ACS, Actividades de Construcción y Servicios, S.A.

ACSAF · OTC
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Revenue$41,633,120$35,739,164$33,615,234$27,836,658
% Growth16.5%6.3%20.8%
Cost of Goods Sold$28,284,489$24,453,590$23,364,723$18,999,825
Gross Profit$13,348,631$11,285,574$10,250,511$8,836,833
% Margin32.1%31.6%30.5%31.7%
R&D Expenses$0$0$0$0
G&A Expenses$0$0$0$0
SG&A Expenses$9,284,613$7,835,264$2,272,551$1,680,762
Sales & Mktg Exp.$0$0$0$0
Other Operating Expenses$2,620,685$0$7,700,195$6,612,904
Operating Expenses$11,905,298$7,835,264$9,972,746$8,293,666
Operating Income$1,443,333$3,450,310$3,000,629$543,167
% Margin3.5%9.7%8.9%2%
Other Income/Exp. Net-$449,993$0$0$0
Pre-Tax Income$993,340$1,127,229$1,008,651$57,502
Tax Expense-$86,479$199,084$201,200$789,372
Net Income$827,580$780,123$668,227$3,045,413
% Margin2%2.2%2%10.9%
EPS3.263.072.29-3.18
% Growth6.2%34.1%172%
EPS Diluted3.263.072.5-3.18
Weighted Avg Shares Out253,843253,843253,843253,843
Weighted Avg Shares Out Dil253,843253,843253,843253,843
Supplemental Information
Interest Income$450,542$333,780$178,369$116,568
Interest Expense$849,104$703,900$484,152$381,476
Depreciation & Amortization$866,203$551,019$620,750$479,446
EBITDA$2,702,859$2,236,848$897,788$805,648
% Margin6.5%6.3%2.7%2.9%
ACS, Actividades de Construcción y Servicios, S.A. (ACSAF) Financial Statements & Key Stats | AlphaPilot