Grupo Bimbo, S.A.B. de C.V.

BMBOY · OTC
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9/30/2025
6/30/2025
3/31/2025
12/31/2024
Operating Activities
Net Income$181$3,278$2,214$3,121
Dep. & Amort.$331$6,239$6,075$6,514
Deferred Tax-$12$0$0$0
Stock-Based Comp.$0$0$0$0
Change in WC-$70-$2,917-$427-$7,141
Other Non-Cash$132$3,962$2,729$10,425
Operating Cash Flow$561$10,563$10,591$12,919
Investing Activities
PP&E Inv.-$278-$4,546-$5,298-$10,306
Net Acquisitions$10-$9,924-$12$1,910
Inv. Purchases$3$0$0$0
Inv. Sales/Matur.$0$0$0$0
Other Inv. Act.$0$466$312-$1,528
Investing Cash Flow-$264-$14,004-$4,998-$9,924
Financing Activities
Debt Repay.$127$2,957$9,955$0
Stock Issued$0$0$0$0
Stock Repurch.-$6-$537-$647-$624
Dividends Paid-$7-$221$0$109
Other Fin. Act.-$89-$8,595-$5,284-$2,755
Financing Cash Flow$25-$6,396$4,024-$3,270
Forex Effect$24-$448$105-$102
Net Chg. in Cash$346-$10,285$9,722-$8,434
Supplemental Information
Beg. Cash$397$17,779$8,057$8,434
End Cash$743$7,494$17,779$0
Free Cash Flow$321$5,963$5,229$2,613
Grupo Bimbo, S.A.B. de C.V. (BMBOY) Financial Statements & Key Stats | AlphaPilot