7Baggers

Compañía de Minas Buenaventura
(NYSE:BVN) 

BVN stock logo

Compaa de Minas Buenaventura S.A.A., a precious metals company, engages in the exploration, mining, concentration, smelting, and marketing of polymetallic ores and metals in Peru, the United States, Europe, and Asia. It explores for gold, silver, lead, zinc, and copper metals. The company operates f...

Founded: 1953
Sector: Basic Materials
Industry: Other Precious Metals & Mining

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At a glance:
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Quarterly
Annual
    Unit: USD2025-01-23 2024-09-30 2024-07-25 2024-04-29 2024-03-01 2023-10-30 2023-07-26 2023-04-27 2023-02-28 2022-10-27 2022-07-26 2021-04-29 2021-02-25 2020-10-29 2020-07-30 2020-05-18 2020-02-21 2019-10-29 2019-07-25 2019-05-01 2019-02-21 2018-10-25 2018-07-25 2018-04-26 2018-02-27 2017-10-27 2017-04-27 2016-10-28 2016-02-26 2015-12-31 2014-12-31 2013-10-04 2012-04-30 2011-11-28 2011-04-29 2011-02-24 2010-05-14 2009-12-31 2009-07-09 2008-10-30 2008-07-30 2008-04-30 
                                              
      continuing operations
                                              
      operating income
    286,308,000     -29,535 -22,022   -20,022      -59,655                 131,507 210,177 176,469 218,740 67,597      
      yoy
         47.51%                           94.55%          
      qoq
         34.12%                           -37.43% 19.10% -19.32% 223.59%       
      operating margin %
    Infinity% NaN% NaN% NaN% NaN% -Infinity% -Infinity% NaN% NaN% -Infinity% NaN% NaN% NaN% NaN% NaN% -Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 0%  NaN% 0% 36.63% 50.27% 48.55% 57.21% 36.03% NaN% 0% 0% 0% 0% 
      sales of goods
    329,017,000 329,017 275,797 245,421 251,472 207,705 169,661 182,123 234,668 192,084 374,447 178,517 220,539                              
      sales of services
    2,089,000 2,089 1,308 1,380 2,329 3,588 3,592 3,375 11,694 3,332 7,196 3,412 10,925                              
      total operating income
    331,106,000 331,106 277,105 246,801 253,801 211,293 173,253 185,498 246,362 195,416 383,024   228,195 97,785 114,502 235,490 230,191 216,145 186,159 256,024 271,853 322,566 316,938 370,630 368,756 278,262 269,029 234,708              
      cost of sales
                                              
      cost of sales of goods, excluding depreciation and amortization
    -153,640,000 -153,640 -128,336 -117,749 -118,659 -134,863 -104,661 -99,171 -126,501 -117,740 -223,859 -114,108 -135,876               -127,210               
      unabsorbed cost due to production stoppage
    -271,000 -271 131 -1,571 -1,891 -7,467 -5,534 -5,001 -8,145 -3,944 -10,969  166 -9,207                             
      cost of sales of services, excluding depreciation and amortization
    -759,000 -759 -1,152 -381 -2,767 -1,332 -1,167 -977 -1,101 -679 -1,383 -163 -534                              
      depreciation and amortization
    -43,815,000 -43,815 -34,399 -41,503 -59,223 -51,264 -39,114 -31,438 -45,250 -41,477 -90,054 -46,488 -59,125 -56,856 -28,537 -36,641 -57,606 -60,211 -58,774 -49,744 -63,033 -63,414 -61,030 -53,809 -74,123 -58,464 -44,309 -45,361 -63,280   -46,494 -23,404 22,782 21,393 17,810 16,559  17,947 14,622 13,291 9,188 
      exploration in operating units
    -13,703,000 -13,703 -11,321 -10,784 -10,178 -12,418 -14,100 -12,533 -27,167 -20,708 -32,921 -9,328 -11,981 -7,598 -2,456 -6,009 -9,334 -10,119 -13,246 -11,464 -20,710 -22,188 -24,676 -22,769 -26,135 -27,591 -19,661 -24,985 -25,429              
      mining royalties
    -5,866,000 -5,866 -4,245 -4,906 -5,458 -4,439 -4,722 -4,220 -4,349 -4,525 -8,859 -1,712 -3,614 -4,560 -1,216 -2,359 -3,727 -3,701 -3,310 -2,094 -3,351 -5,229 -6,551 -6,395 -8,662 -8,907 -6,358 -7,332 -5,444              
      total cost of sales
    -218,054,000         -189,073                                 
      gross profit
    113,052,000 113,052 97,783 69,907 55,625 -490 3,955 32,158 33,849 6,343 14,979 14,089 25,096 37,922 24,404 -36,315 21,633 26,922 11,287 8,560 8,681 24,628 67,745 83,370 79,927 92,924 66,614 61,599 -16,293   9,819           
      yoy
    203139.55% -23171.84% 2372.39% 117.39% 64.33% -107.73% -73.60% 128.25% 34.88% -83.27% -38.62% -138.80% 16.01% 40.86% 116.21% -524.24% 149.20% 9.31% -83.34% -89.73% -89.14% -73.50% 1.70% 35.34% -590.56%   527.34%               
      qoq
    99900.00% 15.62% 39.88% 25.68% -11452.04% -112.39% -87.70% -5.00% 433.64% -57.65% 6.32% -43.86% -33.82% 55.39% -167.20% -267.87% -19.65% 138.52% 31.86% -1.39% -64.75% -63.65% -18.74% 4.31% -13.99% 39.50% 8.14% -478.07%               
      gross margin %
    Infinity% Infinity% Infinity% Infinity% Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% -Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% Infinity% -7.16%  NaN% 3.60% 0% 0% 0% 0% 0% NaN% 0% 0% 0% 0% 
      operating income (expenses)
                                              
      administrative expenses
    -16,950,000 -16,950 -18,648 -10,202 -14,527 -17,536 -19,030 -18,090 -17,286 -15,365 -35,077 -16,972 -17,342 -16,808 -14,914 -18,121 -21,448 -17,445 -17,988 -19,417 -17,105 -15,880 -20,730 -25,045 -22,657 -20,226 -22,455 -16,879 -25,753   -23,602 -29,818  16,982 -25,768       
      selling expenses
    -7,003,000 -7,003 -6,317 -5,350 -6,647 -4,277 -5,040 -3,428 -4,732 -5,854 -9,636 -4,058 -6,466 -5,289 -2,230 -4,548 -7,827 -6,195 -6,373 -3,955 -7,156 -7,597 -6,772 -5,997 -8,014 -5,907 -4,313 -5,531 -6,666   -3,970           
      exploration in non-operating areas
    -6,297,000 -6,297 -6,458 -4,092 -4,737 -4,553 -2,347 -1,815 -3,186 -4,236 -6,830 -1,738 -3,208 -1,802 -1,708 -1,757 -2,740 -2,371 -3,358 -3,410 -11,461 -9,758 -8,321 -6,767 -6,046 -4,388 -2,293 -6,355 -4,950   4,085 -19,427 12,827  -10,181 7,855  7,243    
      reversal (provision) of contingencies
    -1,245,000 -1,245 843 -1,476 1,393 240 -1,744                                    
      other
    204,751,000 204,751 -649 -1,915 29,006 -2,919 2,184 -3,298 -16,402 1,050 45,267 -1,960 2,690 -77 -24,519 1,323 2,921 -8,666 1,327 -12,464 18,811 -6,858 -11,223 -5,742 -2,216 -3,502 -1,949 2,241 7,905   9,320 1,779 4,375 2,067 4,847 3,164  1,651 3,574 -135 611 
      total operating income (expenses)
    173,256,000 173,256 -31,229  4,488 -29,045 -25,977                                    
      share in the results of associates and joint venture
    48,664,000 48,664 60,392 41,133 38,857 46,375 7,630 59,363 58,121 20,442 97,707 57,221 -25,583 34,212  -22,050                           
      finance income
    3,654,000 3,654 2,249 1,724 2,984 2,122 2,127 1,824 2,882                                  
      foreign currency exchange difference
    18,369,000 18,369 -17,286 -1,655 15,925 -31,176 25,219 9,407 29,957                                  
      finance costs
    -12,969,000 -12,969 -15,431 -13,977 -75,799 -13,381 -16,190 -13,884 -12,044                                  
      profit before income tax
    344,026,000 344,026 96,478 74,097 42,080 -25,595 -3,236 69,275 91,903 -38,845 110,213   39,663 -22,793 -90,411 -74,480 19,005 -1,210 10,990 -57,903 -13,785 44,955 49,208 2,222 14,418 65,068 9,499               
      current income tax
    -67,756,000 -67,756 -13,351 -8,942 -47,078 -11,925 -3,237 -7,066 -7,210 7,869 -16,292 -6,727 -3,587 -3,230 -1,122 -1,985 -6,585 -1,583 -1,746 -1,996 -5,551 2,354 -3,514 -10,217 -4,991 -8,188 -6,260 -14,054               
      deferred income tax
    -30,385,000 -30,385 -8,650 1,857 2,014 13,189 1,088 10,021 -14,657 8,427 21,822 -9,346 -9,184 -7,594 -5,502 6,774 26,062 -14,556 10,747 15,247 2,038 -2,218 -2,584 -7,234 14,053 -9,853 9,719 -17,075               
      profit from continuing operations
    245,885,000 245,885 74,477 67,012 -2,984 -24,331 -5,385 72,230 70,036 -22,549 115,743   28,839 -29,417 -85,622 -55,003 2,866 7,791  -61,416 -13,649 38,857 31,757 11,284 -3,623 68,527 -21,630               
      discontinued operations
                                              
      profit from discontinued operations
    -1,459,000 -1,459 -103 41 -7,287 -167 24 582           -2,124 -230  -536 180 -931 -12,243 -1,494 7,723 -6,736               
      net profit
    244,426,000 244,426 74,374 67,053 -10,271 -24,498 -5,361 72,812 68,714 -22,487 595,550   27,371 -30,752 -87,099 -58,874 737 5,667 24,011 -67,332 -14,185 39,037 30,826 -959 -5,117 76,250 -28,366 -310,714   20,859           
      profit attributable to:
                                              
      owners of the parent
    236,927,000 236,927 70,720 61,428 -9,772 -28,032 -6,745 64,404 67,453 -19,771 596,254   24,399 -25,112   4,500 9,700 27,265 -72,854 -10,287 41,277 28,418 8,310 -12,023 70,696 -24,651 -292,554   18,953           
      non-controlling interest
    7,499,000 7,499 3,654 5,625 -499 3,534 1,384 8,408 1,261 -2,716 -704 1,747 151 2,972 -5,640 -12,104 -5,202 -3,763 -4,033 -3,254 5,522 -3,898 -2,240 2,408 -9,269 6,906 5,554 -3,715 -22,743   1,906           
      basic and diluted profit per share, stated in u.s. dollars
     0.93 0.28 0.24 -0.04 -0.11 -0.03 0.25                                   
      attributable to owners of parent
    0.93         -0.08                                 
      attributable to owners of the parent for continuing operations
    0.93         -0.08                                 
      total costs of sales
     -218,054 -179,322 -176,894 -198,176 -211,783 -169,298 -153,340 -212,513  -368,045                                
      operating profit
     286,308 66,554 46,872 60,113   12,565 12,987  6,858 -10,945 -16,448 12,709 -17,880  -8,665 -6,928 -15,346 -29,075 19,994 -27,076 19,543 41,294 5,250 57,389 23,122 34,744 -52,929   -4,348           
      royalty income
              1,381 3,959 4,596 4,757 3,559 5,726 4,863 6,599 5,375 5,460 5,460 5,775 4,731 4,419 5,144 5,485 5,470 5,947 7,214   12,693 18,057 17,126 12,267 14,414 14,127  13,866   14,258 
      impairment recovery (loss) of long-lived assets
            19,874    -1,822    -2,083                          
      weighted-average number of shares outstanding (common and investment), in units
        253,986,867                       253,715,190    254,186,867  254,442,328         
      reversal of contingencies
           7,038                                   
      reversal (provision) of contingents
            870 -1,960 -1,845                                
      write –off of stripping activity asset
                -11,633                              
      profit from discontinued operations attributable to equity holders of the parent
            -1,322 62  -1,334 9,689                              
      basic and diluted profit per share stated in u.s. dollars
            0.27  2.35                                
      write – off stripping activity asset
                                              
      financial income
             1,337 10,224 1,598 171 928 548 764 4,019 1,611 1,825 2,111 5,905 1,604 1,047 1,130 866 2,178 1,291 1,749 8,585   700           
      financial costs
             -12,641 -29,451 -10,909 -14,692 -7,410 -7,346 -8,374 -8,494 -11,994 -10,156 -11,578 -10,140 -9,991 -9,641 -8,684 -8,785 -10,369 -7,212 -10,911    -7,150           
      currency exchange difference
             -27,961                                 
      attributable to owners of the parent for discontinued operations
                                              
      exchange difference
              24,875                                
      gain from discontinued operations, net of taxes
              479,807                                
      attributable to:
                                              
      sales revenue
                                              
      total sales revenue
               185,888 236,060                              
      operating costs
                                              
      total operating costs
               -171,799 -210,964 -190,273 -73,381 -150,817 -213,857 -203,269 -204,858 -177,599 -247,343 -247,225 -254,821 -233,568 -290,703 -275,832 -211,648 -207,430 -251,001   -275,973 -195,292 165,995 155,164 150,594 104,965  86,851   73,102 
      operating expenses
                                              
      reversal (provision) for contingencies and others
               -306 -3,763 -1,237 1,087 -237 879 827 -241                        
      total operating expenses
               -25,034 -41,544 -25,213 -42,284 -23,340 -30,298 -33,850 -26,633 -37,635 11,313 -51,704 -48,202 -42,076 -74,677 -35,535 -43,492 -26,855 -36,636   -14,167 -50,239 59,084 44,114 -27,416 29,174  31,111 31,261 39,242 50,409 
      net gain from currency exchange difference
               -1,441 -225 -776 -2,019 -1,096 938 -1,455 -238 20 -1,345 -473 -213 665 585 -1,872 3,003 -4,233               
      loss before income tax
               35,524 -56,777                              
      loss from continuing operations
               19,451 -69,548       24,241                       
      net income
               18,117 -59,859                -315,297    220,986 238,799 239,094  164,245  109,537   -35,284 
      yoy
                                -242.68%    34.55%  118.28%        
      qoq
               -130.27%                     -7.46% -0.12%         
      net income margin %
    NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% Infinity% -Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% -138.60%  NaN% 0% 61.56% 57.11% 65.78% 0% 87.55% NaN% 67.16% 0% 0% -16.64% 
      equity holders of the parent
               16,370 -60,010   -74,995 -53,672                          
      attributable to: - sum
               18,117 -59,859 27,371 -30,752 -87,099 -58,874 737 5,667 24,011 -67,332 -14,185 39,037 30,826 -959 -5,117 76,250 -28,366 -315,297   20,859           
      basic and diluted loss per share attributable
                                              
      to equity holders of the parent, stated in u.s. dollars
               0.06 -0.24                              
      net sales of goods
                 219,763 91,598 105,719 219,306 218,989 206,503 177,228 239,846 262,342 314,051 306,756 356,503 355,085 266,289 257,484               
      net sales of services
                 3,675 2,628 3,057 11,321 4,603 4,267 3,471 10,718 3,736 3,784 5,763 8,983 8,186 6,503 5,598               
      cost of sales of goods, without considering depreciation and amortization
                 -111,635 -41,020 -104,957 -141,945 -128,588 -129,390                        
      cost of sales of services, without considering depreciation and amortization
                 -417 -152 -851 -1,245 -650 -138                        
      other income
                                              
      total other income
                 26,954 -4,913 -30,756 -65,815 25,933 14,136 40,065 -77,897 13,291 25,412 7,914 -3,028 -42,971 41,946 -25,245 -239,088   35,641 137,154 110,515 108,164 115,889 115,529  77,666    
      loss from discontinued operations attributable to equity holders of the parent
                 -1,468 -1,335                            
      basic and diluted profit per share attributable to
                                              
      equity holders of the parent, stated in u.s. dollars
                 0.1 -0.1 -0.3 -0.21 0.02 0.04 0.11 -0.29 -0.04 0.16 0.11 0.03 -0.05 0.28                
      share in the results of associates and joint ventures
                  3,904  -62,278                          
      adjustment of component of stripping cost
                            -13,573                  
      net loss from discontinued operations attributable to equity holders of the parent
                   -1,477 -3,871                          
      share in the results of associates
                     37,771 22,705 49,512 -72,317 22,151 34,219 14,803 4,306 -32,908 44,864                
      loss from discontinued operations
                     -2,129   -5,916        -4,583              
      weighted-average number of shares outstanding (common and investment). in units
                      253,986,867                        
      cost of sales, without considering depreciation and amortization
                       -112,952 -159,152 -155,661 -162,086 -148,585 -178,453 -176,962 -136,607  -156,848   -172,869     70,072  56,940    
      cost of services, without considering depreciation and amortization
                       -1,345 -1,097 -733 -478 -2,010 -3,330 -3,908 -4,713                
      provision for contingencies and others
                       1,611 22,531 -11,611 -1,156 1,475 -551                  
      reversal (provision) for impairment of long-lived assets
                        5,693                      
      weighted-average number of shares outstanding
                                  350,056,012            
      (common and investment), in units
                         253,986,867 253,986,867 253,986,867 253,986,867 253,986,867 253,986,867  254,186,867              
      provision for impairment of long-lived assets
                            -21,620                  
      recovery (expense) for provision for contingencies
                             -1,512                 
      provision for contingencies
                              -12,482                
      basic and diluted loss per share attributable to
                                              
      cost of services, excluding depreciation and amortization
                               -2,542               
      reversal (expense) for provision for contingencies
                               -331               
      provision for impairment of long–lived assets
                                              
      share in results of associates under equity method
                               -11,850               
      basic and diluted profit per share attributable to equity holders of the parent, stated in u.s. dollars
                               -0.1               
      profit for continuing operations, basic and diluted per share attributable to equity holders of the parent, expressed in u.s. dollars
                               -0.07               
      net sales
                                227,494   273,099 358,981 418,130 363,480 382,336 187,609  163,105 195,330 204,271 212,000 
      yoy
                                -36.63%   -28.57% 91.35%  122.85% 95.74% -8.16%      
      qoq
                                   -23.92% -14.15% 15.04% -4.93% 103.79%   -16.50% -4.38% -3.65%  
      impairment of long-lived assets
                                -7,172              
      share in the results of associates under equity method
                                -234,996   48,806           
      financial expenses
                                -6,519              
      net loss from currency exchange difference
                                -6,158   -6,715           
      adquiscion gain generated by subsidiary
                                              
      profit before income taxes and non-controlling interest
                                -292,017              
      income taxes
                                -18,697              
      basic and diluted earnings per share attributable
                                              
      to owners of the parent, stated in u.s. dollars
                                -1.15              
      total income
                                   285,792 377,038 435,256 375,747 396,750 201,736  176,971    
      exploration expenses in operating units
                                   -49,681           
      royalties
                                   -6,929 -9,878 20,629 14,323 -17,062 8,654  5,193 10,454 9,195 6,921 
      profit before income tax and non-controlling interest
                                   31,293           
      income tax
                                   -10,434  -81,893         
      basic and diluted earnings per share attributable to owners of the parent, stated in u.s. dollars
                                   0.07           
      cost of sales, excluding depreciation and amortization
                                    -133,341  111,512 107,592       
      exploration in units in operation
                                    -28,669 29,047  25,192 18,334  11,964    
      gross income
                                    181,746 269,261 220,583 246,156 96,771  90,120   153,156 
      sales expenses
                                    -2,773  2,205 -2,553       
      other income (expenses)
                                              
      share in associates companies by the equity method
                                    135,986   112,540       
      interest incomes
                                    2,749   1,847 3,695      
      interest expenses
                                    -1,296   -6,054 -2,486      
      loss from currency exchange difference
                                    -285    -754      
      income before income tax and minority interest
                                    268,661  284,633        
      provision for income tax
                                    -47,675  -45,539 -59,954 -15,675  -22,062 -22,427 -37,086 100,747 
      net income attributable to minority interest
                                    -13,514  -20,762 -35,298 -9,064  -9,247    
      net income attributable to buenaventura
                                    207,472 208,016 218,332 222,784 155,181  100,290 100,585 121,726 -62,968 
      basic and diluted earnings per share attributable to buenaventura, stated in u.s. dollars
                                    0.82 0.82   0.61      
      cost of sales, without considering depreciation nor amortization
                                     114,166         
      administrative
                                     22,343        27,546 
      selling
                                     3,285      3,428 4,603  
      share in the results of related parties by equity method
                                     106,450         
      interest income
                                     1,875 3,335    1,481 4,521 6,165 2,199 
      interest expense
                                     -1,656 -2,145    -4,843 -10,047 -9,697 -6,523 
      gain from currency exchange difference
                                     -529         
      income before income tax and non-controlling interest
                                     320,692         
      net income attributable to non-controlling interest
                                     -30,783         
      explorations in operating areas
                                      22,259        
      explorations in non-operating areas
                                      10,604        
      share in associated companies by the equity method
                                      105,705        
      loss on currency exchange difference
                                      -798        
      basic and diluted earnings per share attributable to
                                              
      buenaventura, stated in u.s. dollars
                                      0.86 0.88       
      recover of explorations proyects expenses
                                       15,013       
      reversal (provision) of impairment of long-lived assets
                                       13,135       
      income tax paid in excess
                                       3,099       
      income from currency exchange difference
                                       -390       
      income before workers’ profit sharing, income tax
                                              
      and minority interest
                                       334,629     175,681 -161,401 
      provision for workers’ profit sharing
                                       -16,593    -5,690 -7,322 25,370 
      overhead expense
                                        10,603      
      sales expense
                                        2,062      
      share in associated companies
                                        111,910      
      income before workers´ profit sharing, income tax and minority interest
                                        183,126      
      provision for workers´ profit sharing
                                        -3,206  -5,076    
      general and administrative
                                          16,707 3,374 9,695  
      sales
                                          1,968   4,541 
      operating income before unusual item
                                          59,009 71,412 92,672 102,747 
      net loss from release of commitments in commercial contracts
                                              
      operating income after unusual item
                                          59,009 71,412 92,672 -312,388 
      share in associates
                                          79,907    
      gain (loss) on currency exchange difference
                                          -530 -3,330 -11,886 8,978 
      income (loss) before workers´ profit sharing, income tax and minority interest
                                          136,675    
      basic and diluted earning (loss) per share attributable to buenaventura, stated in u.s. dollars
                                          0.39    
      operating revenues
                                              
      royalties income
                                           12,235 12,084  
      realized income from sales of future production
                                              
      total revenues
                                           207,565 216,355 226,258 
      costs of operation
                                              
      costo of sales, net of depreciation and amortization
                                           73,390   
      exploration in operation areas
                                           16,880 12,705  
      total costs of operation
                                           104,892 84,441  
      gross margin
                                           102,673 131,914  
      exploration in non-operation areas
                                           14,005 15,749 11,401 
      net loss on release of fixed prices component in commercial contracts
                                             -415,135 
      share in affiliated companies
                                           75,264 98,562 145,722 
      gain on change in the fair value of gold certificates
                                              
      total other income(expenses)
                                           69,982 83,009 150,987 
      income before workers’ profit sharing, income tax and minority interest
                                           141,394   
      net income attributable to minority interests
                                           -12,692 9,547 -27,684 
      basic and diluted earnings per share stated in u.s. dollars.
                                           0.4   
      weighted average number of shares outstanding
                                           254,442,328 254,442,328 127,221,164 
      costo of sales, whitout considering depreciation and amortization
                                            58,445 49,109 
      income before workers’ profit sharing, income tax - sum
                                            131,273  
      basic and diluted earnings per share
                                            0.48  
      realization of deferred income from sales of future production
                                              
      exploration and development in units in operation
                                             14,805 
      (loss) income before workers’ profit sharing, income tax
                                              
      basic and diluted earnings per share, of compañía de
                                              
      minas buenaventura s.a.a., stated in u.s. dollars.
                                             -0.49 
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-01-23 2024-09-30 2024-07-25 2024-06-30 2024-04-29 2024-03-01 2024-01-23 2023-12-31 2023-10-30 2023-09-30 2023-07-26 2023-06-30 2023-04-27 2023-03-31 2023-02-28 2022-12-31 2022-10-27 2022-06-30 2021-04-29 2021-02-25 2020-10-29 2020-07-30 2020-05-18 2020-02-21 2019-10-29 2019-07-25 2019-05-01 2019-02-21 2018-10-25 2018-07-25 2018-04-26 2018-02-27 2017-10-27 2015-12-31 2014-12-31 2011-11-28 2011-04-29 2011-02-24 2010-05-14 2009-12-31 2009-07-09 2009-02-26 2008-10-30 2008-07-30 2008-04-30 
                                                   
        assets
                                                   
        current assets
                                             1,014,930,000      
        cash and cash equivalents
      457,892 457,892 171,546 171,546 173,962 219,790 457,892,000 219,790 221,809 221,809 202,360 202,360 173,493 173,493 253,918 253,918 287,966 326,316 225,373 235,449 264,816 195,513 221,588 210,046 279,708 284,034 279,394 369,200 354,945 358,941 258,227 214,551 185,487 943,761 19,574 502,193 663,220 600,796 508,729 732,635,000   498,038 462,413 335,387 
        trade and other receivables
      248,982 248,982 232,884 232,884 247,223 240,319 248,982,000 240,319 181,528 181,528 190,619 190,619 256,428 256,428 221,899 221,899 154,617 147,970 202,470 230,830 84,878 84,620 86,384 88,515 38,168 35,280 38,339 40,593 39,780 47,403 38,565 44,191 44,138 26,389            
        inventories
      79,620 79,620 85,360 85,360 69,922 76,527 79,620,000 76,527 86,573 86,573 83,096 83,096 88,264 88,264 88,345 88,345 93,253 90,782 15,924 23,637 312 526 439 394 3,171 3,759        56,764 232,542     46,077,000   46,481 49,152  
        current income tax
      6,016 6,016     6,016,000                                       
        prepaid expenses
      13,373 13,373 19,923 19,923 22,599 25,976 13,373,000 25,976 11,141 11,141 18,597 18,597 22,641 22,641 19,333 19,333 7,918 14,297 21,714 25,709 11,160 13,435 17,610 20,969 14,070 17,280 18,020 17,145 9,906 15,205 14,314 17,551 8,625 517  17,939          
        non-current assets
                                                   
        investments in associates and joint venture
      1,587,033 1,587,033 1,597,154 1,597,154 1,538,067 1,527,123 1,587,033,000 1,527,123 1,536,007 1,536,007 1,538,554 1,538,554 1,530,978 1,530,978 1,520,977 1,520,977 1,512,790 1,492,130     1,478,303                       
        property, plant, equipment and development cost
      1,778,027 1,778,027 1,687,886 1,687,886 1,630,666 1,600,295 1,778,027,000 1,600,295 1,563,063 1,563,063 1,567,640 1,567,640 1,546,863 1,546,863                                
        deferred income tax asset
      99,001 99,001 126,185 126,185 134,760 131,863 99,001,000 131,863 129,691 129,691 118,014 118,014 118,521 118,521 106,170 106,170 128,946 119,249 70,312 73,850 72,541 76,971 80,006 74,556 48,008 58,947 49,235 38,305 29,631 26,226 28,811 43,129 22,965   140,592 180,727         
        current income tax assets
      1,668 1,668     1,668,000                                       
        other non-financial assets
      58,734 58,734 58,781 58,781 60,527 59,819 58,734,000 59,819 24,289 24,289 23,656 23,656 23,670 23,670 23,845 23,845                              
        total assets
      4,953,842 4,953,842 4,592,526 4,592,526 4,528,290 4,533,799 4,953,842,000 4,533,799 4,474,897 4,474,897 4,487,249 4,487,249 4,496,150 4,496,150 4,503,227 4,503,227 4,429,918 4,448,299 3,953,029 3,979,617 3,972,546 3,904,445 3,964,628 4,107,274 4,124,856 4,112,992 4,145,173 4,217,221 4,312,621 4,304,935 4,313,564 4,332,813 4,305,708 2,965,430 5,771,984 3,753,869 3,460,934 3,302,445 2,708,750 2,466,500,000 2,290,935 2,268,298 2,374,025 2,349,609 2,259,496 
        liabilities and equity
                                                   
        current liabilities
                                             331,583,000      
        trade and other payables
      266,935 266,935 235,526 235,526 243,642 293,621 266,935,000 293,621 221,187 221,187 205,575 205,575 199,771 199,771 247,989 247,989 208,752 203,633 155,051 179,956 137,001 103,571 134,223 166,244 132,325 137,076 155,598 188,084 164,569 167,436 203,759 233,355 239,698 78,250            
        financial obligations
      35,889 35,889 33,649 33,649 31,181 34,219 35,889,000 34,219 34,191 34,191 34,734 34,734 34,698 34,698 35,071 35,071 32,837 32,376 24,845 25,086 141,451 151,148 260,789 265,692 110,726 112,493 53,422 46,166 46,278 45,923 45,583 83,991 78,798  50,163 1,557 2,009 2,018        
        provisions
      87,738 87,738 96,024 96,024 117,464 6,274 87,738,000 6,274 108,729 108,729 105,899 105,899 93,350 93,350 94,171 94,171 83,981 79,386          68,172 100,364 81,528 77,193 76,847 67,328             
        income tax payable
      53,414 53,414 3,309 3,309 9,136 107,491 53,414,000 107,491 9,801 9,801 913 913 2,853 2,853 2,366 2,366 1,842  1,472 3,162 2,288 1,285 5,306 5,650 1,951 1,537 1,683 1,760 1,704 1,414 1,739 2,081 1,580 12,346 15,492 44,258 25,311 26,538  68,704,000 5,656 4,561   6,414 
        non-current liabilities
                                                   
        contingent consideration liability
      26,224 26,224 23,631 23,631 21,762 21,614 26,224,000 21,614 19,536 19,536 19,389 19,389 17,710 17,710 16,905 16,905 17,726 18,201 22,100 22,100 23,701 16,410 16,410 16,410 17,217 15,755 15,755 15,755 17,570 17,570 17,570 17,570 17,570             
        deferred income tax liabilities
      34,518 34,518 31,317 31,317 31,241 30,414 34,518,000 30,414 29,057 29,057 30,529 30,529 32,152 32,152 32,421 32,421 31,603 30,591 41,171 38,319 32,773 30,108 27,635 28,959 28,378 25,269           19,410   67,995,000      
        total liabilities
      1,422,739 1,422,739 1,304,308 1,304,308 1,314,449 1,364,588 1,422,739,000 1,364,588 1,295,325 1,295,325 1,281,580 1,281,580 1,285,069 1,285,069 1,340,286 1,340,286 1,310,767 1,312,349 1,143,303 1,179,760 1,104,547 1,054,459 1,086,063 1,139,074 1,088,831 1,075,813 1,113,074 1,187,656 1,193,398 1,155,245 1,209,834 1,269,186 1,218,539 736,605  503,127 508,674 458,359  755,398,000 515,781 539,306 628,306 723,747 773,777 
        equity
                                                   
        capital stock
      750,497 750,497 750,497 750,497 750,497 750,497 750,497,000 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497 750,497             
        investment shares
      791 791 791 791 791 791 791,000 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791 791             
        additional paid-in capital
      218,450 218,450 218,450 218,450 218,450 218,450 218,450,000 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450 218,450   225,978 225,978 225,978   225,978 225,978   225,978 
        legal reserve
      163,539 163,539 163,372 163,372 163,372 163,372 163,539,000 163,372 163,372 163,372 163,372 163,372 163,372 163,372 163,270 163,270 163,270 163,270 163,194 163,194 163,194 163,168 163,168 163,168 163,116 163,116 163,115 163,115 163,115 163,071 163,071 163,071 163,071  198,132 162,639 162,639 162,633   53,007 53,007 37,679 37,679 37,679 
        other reserves
      31,897 31,897 31,897 31,897 31,897 31,897 31,897,000 31,897 31,897 31,897 31,897 31,897 31,897 31,897 31,897 31,897 45,269 269 269 269 269 269 269 269 269 269 269 269 269 269 269 269 269   269 269 269   269 269 269 269 269 
        other reserves of equity
      -96 -96   -96 -96 -96,000 -96 -99 -99 -102 -102 -1,491 -1,491 2,184 2,184 1,774,485 9,389 -13,652 -9,526 -2,275 -1,756 -2,567 -1,311 -1,339 -894 -1,571 -703 3,089 1,238 -3,058 -13,888 -5,447             
        retained earnings
      2,192,001 2,192,001 1,955,131 1,955,131 1,884,411 1,841,549 2,192,001,000 1,841,549 1,851,445 1,851,445 1,879,438 1,879,438 1,887,623 1,887,623 1,841,761 1,841,761 8,869 1,835,306 1,520,523 1,503,785 1,559,553 1,540,892 1,564,663 1,639,658 1,700,286 1,695,504 1,685,805 1,675,909 1,763,315 1,791,803 1,749,711 1,728,847 1,728,157 1,830,383 3,276,299 1,886,898 1,616,220 1,506,725  1,311,421,000 612,784 517,583 561,870 461,285 339,559 
        shareholders’ equity attributable to owners of the parent
      3,357,079 3,357,079 3,120,042 3,120,042 3,049,322 3,006,460 3,357,079,000 3,006,460 3,016,353 3,016,353 3,044,343 3,044,343 3,051,139 3,051,139 3,008,850 3,008,850                              
        non-controlling interest
      174,024 174,024 168,176 168,176 164,519 162,751 174,024,000 162,751 163,219 163,219 161,326 161,326 159,942 159,942 154,091 154,091 157,520 157,978 169,654 172,397 177,520 177,675 183,294 196,678 203,955 209,446 214,743 221,237 219,697 223,571 223,999 215,590 231,381   254,614          
        total equity
      3,531,103 3,531,103 3,288,218 3,288,218 3,213,841 3,169,211 3,531,103,000 3,169,211 3,179,572 3,179,572 3,205,669 3,205,669 3,211,081 3,211,081 3,162,941 3,162,941 3,119,151 3,135,950                2,228,825 4,465,090           
        total liabilities and equity
      4,953,842 4,953,842 4,592,526 4,592,526 4,528,290 4,533,799 4,953,842,000 4,533,799 4,474,897 4,474,897 4,487,249 4,487,249 4,496,150 4,496,150 4,503,227 4,503,227 4,429,918 4,448,299                 5,771,984           
        income tax credit
        5,540 5,540 14,896 15,150  15,150 15,478 15,478 12,363 12,363 26,516 26,516 28,046 28,046 22,585  8,428 19,837 17,377 16,488 31,007 31,919 28,715 25,622 20,868 24,396 24,478 16,730 12,981 23,165 18,373             
        assets for current income taxes
        1,615 1,615 1,909 1,909  1,909                                      
        hedge derivative financial instruments
                    8,839 8,839 24,485 25,468 28,459 18,439 1,671 19    895 172 2,759 11,167 6,516 2,723 28,705 12,292    12,044 16,291        
        property, plant, equipment and development costs
                    1,535,195 1,535,195                              
        bank loans
                        55,396 65,793 67,992 57,208 55,000 55,000 55,000 55,000 55,000 95,000 95,000 45,000 45,000 96,215 135,000            450,000 
        liabilities directly associated with the held for sale assets
                                                   
        property, plant, equipment, and development costs
                      1,503,921                             
        other assets
                      24,092 24,467 26,186 26,503 26,674 26,947 26,975 26,675 29,787 29,260 28,227 25,261 22,050 20,868 20,373 22,761 22,071   6,936 5,840 6,095 4,964  2,266 1,929 1,993 1,643 1,400 
        liabilities included in disposal groups classified as held for sale
                                                   
        equity attributable to owners of the parent
                      2,961,631                             
        current income tax asset
                       12,418                            
        property, plant, equipment, development costs
                       1,498,459                            
        current income tax payable
                       2,031                            
        liabilities directly associated with assets classified as held for sale
                          5,755                         
        shareholders’ equity, net attributable to owners of the parent
                       2,977,972 2,640,072 2,627,460 2,690,479 2,672,311 2,695,271 2,771,522 2,832,070 2,827,733 2,817,356 2,808,328 2,899,526 2,926,119 2,879,731 2,848,037              
        inventory
                        86,238 77,327 108,721 118,722 115,085 97,973 110,878 126,732 137,641 135,919 129,202 136,622 146,790 132,287 140,557   143,016 100,111 82,081 52,659  47,311 43,472   41,696 
        current assets - sum
                        544,223 589,152 587,808 518,895  648,619 650,794 663,966 687,466 761,134 765,694 751,602 757,589 701,862 640,671  677,652           
        investment in associates and joint venture
                        1,541,959 1,488,775 1,516,591 1,481,977                        
        mining concessions, development costs, right-of-use, property, plant and equipment
                        1,621,613 1,650,361 1,654,650 1,689,066 1,712,897 1,754,372 1,775,845                     
        investment properties
                        182 186 191 194 200 204 208 212 218 222 253 251 255 222 104             
        non-current assets - sum
                        3,408,806 3,390,465 3,380,864 3,385,550  3,458,655 3,474,062 3,449,026 3,457,707 3,456,087 3,546,927 3,553,333 3,555,975 3,630,951 3,655,408             
        liabilities and shareholders’ equity
                                                   
        provisions, contingent liabilities and other liabilities
                        66,595 68,000 75,469 76,450 68,987 72,771                      
        current liabilities - sum
                        331,818 360,436 425,872 389,662 524,305 565,357 377,107 374,220 321,697 399,182 407,915 341,301 375,997 521,194 536,216  552,572           
        non-current liabilities - sum
                        811,485 819,324 672,920 664,797 561,758 573,717 711,724 701,593 791,377 788,474 785,483 813,944 833,837 747,992 682,323             
        shareholders’ equity
                                                   
        total shareholders’ equity
                        2,809,726 2,799,857 2,867,999 2,849,986 2,878,565 2,968,200 3,036,025 3,037,179 3,032,099 3,029,565 3,119,223 3,149,690 3,103,730 3,063,627    3,250,742 2,952,260 2,844,086   1,775,154 1,728,992 1,745,719 1,625,862 1,485,719 
        total liabilities and shareholders’ equity
                        3,953,029 3,979,617 3,972,546 3,904,445 3,964,628 4,107,274 4,124,856 4,112,992 4,145,173 4,217,221 4,312,621 4,304,935 4,313,564 4,332,813    3,753,869 3,460,934 3,302,445   2,290,935 2,268,298 2,374,025 2,349,609 2,259,496 
        trade and other accounts receivable
                          185,734 174,718 168,664 287,712 217,423 209,403 231,543 211,715 235,996 217,588 325,277 306,884 285,362             
        assets classified as held for sale
                          3,874            9,629             
        investments in associates and joint ventures
                             1,488,247                      
        investment in associates
                              1,552,962 1,515,648 1,492,816 1,473,382 1,548,156 1,545,015 1,512,227 1,536,887 1,537,271   1,782,352 1,523,082 1,404,659   968,531     
        provisions and contingent liabilities
                              77,105 68,114 55,822                   
        mining concessions, development costs, property, plant and equipment
                               1,779,785 1,818,558 1,847,615 1,875,455 1,881,366 1,920,348 1,949,555 1,994,090             
        long-term inventory
                                3,895 3,812 4,574 5,032 4,664 3,238 3,238   47,405          
        long-term income tax credit
                                63 319 229 136 3,428 3,413 3,708             
        deferred income tax liability
                                25,867 31,422 27,267 20,277 16,966 15,790 14,884  220,728 19,176          
        embedded derivatives for sale of concentrate
                                     7,424 2,267             
        liabilities and shareholders' equity
                                                   
        shareholders' equity
                                                   
        shareholders' equity, net attributable to owners of the parent
                                      2,855,788             
        total shareholders' equity
                                      3,087,169             
        total liabilities and shareholders' equity
                                      4,305,708             
        value added tax credit
                                       80,641            
        stockpiles and ore on leach pads
                                       237,610      172,447,000      
        total current assets
                                       1,345,682  997,609 1,045,171 971,715 705,568  728,954 788,487 775,345 679,155 556,721 
        available-for-sale financial assets
                                       15,803            
        property, plant and equipment
                                       1,364,610 4,544,406           
        intangible assets
                                       30,852 9,028           
        total non-current assets
                                       1,619,748            
        current provisions
                                       41,961            
        total current liabilities
                                       132,557  291,591 313,809 253,643   219,338 213,465 241,910 252,668 654,302 
        non-current provisions
                                       604,048            
        partners’ equity
                                                   
        partners’ contributions
                                       398,216      398,216,000      
        additional paid-in-capital
                                       226            
        total liabilities and partners’ equity
                                       2,965,430      2,466,500,000      
        trade accounts receivable
                                        2,374 216,840 120,933 160,928 93,368  73,375 65,666 142,434 95,936 128,530 
        trade accounts receivable from related parties
                                        187,940           
        embedded derivative
                                        26,782           
        other accounts receivable
                                        235,222 34,667 38,964 23,593 12,895  22,279 23,040 11,494 10,615 6,611 
        non - current assets
                                                   
        other long – term accounts receivable
                                        253,184           
        long - term inventories
                                        287,714           
        non - current assets - sum
                                        5,094,332           
        trade accounts payable
                                        398,070 101,648 74,284 91,374   36,327 35,944 39,405 31,514 28,228 
        accounts payable to related parties
                                        11,910           
        workers’ profit sharing payable
                                        33,274           
        other accounts payable and provisions
                                        16,881           
        non - current liabilities
                                                   
        non - current portion of financial obligations
                                        402,686           
        non - current portion of accounts payable to related parties
                                        5,643           
        non - current portion of other accounts payable and provisions
                                        5,317           
        provision for remediation and mine closure
                                        119,948           
        non - current liabilities - sum
                                        754,322           
        total liability
                                        1,306,894           
        issued capital
                                        990,659           
        financial assets at fair value through profit or loss
                                         51,421          
        embedded derivatives for concentrates sales
                                          20,325 13,645 810  2,054     
        other accounts receivable from associates
                                         28,568          
        derivative financial instruments
                                         2,965     13,570 21,464 18,538 13,322 2,976 
        mining concessions and property, plant and equipment
                                         653,170 553,841 532,577 393,941  255,426 247,298   244,464 
        development costs
                                         76,114 82,341 86,340 89,811  112,109 110,014   85,600 
        other accounts payable
                                         112,925          
        other accounts payable to associates
                                         1,146          
        embedded derivates for concentrate sales
                                         30,057          
        derivative financial instruments liability
                                                   
        capital stock, net of treasury shares for us62,622,000 in 2011 and 2010
                                         750,540          
        investment shares, net of treasury shares for us142,000 in 2011 and 2010
                                         2,019          
        cumulative translation loss
                                         -34,075 -34,075 -34,075   -34,075 -34,075 -34,075 -34,075 -34,075 
        cumulative unrealized, loss
                                         1,860          
        financial asset at fair value through profit and loss
                                          50,960 50,154        
        accounts receivable from related parties
                                          17,095 18,903        
        prepaid taxes and expenses
                                          33,563 21,615 10,969  5,817 5,622 5,786 5,506 5,733 
        dividends
                                          106,065         
        other liabilities
                                          93,633 115,838        
        accounts payable from related parties
                                          463 1,584        
        other long-term liabilities
                                          100,872 116,214  8,710,000 91,884     
        shareholders’ equity net
                                                   
        capital stock, net of treasury shares of us62,622,000 in the year 2011 y 2010
                                          750,540         
        investments shares, net of treasury shares of us142,000 in the year 2011 y 2010
                                          2,019         
        cumulative unrealized, gain
                                          -5,595 -6,233        
        shareholders’ equity net - sum
                                          2,717,995        1,323,013 
        minority interest
                                          234,265 236,230   153,456 197,391 192,419 177,144 162,706 
        deferred income tax and workers’ profit sharing asset
                                           238,794 257,653   209,167 230,313 252,977 289,806 
        deferred income tax and workers’ profit sharing liabilities
                                           25,101        
        capital stock, net of treasury shares of us62,622,000 in the year 2010 y 2009
                                           750,540        
        investments shares, net of treasury shares of us142,000 in the year 2010 y 2009
                                           2,019        
        accounts receivable from affiliates
                                            18,302   13,111 15,353 15,175 17,527 
        current portion of prepaid taxes and expenses
                                            18,805  33,351 35,573 38,203 35,802 23,590 
        other long-term accounts receivable from affiliates
                                            909       
        other long-term accounts receivable
                                            1,481  1,357     
        investment in shares
                                            1,243,454   882,947    
        note
                                            2,009       
        dividends payable
                                                   
        deferred income tax and workers’ profit sharing liability
                                                   
        capital stock, net of treasury shares for us62,622,000 in 2010 and 2009
                                                   
        investment shares, net of treasury shares for us142,000 in 2010 and 2009
                                                   
        accounts receivable
                                             32,669,000      
        due from related parties
                                             4,180,000      
        deferred income tax assets
                                             8,746,000      
        other current assets
                                             18,176,000      
        property, plant and mine development
                                             1,234,694,000      
        long-term ore on leach pads
                                             197,554,000      
        other long-term assets
                                             19,322,000      
        liabilities
                                                   
        current portion of debt
                                             36,101,000      
        accounts payable
                                             62,168,000      
        due to related parties
                                             27,591,000      
        workers’ profit participation
                                             57,551,000      
        other current liabilities
                                             79,468,000  64,817 73,687 83,641  
        debt
                                             142,235,000      
        reclamation and remediation liabilities
                                             187,711,000      
        deferred workers’ profit participation
                                             17,164,000      
        commitments and contingencies
                                                   
        additional contributions
                                             226,000      
        accumulated other comprehensive income
                                             1,239,000      
        total partners’ equity
                                             1,711,102,000      
        cash, banks and time deposits
                                              493,376 554,752    
        accounts receivable from associates
                                              16,980     
        current portion of hedge derivative financial instruments
                                              40,228     
        deferred income tax and workers´profit sharing asset
                                              202,905     
        current portion of other current liabilities
                                              79,165     
        current portion of long-term debt
                                              98,190     
        long-term debt
                                              204,559    53,415 
        capital stock, net of treasury shares for us62,622,000 in 2009 and 2008
                                              750,540     
        investment shares, net of treasury shares for us142,000 in 2009 and 2008
                                              2,019     
        unrealized gain on valuation of hedge derivative financial instruments
                                              11,013     
        unrealized gain on available-for-sale financial assets
                                              163     
        current portion of derivative financial instruments
                                               52,873    
        other long - term accounts receivable
                                               1,370    
        embedded derivatives for contentrates sales
                                               9,953    
        current portion of long - term debt
                                               98,190 111,509 129,513 30,172 
        other long term liabilities
                                               96,736 82,731 67,539 66,060 
        long term debt
                                               229,105 303,665 403,540  
        trade agreement for physical delivery of gold
                                                   
        capital stock, net of treasury shares of us62,622,000 in the year 2008
                                               750,540    
        investments shares, net of treasury shares of us142,000 in the year 2008
                                               2,019    
        cumulative unrealized gains on derivative financial instruments
                                               16,162 8,895 4,885  
        value
                                               118    
        short term derivative financial instruments
                                                23,342 10,062  
        long - term other accounts receivables
                                                1,460 1,464  
        investments in shares
                                                971,206 1,056,093 1,071,320 
        mining rights and property, plant and equipment
                                                261,703 249,669  
        development cost
                                                107,681 89,780  
        income tax
                                                4,917 4,741  
        embedded derivatives related to sales of contentrates
                                                12,392 3,259  
        deferred income from sale of future production
                                                   
        capital stock, net of treasury shares of us62,622,000 in 2008
                                                750,540   
        investments shares, net of treasury shares of us142,000 in 2008
                                                2,019   
        additional capital
                                                225,978 225,978  
        cumulative unrealized gains on investments carried at fair value
                                                125 138  
        curent portion of derivative financial instruments
                                                  1,342 
        embedded derivatives
                                                  2,038 
        long - term other accounts receivable
                                                  1,476 
        dividends and other current liabilities
                                                  139,488 
        capital stock, net of treasury shares of us62,622,000 en el aanoo
                                                   
        2008
                                                  750,540 
        investments shares, net of treasury shares of us142,000 en el
                                                   
        ano 2008
                                                  2,019 
        unrealized gain on valuation of derivative financial instruments
                                                  904 
        cumulative unrealized gain on investments held at fair value
                                                  140 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2025-01-23 2024-09-30 2024-07-25 2024-04-29 2024-03-01 2023-10-30 2023-07-26 2023-04-27 2023-02-28 2021-04-29 2021-02-25 2020-10-29 2020-07-30 2020-05-18 2020-02-21 2019-10-29 2019-07-25 2019-05-01 2019-02-21 2018-10-25 2018-07-25 2018-04-26 2018-02-27 2017-10-27 2017-04-27 2016-10-28 2016-02-26 2014-08-18 2013-10-04 2008-04-30 
                                      
          operating activities
                                      
          proceeds from sales of good and services
        834,635,000                              
          dividends received from associates
        90,169,000 59,902 31,729 838 48,963 48,961 48,961,000,000 401 49,763                      
          recovery from value added tax
        32,101,000 9,141 15,663 7,297 5,446 9,631 24,979,000,000 8,361                       
          interest received
        2,397,000 1,609 301 487 809 1,639 1,204,000,000 1,471 1,333 35 55 120 323 1,160 529   523 1,481 747 24 131 19 33 961 52 -1,153 1,704 1,165  
          dividends received from investments
        1,150,000       150                       
          payments to suppliers and third-parties, and others net
        -419,396,000                              
          payments to employees
        -115,268,000 -55,682 -26,139 -33,447 -35,643 -33,962 -34,915,000,000 -32,092  -33,156 -31,286 -32,513 -31,142 -34,412 -30,472 -33,652 -31,566 -41,610 -25,036 -38,520 -38,039 -50,007 -37,339 -36,553 -42,720 -36,065 47,409 -51,341 -33,649 -42,274 
          interest paid
        -35,713,000 -16,862 -1,815 -17,036 -2,000 -16,081 -4,002,000,000 -17,507 -2,272  -4,135                  -8,193  
          short-term and low value lease payments
        -32,807,000 -12,355 -20,452  -14,105 -9,884 -9,816,000,000 -8,459 -11,655 -1,017 -4,080                    
          income tax and royalties paid to the peruvian state
        -43,632,000 -17,546 -17,545 -8,541 -10,656 -7,293 -7,606,000,000 -4,494 -7,336                      
          payment of royalties
        -6,751,000  -3,415 -3,336 -3,386 -3,235 -3,173,000,000 -3,038                   5,429   -10,229 
          payments for tax litigation
         -542 542  -6,546 -3,331 -238,000,000  -7,488 -7,462 -22,386    -36,322                
          others minor
        1,083,000 1,083                             
          net cash flows from operating activities
        307,968,000 180,860 110,081  71,603 88,167 104,560,000,000                        
          investing activities
                                      
          collection from sale of subsidiary chaupiloma dos de cajamarca s.a.c. shares
        210,000,000                              
          proceeds from sale of property, plant and equipment
        9,587,000 3,387 63,950 2,575 3,204 2,455 1,891,000,000 2,139                       
          proceeds from the sale of contacto corredores de seguros s.a. to howden hodcco perú s.a.c.
        1,060,000                              
          proceeds from sale of investments
                                      
          payments for acquisition of property, plant and equipment
        -236,769,000 -95,448 -143,896 -57,750 -93,010 -59,786 -49,688,000,000 -36,185 -58,768                      
          payments for acquisitions of other assets
        -1,524,000  -1,369  -2,032 -1,052 -472,000,000 -248 -137                  10,238    
          net cash flows from investing activities
        -17,646,000 117,784 -80,255 -55,175 -64,835 -58,138 -48,269,000,000 -34,294 -57,034                      
          financing activities
                                      
          increase of bank loans
              49,000,000,000                    -104,503    
          decrease of bank accounts in trust
        -1,040,000 -970 -942 872   4,000,000 13 1,126 -5 1,919                    
          payments of bank loans
            -7,758  -49,000,000,000   -10,397 -2,197   -5,000  -50,000  -45,000 -15,000  1,215 -81,215 -135,000  -30,000 -3,760    -60,000 
          payments of financial obligations
        -23,276,000 -7,759 -7,758 -7,759  -7,758 -7,759,000,000 -7,759 -7,083 -5,396 -9,784 -15,180 -4,342 -9,688 -152,495 -10,429 -12,881 -10,347 -45,222 -10,075 -12,532 -9,996 -9,853 -7,010 -3,613 -8,297  -29,053   
          dividends paid to controlling interest
        -18,441,000  -18,477    -18,542,000,000        -6,858  -15,240  -15,306  -7,554  -7,620  -1,669      
          lease payments
        -3,575,000 -1,782 -964 -829 -1,045 -1,181 -1,127,000,000 -1,122 -1,567                      
          dividends paid to non-controlling interest
        -5,888,000 -1,787 -4,101   -1,641    -1,400 -1,200 -2,660  -1,280 -1,081 -2,319 -1,500 -1,600 -1,600 -2,213 -307 -1,440 -1,520 -1,320  -1,649 2,440 -2,240 -3,133  
          net cash flows from financing activities
        -52,220,000                              
          increase in cash and cash equivalents during the period
        238,102,000 286,346 -2,416  -2,019 19,449 28,867,000,000  -34,048                      
          cash and cash equivalents at beginning of period
        219,790,000 171,546 197,820  221,809 202,360 173,493,000,000  287,966                    162,861  
          cash and cash equivalents at period-end
        457,892,000        253,918 225,373 231,068 264,816 195,513 221,588 210,046 279,708 284,034 279,394 369,200 354,945 358,941 258,227 214,551 185,487 170,584 113,232 78,519    
          cash flows from (used in) of operating activities
                                      
          proceeds from sales of goods and services
         318,002 236,385 280,248 194,045 206,711 198,193,000,000 183,472 174,221                      
          royalty received
                 4,710 2,260 4,199 6,769 5,726 6,914 5,152 5,475 5,460 5,833 4,542 4,362 5,276 5,545 4,511 6,209 5,947     
          payments to suppliers and third-parties, and other net
         -105,890 -105,173 -209,447 -105,324 -104,989 -109,027,000,000 -165,528 -139,438 -158,826 -129,584 -86,230 -92,552                  
          cash flows from (used in) of investing activities
                                      
          collection from the sale of shares of the subsidiary chaupiloma dos de cajamarca s.c.r.l.
         210,000                             
          proceeds from the sale contacto corredores de seguros s.a. shares to howden
          1,060                            
          payments for acquisition of other assets
         -155         -530                    
          cash flows from financing activities
                                      
          net cash and cash equivalents from financing activities
         -12,298 -32,242 -7,716 -8,787 -10,580 -27,424,000,000 -8,868  -18,215 -15,342 -7,273 -1,841 -10,802 -3,791 -15,115 -30,069 -51,643 -29,856 -12,371 -19,422 -12,403 22,422 -6,695 128,027 -20,881 -92,408    
          cash and cash equivalents at the end of the period
         457,892 195,404 173,962 219,790 221,809 202,360,000,000 173,493                       
          .
                                      
          net cash flows used in investing activities
                                      
          cash flows from (used in) financing activities
                                      
          decrease (increase) of bank accounts in trust
                                      
          net cash from financing activities
                                   77,011  449,468 
          cash flows of operating activities
                                      
          net cash and cash equivalents from operating activities
           17,063    -37,263 30,510 16,783 21,022 89,197 -12,831 25,497 -26,291 39,520 63,188 -29,352 88,955 28,091 151,331 77,883 74,455 89,199 19,374 69,593 -27,738    
          cash flows of investing activities
                                      
          cash flows of financing activities
                                      
          decrease in cash and cash equivalents
           -45,828    -80,425                       
          cash and cash equivalents at beginning of the period
           219,790    253,918                       
          proceeds from sale of subsidiarie's shares
            27,003                          
          income from sale of shares
             245                         
          collection for sale of participation in yanacocha
                                      
          collection for purchase of la zanja shares
                                      
          capital increase in associates
                                      
          increase of restricted time deposits
            16                          
          net cash flows from (used in) investing activities
                                      
          proceeds from bank loans
                                     510,000 
          net cash from operating activities
                                   41,760  -480,352 
          capital expenditures
                                    
          free cash flows
                                   41,760  -480,352 
          recovery of taxes
                5,958                      
          dividends received from other investments
                                      
          proceeds from insurance claim
                          38,793            
          payments to and for employees
                -29,978                      
          payment of royalties to third parties
                -2,598                      
          proceeds from sales of property, plant and equipment
                1,871                      
          proceeds from sale of investments in subsidiaries
                                      
          acquisition of investment in associate
                                      
          decrease of restricted time deposits
                                      
          senior notes bonds issued, net of issuance costs
                                      
          net cash and cash equivalents from (used in) in financing activities
                -7,524                      
          decrease (increase) of restricted time deposits
                                      
          net cash from in financing activities
                                      
          reconciliation of net profit to cash and cash equivalents provided by operating activities
                                      
          net profit
                                      
          plus
                                      
          share in the results of associates and joint venture
                                      
          deferred income tax
                                      
          exchange difference
                                      
          recovery (expense) for benefit from contingents
                                      
          write –off of stripping activity asset
                                      
          depreciation and amortization in cost of sales
                                      
          impairment recovery (loss) of long-lived assets
                                      
          benefit from estimated fair value of sales
                                      
          write-off mineral
                                      
          workers´ participation provision
                                      
          bonus provision - executives & employes
                                      
          changes in benefit from environmental liabilities
                                      
          changes in provisions for exploration projects
                                      
          non - cash discontinued operations
                                      
          other minor
                                      
          net changes in operating assets and liabilities:
                                      
          decrease (increase) in operating assets -
                                      
          trade and other accounts receivable
                                      
          inventories
                                     -6,547 
          income tax credit
                                      
          prepaid expenses
                                      
          increase in operating liabilities -
                                      
          trade and other accounts payable
                                      
          provisions
                                      
          income tax payable
                                      
          proceeds from dividends in associates
                                      
          cash flows from (used in) operating activities
                                      
          payments to suppliers, third parties, and others net
                                      
          net cash flows from (used in) operating activities
                                      
          cash flows from (used in) investing activities
                                      
          gain from sale of investments in yanacocha
                                      
          income from purchase of shares in la zanja
                                      
          acquisitions of property, plant and equipment
                                      
          payments of obligations for leases
                                      
          decrease (increase) of restricted bank accounts
                                      
          senior notes bonds issue
                                      
          net cash flows from (used in) financing activities
                                      
          gain from sale of investments
                                      
          increase of restricted bank accounts
                         304 -331 -83 -244 248 821 1,635 -1,691 -2,023     
          proceeds from sales
                 209,521 208,356 188,994 102,891 207,955 174,800 216,206 209,222 182,772 264,364 251,382 370,705 329,843 348,643 316,646 255,316 262,108 -243,306 266,880 343,935 178,062 
          value added tax recovered
                 6,434   10,485 4,342 16,166 7,261 12,902 9,382 35,346 20,490 13,150 37,670 12,175 28,376 7,938 34,850  21,981 19,907  
          proceeds from dividends
                 3,551   5,132  2,467 1,545 28,440 937 2,229 758 40,374 3,431 2,791 1,857 3,073 3,142     
          proceeds from dividends of financial investments
                 1,450                     
          payments of income taxes and royalties paid to peruvian state
                 -4,884 -7,925                    
          payments of interest
                 -3,814  -4,892 -6,333 -6,293 -7,455 -6,232 -8,054 -6,525 -5,042 -8,999 -7,659 -5,999 -9,047 -7,184 -5,937 -1,068  -3,505  -3,216 
          payment of mining royalties
                 -776                     
          proceeds from sale of property, plant and equipment to third parties
                 4,382 2,947                    
          income from sale of investments
                 30                     
          additions to mining concessions, development costs, property, plant and equipment
                  -37,464                    
          acquisitions of other assets
                 -96  -305                   
          purchase of shares
                     -13,453                 
          net cash and cash equivalents from investing activities
                 -8,644 -35,047 -12,621 -11,403 -3,153 -39,580 -28,731 -28,479 -8,811 -44,844   -21,804 -67,813 -47,667 -57,361 -114,944 149,725    
          proceeds of bank loans
                   10,811 2,208 5,000  50,000  5,000 15,000   80,000 96,215  165,000      
          net increase in cash and cash equivalents during the period
                 -10,076 -29,367 69,303 -26,075 11,542 -69,662 -4,326 4,640 -89,806 14,255 -3,996 100,714 43,676 29,064 34,837 90,040 -66,232 29,579    
          cash and cash equivalents at the beginning of the period
                 235,449 260,435 195,513 221,588 210,046 279,708 284,034 279,394 369,200 354,945 358,941 258,227 214,551 185,487 150,650 80,544 179,464 48,940    
          recovery from value added tax and other taxes
                  6,359                    
          dividends received from related parties
                  1,017                    
          payments of royalties
                  -1,709                 -3,513 -8,708  
          proceeds of financial obligations
                          32,603    80,000        
          dividends paid to controlling shareholders
                                      
          tax recovered
                   21,781                   
          insurance collection
                   4,381                   
          payments of income taxes and royalties paid to state
                   -3,805 -7,907                  
          payments of mining royalties
                   -2,838 -497 -1,136 -1,595 -1,569 -1,136 -441 -2,246 -2,663 -3,938 -4,343 -5,493 -5,867 -4,379 -6,053     
          proceeds from sales of mining concessions, property, plant and equipment
                   285 147 21,037 24 280 275 147 1,866 314 14 46 258 -47,933 6,571 3,352 -2,892    
          acquisitions of mining concessions, development costs, property, plant and equipment
                   -12,601 -11,435 -10,046 -38,372 -27,971 -27,768 -8,516 -41,173 -18,504 -30,405 -21,188 -62,666 266 -81,612 -118,296 44,759    
          decrease of restricted bank accounts
                   -244 293 166 2,345 -2,367 -448              
          payments to other assets
                    -115 -691 -1,232 -1,040 -986 -442 -5,537 -1,526 -804 -662 -5,405        
          payments to suppliers and third-parties
                     -145,774 -142,468 -143,161 -147,770 -174,125 -224,214 -191,731 -214,549 -230,788 -224,502 -209,375 -189,653 -190,615 173,546    
          payment of income taxes
                     -6,071 -8,855 -6,030 -4,325 -5,725 -2,553 -7,915 -13,099 -7,331 -18,337 -3,245 -11,434 -2,705     
          proceeds from financial obligations
                      161,894           210  108,780   
          short-term lease payments
                      -7,596                
          acquisition of non-controlling interest
                              -621   -4,152     
          repurchase of treasury shares
                                 -1,210     
          proceeds from loans
                                17,680      
          net cash and cash equivalents (provided by) used in investing activities
                           -19,716 -31,195          
          increase of financial obligations
                                      
          proceeds from loan to third parties
                                      
          loans granted to associates
                                      
          opening of time deposits
                                      
          payments of dividends
                                      
          unrealized gain for changes in the fair value of hedge financial instruments
                                 827     
          changes in the asset for closure of mining units
                                      
          value added tax (vat) recovered
                                  -6,908    
          royalties received
                                  -10,017 8,429 13,976 11,598 
          dividends received
                                  -1,916 2,065 7,064  
          payment of income tax
                                  4,943    
          payment of interest
                                  4,235    
          proceeds from settlement of financial assets at fair value through profit or loss
                                      
          proceeds from collections of loans to associates
                                  141    
          proceeds from settlement of investment in shares
                                      
          acquisitions of investment properties
                                      
          loans
                                  104,829    
          payment for purchase of investments
                                      
          opening of term deposits
                                  -7,350    
          contributions and investments in associates
                                      
          payment of bank loans
                                      
          increase in financial obligations
                                  9,704  60,000  
          payment of financial obligations
                                  21  -45  
          dividends paid
                                  -70 -2,797 -76,269  
          purchase of associates' shares
                                      
          payments to suppliers and third parties
                                   -188,407 -219,791 -57,778 
          income tax paid
                                   -12,533 -30,910 -23,833 
          proceeds from collection of loan to an associate
                                      
          proceeds from sale of mining concessions, development costs, property, plant and equipment
                                      
          loans to associates
                                   -157   
          loans to third parties
                                      
          payments for acquisition of shares in associate, net of cash acquired
                                      
          contributions in associates
                                      
          dividends paid to non-controlling shareholders
                                      
          purchase of treasury shares
                                    -462  
          increase in cash and cash equivalents for the year
                                      
          cash and cash equivalents at beginning of year
                                      
          cash and cash equivalents at year-end
                                      
          financing and investing activities not affecting cash flows:
                                      
          changes in mine closures plans
                                      
          contingent consideration liability
                                      
          decrease in time deposits
                                    772  
          proceeds from sale of shares
                                      
          capital stock reduction paid to non-controlling interest
                                      
          proceeds from collection of loans to associates
                                   1,426   
          proceeds from sale of mining concessions, property, plant and equipment
                                   67 3,015  
          proceeds from sale of investments in shares
                                   80   
          payments for mine development activities and acquisitions of mining concessions, property, plant and equipment
                                   -60,383   
          purchase of investment properties
                                      
          contributions to associates
                                   -472   
          decrease of time deposits
                                      
          net cash from investing activities
                                   -59,439   
          proceeds from borrowings
                                   2,321   
          increase in cash for the period
                                   59,332   
          cash at beginning of period
                                   78,720   
          cash at end of period
                                   138,052   
          cash and cash equivalents from operating activities
                                    84,796  
          proceeds from associate loan’s collections
                                    14,964  
          acquisitions of mining concessions, development cost, property, plant and equipment
                                    -147,223  
          cash and cash equivalents from investing activities
                                    -128,472  
          cash and cash equivalents from financing activities
                                    -19,909  
          decrease in cash and cash equivalents for the period
                                    -63,585  
          cash and cash equivalents at end of period
                                    99,276  
          operating activities:
                                      
          net income
                                      
          adjustments to reconcile net income to net cash from operating activities:
                                      
          amortization
                                      
          deferred workers’ profit participation
                                      
          accretion of reclamation obligations
                                      
          other operating adjustments
                                      
          decrease (increase) in operating assets:
                                      
          inventories, stockpiles and ore on leach pads other assets
                                      
          increase (decrease) in operating stabilities:
                                      
          accounts payable and other accrued liabilities
                                      
          reclamation liabilities
                                      
          net cash from operations
                                      
          investing activities:
                                      
          additions to property, plant and mine development
                                      
          funding of long-term investment
                                      
          proceeds from sale of assets
                                      
          net cash from investing activities:
                                      
          financing activities:
                                      
          change in restricted cash
                                      
          repayment of debt .
                                      
          distributions to partners
                                      
          net change in cash and cash equivalents
                                      
          cash and cash equivalents at beginning of the year
                                      
          cash and cash equivalents at end of the year
                                      
          collection of interest
                                     3,314 
          settlement of gold certificates
                                      
          acquisition of gold certificates
                                      
          release of fixed prices component in commercial contracts
                                     -517,143 
          payments ofr exploration activities
                                     -18,853 
          investment activities
                                      
          additions to plant and equipment
                                     -9,849 
          disbursements ofr development activities
                                     -5,140 
          increase in time deposits
                                     -46,340 
          proceeds from sale of plant and equipment
                                     95 
          increase on accounts receivable from affiliates
                                     -447 
          net cash from investment activities
                                     -61,681 
          dividends paid to minority shareholders
                                      
          decrease of long-term debt
                                     -532 
          decrease in cash and cash equivalent for the period
                                     -92,565 
          cash and cash equivalent at beginning of period
                                     302,864 
          cash and cash equivalent at end of the period
                                     210,299 
          reconciliation of net income to net cash and cash equivalent
                                      
          used in operating activities
                                      
          net income atributable to equity holders of the parent
                                     -62,968 
          add
                                      
          minority interest
                                     27,684 
          depreciation and amortization
                                     10,425 
          amortization of development costs
                                     3,727 
          long term officers’ compensation *
                                     13,608 
          accretion expense of the provision for closure of mining units
                                     956 
          net cost of plant and equipment retired
                                     56 
          loss (gain) on currency exchange differences
                                     -8,978 
          income from release of fixed-price component in commercial contracts
                                     -102,008 
          share in affiliated companies, net of dividends received in cash
                                     -145,722 
          deferred income tax and workers' profit sharing benefit
                                     -147,390 
          realization of deferred income from sale of future production
                                      
          reversal for slow moving and obsolescence supplies
                                     -16 
          accrued interest
                                     2,349 
          allowance for doubtful accounts
                                     5,372 
          other
                                     -2,987 
          net changes in operating assets and liabilities accounts
                                      
          decrease (increase) of operating assets
                                      
          financial assets at fair value through profit or
                                      
          loss
                                      
          trade accounts receivable
                                     -21,889 
          other accounts receivable
                                     1,124 
          accounts receivable from affiliates
                                     -3,107 
          prepaid taxes and expenses
                                     -7,953 
          increase (decrease) of operating liabilities
                                      
          trade account payable
                                     3,566 
          income tax
                                     -8,935 
          dividends and other current liabilities
                                     -30,719