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 | May 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
PIRIVATE INVESTORS 440,480,920 39.77
           Local institutional inverstors 294,003,151
26.46
          Foreingn investment funds 108,654,334 9,87
           Individuals 37,451,685
3,40
           ISA ADR 's  program 371,750 0,03
PAID IN CAPITAL INTO CIRCULATION​ 1,107,677,894 100


TOP25 shareholders  | May 2020  



 

NIT​​​​ NAME ​SHARE ​COUNTRY
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 93,279,488 8.42%    COLOMBIA
8002297390 FDO DE PENSIONES OBLIGATORIAS PROTECCION MODERADO
61,992,398
5.60%    COLOMBIA
9004402831 FONDO BURSATIL ISHARES COLCAP​ 31,573,216
2.85%    COLOMBIA
8002279406 FONDO DE PENSIONES OBLIGATORIAS COLFONDOS MODERADO 26,020,777 2.35%    COLOMBIA
9004318031 NORGES BANK-CB NEW YORK 13,639,931 1.23% NORWAY
8002530552 SKANDIA FONDO DE PENSIONES OBLIGATORIAS-MODERADO
12,329,427 1.11% COLOMBIA
9007201801
FONDO BURSATIL HORIZONS COLOMBIA SELECT DE S&P
9,301,926 0.84% COLOMBIA
9003519541
VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND
  6,784,091 0.61% UNITED STATES OF AMERICA
8300767273 ABU DHABI INVESTMENT AUTHORITY J.P. MORGAN
 6,646,960 0.60% OTHER COUNTRIES​
 9003320031​ FONDO PENSIONES OBLIGATORIAS PORVENIR MAYOR RIESGO  6,184,041 0.56% ​COLOMBIA
8300767273
VANGUARD EMERGING MARKERTS STOCK INDEX FUND
​6,101,920 0,55%​   UNITED STATES OF AMERICA    
  9003798964
FONDO DE PENSIONES OBLIGATORIAS PROTECCION MAYOR R
 5,393,007   0.49%   COLOMBIA
9003799210​
FONDO DE PENSIONES OBLIGATORIAS PROTECCION  RETIRO​
4,720,724 0.43%  COLOMBIA 
 9005580490
ISHARES CORE MSCI EMERGING MARKETS ETF
3,585,120
0.32%       UNITED STATES OF AMERICA

9009381998
EMPLOYEES PROVIDENT FUND BOARD
2,840,983
0.28%      COLOMBIA
8001982815 
VOL-EQCOL   FONDO DE PENSIONES PROTECCION​​
2,794.910 0.24%       COLOMBIA
8001700437
FONDO DE CESANTIAS PORVENIR
 2,460,541
0.22%      COLOMBIA​
9003949600
​FONDO ESPECIAL PORVENIR DE  RETIRO PROGRAMADO 
​ 2,404,891 0,22%​ ​     COLOMBIA​

9011822811                   
MSCI EQUITY INDEX FUND B - COLOMBIA
2,302,564
0.21%      COLOMBIA
9003919005​ FONDO PENSIONES OBLIGATORIAS COLFONDOS  MAYOR RIESGO​
 2,249,226 0.20%
     COLOMBIA
8001704945
FONDO DE CESANTIAS PROTECCIÓN - LARGO PLAZO ​ 2,220,047
0.20%  COLOMBIA
9003875196​
FONDO PENSIONES OBLIGATORIAS PORVENIR CONSERVADOR
2,122,908
0.19%   COLOMBIA
8600025032​​​
COMPAÑIA DE SEGUROS BOLIVAR S.A.​
2,117,834

0.19%

 COLOMBIA​
976,378,258 88.15%

 

 

 

 

 
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