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UNITED BREWERIES CO INC

Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total revenue 2,766.68 2,904.57 2,565.56 2,711.43 2,484.71 1,857.59 1,822.54 1,783.28 1,698.36 1,558.90 1,498.37 1,297.97 1,197.23 1,075.69 969.55 838.26 777.98 781.79 628.28 546.09
Cost of revenue 1,538.54 1,590.96 1,378.61 1,514.93 1,291.56 984.04 908.32 860.01 798.74 741.82 685.08 604.54 536.70 493.09 450.56 383.81 365.75 369.74 295.28 260.03
Gross profit 1,228.14 1,313.61 1,186.94 1,196.51 1,193.15 873.56 914.22 923.27 899.62 817.08 813.30 693.43 660.53 582.60 518.99 454.45 412.23 412.05 333.00 286.06
Total operating expenses + 1,025.02 1,051.00 946.98 977.75 862.68 698.38 680.26 682.01 669.58 620.64 614.69 538.61 469.28 407.00 328.23 292.40 274.53 290.98 231.62 204.71
Operating income 203.12 262.61 239.97 218.76 330.47 175.18 233.97 472.75 227.18 192.31 213.45 183.96 191.26 176.71 169.45 162.05 137.65 121.07 101.38 79.73
Non-operating income (net) -98.29 -97.08 -136.81 -83.01 -28.79 -31.58 -48.34 -14.54 -30.70 -21.98 -22.81 -16.49 -23.65 -15.60 10.25 -14.46 15.73 -21.16 -3.34 -9.87
Income before tax 104.82 165.53 103.16 135.75 301.68 143.60 185.62 458.21 196.47 170.33 190.64 167.47 167.61 161.11 179.69 147.59 153.37 99.90 98.05 69.87
Income tax expense -25.72 -11.02 -15.27 0.26 82.63 35.41 39.98 136.13 48.37 30.25 50.11 46.67 34.71 37.13 44.89 27.66 11.67 14.09 16.67 14.24
Net income 111.40 160.94 105.65 118.17 199.16 96.15 130.14 306.89 129.61 118.46 120.81 106.24 123.04 114.43 122.75 110.70 128.26 82.63 79.20 55.86
Show Quarterly Income Statement
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total revenue 819.52 825.97 658.63 579.91 817.67 968.08 665.82 524.64 746.02 572.61 686.68 574.24 732.03 768.36 684.11 558.50 700.46 822.35 622.73 469.99 569.64 599.63 428.36 318.38 511.23 578.07 390.25 377.36 476.86 550.60 388.35 372.17 472.16 510.12 394.51 345.04 448.69 479.98 356.82 307.91 414.19 451.95 352.91 310.67 382.83 395.65 303.95 263.55 334.81 372.97 276.72 243.45 304.10 332.21 243.98 218.02 281.48 0.59 0.35 191.39 242.26 250.73 193.13 180.75 213.65 231.56 173.56 158.58 214.82 266.49 168.24 148.71 182.50 198.31 137.44 120.85 159.78 166.92 124.91 111.30 139.24
Cost of revenue 431.99 445.96 378.69 343.08 435.49 504.99 377.54 314.53 393.90 308.34 368.36 324.83 377.09 413.28 391.71 333.19 376.74 431.57 330.15 249.57 280.27 304.31 238.48 183.81 257.44 276.47 200.86 199.61 231.38 268.64 197.06 186.47 207.85 233.07 193.71 169.53 202.43 221.81 180.47 156.25 183.30 203.45 169.87 146.19 165.56 176.00 148.63 130.88 149.03 157.78 129.51 119.49 129.92 142.32 116.26 110.70 126.27 0.24 0.15 96.33 107.54 111.08 93.80 86.78 92.17 103.07 83.79 82.12 100.77 124.26 84.31 73.57 80.37 88.53 68.49 62.35 70.30 74.54 62.40 60.21 61.28
Gross profit 387.52 380.02 279.94 236.83 382.18 463.08 288.28 210.11 352.13 264.27 318.32 249.42 354.95 355.09 292.39 225.31 323.72 390.77 292.58 220.43 289.37 295.32 189.88 134.57 253.79 301.60 189.39 177.76 245.48 281.96 191.29 185.70 264.32 277.05 200.80 175.51 246.26 258.18 176.35 151.66 230.90 248.51 183.04 164.48 217.27 219.65 155.32 132.67 185.78 215.19 147.20 123.95 174.18 189.89 127.72 107.32 155.21 1.11 0.00 95.06 134.73 139.65 99.34 93.97 121.49 128.49 89.77 76.46 114.05 142.22 83.93 75.14 102.13 109.78 68.95 58.50 89.49 92.38 62.51 51.09 77.96
Total operating expenses + 295.74 275.95 239.36 263.64 297.74 316.96 258.97 212.93 262.15 187.28 262.18 239.34 258.18 261.41 257.53 213.46 226.82 278.35 213.81 184.02 190.66 195.96 161.31 143.96 183.97 209.31 151.50 153.02 169.58 194.71 146.27 -59.95 173.52 186.86 157.76 152.72 167.39 176.77 145.94 136.75 156.97 179.24 145.87 134.14 149.11 156.58 128.70 96.83 129.77 138.48 112.53 102.48 116.15 120.00 95.11 88.84 99.30 0.00 0.00 75.21 68.83 98.03 69.98 59.98 73.63 86.65 63.02 62.15 72.18 99.27 64.07 60.54 61.43 72.28 51.92 48.50 54.61 59.18 47.56 45.52 51.18
Operating income 91.78 104.07 40.58 -26.80 84.44 146.12 29.32 -2.81 89.98 76.98 56.13 10.08 96.77 75.15 34.86 11.85 96.90 116.59 78.77 36.41 98.71 80.06 28.56 -9.40 69.83 69.70 37.90 24.73 75.89 -140.94 45.02 245.66 90.80 82.48 43.04 22.80 78.87 81.41 30.41 14.91 73.93 69.26 37.17 30.34 68.16 63.07 26.62 35.84 56.02 76.71 34.67 23.71 58.03 69.89 33.48 19.52 56.45 0.13 0.05 20.16 65.90 44.05 29.36 34.00 47.85 44.20 26.75 56.17 41.87 42.95 19.86 14.61 40.71 37.50 17.03 10.01 34.88 31.58 14.94 5.62 26.78
Non-operating income (net) -14.52 -22.52 -32.20 51.98 -19.24 -42.73 -15.76 -18.26 -20.33 -46.87 -47.70 -22.37 -19.86 -21.17 -25.65 -27.26 -8.93 -6.02 -11.16 -5.88 -5.73 -3.12 -10.46 1.70 -13.57 9.58 -19.99 -7.27 -4.92 227.99 -8.83 6.79 -8.27 -0.46 -11.37 -9.58 -9.30 -0.87 -9.44 -7.68 -12.34 -7.86 -0.41 -4.15 -1.87 -7.54 0.31 -4.65 -2.51 -9.70 -7.07 -4.26 -4.48 -7.90 -3.35 -2.15 -5.13 0.00 0.00 -5.30 -2.09 2.86 -6.37 -2.38 -1.77 -5.03 -1.18 -22.60 -5.54 -9.04 -5.81 -2.73 -3.31 7.10 -4.40 -3.05 -2.80 -3.49 -3.11 -1.86 -1.26
Income before tax 77.27 81.55 8.38 25.18 65.20 103.39 13.56 -21.07 69.65 30.11 8.43 -12.29 76.91 53.98 9.22 -15.42 87.97 110.57 67.61 30.53 92.98 76.94 18.11 -7.70 56.25 79.28 17.91 17.46 70.97 87.06 36.19 252.44 82.53 82.02 31.67 13.22 69.57 80.54 20.98 7.23 61.59 61.40 36.75 26.19 66.30 55.53 26.93 31.20 53.51 67.01 27.60 19.45 53.55 61.99 30.13 17.37 51.32 0.13 0.05 14.86 63.81 46.91 22.98 31.62 46.08 39.17 25.57 33.57 36.33 33.91 14.04 11.88 37.40 44.59 12.63 6.95 32.08 28.09 11.84 3.77 25.51
Income tax expense 18.22 17.35 -12.30 36.39 3.71 21.26 -18.99 -27.90 14.62 -17.69 -4.23 -8.70 15.35 0.91 -10.19 -8.02 17.56 30.27 20.86 7.97 23.53 15.44 3.69 -4.06 20.34 18.15 6.89 -3.62 18.57 18.80 11.91 83.74 21.68 21.68 8.22 1.01 17.46 18.66 3.73 -3.40 11.26 16.81 11.45 3.79 18.06 10.03 8.60 4.36 9.29 16.89 4.10 2.28 11.45 12.60 10.60 4.41 9.24 0.03 0.02 3.27 13.97 7.99 0.92 8.59 10.15 3.51 1.16 3.31 0.94 8.44 3.18 -2.05 4.31 7.82 1.89 0.26 6.36 5.40 2.52 0.82 5.31
Net income 53.86 53.32 15.50 -11.22 57.78 74.15 29.55 5.04 52.20 41.73 9.50 -3.94 58.37 46.85 17.23 -10.46 64.54 73.64 42.17 18.97 64.38 55.04 12.13 -3.26 32.23 54.96 8.63 18.04 48.52 62.70 19.39 165.93 56.75 55.44 19.11 8.46 46.60 55.43 12.16 6.28 44.59 38.29 20.68 18.55 43.29 40.60 14.92 23.47 40.57 46.29 21.00 15.43 40.32 45.51 17.39 11.31 40.23 0.08 0.03 10.20 45.52 36.84 19.57 20.62 33.67 32.74 17.96 33.80 34.66 24.87 10.15 13.07 34.49 35.98 10.18 6.85 25.44 22.60 9.91 3.49 20.46
4 days ago
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 530.62 707.95 621.47 609.04 279.58 0.58 0.27 330.02 180.77 142.20 206.20 215.79 413.32 103.56 181.61 153.94 138.82 42.14 90.87 28.80
Accounts receivable, net 499.92 542.74 485.18 499.33 389.22 0.41 0.41 341.48 263.87 250.84 231.59 220.97 221.11 233.47 220.24 174.00 152.62 156.08 120.06 105.57
Inventories 448.95 477.34 441.25 497.97 366.66 0.34 0.33 236.95 210.59 207.67 181.86 175.18 153.09 141.91 128.54 108.35 108.07 133.91 77.38 74.74
Other current assets 35.93 43.24 53.78 55.62 55.92 0.03 0.03 32.74 78.66 81.63 74.03 73.45 30.97 16.94 11.76 9.99 10.24 9.11 38.78 48.29
Total current assets 1,515.43 1,771.27 1,601.68 1,661.95 1,091.37 1.35 1.05 941.01 730.28 681.39 684.31 685.39 818.50 495.89 542.55 446.28 408.42 375.71 334.41 264.00
Total non-current assets + 2,246.52 2,218.45 1,822.26 1,933.13 1,755.38 2.20 2.08 1,464.86 1,245.95 1,190.19 1,139.04 1,083.51 909.22 830.56 755.95 705.41 697.62 697.24 492.21 438.79
Total assets 3,761.95 3,989.72 3,423.95 3,595.08 2,846.75 3.55 3.13 2,405.86 1,976.23 1,871.58 1,823.36 1,768.90 1,727.72 1,326.45 1,298.49 1,151.69 1,106.04 1,072.95 826.62 702.78
Total current liabilities + 797.93 860.01 687.48 797.15 781.12 0.73 0.64 645.72 468.75 442.31 388.69 378.33 409.13 314.53 350.77 236.96 246.07 273.37 150.72 146.64
Total non-current liabilities + 1,342.92 1,457.20 1,399.08 1,361.96 640.12 0.84 0.57 371.02 280.65 228.97 247.14 242.07 234.35 301.40 262.93 299.66 285.64 209.54 219.51 164.58
Total liabilities 2,140.85 2,317.20 2,086.56 2,159.11 1,421.24 1.57 1.21 1,016.75 749.40 671.28 635.83 620.40 643.48 615.93 613.71 536.62 531.71 482.91 370.23 311.22
Total stockholders' equity + 1,476.15 1,525.18 1,218.36 1,315.03 1,307.62 1.82 1.77 1,280.13 1,101.08 1,077.30 1,057.82 1,025.59 988.68 613.22 568.98 505.66 463.22 496.25 401.80 349.41
Common shares outstanding 185 185 185 185 185 185 185 185 185 185 185 185 166 160 160 160 160 160 160 160
Show Quarterly Balance Sheet
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 623.74 530.62 499.89 547.70 772.33 707.95 600.08 637.29 696.44 621.47 0.71 0.77 0.77 609.04 0.72 0.74 279.58 279.58 0.49 390.33 467.69 403.72 284.32 267.24 202.62 202.62 161.81 164.20 330.02 330.02 293.51 316.01 217.42 180.77 121.85 131.67 160.74 142.20 116.54 135.79 238.66 206.20 191.96 190.07 228.72 215.79 186.67 276.34 349.17 413.32 219.09 67.10 106.68 103.56 118.51 138.04 194.41 0.34 0.30 151.88 187.09 153.94 123.87 100.76 168.07 138.68 158.48 111.85 71.94 42.14 35.38 42.51 204.79 90.87 47.31 41.28 112.53 28.80 63.26 60.86 137.53
Accounts receivable, net 404.60 499.92 331.33 279.95 445.61 449.54 447.51 376.39 445.93 485.18 0.48 0.43 0.49 499.33 0.41 0.34 404.73 404.73 0.37 180.80 0.41 291.99 216.24 169.98 319.04 319.04 211.94 173.59 341.48 341.48 216.40 179.20 208.97 321.58 213.04 156.12 204.85 313.96 189.36 157.36 219.61 272.28 198.57 159.55 190.18 269.64 175.94 142.26 163.87 230.25 156.85 176.52 152.95 233.47 -140.19 174.00 174.00 151.58 151.58 156.08 156.08 120.06 125.79 105.57 109.90 88.76
Inventories 424.22 448.95 484.70 463.30 463.49 476.27 477.34 454.70 446.18 441.25 0.57 0.62 0.60 496.98 0.56 0.54 365.97 365.97 0.42 300.36 0.34 242.90 272.91 294.53 242.38 242.38 251.09 262.39 236.95 236.95 235.90 223.59 203.48 210.59 226.13 223.71 214.24 207.67 215.96 214.18 181.49 181.86 196.81 193.44 181.31 175.18 179.74 172.38 152.52 153.09 155.75 160.44 142.50 141.91 140.19 0.25 108.35 108.35 108.07 108.07 133.91 133.91 77.38 77.38 74.74 74.74 70.83
Other current assets 57.67 35.93 953.95 872.90 37.77 137.51 41.70 44.05 62.46 53.78 0.06 0.05 0.06 16.61 0.07 0.07 16.47 16.47 0.03 575.63 539.38 11.76 579.51 565.03 12.68 12.68 555.02 365.28 11.66 11.66 350.42 320.21 279.12 10.81 310.49 315.78 317.21 9.91 308.38 312.39 225.24 17.65 272.62 268.23 245.74 18.56 259.40 233.06 210.17 409.64 221.51 17.71 62.64 16.38 345.67 314.83 321.36 0.03 0.62 271.65 292.04 9.49 276.75 285.38 251.33 0.39 254.85 292.40 299.67 32.49 249.70 223.44 200.87 28.60 192.74 177.41 179.19 41.98 175.04 163.26 160.02
Total current assets 1,510.23 1,515.43 1,452.73 1,384.16 1,719.20 1,771.27 1,566.63 1,512.42 1,651.01 1,601.68 1.82 1.87 1.92 1,661.95 1.76 1.68 1,091.37 1,091.37 1.32 950.62 1,007.05 960.01 856.28 825.72 789.28 789.28 705.58 692.31 941.01 941.01 832.43 814.00 694.78 730.28 637.61 595.66 674.39 681.39 603.38 595.20 669.87 684.31 659.55 614.61 663.63 685.39 620.93 650.52 722.09 818.50 594.36 421.77 464.78 495.89 462.98 452.86 515.77 423.53 476.80 446.28 400.62 386.14 418.07 407.64 413.32 404.25 365.83 375.71 285.08 265.95 334.48 334.41 240.05 218.69 276.82 264.00 238.30 224.13 249.29
Total non-current assets + 2,235.12 2,246.52 2,144.95 2,128.80 2,194.91 2,218.45 2,092.86 2,077.98 2,066.09 1,822.26 2.32 2.51 2.51 1,933.13 2.14 2.09 1,755.38 1,755.38 2.08 1,601.81 1,567.40 1,565.33 1,597.37 1,609.60 1,564.41 1,564.41 1,505.90 1,505.39 1,464.86 1,464.86 1,401.16 1,290.61 1,266.08 1,245.95 1,243.01 1,228.37 1,201.50 1,190.19 1,189.81 1,149.28 1,131.53 1,139.04 1,148.46 1,111.70 1,106.47 1,083.51 1,046.27 942.63 907.93 909.22 881.74 856.16 837.68 830.56 804.51 788.69 764.80 715.16 714.72 705.41 694.87 693.16 691.82 696.13 711.57 649.54 667.19 697.24 594.46 572.36 488.77 492.21 472.43 454.61 444.53 438.79 417.41 412.12 401.42
Total assets 3,745.35 3,761.95 3,597.68 3,512.96 3,914.11 3,989.72 3,659.49 3,590.40 3,717.09 3,423.95 4.14 4.38 4.43 3,595.08 3.90 3.77 2,846.75 2,846.75 3.40 2,552.44 2,574.45 2,525.34 2,453.65 2,435.32 2,353.69 2,353.69 2,211.49 2,197.70 2,405.86 2,405.86 2,233.59 2,104.61 1,960.86 1,976.23 1,880.62 1,824.03 1,875.89 1,871.58 1,793.19 1,744.48 1,801.40 1,823.36 1,808.01 1,726.31 1,770.11 1,768.90 1,667.19 1,593.15 1,630.02 1,727.72 1,476.10 1,277.93 1,302.46 1,326.45 1,267.48 1,241.55 1,280.56 2.50 2.36 1,138.70 1,191.53 1,151.69 1,095.49 1,079.30 1,109.89 1,103.77 1,124.90 1,053.79 1,033.02 1,072.95 879.54 838.31 823.25 826.62 712.48 673.30 721.35 702.78 655.70 636.24 650.71
Total current liabilities + 741.93 797.93 704.18 645.49 796.89 860.01 759.45 659.81 665.57 687.48 0.77 0.74 0.90 797.15 0.86 0.79 781.12 781.12 0.84 563.33 554.78 521.52 430.66 389.17 483.28 483.28 419.62 391.95 645.72 645.72 514.04 561.94 479.90 468.75 376.26 337.99 422.53 442.31 378.09 326.68 384.40 388.69 351.76 289.00 353.70 378.33 321.76 267.91 312.15 409.13 354.97 310.61 345.02 314.53 290.18 273.96 320.06 0.67 0.49 200.09 241.26 236.96 195.89 188.38 231.16 245.39 253.91 200.20 234.18 273.37 135.98 124.07 128.91 150.72 116.78 100.26 140.75 146.64 117.14 105.84 95.74
Total non-current liabilities + 1,263.65 1,342.92 1,272.87 1,257.11 1,441.02 1,457.20 1,376.72 1,407.34 1,515.99 1,399.08 1.73 1.88 1.76 1,361.96 1.46 1.39 640.12 640.12 0.69 549.42 597.98 594.99 609.11 613.60 427.48 427.48 408.53 406.10 371.02 371.02 401.53 286.05 281.76 280.65 283.81 264.46 227.95 228.97 233.55 243.17 242.20 247.14 255.43 258.65 243.37 242.07 242.56 221.80 225.60 234.35 233.51 235.15 231.57 301.40 288.14 266.61 263.83 295.41 304.36 299.66 296.03 287.33 290.30 285.18 300.44 270.95 197.42 209.54 230.77 224.22 215.37 219.51 166.85 162.82 161.94 164.58 158.70 157.75 174.01
Total liabilities 2,005.58 2,140.85 1,977.04 1,902.59 2,237.90 2,317.20 2,136.18 2,067.16 2,181.56 2,086.56 2.50 2.62 2.66 2,159.11 2.32 2.18 1,421.24 1,421.24 1.53 1,112.75 1,152.76 1,116.52 1,039.77 1,002.77 910.76 910.76 828.15 798.05 1,016.75 1,016.75 915.57 847.99 761.65 749.40 660.07 602.45 650.48 671.28 611.64 569.85 626.60 635.83 607.19 547.64 597.07 620.40 564.33 489.71 537.75 643.48 588.48 545.76 576.59 615.93 578.31 540.57 583.89 1.18 1.07 495.50 545.62 536.62 491.91 475.71 521.46 530.57 554.35 471.15 431.60 482.91 366.76 348.29 344.28 370.23 283.63 263.09 302.70 311.22 275.84 263.59 269.75
Total stockholders' equity + 1,584.13 1,476.15 1,480.64 1,476.80 1,535.10 1,525.18 1,413.25 1,424.15 1,431.77 1,218.36 1.51 1.62 1.62 1,315.03 1.45 1.47 1,307.62 1,307.62 1.73 1,326.37 1,304.88 1,296.57 1,302.13 1,319.51 1,328.05 1,328.05 1,270.73 1,288.94 1,280.13 1,280.13 1,210.55 1,162.21 1,106.49 1,101.08 1,091.42 1,093.17 1,098.94 1,077.30 1,059.82 1,054.82 1,054.93 1,057.82 1,073.22 1,054.96 1,047.63 1,025.59 1,004.49 1,006.01 995.50 988.68 794.03 639.62 628.10 613.22 592.81 586.54 580.94 1.09 1.07 530.28 528.05 505.65 491.07 491.18 477.23 462.23 455.21 492.94 510.04 496.25 458.80 434.47 425.12 401.80 377.60 360.56 376.06 349.41 338.89 331.71 340.72
Common shares outstanding 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 185 183 161 159 159 160 160 160 160 155 151 160 160 160 160 160 160 160 160 160 160 160 160 160 160 160 160 160 160 160 160 160 160
4 days ago
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Operating cash flow + 227.31 287.52 294.10 118.17 293.36 280.67 242.32 306.89 262.16 190,014.35 219.51 173.62 194.16 138.84 122.75 159.27 150.84 119.60 119.58 98.04
Cash flow from investing + -156.23 -118.29 -137.23 -236.46 -178.99 -140.55 -144.19 -199.00 -173.61 -155.01 -165.81 -238.97 -136.92 -134.34 -76.24 -65.35 -30.73 -160.49 -47.84 -51.73
Cash flow from financing + -196.43 -125.04 -118.04 537.10 -233.64 64.75 -199.42 -52.96 -53.00 -95.30 -82.84 -132.16 251.62 -80.17 -65.24 -79.36 -37.06 -30.08 -22.30 -35.86
Change in cash -125.35 44.19 38.83 418.81 -119.28 204.87 -101.29 54.92 35.55 189,764.04 -29.14 -197.50 308.86 -75.66 -18.73 14.55 83.06 -70.97 49.44 10.45
Change in exchange rate 0.00 0.00 0.00 0.00 0.00
Show Quarterly Cash Flow
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Operating cash flow + 180.72 117.15 15.89 -32.26 130.43 154.16 46.67 -34.60 121.28 88.42 58.61 53.45 46.85 46.85 -20.51 -52.24 50.88 80.30 50.72 40.82 110.86 134.90 71.65 -45.24 71.41 118.24 55.06 -33.28 102.29 0.00 -0.90 212.14 98.01 0.43 34.83 34.47 71.77 0.28 46.19 -20.84 89.76 0.31 50.00 19.07 89.16 0.29 14.98 14.42 57.67 0.37 51.98 18.78 56.30 0.29 19.59 0.32 0.00 0.34 0.30 119.60 119.60 10.15 12.66 32.52 119.58 10.03 6.27 98.04 98.04 9.00 3.28 20.41
Cash flow from investing + -50.00 -44.19 -51.61 -37.40 -28.08 -118.29 -32.73 8.70 -53.98 -26.18 -51.16 -59.89 -24.74 -236.46 -71.87 -78.07 -25.23 -66.51 -41.71 -40.69 -30.08 -22.70 -31.40 -40.81 -45.63 -40.29 -37.04 -43.61 -23.24 0.00 -65.77 -39.77 -50.05 -173.61 -43.18 -56.83 -28.79 -155.01 -64.18 -35.26 -21.09 -165.81 -48.04 -29.34 -37.87 -238.97 -115.90 -48.72 -29.18 -136.92 -40.57 -28.88 -24.10 -31.19 -160.49 -47.84 -51.73 -67.49
Cash flow from financing + -42.63 -29.01 14.33 -178.88 -10.16 -57.86 -22.73 -4.37 -40.07 -59.11 -19.06 7.67 21.56 21.56 77.27 -46.64 484.92 -138.42 -3.40 -88.12 -3.70 -35.60 -22.42 128.55 -5.78 -199.42 -11.68 -112.44 -48.27 0.00 20.43 -41.28 -11.30 -53.00 -1.56 -6.39 -24.79 -95.06 -2.48 -43.31 -36.83 -82.84 -1.21 -31.03 -38.74 -132.16 8.09 -38.66 -89.24 0.48 139.71 -30.04 -27.95 -9.05 -30.08 -30.08 -22.30 -22.30 -35.86 -35.86 -22.95
Change in cash 88.09 43.95 -21.40 -248.54 92.19 -21.99 -8.79 -30.27 27.23 3.13 -11.61 1.22 43.67 -168.05 -15.11 -176.94 510.56 -124.63 5.61 -87.99 77.07 76.60 17.82 42.50 20.00 -121.47 6.34 -189.33 30.78 0.00 -46.24 131.10 36.66 -226.19 -9.91 -28.76 18.19 -249.78 -20.48 -99.41 31.84 -248.34 0.75 -41.30 12.55 -370.84 -92.83 -72.95 -60.75 -136.07 151.12 -40.14 4.25 0.29 -20.66 0.00 0.00 0.32 0.00 0.00 0.00 0.34 0.00 0.00 0.00 0.30 0.00 0.00 -70.97 89.52 10.15 12.66 -37.62 97.28 10.03 6.27 10.45 62.18 9.00 3.28 -70.02
Change in exchange rate 0.00 0.00 0.00 0.00 0.00 0.00 0.00
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