| Métrica | Valor |
|---|---|
| Margen Neto | 29.1% |
| ROE (Return on Equity) | 5.4% |
| ROA (Return on Assets) | 0.5% |
| Debt / Equity | 8.97x |
| Asset Turnover | 0.02x |
| Free Cash Flow | — |
| FCF Margin | — |
| Componente | Valor |
|---|---|
| Cash Flow Operativo | — |
| Cash Flow Inversión | — |
| Cash Flow Financiamiento | — |
| Free Cash Flow (CFO + CFI) | — |
| Año | Activos | Pasivos | Patrimonio | Ingresos | Utilidad Neta | CFO |
|---|---|---|---|---|---|---|
| 2025 | PEN 17.3M | PEN 15.6M | PEN 1.7M | PEN 320.0K | PEN 93.1K | — |
| 2024 | PEN 16.4M | PEN 15.0M | PEN 1.4M | PEN 251.1K | PEN 114.2K | — |
| 2023 | PEN 15.5M | PEN 14.1M | PEN 1.3M | PEN 245.9K | PEN 137.7K | — |
| 2022 | PEN 15.0M | PEN 13.8M | PEN 1.2M | PEN 291.1K | PEN 132.0K | — |
| 2021 | PEN 14.7M | PEN 13.2M | PEN 1.5M | PEN 286.0K | PEN 66.3K | PEN 2.5M |
| 2020 | PEN 13.3M | PEN 11.8M | PEN 1.6M | PEN 260.6K | PEN 88.8K | PEN 959.2K |
| 2013 | PEN 3.6M | PEN 3.2M | PEN 440.9K | — | — | PEN 498.7K |
| 2012 | PEN 3.1M | PEN 2.6M | PEN 536.6K | — | — | PEN 601.8K |
| 2011 | PEN 2.7M | PEN 2.3M | PEN 406.2K | — | — | PEN 503.0K |
| 2010 | PEN 2.3M | PEN 2.0M | PEN 362.3K | — | — | PEN 425.8K |
Fuente: SMV (Perú) · Estados disponibles: balance, income, income_alt · Años: 2010–2025 (10 años)
Tier1 (Balance + P&L + CF): ✅ · Tier2 (Cambios Patrimonio): ❌ · Tier3 (Notas): ❌ pendiente · Tier4 (Governance): ❌ pendiente