Grupo México, S.A.B. de C.V.

GMBXF · OTC
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income$3,127,631$3,374,631$3,850,278$7,014,120
Dep. & Amort.$1,152,889$1,255,856$1,119,102$1,115,406
Deferred Tax$261,626-$258,828-$1,600-$1,700
Stock-Based Comp.$0$0$1,600$1,700
Change in WC-$223,254$128,766-$2,556,511-$252,656
Other Non-Cash$1,683,276$1,314,799$2,848,191-$1,502,886
Operating Cash Flow$7,524,680$5,815,224$5,261,060$6,373,984
Investing Activities
PP&E Inv.-$1,766,002-$1,660,832-$1,501,700-$1,361,907
Net Acquisitions$0-$248,206-$389,755-$403,882
Inv. Purchases$0-$1,862,339-$539,294-$1,653,087
Inv. Sales/Matur.$0$437,534$929,049$2,267,915
Other Inv. Act.$838,978-$17,416-$244,177$411,869
Investing Cash Flow-$927,024-$3,351,259-$1,745,877-$739,092
Financing Activities
Debt Repay.-$79,822-$169,954-$527,692-$123,314
Stock Issued$178,304$0$0$0
Stock Repurch.$0-$42,549-$33,593-$10,485
Dividends Paid-$1,590,256-$2,282,242-$2,002,511-$2,330,212
Other Fin. Act.-$1,110,582-$271,067-$185,540-$665,041
Financing Cash Flow-$2,602,356-$2,765,812-$3,568,419-$3,671,311
Forex Effect-$100,310-$87,127-$93,626$329,168
Net Chg. in Cash$2,372,478-$833,315-$146,862$2,292,749
Supplemental Information
Beg. Cash$4,994,224$5,827,539$5,973,378$3,736,294
End Cash$7,366,702$4,994,224$5,826,516$6,029,043
Free Cash Flow$5,975,942$4,154,392$3,759,360$5,012,077