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Credicorp BAP

US equityMarket cap rank #444
$377.85 −$2.02 (-0.53%)
Market open · Oct 1, 1:20 pm ET · After hours $379.90 +0.01%
Open$378.62
Prev close$379.87
Day range$373.45 – $380.86
Volume230.3K
Market cap$30.01B
P/E (TTM)14.0
Dividend yield3.88%

Fundamentals

Latest reported quarter: Q2, ended Jun 2026 · reported in PEN

RevenuePEN 6.86B+12.3% YoY
Net profitPEN 2.03B+8.6% YoY
Diluted EPSPEN 25.00+9.2% YoY
Free cash flowPEN 3.16B+230.0% YoY
Operating cash flowPEN 3.25B

Revenue, last 8 quarters

PEN 5.4BSep '24PEN 5.7BDec '24PEN 5.6BMar '25PEN 6.1BJun '25PEN 6.1BSep '25PEN 6.1BDec '25PEN 6.2BMar '26PEN 6.9BJun '26

Net profit, last 8 quarters

PEN 1.6BSep '24PEN 1.2BDec '24PEN 1.8BMar '25PEN 1.9BJun '25PEN 1.8BSep '25PEN 1.6BDec '25PEN 2.1BMar '26PEN 2.0BJun '26

Diluted EPS by quarter

19.18Sep '2414.18Dec '2422.40Mar '2522.90Jun '2521.91Sep '2520.00Dec '2525.97Mar '2625.00Jun '26

Free cash flow by quarter

PEN -368.7MDec '02PEN 956.3MMar '19PEN 3.2BMar '20

Annual revenue

PEN 15.4BFY20PEN 16.9BFY21PEN 16.9BFY22PEN 19.7BFY23PEN 21.5BFY24PEN 24.0BFY25

Profitability & balance sheet

Net margin28.8%
Return on equity20.3%
Return on assets2.8%
Liabilities / assets86.3%
Cash & investmentsPEN 48.57B
Total debtPEN 26.54B
Net cash (debt)PEN 22.03B

This company reports in its own local currency, not U.S. dollars. Every figure below is labeled with its real currency, not automatically converted.

Income statement

Line item 2026 Q2
(PEN)
2026 Q1
(PEN)
2025 ANNUAL
(PEN)
2025 Q4
(PEN)
2025 Q3
(PEN)
Total Operating Revenue PEN 6.86B PEN 6.23B PEN 23.99B PEN 6.08B PEN 6.15B
Net Interest Income PEN 4.07B PEN 3.95B PEN 14.91B PEN 4.10B PEN 3.67B
-Interest Income PEN 5.39B PEN 5.20B PEN 19.84B PEN 5.11B PEN 4.97B
-Interest Expense PEN 1.32B PEN 1.25B PEN 4.93B PEN 1.00B PEN 1.30B
Non-Interest Income PEN 2.79B PEN 2.29B PEN 9.07B PEN 1.98B PEN 2.48B
-Total Premiums Earned PEN 288.01M PEN 422.90M PEN 1.39B PEN 320.84M PEN 388.35M
-Fees and Commissions PEN 1.19B PEN 1.15B PEN 4.09B PEN 1.01B PEN 1.06B
-Dividend Income PEN 24.89M PEN 16.99M PEN 87.28M PEN 20.06M PEN 19.18M
-Foreign Exchange Trading Gains PEN 533.64M PEN 457.44M PEN 1.58B PEN 435.24M PEN 402.09M
-Other Non-Interest Income PEN 521.02M PEN 77.20M PEN 1.51B PEN 82.23M PEN 493.02M
-Gain Loss on Sale of Assets PEN 234.15M PEN 163.10M PEN 414.03M PEN 110.87M PEN 112.22M
Credit Losses Provision -PEN 731.21M -PEN 482.09M -PEN 2.67B -PEN 912.92M -PEN 602.92M
Non-Interest Expense PEN 3.30B PEN 2.84B PEN 11.37B PEN 2.78B PEN 3.04B
Professional Expense and Contract Services Expense PEN 114.30M PEN 111.90M PEN 448.93M PEN 83.62M PEN 147.98M
Selling and Admin Expenses PEN 2.38B PEN 2.30B PEN 8.71B PEN 2.54B PEN 2.13B
-Selling & Marketing Expense PEN 130.56M PEN 122.99M PEN 514.43M PEN 183.50M PEN 133.51M
-General & Admin Expense PEN 2.25B PEN 2.18B PEN 8.20B PEN 2.35B PEN 1.99B
Depreciation & Amortization & Depletion PEN 235.20M PEN 241.37M PEN 893.14M PEN 256.91M PEN 219.80M
-Depreciation & Amortization PEN 235.20M PEN 241.37M PEN 893.14M PEN 256.91M PEN 219.80M
Other Non-Interest Expenses PEN 573.98M PEN 188.37M PEN 1.31B PEN 17.35M PEN 503.30M
Other Income (Expense) PEN 9.15M PEN 9.12M PEN 1.04M PEN 5.47M PEN 5.13M
Income from Associates & Other Participating Interests PEN 6.00M PEN 9.12M PEN 34.05M PEN 5.47M PEN 5.13M
Special Income (Charges) PEN 3.15M PEN 0.00 -PEN 33.01M – –
-Less:Impairment of Capital Assets PEN 0.00 PEN 0.00 PEN 0.00 – –
-Less:Other Special Charges -PEN 3.15M – PEN 41.70M – –
Pretax Profit PEN 2.84B PEN 2.92B PEN 9.95B PEN 2.36B PEN 2.51B
Tax PEN 814.36M PEN 808.89M PEN 2.86B PEN 735.15M PEN 728.31M
Net Profit PEN 2.03B PEN 2.11B PEN 7.08B PEN 1.62B PEN 1.78B
Profit from Continuing Operations PEN 2.03B PEN 2.11B PEN 7.08B PEN 1.62B PEN 1.78B
Minority Interests PEN 43.66M PEN 46.96M PEN 157.28M PEN 37.88M PEN 39.80M
Net Income to Parent Company PEN 1.98B PEN 2.06B PEN 6.93B PEN 1.59B PEN 1.74B
Net Income to Common Stockholders PEN 1.98B PEN 2.06B PEN 6.93B PEN 1.59B PEN 1.74B
Basic EPS PEN 25.00 PEN 25.97 PEN 87.25 PEN 20.00 PEN 21.91
Diluted EPS PEN 25.00 PEN 25.97 PEN 87.08 PEN 20.00 PEN 21.91
Dividend Per Share PEN 50.00 PEN 0.00 PEN 40.89 PEN 0.00 PEN 0.00
-Less:Restructuring and Mergern & Acquisition – – PEN 226.80M – –
-Gain on Sale of Business – – PEN 235.49M – –
Occupancy and Equipment – – – – PEN 43.72M

Balance sheet

Line item 2026 Q2
(PEN)
2026 Q1
(PEN)
2025 ANNUAL
(PEN)
2025 Q4
(PEN)
2025 Q3
(PEN)
Total Assets PEN 282.83B PEN 278.51B PEN 267.36B PEN 267.36B PEN 255.30B
Cash, Cash Equivalents & Federal Funds Sold PEN 49.76B PEN 52.90B PEN 51.63B PEN 51.63B PEN 46.50B
-Cash and Cash Equivalents PEN 48.57B PEN 50.69B PEN 48.92B PEN 48.92B PEN 43.10B
-Restricted Cash and Investments PEN 1.19B PEN 2.21B PEN 1.31B PEN 1.31B PEN 3.40B
Securities Investment PEN 59.59B PEN 58.50B PEN 49.61B PEN 49.61B PEN 52.14B
-Available for Sale Securities PEN 16.21B PEN 14.89B PEN 16.57B PEN 16.57B PEN 14.14B
-Short Term Investments PEN 43.38B PEN 43.60B PEN 33.04B PEN 33.04B PEN 38.01B
Long Term Equity Investment PEN 59.98M PEN 65.89M PEN 65.34M PEN 65.34M PEN 52.39M
Net Loan PEN 151.86B PEN 145.40B PEN 131.84B PEN 131.84B PEN 137.08B
-Gross Loan PEN 159.43B PEN 152.82B PEN 139.51B PEN 139.51B PEN 144.75B
-Allowance for Loans and Lease Losses PEN 7.58B PEN 7.43B PEN 7.67B PEN 7.67B PEN 7.67B
Net PPE PEN 2.60B PEN 2.66B PEN 2.93B PEN 2.93B PEN 2.73B
Goodwill and Other Intangible Assets PEN 4.84B PEN 4.73B PEN 4.76B PEN 4.76B PEN 4.60B
Acceptance Bills PEN 581.70M PEN 608.31M PEN 345.91M PEN 345.91M PEN 553.56M
Other Assets PEN 13.54B PEN 13.66B PEN 8.03B PEN 8.03B PEN 11.65B
Total Liabilities PEN 244.03B PEN 237.87B PEN 228.27B PEN 228.27B PEN 218.04B
Total Deposits PEN 181.24B PEN 177.71B PEN 169.40B PEN 169.40B PEN 157.58B
Federal Funds Purchased and Securities Sold Under Agreement to Repurchase PEN 8.38B PEN 5.87B PEN 8.24B PEN 8.24B PEN 10.18B
Trading Liabilities PEN 937.84M PEN 1.45B PEN 1.06B PEN 1.06B PEN 928.81M
Payables PEN 882.22M PEN 918.18M PEN 6.20B PEN 6.20B PEN 847.01M
-Accounts Payable PEN 882.22M PEN 918.18M PEN 3.68B PEN 3.68B PEN 847.01M
Long Term Debt and Capital Lease Obligation PEN 26.54B PEN 24.96B PEN 23.43B PEN 23.43B PEN 23.45B
-Long Term Debt PEN 26.54B PEN 24.96B PEN 22.82B PEN 22.82B PEN 23.45B
Other Liabilities PEN 26.05B PEN 26.95B PEN 14.94B PEN 14.94B PEN 25.05B
Total Equity PEN 38.80B PEN 40.65B PEN 39.10B PEN 39.10B PEN 37.26B
Stockholders' Equity PEN 38.12B PEN 40.02B PEN 38.37B PEN 38.37B PEN 36.56B
Capital Stock PEN 1.32B PEN 1.32B PEN 1.32B PEN 1.32B PEN 1.32B
-Common Stock PEN 1.32B PEN 1.32B PEN 1.32B PEN 1.32B PEN 1.32B
Additional Paid-In Capital PEN 86.15M PEN 112.19M PEN 148.73M PEN 148.73M PEN 139.53M
Retained Earnings PEN 4.08B PEN 2.10B PEN 6.92B PEN 6.92B PEN 5.33B
Less: Treasury Stock PEN 209.11M PEN 208.70M PEN 209.85M PEN 209.85M PEN 209.85M
Gains/Losses Not Affecting Retained Earnings PEN 32.84B PEN 36.69B PEN 30.19B PEN 30.19B PEN 29.98B
Minority Interests PEN 679.93M PEN 629.69M PEN 729.16M PEN 729.16M PEN 695.27M
-Money Market Investments – – PEN 1.40B PEN 1.40B –
Derivative Assets – – PEN 1.23B PEN 1.23B –
Receivables – – PEN 14.60B PEN 14.60B –
-Accounts Receivable – – PEN 2.93B PEN 2.93B –
-Notes Receivable – – PEN 4.10B PEN 4.10B –
-Other Receivables – – PEN 7.57B PEN 7.57B –
-Gross PPE – – PEN 5.98B PEN 5.98B –
-Accumulated Depreciation – – -PEN 3.05B -PEN 3.05B –
-Goodwill – – PEN 1.25B PEN 1.25B –
-Other Intangible Assets – – PEN 3.51B PEN 3.51B –
Prepaid Assets – – PEN 119.91M PEN 119.91M –
Foreclosed Assets – – PEN 90.29M PEN 90.29M –
Deferred Assets – – PEN 2.10B PEN 2.10B –
Short-Term Debt and Capital Lease Obligation – – PEN 1.88B PEN 1.88B –
-Current Debt – – PEN 1.88B PEN 1.88B –
-Total Tax Payable – – PEN 723.43M PEN 723.43M –
-Dividends Payable – – PEN 88.22M PEN 88.22M –
-Other Payable – – PEN 1.71B PEN 1.71B –
Current Accrued Expenses – – PEN 1.75B PEN 1.75B –
-Long Term Capital Lease Obligation – – PEN 612.26M PEN 612.26M –
Non-Current Liabilities – – PEN 996.69M PEN 996.69M –
Non-Current Deferred Liabilities – – PEN 376.94M PEN 376.94M –

Cash flow

Line item 2025 ANNUAL
(PEN)
2024 ANNUAL
(PEN)
2023 ANNUAL
(PEN)
2022 ANNUAL
(PEN)
2021 ANNUAL
(PEN)
Operating Cash Flow PEN 8.61B PEN 14.52B PEN 4.08B -PEN 1.15B PEN 3.97B
Net cash flow from continuing operations PEN 8.61B PEN 14.52B PEN 4.08B -PEN 1.15B PEN 3.97B
Net Income from Continuing Operations PEN 7.08B PEN 5.62B PEN 4.96B PEN 4.76B PEN 3.67B
Gain/Loss from Continuing Operations -PEN 757.65M -PEN 634.99M -PEN 562.11M -PEN 115.70M -PEN 346.84M
Depreciation & Depletion & Amortization PEN 901.95M PEN 722.57M PEN 667.12M PEN 643.60M PEN 690.56M
Deferred Tax -PEN 125.72M -PEN 54.94M -PEN 76.09M PEN 113.06M PEN 547.39M
Other Non-Cash Items PEN 157.48M PEN 528.92M PEN 327.10M PEN 16.01M PEN 935.83M
Change in Working Capital PEN 985.63M PEN 5.96B -PEN 3.21B -PEN 7.70B -PEN 2.03B
-Change in Receivables -PEN 1.58B PEN 0.00 PEN 0.00 – –
-Change in Loans -PEN 18.21B -PEN 5.22B -PEN 6.11B -PEN 14.72B -PEN 15.66B
-Change in Other Current Assets -PEN 3.30B -PEN 728.27M PEN 189.88M PEN 1.04B PEN 488.88M
-Change in Other Current Liabilities PEN 5.18B PEN 2.38B PEN 2.60B PEN 3.11B PEN 1.30B
-Change in Other Working Capital PEN 18.88B PEN 9.54B PEN 105.70M PEN 2.87B PEN 11.84B
Net cash flow from investing -PEN 1.59B PEN 527.56M -PEN 1.26B -PEN 1.09B -PEN 3.73B
Net Cash Flow from Continuing Investing Activities -PEN 1.59B PEN 527.56M -PEN 1.26B -PEN 1.09B -PEN 3.73B
Net PPE Purchase and Sale -PEN 124.45M -PEN 211.92M -PEN 269.22M -PEN 187.33M -PEN 96.33M
Net Intangibles Purchase and Sale -PEN 983.97M -PEN 801.29M -PEN 828.80M -PEN 703.67M -PEN 532.24M
Net Business Purchase and Sale -PEN 727.18M PEN 0.00 -PEN 5.56M PEN 0.00 PEN 0.00
Net Investment Purchase and Sale PEN 424.75M PEN 1.56B -PEN 113.81M -PEN 116.48M -PEN 3.09B
Financing Cash Flow -PEN 1.84B -PEN 1.81B -PEN 2.26B -PEN 1.60B -PEN 465.30M
Net Cash Flow from Continuing Financing Activities -PEN 1.84B -PEN 1.81B -PEN 2.26B -PEN 1.60B -PEN 465.30M
Net Issuance Payments of Debt PEN 1.64B PEN 2.13B -PEN 95.34M -PEN 251.23M PEN 28.02M
Net Common Stock Issuance -PEN 119.25M -PEN 110.89M -PEN 85.58M -PEN 73.66M -PEN 55.16M
Cash Dividends Paid -PEN 3.18B -PEN 3.66B -PEN 1.99B -PEN 1.20B -PEN 398.81M
Net Other Financing Activities -PEN 138.78M -PEN 143.56M -PEN 63.82M -PEN 54.45M -PEN 11.98M
Ending Cash Balance PEN 48.97B PEN 47.57B PEN 33.92B PEN 34.12B PEN 39.29B
Net Change in Cash PEN 5.18B PEN 13.24B PEN 560.30M -PEN 3.85B -PEN 220.01M
Beginning Cash Balance PEN 47.57B PEN 33.92B PEN 34.12B PEN 39.29B PEN 36.73B
Effect of Exchange Rate Changes -PEN 3.77B PEN 410.26M -PEN 760.65M -PEN 1.33B PEN 2.78B
Free Cash Flow PEN 7.34B PEN 13.41B PEN 2.93B -PEN 2.05B PEN 3.33B

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