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: COP 32,80000000535200
Authorized Capital: COP 45.000.000.000 divided into 1.371.951.219 shares.
Subscribed Capital: COP 36.916.334.931 divided into 1.125.498.016 shares.
Paid-in Capital: COP 36.916.334.931 divided into 1.125.498.016 shares.
Repurchased Shares: COP 584,500,002 divided into 17,820,122 shares

 

Shareholder Structure | September 2018

​Shareholders Numbers of Shares %
STATE INVESTORS 682.078.108 61,58
The Colombian State  569.472.561 51,41
Empresas Públicas de Medellín 112.605.547 10,17
PRIVATE INVESTORS 425.599.786 38,42
Institutional Investors 256.889.185 23,19
Foreing Investors 112.685.329 10,17
Individuals 43.506.224 3,93
Legal Persons 12.169.973 1,10
ISA ADR Program  349.075 0,03
Paid in capital into circulation 1.107.677.894 100

TOP 25 shareholders | September 2018

 
NIT​​​​ SHAREHOLDERS SHARES DOMICILE
8999990902 MINISTERIO DE HACIENDA Y CREDITO PUBLICO 569.472.561 51.41% COLOMBIA
8909049961 EMPRESAS PUBLICAS DE MEDELLIN E.S.P. 112.605.547 10.17% COLOMBIA
8002248088 FONDO DE PENSIONES OBLIGATORIAS PORVENIR MODERADO 99.818.188 9,01% COLOMBIA
8002297390 FDO DE PENSIONES OBLIGATORIAS PROTECCION MODERADO 68.784.308 6,21% COLOMBIA
8002279406 FONDO DE PENSIONES OBLIGATORIAS COLFONDOS MODERADO  26.921.769 2,43% COLOMBIA
9004402831 FONDO BURSATIL ISHARES COLCAP 20.198.026 1.82% COLOMBIA
8002530552 OLD MUTUAL FONDO DE PENS. OBLIGATORIAS - MODERADO 10.904.210 0,98% COLOMBIA
9004318031 NORGES BANK-CB NEW YORK 10.544.779 0,95% NORUEGA
9003320031 VANGUARD EMERGING MARKERTS STOCK INDEX FUND 6.546.989 0.59% UNITED STATES OF AMERICA
8300767273 ABU DHABI INVESTMENT AUTHORITY J.P. MORGAN 6.152.358 0.56% OTHER COUNTRIES
9003519541 VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND  5.757.342 0.52% UNITED STATES OF AMERICA
9007201801 FONDO BURSATIL HORIZONS COLOMBIA SELECT DE S&P 5.470.315 0.49% COLOMBIA
9004594560 ISHARES EDGE MSCI MIN VOL EMERGING MARKETS ETF  5.272.125 0.48% UNITED SATES OF AMERICA
9005580490 ISHARES CORE MSCI EMERGING MARKETS ETF 3.845.751 0.31% UNITED STATES OF AMERICA
8001700437 ​FONDO DE CESANTIAS PORVENIR ​2.959.066 0,27%​ ​COLOMBIA
8300252038 BLACKROCK INSTITUTIONAL TRUST COMPANY N.A. 2.653.606 0.24% UNITED STATES OF AMERICA
9005404043 EMERGING MARKETS CORE EQUITY PORTFOLIO OF DFA INVE 2.504.033 0.23% UNITED STATES OF AMERICA
8301126477 MONETARY AUTHORITY OF SINGAPORE 2.458.047 0.22% DESC
9003732911 ISHARES MSCI EMERGING MARKETS ETF 2.429.449 0.22% UNITED STATES OF AMERICA
9003775226 THE BANK OF NOVA SCOTIA 2.050.354 0.19% CANADA
8001982815 VOL-EQCOL FONDO DE PENSIONES PROTECCIÓN 2.028.066 0.18% COLOMBIA
9004127634 PEOPLE'S BANK OF CHINA 2.022.573 0.18% CHINA
9003799210 FONDO DE PENSIONES OBLIGATORIAS PROTECCION RETIRO 1.770.583 0.16% COLOMBIA
8001704945 FONDO DE CESANTIAS PROTECCIÓN- LARGO PLAZO 1.727.829 0.16% COLOMBIA
9000272919 ​CITY OF NEW YORK GROUP TRUST ​1.585.066 0,14%​ UNITED STATES OF AMERICA
976.122.940 88.12%