Symbols / BLX Stock $52.95 -1.56% Banco Latinoamericano de Comercio Exterior, S. A.

Financial Services • Banks - Regional • Panama • NYQ
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Stock Fundamentals
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Index EQUITY
Sector Financial Services
Industry Banks - Regional
CEO Mr. Jorge L. Salas
Exch · Country NYQ · Panama
Market Cap 1.97B
Enterprise Value 5.99B
Income 224.00M
Sales 323.08M
FCF (ttm)
Book/sh 45.50
Cash/sh 10.71
Employees
Insider 10d
IPO Sep 24, 1992
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 42.57%
P/E 8.80
Forward P/E 7.51
PEG 1.77
P/S 6.10
P/B 1.16
P/C
EV/EBITDA
EV/Sales 18.54
Quick Ratio
Current Ratio
Debt/Eq
LT Debt/Eq
EPS (ttm) 6.02
EPS next Y 7.05
EPS Growth -6.70%
Revenue Growth 7.70%
EPS Gr Q/Q 8.90%
Rev Gr Q/Q
Earnings (next) 2026-04-27
Earnings (prior) 2026-04-27
ROA 1.77%
ROE 15.04%
ROIC
Gross Margin 0.00%
Oper. Margin 72.81%
Profit Margin 71.66%
Shs Outstand 30.06M
Shs Float 29.23M
Insider Own 3.91%
Instit Own 31.52%
Short Float 0.71%
Short Ratio 1.47
Short Interest 209.54K
52W High 57.79
vs 52W High -8.38%
52W Low 38.41
vs 52W Low 37.85%
Beta 0.81
Impl. Vol. 33.00%
Rel Volume 0.99
Avg Volume 149.47K
Volume 147.61K
Target (mean) $65.53
Tgt Median $66.60
Tgt Low $63.00
Tgt High $67.00
# Analysts 3
Recom Strong_buy
Prev Close $53.79
Price $52.95
Change -1.56%
About

Banco Latinoamericano de Comercio Exterior, S. A., a multinational bank, engages in financing of foreign trade and economic integration in Latin America and the Caribbean. It operates through Commercial and Treasury segments. The company accepts deposits. It also offers products and services, such as origination of bilateral short- and medium-term loans, structured and syndicated credits, and loan commitments; financial guarantee contracts, including issued and confirmed letters of credit, stand-by letters of credit, guarantees covering commercial risk, and other assets of customers' liabilities under acceptances; and co-financing arrangements, underwriting of syndicated credit facilities, structured trade financing in the form of factoring and vendor financing, and financial leasing. In addition, the company is involved in investment management activities comprising securities at fair value through other comprehensive income and amortized cost. It serves financial institutions, corporations, sovereigns, and state-owned entities. The company was formerly known as Banco Latinoamericano de Exportaciones, S.A. and changed its name to Banco Latinoamericano de Comercio Exterior, S. A. in June 2009. Banco Latinoamericano de Comercio Exterior, S. A. was founded in 1975 and is headquartered in Panama City, the Republic of Panama.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Fallback: EPS × 15 (assumed fair P/E). No FCF data; use with …
Ratings
Current target
$52.95
Low
$63.00
High
$67.00
Mean
$65.53

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2023-10-16 init Jefferies — → Buy $37
2023-06-29 init Barclays — → Overweight $32
2017-07-21 down JP Morgan Neutral → Underweight
2016-10-20 down JP Morgan Overweight → Neutral
2014-06-05 main JP Morgan — → Overweight $34
2012-06-22 up JP Morgan Neutral → Overweight $27
Insider Transactions

No recent insider transactions.

Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
315.76
+10.88%
284.78
+19.99%
237.34
+62.41%
146.14
Operating Revenue
315.76
+10.88%
284.78
+19.99%
237.34
+62.41%
146.14
Selling General And Administration
74.38
+9.78%
67.75
+11.50%
60.76
+33.77%
45.42
Selling And Marketing Expense
1.30
+32.12%
0.99
-2.47%
1.01
+81.69%
0.56
General And Administrative Expense
73.07
+9.45%
66.76
+11.74%
59.75
+33.17%
44.87
Salaries And Wages
57.23
+7.40%
53.29
+10.64%
48.16
+37.16%
35.11
Other Gand A
14.73
+17.00%
12.59
+15.58%
10.90
+20.58%
9.04
Reconciled Depreciation
4.83
+35.62%
3.56
+15.16%
3.09
+13.96%
2.71
Total Unusual Items
0.00
0.00
Total Unusual Items Excluding Goodwill
0.00
0.00
Special Income Charges
0.00
Write Off
0.00
Net Income
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Pretax Income
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Net Interest Income
271.18
+4.62%
259.21
+11.16%
233.18
+57.54%
148.01
Interest Expense
497.28
-5.43%
525.82
+17.88%
446.08
+141.63%
184.61
Interest Income
768.46
-2.11%
785.03
+15.57%
679.26
+104.21%
332.62
Gain On Sale Of Security
-13.89
+21.90%
-17.78
+35.36%
-27.51
-31.42%
-20.93
Tax Rate For Calcs
0.00
+0.00%
0.00
+0.00%
0.00
+0.00%
0.00
Tax Effect Of Unusual Items
0.00
0.00
0.00
0.00
Net Income Including Noncontrolling Interests
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Net Income From Continuing Operation Net Minority Interest
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Net Income From Continuing And Discontinued Operation
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Net Income Continuous Operations
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Normalized Income
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Net Income Common Stockholders
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Diluted EPS
6.11
+9.11%
5.60
+23.08%
4.55
+79.13%
2.54
Basic EPS
6.11
+9.11%
5.60
+23.08%
4.55
+79.13%
2.54
Basic Average Shares
37.15
+1.12%
36.74
+0.71%
36.48
+0.49%
36.30
Diluted Average Shares
37.15
+1.12%
36.74
+0.71%
36.48
+0.49%
36.30
Diluted NI Availto Com Stockholders
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Amortization
1.98
+85.90%
1.06
+30.71%
0.81
+45.10%
0.56
Amortization Of Intangibles Income Statement
1.98
+85.90%
1.06
+30.71%
0.81
+45.10%
0.56
Depreciation Amortization Depletion Income Statement
4.83
+35.62%
3.56
+15.16%
3.09
+13.96%
2.71
Depreciation And Amortization In Income Statement
4.83
+35.62%
3.56
+15.16%
3.09
+13.96%
2.71
Depreciation Income Statement
2.85
+14.21%
2.50
+9.61%
2.28
+5.85%
2.15
Other Non Interest Expense
1.08
+25.82%
0.86
-52.42%
1.80
+408.19%
0.35
Professional Expense And Contract Services Expense
8.59
+27.49%
6.74
+22.00%
5.52
-1.45%
5.60
Rent And Landing Fees
1.11
+25.71%
0.88
+27.79%
0.69
-3.63%
0.72
Rent Expense Supplemental
1.11
+25.71%
0.88
+27.79%
0.69
-3.63%
0.72
Line Item Trend 2023-12-31 2021-12-31
Total Assets
10,743.79
Cash And Cash Equivalents
2,047.45
Cash Equivalents
Cash Financial
84.90
Other Short Term Investments
11.87
Receivables
115.53
Accounts Receivable
115.53
Prepaid Assets
2.62
Net PPE
18.99
Gross PPE
35.14
Accumulated Depreciation
-16.14
Machinery Furniture Equipment
6.11
Construction In Progress
2.20
Other Properties
18.52
Leases
8.31
Goodwill And Other Intangible Assets
2.60
Other Intangible Assets
2.60
Investments And Advances
1,022.13
Total Liabilities Net Minority Interest
9,539.97
Payables And Accrued Expenses
121.36
Payables
97.24
Accounts Payable
97.24
Other Payable
Current Accrued Expenses
24.12
+160.31%
9.27
Current Debt And Capital Lease Obligation
1,725.75
Current Debt
1,724.61
Other Current Borrowings
1,724.61
Current Capital Lease Obligation
1.14
Current Deferred Liabilities
9.65
Current Deferred Revenue
9.65
Long Term Debt And Capital Lease Obligation
2,642.95
Long Term Debt
2,627.38
Long Term Capital Lease Obligation
15.56
Long Term Provisions
5.06
Defined Pension Benefit
2.17
Non Current Deferred Liabilities
9.65
Non Current Deferred Revenue
9.65
Stockholders Equity
1,203.82
Common Stock Equity
1,203.82
Capital Stock
279.98
Common Stock
279.98
Share Issued
36.54
Ordinary Shares Number
36.54
Treasury Shares Number
0.00
-100.00%
5.75
Additional Paid In Capital
122.05
Retained Earnings
673.28
Gains Losses Not Affecting Retained Earnings
238.69
Treasury Stock
110.17
Other Equity Adjustments
238.69
Total Equity Gross Minority Interest
1,203.82
Total Capitalization
3,831.21
Invested Capital
5,555.81
Total Debt
4,368.69
Net Debt
2,304.54
Capital Lease Obligations
16.71
Net Tangible Assets
1,201.22
Tangible Book Value
1,201.22
Available For Sale Securities
1,010.27
Cash Cash Equivalents And Federal Funds Sold
2,047.45
Derivative Product Liabilities
40.61
Other Equity Interest
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
780.24
+736.11%
-122.66
-111.55%
1,062.11
+238.00%
-769.65
Cash Flow From Continuing Operating Activities
780.24
+736.11%
-122.66
-111.55%
1,062.11
+238.00%
-769.65
Net Income From Continuing Operations
226.88
+10.20%
205.87
+23.90%
166.16
+80.53%
92.04
Depreciation Amortization Depletion
4.83
+35.62%
3.56
+15.16%
3.09
+13.96%
2.71
Depreciation
2.85
+14.21%
2.50
+9.61%
2.28
+5.85%
2.15
Amortization Cash Flow
1.98
+85.90%
1.06
+30.71%
0.81
+45.10%
0.56
Depreciation And Amortization
4.83
+35.62%
3.56
+15.16%
3.09
+13.96%
2.71
Amortization Of Intangibles
1.98
+85.90%
1.06
+30.71%
0.81
+45.10%
0.56
Other Non Cash Items
-271.18
-4.62%
-259.21
-11.14%
-233.22
-57.57%
-148.01
Stock Based Compensation
8.19
+9.18%
7.50
+37.03%
5.47
+153.64%
2.16
Operating Gains Losses
143.66
+959.79%
-16.71
-124.13%
69.24
+32103.72%
0.21
Gain Loss On Investment Securities
-4.50
-1310.03%
-0.32
-108.27%
3.86
+856.47%
-0.51
Unrealized Gain Loss On Investment Securities
0.00
0.00
Gain Loss On Sale Of PPE
0.01
+25.00%
0.01
-47.83%
0.02
+283.33%
0.01
Change In Working Capital
391.49
+228.42%
-304.86
-137.13%
820.95
+191.83%
-894.01
Change In Other Working Capital
1,464.22
+45.13%
1,008.93
-16.46%
1,207.70
+727.82%
145.89
Change In Other Current Assets
-20.25
-562.25%
-3.06
+58.55%
-7.38
-531.60%
1.71
Change In Other Current Liabilities
5.15
+156.55%
-9.11
-134.12%
26.69
+117.28%
12.28
Investing Cash Flow
-211.16
-17.30%
-180.02
-1310.04%
-12.77
+92.34%
-166.66
Cash Flow From Continuing Investing Activities
-211.16
-17.30%
-180.02
-1310.04%
-12.77
+92.34%
-166.66
Net PPE Purchase And Sale
-2.80
+28.95%
-3.94
-87.74%
-2.10
-26.95%
-1.65
Purchase Of PPE
-2.80
+28.95%
-3.94
-87.74%
-2.10
-26.95%
-1.65
Capital Expenditure
-2.80
+28.95%
-3.94
-87.74%
-2.10
+22.97%
-2.72
Net Investment Purchase And Sale
-208.36
-18.33%
-176.09
-1550.13%
-10.67
+95.00%
-213.62
Purchase Of Investment
-700.26
-47.50%
-474.74
-6.17%
-447.13
+2.58%
-458.98
Sale Of Investment
491.90
+64.70%
298.65
-31.57%
436.46
+77.88%
245.36
Net Intangibles Purchase And Sale
-2.12
-58.95%
-1.33
-24.77%
-1.07
Purchase Of Intangibles
-2.12
-58.95%
-1.33
-24.77%
-1.07
Financing Cash Flow
-546.81
-503.42%
135.54
+153.53%
-253.22
-127.64%
916.25
Cash Flow From Continuing Financing Activities
-546.81
-503.42%
135.54
+153.53%
-253.22
-127.64%
916.25
Net Issuance Payments Of Debt
-569.61
-286.36%
305.64
+234.85%
-226.65
-121.00%
1,079.39
Issuance Of Debt
587.86
-50.67%
1,191.69
+140.10%
496.34
-52.19%
1,038.11
Repayment Of Debt
-1,007.78
-21.78%
-827.52
-272.19%
-222.34
+58.66%
-537.79
Long Term Debt Issuance
587.86
-50.67%
1,191.69
+140.10%
496.34
-52.19%
1,038.11
Long Term Debt Payments
-1,007.78
-21.78%
-827.52
-272.19%
-222.34
+58.66%
-537.79
Net Long Term Debt Issuance
-419.92
-215.31%
364.17
+32.91%
274.00
-45.23%
500.32
Net Short Term Debt Issuance
-149.69
-155.75%
-58.53
+88.31%
-500.65
-186.46%
579.07
Net Common Stock Issuance
197.98
0.00
0.00
0.00
Common Stock Payments
0.00
0.00
Common Stock Dividend Paid
-91.83
-26.17%
-72.78
-100.67%
-36.27
-0.35%
-36.14
Cash Dividends Paid
-91.83
-26.17%
-72.78
-100.67%
-36.27
-0.35%
-36.14
Repurchase Of Capital Stock
0.00
0.00
Changes In Cash
22.28
+113.33%
-167.14
-120.99%
796.13
+4067.76%
-20.07
Beginning Cash Position
1,819.93
-8.41%
1,987.07
+66.85%
1,190.94
-1.66%
1,211.00
End Cash Position
1,842.21
+1.22%
1,819.93
-8.41%
1,987.07
+66.85%
1,190.94
Free Cash Flow
777.45
+714.13%
-126.59
-111.94%
1,060.02
+237.24%
-772.37
Common Stock Issuance
197.98
0.00
0.00
Interest Paid CFO
-502.61
+5.64%
-532.65
-29.15%
-412.44
-193.73%
-140.41
Interest Received CFO
778.99
+0.66%
773.84
+20.37%
642.86
+117.09%
296.13
Issuance Of Capital Stock
197.98
0.00
0.00
Net Investment Properties Purchase And Sale
Sale Of Investment Properties
SEC Filings

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