.98B -191.62%-249.98B 225.56%22.65B
Gains losses not affecting retained earnings 406.88%2.06T 282.33%1.31T -0.38%1.26T -0.38%1.26T 124.13%545.31B 105.06%405.52B 138.33%343.52B 245.41%1.26T 245.41%1.26T 115.15%243.3B
Other equity interest 284.78%1.03T 305.47%866.85B 0.00%567.27B 0.00%567.27B 150.68%365.52B 128.47%267.74B 118.21%213.79B 227.35%567.27B 227.35%567.27B 97.75%145.81B
Total stockholders'equity 329.82%3.19T 431.07%3.36T 28.13%2.04T 28.13%2.04T 137.17%1.01T 118.92%742.84B 124.10%632.7B 241.71%1.59T 241.71%1.59T 105.39%424.84B
Non controlling interests 657.48%778.79M 124.58%261.63M 76.65%465.89M 76.65%465.89M 158.83%165.33M 196.14%102.81M 264.06%116.5M 257.42%263.74M 257.42%263.74M 2,132.58%63.87M
Total equity 329.86%3.19T 431.02%3.36T 28.14%2.04T 28.14%2.04T 137.17%1.01T 118.93%742.94B 124.12%632.82B 241.72%1.6T 241.72%1.6T 105.41%424.9B
Currency Unit ARS ARS ARS ARS ARS ARS ARS ARS ARS ARS
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 -- --

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