Nuestra Empresa - ISA

​Shareholders

ISA is a public-private company with state, public and private investors. The outstanding shares are registered and dematerialized common shares. Depósito Centralizado de Valores de Colombia -DECEVAL S.A.​-, is the entity that receives the shares in the deposit for their management and custody, helping to facilitate and speed up the market agents' transactions.

Nominal share value: $32,80000000535200
Authorized Capital: $45.000.000.000 divided into 1.371.951.219 shares.
Subscribed Capital: $36.916.334.931 divided into 1.125.498.016 shares.
Paid-in Capital: $36.916.334.931 divided into 1.125.498.016 shares.
Repurchased Shares: $584.500.002 divided into 17.820.122 shares.


     Shareholder Structure | February 2020

​SHAREHOLDERS NUMBER OF SHARES
%
STATE INVESTORS
667,196,974 60.23
        The colombian state  569,472,561 51.41
         EEPPM 97,724,413 8.82
IRIVATE INVESTORS 440,480,920 39.77
           Local institutional inverstors 283,517,208
25.87
          Foreingn investment funds 114,866,064 10,37
           Individuals 38,854,898
3,51
           ISA ADR 's  program 242,750 0,02
PAID IN CAPITAL INTO CIRCULATION​ 1,107,677,894 100

TOP25 shareholders  | February​ 2020  


 

 

 
NIT​​​​ NAME ​SHARES COUNTRY​
8,999,990,902 MINISTERIO DE HACIENDA Y CREDITO PUBLICO 569,472,561 51.41%   COLOMBIA
8,909,049,961 EMPRESAS PUBLICAS DE MEDELLIN E.S.P. 97,724,413 8.82%  COLOMBIA
8,002,248,088 FONDO DE PENSIONES OBLIGATORIAS PORVENIR MODERADO 95,635,920 8.60%    COLOMBIA
8,002,297,390 FDO DE PENSIONES OBLIGATORIAS PROTECCION MODERADO
63,160,284
5.70%    COLOMBIA
9,004,402,831 FONDO BURSATIL ISHARES COLCAP​ 26,923,487
2.43%    COLOMBIA
8,002,279,406 FONDO DE PENSIONES OBLIGATORIAS COLFONDOS MODERADO 25,439,663 2.30%    COLOMBIA
9,004,318,031 NORGES BANK-CB NEW YORK 13,053,903 1.18% NORUEGA
8,002,530,552 OLD MUTUAL FONDO DE PENS. OBLIGATORIAS - MODERADO 11,634,376 1.05% COLOMBIA
9,007,201,801 FONDO BURSATIL HORIZONS COLOMBIA SELECT DE S&P 8,962,438 0.81% COLOMBIA
9,003,519,541 VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND   6,784,091 0.61% ESTADOS UNIDOS DE NORTEAMÉRICA
9,003,320,031 VANGUARD EMERGING MARKERTS STOCK INDEX FUND  6,303,702 0.57% ESTADOS UNIDOS DE NORTEAMÉRICA
 9,003,875,268​ FONDO PENSIONES OBLIGATORIAS PORVENIR MAYOR RIESGO  5,688,341 0.51% ​COLOMBIA
8,300,767,273
ABU DHABI INVESTMENT AUTHORITY J.P. MORGAN
​5,651,172 0,51%​      OTROS PAISES     
  9,003,798,964
FONDO DE PENSIONES OBLIGATORIAS PROTECCION MAYOR R
 4,332,762   0.39%   COLOMBIA
9,005,580,490
​ISHARES CORE MSCI EMERGING MARKETS ETF
4,022,996 0.36%  ESTADOS UNIDOS DE NORTEAMÉRICA  
9,003,799,210
FONDO DE PENSIONES OBLIGATORIAS PROTECCION  RETIRO
3,948,524
0.36%       COLOMBIA

8,001,982,815
VOL-EQCOL   FONDO DE PENSIONES PROTECCION
3,152,299
0.28%      COLOMBIA
8,001,704,945
FONDO DE CESANTIAS PROTECCION- LARGO PLAZO​
3,023.187 0.27%       COLOMBIA
8,001,700,437
FONDO DE CESANTIAS PORVENIR
 2,527,859
0.23%      COLOMBIA​
9,009,381,998 ​EMPLOYEES PROVIDENT FUND BOARD 
​ 2,471,751 0,22%​ ​     COLOMBIA​

9,003,775,226                   
THE BANK OF NOVA SCOTIA
2,441,316 0.22%       CANADA
9,003,949,600​ FONDO ESPECIAL PORVENIR DE  RETIRO PROGRAMADO​
 2,404,891 0.22%      COLOMBIA
9,005,404,043
EMERGING MARKETS CORE EQUITY PORTFOLIO OF DFA INVE​ 2,371,914
0.21%  ESTADOS UNIDOS ​DE NORTEAMÉRICA
9011,822,811​
MSCI EQUITY INDEX FUND B - COLOMBIA​

2,265,673​

0.20%   COLOMBIA
8.301,126,477​
MONETARY AUTHORITY OF SINGAPORE STATE STREET​
2,220,297

0.20%

 DESCONOCIDO​
971,246,020 87.68%