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BMA Banco Macro

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  • 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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
1,187.75%581.85B
-96.09%27.61B
-105.29%-85.23B
-119.90%-152.52B
-221.64%-585.42B
-125.43%-53.49B
358.26%706.2B
493.24%1.61T
285.09%766.51B
675.96%481.26B
Net income from continuing operations
-222.13%-301.47B
512.85%364.74B
372.37%870B
635.83%739.8B
-445.01%-176.16B
1,344.69%246.84B
284.14%59.52B
26.20%184.18B
-8.73%100.54B
185.07%51.06B
Operating gains losses
85.15%-27.95B
66.44%-33.99B
-97.22%-519.69B
-136.04%-336.21B
235.87%105.96B
-557.36%-188.16B
-600.52%-101.28B
-152.07%-263.5B
-75.09%-142.44B
-907.39%-77.99B
Depreciation and amortization
18.97%31.51B
27.94%24.28B
22.35%58.1B
36.10%33.35B
-276.34%-20.71B
291.70%26.48B
323.87%18.98B
9.86%47.49B
-28.91%24.5B
188.93%11.75B
Other non cashItems
-70.87%268.9B
-45.56%327.93B
22.02%1.42T
-4.77%578.29B
-305.98%-679.32B
548.92%923.02B
584.01%602.41B
68.05%1.17T
11.31%607.23B
460.63%329.8B
Change in working capital
178.40%825.67B
-636.50%-673.05B
-517.87%-1.94T
-801.35%-1.19T
8.09%176.13B
-1,551.49%-1.05T
112.39%125.45B
201.65%463.65B
145.31%169.08B
2,613.00%162.94B
-Change in loans
88.49%-45.73B
239.79%898.18B
-46.63%132.75B
-17.41%81.02B
188.67%184.54B
-384.58%-397.14B
56.70%264.33B
-31.50%248.76B
-56.81%98.1B
1,671.97%63.93B
-Change in other current assets
56.49%-59.74B
305.69%93.48B
-46.60%16.51B
396.09%86.61B
425.99%112.65B
-2,103.03%-137.31B
-242.50%-45.45B
169.64%30.91B
43.95%-29.25B
496.01%21.42B
-Change in other current liabilities
-20.64%148.42B
-165.44%-169.25B
-628.86%-82.86B
-269.72%-130.29B
-360.15%-75.83B
15,939.54%187.02B
-39.27%-63.76B
143.25%15.67B
1,366.23%76.77B
-700.74%-16.48B
-Change in other working capital
210.90%782.72B
-4,940.10%-1.5T
-1,290.57%-2T
-5,312.83%-1.22T
-148.07%-45.23B
-581.78%-705.77B
69.00%-29.67B
122.79%168.31B
104.24%23.47B
1,763.31%94.08B
Cash from discontinued operating activities
Operating cash flow
1,187.75%581.85B
-96.09%27.61B
-105.29%-85.23B
-119.90%-152.52B
-221.64%-585.42B
-125.43%-53.49B
358.26%706.2B
493.24%1.61T
285.09%766.51B
675.96%481.26B
Investing cash flow
Cash flow from continuing investing activities
-26.53%-30.43B
1.35%-19.96B
207.33%81.32B
400.09%104.48B
179.79%21.12B
-111.92%-24.05B
-546.91%-20.23B
-80.28%-75.77B
-8.00%-34.82B
-468.39%-26.47B
Net PPE purchase and sale
-26.18%-30.34B
3.58%-19.51B
24.66%-57.07B
2.59%-33.91B
179.81%21.12B
-111.92%-24.05B
-546.91%-20.23B
-81.19%-75.75B
-8.71%-34.81B
-468.22%-26.46B
Net business purchase and sale
----
----
---21.96B
----
----
----
----
----
----
----
Net other investing changes
---83.67M
---450.67M
1,348,392.77%160.35B
----
----
----
----
---11.89M
---4.14M
----
Cash from discontinued investing activities
Investing cash flow
-26.53%-30.43B
1.35%-19.96B
207.33%81.32B
400.09%104.48B
179.79%21.12B
-111.92%-24.05B
-546.91%-20.23B
-80.28%-75.77B
-8.00%-34.82B
-468.39%-26.47B
Financing cash flow
Cash flow from continuing financing activities
-997.69%-289.09B
-315.32%-10.04B
99.93%-56.91M
115.69%6.48B
186.23%15.14B
-21.10%-26.34B
67.25%4.66B
-47.76%-77.79B
0.83%-41.27B
-519.93%-17.55B
Net issuance payments of debt
-35.92%-31.17B
-233.95%-8.43B
126.89%4.06B
177.48%8.39B
838.86%12.3B
-306.29%-22.93B
106.38%6.29B
68.50%-15.09B
71.45%-10.83B
17.84%-1.67B
Cash dividends paid
---256.37B
---110.37M
99.70%-179.68M
99.77%-66.05M
101.13%169.68M
----
----
---59.46B
---28.78B
---14.98B
Net other financing activities
50.33%-1.55B
7.75%-1.5B
-21.83%-3.94B
-11.55%-1.85B
394.05%2.67B
-673.79%-3.12B
-525.13%-1.63B
31.79%-3.23B
54.78%-1.66B
-12.60%-906.59M
Cash from discontinued financing activities
Financing cash flow
-997.69%-289.09B
-315.32%-10.04B
99.93%-56.91M
115.69%6.48B
186.23%15.14B
-21.10%-26.34B
67.25%4.66B
-47.76%-77.79B
0.83%-41.27B
-519.93%-17.55B
Net cash flow
Beginning cash position
-59.13%1.51T
-40.72%2.1T
24.22%2.34T
-41.26%878.5B
251.76%3.56T
364.62%3.71T
381.80%3.54T
-22.11%1.88T
166.04%1.5T
124.61%1.01T
Current changes in cash
352.55%262.33B
-100.35%-2.4B
-100.27%-3.96B
-106.02%-41.56B
-225.60%-549.16B
-158.59%-103.88B
349.14%690.63B
723.66%1.46T
451.51%690.42B
701.79%437.23B
Effect of exchange rate changes
-78.52%61.13B
-61.86%61.33B
131.15%909.27B
187.55%620.98B
-241.32%-157.06B
540.97%284.53B
634.84%160.81B
139.37%393.37B
--215.96B
--111.13B
End cash position
-52.76%1.68T
-59.13%1.51T
-40.72%1.38T
-40.72%1.38T
-41.26%878.5B
251.76%3.56T
364.62%3.71T
24.22%2.34T
24.22%2.34T
166.04%1.5T
Free cash flow
811.26%551.5B
-98.82%8.1B
-109.26%-142.3B
-125.48%-186.44B
-224.08%-564.29B
-138.96%-77.54B
354.35%685.97B
568.16%1.54T
338.08%731.7B
692.82%454.79B
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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 1,187.75%581.85B -96.09%27.61B -105.29%-85.23B -119.90%-152.52B -221.64%-585.42B -125.43%-53.49B 358.26%706.2B 493.24%1.61T 285.09%766.51B 675.96%481.26B
Net income from continuing operations -222.13%-301.47B 512.85%364.74B 372.37%870B 635.83%739.8B -445.01%-176.16B 1,344.69%246.84B 284.14%59.52B 26.20%184.18B -8.73%100.54B 185.07%51.06B
Operating gains losses 85.15%-27.95B 66.44%-33.99B -97.22%-519.69B -136.04%-336.21B 235.87%105.96B -557.36%-188.16B -600.52%-101.28B -152.07%-263.5B -75.09%-142.44B -907.39%-77.99B
Depreciation and amortization 18.97%31.51B 27.94%24.28B 22.35%58.1B 36.10%33.35B -276.34%-20.71B 291.70%26.48B 323.87%18.98B 9.86%47.49B -28.91%24.5B 188.93%11.75B
Other non cashItems -70.87%268.9B -45.56%327.93B 22.02%1.42T -4.77%578.29B -305.98%-679.32B 548.92%923.02B 584.01%602.41B 68.05%1.17T 11.31%607.23B 460.63%329.8B
Change in working capital 178.40%825.67B -636.50%-673.05B -517.87%-1.94T -801.35%-1.19T 8.09%176.13B -1,551.49%-1.05T 112.39%125.45B 201.65%463.65B 145.31%169.08B 2,613.00%162.94B
-Change in loans 88.49%-45.73B 239.79%898.18B -46.63%132.75B -17.41%81.02B 188.67%184.54B -384.58%-397.14B 56.70%264.33B -31.50%248.76B -56.81%98.1B 1,671.97%63.93B
-Change in other current assets 56.49%-59.74B 305.69%93.48B -46.60%16.51B 396.09%86.61B 425.99%112.65B -2,103.03%-137.31B -242.50%-45.45B 169.64%30.91B 43.95%-29.25B 496.01%21.42B
-Change in other current liabilities -20.64%148.42B -165.44%-169.25B -628.86%-82.86B -269.72%-130.29B -360.15%-75.83B 15,939.54%187.02B -39.27%-63.76B 143.25%15.67B 1,366.23%76.77B -700.74%-16.48B
-Change in other working capital 210.90%782.72B -4,940.10%-1.5T -1,290.57%-2T -5,312.83%-1.22T -148.07%-45.23B -581.78%-705.77B 69.00%-29.67B 122.79%168.31B 104.24%23.47B 1,763.31%94.08B
Cash from discontinued operating activities
Operating cash flow 1,187.75%581.85B -96.09%27.61B -105.29%-85.23B -119.90%-152.52B -221.64%-585.42B -125.43%-53.49B 358.26%706.2B 493.24%1.61T 285.09%766.51B 675.96%481.26B
Investing cash flow
Cash flow from continuing investing activities -26.53%-30.43B 1.35%-19.96B 207.33%81.32B 400.09%104.48B 179.79%21.12B -111.92%-24.05B -546.91%-20.23B -80.28%-75.77B -8.00%-34.82B -468.39%-26.47B
Net PPE purchase and sale -26.18%-30.34B 3.58%-19.51B 24.66%-57.07B 2.59%-33.91B 179.81%21.12B -111.92%-24.05B -546.91%-20.23B -81.19%-75.75B -8.71%-34.81B -468.22%-26.46B
Net business purchase and sale ---- ---- ---21.96B ---- ---- ---- ---- ---- ---- ----
Net other investing changes ---83.67M ---450.67M 1,348,392.77%160.35B ---- ---- ---- ---- ---11.89M ---4.14M ----
Cash from discontinued investing activities
Investing cash flow -26.53%-30.43B 1.35%-19.96B 207.33%81.32B 400.09%104.48B 179.79%21.12B -111.92%-24.05B -546.91%-20.23B -80.28%-75.77B -8.00%-34.82B -468.39%-26.47B
Financing cash flow
Cash flow from continuing financing activities -997.69%-289.09B -315.32%-10.04B 99.93%-56.91M 115.69%6.48B 186.23%15.14B -21.10%-26.34B 67.25%4.66B -47.76%-77.79B 0.83%-41.27B -519.93%-17.55B
Net issuance payments of debt -35.92%-31.17B -233.95%-8.43B 126.89%4.06B 177.48%8.39B 838.86%12.3B -306.29%-22.93B 106.38%6.29B 68.50%-15.09B 71.45%-10.83B 17.84%-1.67B
Cash dividends paid ---256.37B ---110.37M 99.70%-179.68M 99.77%-66.05M 101.13%169.68M ---- ---- ---59.46B ---28.78B ---14.98B
Net other financing activities 50.33%-1.55B 7.75%-1.5B -21.83%-3.94B -11.55%-1.85B 394.05%2.67B -673.79%-3.12B -525.13%-1.63B 31.79%-3.23B 54.78%-1.66B -12.60%-906.59M
Cash from discontinued financing activities
Financing cash flow -997.69%-289.09B -315.32%-10.04B 99.93%-56.91M 115.69%6.48B 186.23%15.14B -21.10%-26.34B 67.25%4.66B -47.76%-77.79B 0.83%-41.27B -519.93%-17.55B
Net cash flow
Beginning cash position -59.13%1.51T -40.72%2.1T 24.22%2.34T -41.26%878.5B 251.76%3.56T 364.62%3.71T 381.80%3.54T -22.11%1.88T 166.04%1.5T 124.61%1.01T
Current changes in cash 352.55%262.33B -100.35%-2.4B -100.27%-3.96B -106.02%-41.56B -225.60%-549.16B -158.59%-103.88B 349.14%690.63B 723.66%1.46T 451.51%690.42B 701.79%437.23B
Effect of exchange rate changes -78.52%61.13B -61.86%61.33B 131.15%909.27B 187.55%620.98B -241.32%-157.06B 540.97%284.53B 634.84%160.81B 139.37%393.37B --215.96B --111.13B
End cash position -52.76%1.68T -59.13%1.51T -40.72%1.38T -40.72%1.38T -41.26%878.5B 251.76%3.56T 364.62%3.71T 24.22%2.34T 24.22%2.34T 166.04%1.5T
Free cash flow 811.26%551.5B -98.82%8.1B -109.26%-142.3B -125.48%-186.44B -224.08%-564.29B -138.96%-77.54B 354.35%685.97B 568.16%1.54T 338.08%731.7B 692.82%454.79B
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 -- --

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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