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 | October 2019

​​Shareholders Numbers of Shares
%
INVERSIONISTAS ESTATALES 667.196.974 60.23
Gobierno colombiano  569.472.561 51.41
EEPPM 97.724.413 8.82
INVERSIONISTAS PRIV​ADOS 440.480.920 39.77
Inversionistas Institucionales locales 282.523.031 25.51
F.I Extranjero 119.160.258 10,76
P. Naturales  38.554.881 3,48
ISA ADR Program  242.750 0,02
CAPITAL SUSCRITO Y PAGADO EN CIRCULACIÓN 1.107.677.894 100
 

TOP25 shareholders | November 2019 


 

 

 
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. 97.724.413 8.82%  COLOMBIA
8002248088 FONDO DE PENSIONES OBLIGATORIAS PORVENIR MODERADO 96.988.220 8.76%      COLOMBIA
8002297390 FDO DE PENSIONES OBLIGATORIAS PROTECCION MODERADO 64.753.968 5.85%    COLOMBIA
9004402831 FONDO BURSATIL ISHARES COLCAP 26.677.620 2.41% COLOMBIA
8002279406 FONDO DE PENSIONES OBLIGATORIAS COLFONDOS MODERADO  25.730.865 2.32%    COLOMBIA
9004318031 NORGES BANK-CB NEW YORK 12.780.813 1.15% NORUEGA
8002530552 OLD MUTUAL FONDO DE PENS. OBLIGATORIAS - MODERADO 11.634.376 1.05% COLOMBIA
9007201801 FONDO BURSATIL HORIZONS COLOMBIA SELECT DE S&P 7.079.038 0.64% COLOMBIA
9003519541 VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND   6,784.091 0.61% ESTADOS UNIDOS DE NORTEAMÉRICA
9003320031 VANGUARD EMERGING MARKERTS STOCK INDEX FUND 6.686.255 0.60% ESTADOS UNIDOS DE NORTEAMÉRICA
8300767273 ABU DHABI INVESTMENT AUTHORITY J.P. MORGAN  5.575.123 0.50% OTROS PAISES
8001982815 ​VOL-EQCOL FONDO DE PENSIONES PROTECCION ​4.855.968 0,44%​      ​COLOMBIA
9005580490 ISHARES CORE MSCI EMERGING MARKETS ETF  3.985.172 0.36% ESTADOS UNIDOS DE NORTEAMÉRICA
9003798964 FONDO DE PENSIONES OBLIGATORIAS PROTECCIÓN MAYOR 3.491.351 0.32%      COLOMBIA
9003799210 FONDO DE PENSIONES OBLIGATORIAS PROTECCIÓN RETIRO 3,448.118 0.31%       COLOMBIA
9003875268 FONDO PENSIONES OBLIGATORIAS PORVENIR MAYOR RIESGOS 3.211.887 0.29%         COLOMBIA
8001700437 FONDO DE CESANTIAS PORVENIR 3,181.177 0.29%       COLOMBIA
9005404043 EMERGING MARKETS CORE EQUITY PORTFOLIO OF DFA INVE 2.497.062 0.23% ESTADOS UNIDOS DE NORTEAMÉRICA
9003775226 ​THE BANK OF NOVA SCOTIA ​ 2.418.754 0,22%​ ​CANADÁ
9003949600                       FONDO ESPECIAL PORVENIR DE  RETIRO PROGRAMADO 2.404.891 0.22%       COLOMBIA
8301126477 MONETARY AUTHORITY OF SINGAPORE STATE STREET  2.394.636 0.22% DESCONOCIDO
9011822811 MSCI EQUITY INDEX FUND B - COLOMBIA 2.382.183 0.22%       COLOMBIA
9009381998 EMPLOYEES PROVIDENT FUND BOARD​

2.294.910

0.21% COLOMBIA
9003875196
FONDO DE PENSIONES OBLIGATORIAS​ PORVENI​R 
2,122.908

0.19%

COLOMBIA
970.616.360 87.63%

 

 

 

 

 
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