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COMPANIA GENERAL DE ELECTRICIDAD

COMPAÑIA GENERAL DE ELECTRICIDAD S.A. · www.cge.cl · Datos al Q1 2026 · CMF XBRL · IFRS consolidado · USD/CLP 886.05

Compañía General de Electricidad S.A., a través de su subsidiaria, se dedica al negocio de distribución y transmisión de electricidad en Chile. Vende una capacidad de 11.058 GWh de energía. La compañía fue fundada en 1905 y tiene su sede en Santiago, Chile. Compañía General de Electricidad S.A. es subsidiaria de State Grid Chile Electricity Spa.

Último Período Disponible
Q1 2026
Ingresos?
MM$578.077
ytd
Resultado Bruto?
MM$70.646
ytd
Resultado Operacional?
MM$40.134
ytd
Resultado Neto?
MM$20.316
ytd
Capitalización de Mercado?
MM$527.174
point_in_time
Márgenes TTM?
Precio de la acción

Scorecard Histórico

Serie temporal completa · 10 períodos disponibles

Períodos:
MétricaQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024
Balance
Activos Totales?
MM$4.087.723MM$4.117.314MM$4.144.362MM$4.079.746MM$4.041.867MM$4.032.631MM$3.927.039MM$3.814.701
Patrimonio?
MM$1.527.291MM$1.505.957MM$1.505.264MM$1.505.223MM$1.503.594MM$1.497.162MM$1.515.476MM$1.526.225
Pasivos Totales?
MM$2.560.431MM$2.611.357MM$2.639.097MM$2.574.523MM$2.538.273MM$2.535.469MM$2.411.562MM$2.288.476
Act. Corrientes?
MM$871.216MM$851.086MM$885.768MM$863.769MM$798.185MM$698.243MM$759.688MM$689.539
Pas. Corrientes?
MM$1.206.354MM$1.201.177MM$1.139.715MM$1.076.370MM$1.201.614MM$1.116.674MM$1.080.864MM$937.895
Efectivo?
MM$21.827MM$28.288MM$52.608MM$72.847MM$54.724MM$58.863MM$62.203MM$49.593
Deuda LP?
MM$199.930MM$177.460MM$247.805MM$237.281MM$235.238MM$193.256MM$203.347MM$200.927
Patrimonio Controladores?
MM$1.486.567MM$1.466.517MM$1.465.802MM$1.467.038MM$1.465.616MM$1.460.257MM$1.477.957MM$1.489.709
Deuda Fin. CP?
MM$472.438MM$417.411MM$357.079MM$333.888MM$404.650MM$342.632MM$320.655MM$323.714
Deuda Fin. LP?
MM$795.749MM$800.219MM$857.787MM$867.967MM$859.786MM$833.705MM$847.837MM$862.717
Inventarios?
MM$4.609MM$4.453MM$4.520MM$4.601MM$4.591MM$4.311MM$4.249MM$3.743
Resultados
Ingresos?
MM$578.077MM$2.340.592MM$1.792.675MM$1.204.770MM$596.024MM$2.666.444MM$2.062.595MM$1.476.204
Result. Operacional?
MM$40.134MM$130.270MM$92.741MM$72.015MM$38.620MM$209.842MM$191.752MM$179.294
EBITDA?
MM$190.933MM$169.101MM$160.472MM$154.419MM$186.614MM$252.459
Resultado Neto?
MM$20.316MM$17.137MM$11.571MM$8.655MM$4.378MM$91.314MM$81.075MM$90.956
Costos Financieros?
MM$22.975MM$81.892MM$59.157MM$37.616MM$17.901MM$74.921MM$56.561MM$37.981
Gastos Admin.?
MM$33.458MM$133.143MM$100.648MM$64.697MM$31.283MM$130.012MM$88.354MM$57.219
Depreciación?
MM$24.783MM$91.271MM$64.474MM$41.029MM$19.282MM$87.026MM$56.818MM$37.063
Flujo Operacional?
MM$48.237MM$53.352MM$43.241MM$40.573-MM$9.664MM$293.141MM$226.124MM$78.123
Resultado Neto Controladores?
MM$19.020MM$12.000MM$7.401MM$6.420MM$3.343MM$87.698MM$77.731MM$89.023
Resultado Bruto?
MM$70.646MM$256.678MM$185.350MM$134.683MM$70.783MM$333.675MM$268.899MM$224.437
Pérdidas por Deterioro?
MM$824-MM$52.440-MM$39.429-MM$22.589-MM$13.993-MM$44.408-MM$38.798-MM$27.862
Márgenes
Margen Bruto?
11.0%11.0%10.4%10.2%10.9%12.5%
Margen Operacional?
5.7%5.6%4.6%4.3%5.7%7.9%
Margen Neto?
1.2%0.5%0.7%0.2%1.4%3.3%
Margen EBITDA?
8.2%7.2%6.7%6.4%7.1%9.5%
Rentabilidad
ROE?
1.9%0.8%1.2%0.3%2.5%6.0%
ROA?
0.7%0.3%0.4%0.1%0.9%2.2%
Apalancamiento
Deuda / Patrimonio?
1.68x1.73x1.75x1.71x1.69x1.69x
Deuda Neta?
MM$650.541MM$566.583MM$552.277MM$498.321MM$585.164MM$477.024
ND / EBITDA?
3.41x3.35x3.44x3.23x3.14x1.89x
Cob. Intereses?
1.52x1.59x1.43x1.38x2.03x2.80x
Liquidez
Razón Corriente?
0.72x0.71x0.78x0.80x0.66x0.63x
Prueba Ácida?
0.72x0.70x0.77x0.80x0.66x0.62x
Mercado
Precio (CGE.SN)?
260,99256,04292,84286,87297,08342,66301,29301,49
Cap. de Mercado?
MM$527.174MM$517.169MM$591.497MM$579.448MM$600.069MM$692.133MM$608.570MM$608.976
P/E?
43.93x29.78x116.10x15.69x6.84x
P/B?
0.36x0.35x0.40x0.40x0.41x
P/S?
0.23x0.22x0.25x0.22x0.23x
EV/EBITDA?
6.47x6.66x7.06x6.24x4.27x