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Agroempresa Colón S.A. — Investor Relations & Filings

LEI · 549300FTHG3I6F3P5606 BYMA Agriculture, forestry and fishing
Filings indexed 399 across all filing types
Latest filing 2026-03-19 Interest Rate Update/No…
Country AR Argentina
Listing BYMA

About Agroempresa Colón S.A.

https://grupoagroempresa.com.ar/

Agroempresa Colón S.A. is a comprehensive agricultural solutions provider, offering a wide range of products and services to producers. Its core activities include the development and commercialization of forage seeds and sorghum hybrids, distribution of agricultural inputs (phytosanitary products, fertilizers), and grain brokerage and storage. The company is an official representative for Case IH agricultural machinery, providing new and used equipment, financing, and specialized technical service. Additionally, it operates a logistics unit for nationwide distribution and an export division for pulses and seeds. Agroempresa Colón S.A. emphasizes technical advice, advanced technology through its Tekpon unit for smart farming, and integrated support to maximize producer profitability.

Recent filings

Filing Released Lang Actions
2 - AVISO DE PAGO UNDÉCIMO SERVICIOS DE INTERESES Y SÉPTIMO SERVICIO DE AMORTIZACIÓN ON PYME SERIE I CLASE II - AVISO DE PAGO OBLIGACIONES NEGOCIABLES PYMES
Interest Rate Update/Notice Classification · 95% confidence The document is a formal notice addressed to the Comisión Nacional de Valores regarding the payment of interest and amortization on a specific series of negotiable obligations (debt instruments). It details the payment date, amounts, interest rates, and other financial specifics related to the debt service. This is an update on interest payments related to the company's debt instruments, which fits the category of an Interest Rate Update/Notice. The document is short (1377 characters) and does not contain comprehensive financial statements or broader financial results, so it is not an Annual Report or Interim Report. It is not a regulatory filing or announcement of a report publication. Therefore, the best classification is Interest Rate Update/Notice (IRAT).
2026-03-19 Spanish
NORMA CONTABLE: NCP - TIPO BALANCE: INDIVIDUAL - PERIODICIDAD: TRIMESTRAL - FECHA CIERRE: 2025-12-31 - ESTADOS CONTABLES - PYMES CNV, ADC, ACRYP Y CC
Interim / Quarterly Report Classification · 95% confidence The document is the complete financial statements (balance sheet, income statement, statement of changes in equity, cash flow statement, notes) for the six-month period ended December 31, 2025, including auditor and statutory auditor reports. This constitutes a comprehensive interim (half-year) report containing substantive financial data and analysis. Therefore, it is classified as an Interim / Quarterly Report (IR). H1 2026
2026-02-10 Spanish
1 - PAGO DECIMO SERVICIO DE INTERESES Y SEXTO SERVICIO DE AMORTIZACIÓN CORRESPONDIENTE A LAS OBLIGACIONES NEGOCIABLES PYME SERIE I CLASE II - AVISO DE PAGO OBLIGACIONES NEGOCIABLES PYMES
Interest Rate Update/Notice Classification · 95% confidence The document is a formal notice addressed to a regulatory body (Comision Nacional de Valores) informing about the payment of interest and amortization on a specific bond issuance (Obligaciones Negociables Pyme Serie I Clase II). It details the payment date, interest period, amounts, and other payment specifics. This is an update on interest payments related to the company's debt instruments, not a full financial report or earnings release. The content fits the category of an Interest Rate Update/Notice, as it provides details on interest payments and amortization amounts for a bond issuance.
2025-12-19 Spanish
PAGO TERCER SERVICIO DE AMORTIZACION ON PYME GARANTIZADA SERIE VIII CLASE II - AVISO DE PAGO OBLIGACIONES NEGOCIABLES GARANTIZADAS
Capital/Financing Update Classification · 95% confidence The document is a formal notice addressed to the Comisión Nacional de Valores (National Securities Commission) regarding the payment of an amortization installment for a specific series of negotiable obligations (debt securities) issued by the company. It details the payment date, amount, nominal value, and payment agent. The document is short (1285 characters) and serves as an announcement of a payment event related to the company's debt instruments. It does not contain financial statements, audit information, or detailed financial analysis. It is not a report but an update on a financing-related event, specifically the amortization payment of debt securities. Therefore, the most appropriate classification is Capital/Financing Update (CAP).
2025-12-12 Spanish
PAGO DUODECIMO SERV. DE INTERESES Y TERCER SERV DE AMORTIZACION ON PYME CNV GARANTIZADA SERIE VIII CLASE I - PROGRAMA: INDIVIDUAL SERIE - SERIE :OBLIGACIONES NEGOCIABLES PYME CNV GARANTIZADAS SERIE VI
Interest Rate Update/Notice Classification · 95% confidence The document is a formal notice addressed to the Comisión Nacional de Valores (National Securities Commission) regarding the payment of interest and amortization for a specific series of negotiable obligations (debt securities) issued by the company. It details the payment date, amounts, interest rates, and amortization percentages. This is an update on interest payments related to the company's debt instruments, not a full financial report or earnings release. The document is short (1488 characters) and focused on interest payment details, which aligns with an Interest Rate Update/Notice filing rather than a full report or announcement of a report publication.
2025-12-12 Spanish
NORMA CONTABLE: NCP - TIPO BALANCE: INDIVIDUAL - PERIODICIDAD: TRIMESTRAL - FECHA CIERRE: 2025-09-30 - ESTADOS CONTABLES - PYMES CNV, ADC, ACRYP Y CC
Regulatory Filings
2025-11-11 Spanish

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