Loma Negra Compania Industrial Argentina Sociedad AnonimaLOMA

Market cap
P/E ratio
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Profit (loss)1,7001,9514,04411,3826,3441,8079,681153,627
Income tax expense5861,1321,6863,7819,9689,1967,73895,925
Depreciation and amortization6262,1213,2643,9885,95913,27832,19162,626
Provisions617150-931831,3026,9945,283
Exchange rate differences261175-305-2,821-9584,83095,09540,755
Loss from securities transactions-----17,6361,836544
Interest expense--1,1261,1877295,10662,21258,265
Result from disposal of fixed assets6173--3,367451-
Share-based payments----4063396683
Gain on disposal of property, plant and equipment----4189--2,730
(Recovery) charge of allowance for other doubtful receivables-------212890
Gain on net monetary position-2141,1158391,86713,747138,760262,880
Inventories-87,735,857-391,110,75552789288-3,166-14,575-46,089
Other receivables413047392-399-3,177-4,79322,911
Trade accounts receivable-535,018,838-708,537,181-694-541-1,350-7,147-25,045-39,850
Advances from customers99-100,429,265-265261242411,504-1,207
Accounts payable133667981-2491,46511,16445,21254,603
Salaries and social security contributions---5157122,8166,74211,782
Provisions-31,610,711-110,783,802-109-48-173-403-672-1,301
Tax liabilities-17,007,156-35,831,578244-1002195,315-1,596-5,381
Other liabilities-11,752,234217263156-65567,068-11,246
Income tax paid2851,0851,7671,2376,27910,6345,53312,495
Net cash generated by discontinued operating activities3,2204,1798,54212,22515,05031,36285,030124,718
Proceeds from sales of interests in associates---8,34446393649-
Proceeds from disposal of property, plant and equipment14565402883,2968251,730
Payments to acquire property, plant and equipment1,2463,41711,8139,6397,08810,20336,05373,048
Payments to acquire intangibles assets28225787103104670686
Redemption of investments----1,9162,395--
Contributions to FFFSFI2846308892194577890
Net cash used in investing activities-1,258,132,364-4,223,908,326-11,835-1,567-8,845-4,717-35,825-72,894
Proceeds from borrowings2,9281,4499,49612,6921,25151,70669,469330,131
Issuance of corporate bonds------142,487-
Interest paid5329242,2492,9095704,75654,37461,591
Dividends paid---2,664-21,80686,845-
Lease payments-----2839611,736
Repayment of borrowings and corporate bonds---17,4766,87647,846110,862314,475
Repurchase of capital stock----2,3871,797-595
Net cash used in financing activities298-2,390,358,0961,415-13,077-8,760-24,782-41,086-48,266
Net increase in cash and cash equivalents2,260-2,435,495,960-1,878-2,418-2,5551,8638,1193,558
Effect by translation in homogeneous cash currency--97,896,006-162-157-220-3,620-23,219-10,033
Effect of exchange rate changes on cash and cash equivalents1167411433,302-5242286,541363