US Stock MarketDetailed Quotes

GBOOF GRUPO FINANCIERO BANORTE

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  • 9.900
  • -0.038-0.38%
15min DelayClose Apr 26 16:00 ET
28.55BMarket Cap9.48P/E (TTM)

GRUPO FINANCIERO BANORTE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
Assets
Cash cash equivalents and federal funds sold
23.18%189.66B
35.97%207.04B
23.59%196.24B
-30.45%153.98B
9.98%575.23B
--575.23B
92.76%152.27B
29.64%158.79B
69.57%221.39B
4.14%523.02B
-Cash and cash equivalents
16.62%125.07B
19.05%109.22B
31.61%130.57B
-13.90%107.25B
9.52%108.25B
--108.25B
35.38%91.75B
-10.50%99.21B
7.03%124.57B
-9.57%98.84B
-Money market investments
55.74%64.59B
78.53%97.82B
23.78%65.67B
-53.19%41.47B
408.71%22.83B
--22.83B
1,753.01%54.79B
1,711.95%53.05B
2,714.26%88.59B
11.17%4.49B
-Restricted cash and investments
----
----
----
-36.10%5.25B
5.83%444.15B
--444.15B
-30.69%5.73B
-25.01%6.53B
-25.35%8.22B
7.92%419.69B
Receivables
3.73%58.45B
9.90%53.52B
-26.82%50.75B
1.19%56.35B
23.86%37.64B
--37.64B
4.52%48.7B
39.26%69.34B
46.57%55.69B
-23.01%30.39B
Prepaid assets
-4.50%10.11B
-39.50%12.18B
-22.66%12.94B
-42.93%10.59B
--7.03B
--7.03B
--20.14B
--16.73B
--18.56B
----
Net loan
10.18%1.04T
15.34%1T
11.95%958.23B
14.00%945.76B
12.25%917.51B
--917.51B
7.54%868.05B
8.49%855.95B
4.64%829.6B
2.71%817.4B
-Allowance for loans and lease losses
6.86%19.51B
11.25%19.19B
7.67%18.53B
6.85%18.26B
8.83%17.69B
--17.69B
-0.29%17.25B
-5.32%17.21B
-13.12%17.09B
-18.76%16.25B
-Unearned income
--0
----
--0
----
--2.04B
--2.04B
----
----
----
----
-Trading securities
22.42%357.11B
17.05%316.08B
16.17%310.18B
13.35%291.71B
0.80%33.63B
--33.63B
3.56%270.04B
5.58%267.01B
-1.03%257.36B
-10.30%33.36B
-Available for sale securities
14.44%230.79B
0.64%216.88B
-15.21%188.4B
-12.54%201.68B
-28.38%46.77B
--46.77B
-8.09%215.5B
-4.10%222.21B
-2.41%230.58B
-15.52%65.3B
-Held to maturity securities
8.12%346.51B
8.56%333.08B
4.92%313.04B
13.35%320.48B
22.24%293.38B
--293.38B
31.66%306.83B
38.52%298.35B
36.02%282.73B
35.91%240.01B
Long term equity investment
0.20%14.51B
3.66%15.01B
3.87%14.77B
7.94%14.49B
-0.33%14.95B
--14.95B
0.00%14.48B
0.43%14.22B
-0.67%13.42B
1.34%15B
Derivative assets
8.52%38.59B
7.35%43.72B
24.63%43.7B
16.28%35.56B
33.95%37.56B
--37.56B
52.00%40.73B
39.59%35.06B
5.04%30.59B
-44.30%28.04B
Net PPE
-2.34%34.73B
13.98%33.55B
14.64%33.82B
23.88%35.56B
67.34%35.9B
--35.9B
41.48%29.43B
43.91%29.51B
-12.49%28.71B
-34.25%21.45B
-Gross PPE
-2.34%34.73B
13.98%33.55B
14.64%33.82B
23.88%35.56B
41.82%56.23B
--56.23B
--29.43B
--29.51B
--28.71B
-29.67%39.65B
-Accumulated depreciation
----
----
----
----
-11.73%-20.33B
---20.33B
----
----
----
23.37%-18.2B
Assets held for sale
--0
--0
--0
----
----
----
--0
----
----
----
Goodwill and other intangible assets
-2.45%43.59B
-0.80%44.36B
0.03%44.52B
2.86%44.68B
67.70%44.83B
--44.83B
-18.00%44.72B
-18.20%44.51B
9.17%43.44B
0.04%26.73B
-Goodwill
0.42%26.82B
-0.10%26.7B
-0.13%26.69B
-0.04%26.71B
0.03%26.74B
--26.74B
--26.72B
--26.73B
--26.72B
0.04%26.73B
-Other intangible assets
-6.72%16.76B
-1.84%17.66B
0.26%17.83B
7.49%17.97B
--18.09B
--18.09B
--17.99B
--17.79B
--16.72B
----
Deferred costs
14.59%2.49B
45.75%2.27B
40.90%2.24B
37.47%2.17B
-96.08%1.07B
--1.07B
--1.56B
--1.59B
--1.58B
114.61%27.3B
Defined pension benefit
----
----
----
----
----
----
----
----
----
-4.16%5.03B
Other assets
34.43%5.48B
4.06%3.63B
23.02%4.12B
46.50%4.07B
209.76%8.98B
--8.98B
-61.17%3.48B
-56.81%3.35B
-63.68%2.78B
16.01%2.9B
Total assets
12.46%2.4T
13.05%2.3T
7.77%2.19T
4.65%2.13T
11.84%2.07T
--2.07T
12.71%2.03T
12.81%2.03T
12.44%2.04T
3.52%1.85T
Liabilities
Total deposits
15.38%1.03T
17.53%1T
11.40%939.87B
10.00%889.57B
12.33%873.79B
--873.79B
11.47%851.06B
8.42%843.68B
1.27%808.74B
0.47%777.9B
Payables
-14.49%89.05B
-30.09%84.36B
-16.90%85.25B
10.65%104.15B
79.34%58.47B
--58.47B
119.01%120.67B
93.36%102.58B
91.58%94.13B
-8.08%32.6B
-Accounts payable
-2.46%80.45B
20.79%76.16B
-19.40%76.01B
3.76%82.49B
118.76%29.32B
--29.32B
822.19%63.05B
84.56%94.3B
1,877.56%79.5B
14.06%13.4B
-Total tax payable
-47.84%5.56B
-28.43%6.07B
4.62%6.37B
107.55%10.67B
319.52%6.77B
--6.77B
252.35%8.48B
266.63%6.09B
171.19%5.14B
-63.02%1.61B
-Other payable
-72.40%3.04B
-95.66%2.13B
30.85%2.87B
15.88%11B
27.25%22.38B
--22.38B
7.16%49.13B
639.73%2.2B
-78.04%9.49B
-9.13%17.59B
Long term debt and capital lease obligation
6.05%136.87B
21.12%130.28B
-2.05%130.38B
-11.68%129.07B
-10.71%125.46B
--125.46B
-10.18%107.57B
8.28%133.11B
17.17%146.14B
0.29%140.5B
Derivative product liabilities
-9.81%24.1B
-17.10%30.13B
-18.36%26.8B
-5.90%26.73B
14.00%33.08B
--33.08B
28.87%36.34B
28.04%32.82B
-5.55%28.4B
-40.89%29.01B
Other liabilities
18.25%538.42B
21.08%504.93B
12.01%478.63B
-2.20%455.31B
17.15%446.02B
--446.02B
11.40%417.01B
11.66%427.3B
25.34%465.55B
6.72%380.73B
Total liabilities
13.65%2.13T
14.31%2.05T
8.26%1.95T
4.81%1.88T
13.47%1.83T
--1.83T
14.19%1.79T
14.43%1.8T
13.37%1.79T
3.25%1.61T
Shareholders'equity
Share capital
-32.88%10.05B
49.98%14.97B
0.18%14.97B
-0.01%14.97B
-0.01%14.96B
--14.96B
-33.18%9.98B
0.03%14.94B
0.22%14.97B
0.25%14.96B
-common stock
-32.88%10.05B
49.98%14.97B
0.18%14.97B
-0.01%14.97B
-0.01%14.96B
--14.96B
-33.18%9.98B
0.03%14.94B
0.22%14.97B
0.25%14.96B
Paid-in capital
8.58%52.56B
-6.73%49.04B
0.51%48.71B
0.42%48.4B
0.31%48.44B
--48.44B
8.43%52.58B
0.37%48.46B
0.70%48.2B
0.05%48.29B
Retained earnings
7.63%169.19B
-9.91%158.87B
-11.75%146.52B
-9.42%157.19B
-12.06%145.22B
--145.22B
7.11%176.34B
5.98%166.03B
10.60%173.54B
10.61%165.12B
Other equity interest
----
----
----
----
----
----
--1.04B
----
----
----
Total stockholders'equity
5.00%261.85B
3.73%250.08B
3.86%239.42B
3.47%249.39B
0.77%236.04B
--236.04B
3.01%241.08B
1.87%230.53B
6.07%241.02B
5.40%234.23B
Non controlling interests
-106.99%-222.26M
12.56%3.18B
17.25%3.19B
3.44%3.18B
-0.57%2.99B
--2.99B
-2.36%2.83B
-10.08%2.72B
5.71%3.07B
5.03%3.01B
Total equity
3.59%261.63B
3.84%253.27B
4.02%242.61B
3.47%252.57B
0.76%239.03B
--239.03B
2.94%243.91B
1.71%233.25B
6.06%244.09B
5.39%237.24B
Currency Unit
MXN
MXN
MXN
MXN
MXN
MXN
MXN
MXN
MXN
MXN
Audit Opinions
--
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
(Q1)Mar 31, 2024(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021
Assets
Cash cash equivalents and federal funds sold 23.18%189.66B35.97%207.04B23.59%196.24B-30.45%153.98B9.98%575.23B--575.23B92.76%152.27B29.64%158.79B69.57%221.39B4.14%523.02B
-Cash and cash equivalents 16.62%125.07B19.05%109.22B31.61%130.57B-13.90%107.25B9.52%108.25B--108.25B35.38%91.75B-10.50%99.21B7.03%124.57B-9.57%98.84B
-Money market investments 55.74%64.59B78.53%97.82B23.78%65.67B-53.19%41.47B408.71%22.83B--22.83B1,753.01%54.79B1,711.95%53.05B2,714.26%88.59B11.17%4.49B
-Restricted cash and investments -------------36.10%5.25B5.83%444.15B--444.15B-30.69%5.73B-25.01%6.53B-25.35%8.22B7.92%419.69B
Receivables 3.73%58.45B9.90%53.52B-26.82%50.75B1.19%56.35B23.86%37.64B--37.64B4.52%48.7B39.26%69.34B46.57%55.69B-23.01%30.39B
Prepaid assets -4.50%10.11B-39.50%12.18B-22.66%12.94B-42.93%10.59B--7.03B--7.03B--20.14B--16.73B--18.56B----
Net loan 10.18%1.04T15.34%1T11.95%958.23B14.00%945.76B12.25%917.51B--917.51B7.54%868.05B8.49%855.95B4.64%829.6B2.71%817.4B
-Allowance for loans and lease losses 6.86%19.51B11.25%19.19B7.67%18.53B6.85%18.26B8.83%17.69B--17.69B-0.29%17.25B-5.32%17.21B-13.12%17.09B-18.76%16.25B
-Unearned income --0------0------2.04B--2.04B----------------
-Trading securities 22.42%357.11B17.05%316.08B16.17%310.18B13.35%291.71B0.80%33.63B--33.63B3.56%270.04B5.58%267.01B-1.03%257.36B-10.30%33.36B
-Available for sale securities 14.44%230.79B0.64%216.88B-15.21%188.4B-12.54%201.68B-28.38%46.77B--46.77B-8.09%215.5B-4.10%222.21B-2.41%230.58B-15.52%65.3B
-Held to maturity securities 8.12%346.51B8.56%333.08B4.92%313.04B13.35%320.48B22.24%293.38B--293.38B31.66%306.83B38.52%298.35B36.02%282.73B35.91%240.01B
Long term equity investment 0.20%14.51B3.66%15.01B3.87%14.77B7.94%14.49B-0.33%14.95B--14.95B0.00%14.48B0.43%14.22B-0.67%13.42B1.34%15B
Derivative assets 8.52%38.59B7.35%43.72B24.63%43.7B16.28%35.56B33.95%37.56B--37.56B52.00%40.73B39.59%35.06B5.04%30.59B-44.30%28.04B
Net PPE -2.34%34.73B13.98%33.55B14.64%33.82B23.88%35.56B67.34%35.9B--35.9B41.48%29.43B43.91%29.51B-12.49%28.71B-34.25%21.45B
-Gross PPE -2.34%34.73B13.98%33.55B14.64%33.82B23.88%35.56B41.82%56.23B--56.23B--29.43B--29.51B--28.71B-29.67%39.65B
-Accumulated depreciation -----------------11.73%-20.33B---20.33B------------23.37%-18.2B
Assets held for sale --0--0--0--------------0------------
Goodwill and other intangible assets -2.45%43.59B-0.80%44.36B0.03%44.52B2.86%44.68B67.70%44.83B--44.83B-18.00%44.72B-18.20%44.51B9.17%43.44B0.04%26.73B
-Goodwill 0.42%26.82B-0.10%26.7B-0.13%26.69B-0.04%26.71B0.03%26.74B--26.74B--26.72B--26.73B--26.72B0.04%26.73B
-Other intangible assets -6.72%16.76B-1.84%17.66B0.26%17.83B7.49%17.97B--18.09B--18.09B--17.99B--17.79B--16.72B----
Deferred costs 14.59%2.49B45.75%2.27B40.90%2.24B37.47%2.17B-96.08%1.07B--1.07B--1.56B--1.59B--1.58B114.61%27.3B
Defined pension benefit -------------------------------------4.16%5.03B
Other assets 34.43%5.48B4.06%3.63B23.02%4.12B46.50%4.07B209.76%8.98B--8.98B-61.17%3.48B-56.81%3.35B-63.68%2.78B16.01%2.9B
Total assets 12.46%2.4T13.05%2.3T7.77%2.19T4.65%2.13T11.84%2.07T--2.07T12.71%2.03T12.81%2.03T12.44%2.04T3.52%1.85T
Liabilities
Total deposits 15.38%1.03T17.53%1T11.40%939.87B10.00%889.57B12.33%873.79B--873.79B11.47%851.06B8.42%843.68B1.27%808.74B0.47%777.9B
Payables -14.49%89.05B-30.09%84.36B-16.90%85.25B10.65%104.15B79.34%58.47B--58.47B119.01%120.67B93.36%102.58B91.58%94.13B-8.08%32.6B
-Accounts payable -2.46%80.45B20.79%76.16B-19.40%76.01B3.76%82.49B118.76%29.32B--29.32B822.19%63.05B84.56%94.3B1,877.56%79.5B14.06%13.4B
-Total tax payable -47.84%5.56B-28.43%6.07B4.62%6.37B107.55%10.67B319.52%6.77B--6.77B252.35%8.48B266.63%6.09B171.19%5.14B-63.02%1.61B
-Other payable -72.40%3.04B-95.66%2.13B30.85%2.87B15.88%11B27.25%22.38B--22.38B7.16%49.13B639.73%2.2B-78.04%9.49B-9.13%17.59B
Long term debt and capital lease obligation 6.05%136.87B21.12%130.28B-2.05%130.38B-11.68%129.07B-10.71%125.46B--125.46B-10.18%107.57B8.28%133.11B17.17%146.14B0.29%140.5B
Derivative product liabilities -9.81%24.1B-17.10%30.13B-18.36%26.8B-5.90%26.73B14.00%33.08B--33.08B28.87%36.34B28.04%32.82B-5.55%28.4B-40.89%29.01B
Other liabilities 18.25%538.42B21.08%504.93B12.01%478.63B-2.20%455.31B17.15%446.02B--446.02B11.40%417.01B11.66%427.3B25.34%465.55B6.72%380.73B
Total liabilities 13.65%2.13T14.31%2.05T8.26%1.95T4.81%1.88T13.47%1.83T--1.83T14.19%1.79T14.43%1.8T13.37%1.79T3.25%1.61T
Shareholders'equity
Share capital -32.88%10.05B49.98%14.97B0.18%14.97B-0.01%14.97B-0.01%14.96B--14.96B-33.18%9.98B0.03%14.94B0.22%14.97B0.25%14.96B
-common stock -32.88%10.05B49.98%14.97B0.18%14.97B-0.01%14.97B-0.01%14.96B--14.96B-33.18%9.98B0.03%14.94B0.22%14.97B0.25%14.96B
Paid-in capital 8.58%52.56B-6.73%49.04B0.51%48.71B0.42%48.4B0.31%48.44B--48.44B8.43%52.58B0.37%48.46B0.70%48.2B0.05%48.29B
Retained earnings 7.63%169.19B-9.91%158.87B-11.75%146.52B-9.42%157.19B-12.06%145.22B--145.22B7.11%176.34B5.98%166.03B10.60%173.54B10.61%165.12B
Other equity interest --------------------------1.04B------------
Total stockholders'equity 5.00%261.85B3.73%250.08B3.86%239.42B3.47%249.39B0.77%236.04B--236.04B3.01%241.08B1.87%230.53B6.07%241.02B5.40%234.23B
Non controlling interests -106.99%-222.26M12.56%3.18B17.25%3.19B3.44%3.18B-0.57%2.99B--2.99B-2.36%2.83B-10.08%2.72B5.71%3.07B5.03%3.01B
Total equity 3.59%261.63B3.84%253.27B4.02%242.61B3.47%252.57B0.76%239.03B--239.03B2.94%243.91B1.71%233.25B6.06%244.09B5.39%237.24B
Currency Unit MXNMXNMXNMXNMXNMXNMXNMXNMXNMXN
Audit Opinions --------Unqualified Opinion--------Unqualified Opinion

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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