Grupo Financiero Inbursa, S.A.B. de C.V.

GPFOY · OTC
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income$44,971,861$30,953,000$29,177,606$20,926,000
Dep. & Amort.$1,004,708$1,076,000$1,017,160$520,000
Deferred Tax$0$0$0$0
Stock-Based Comp.$0$0$0$0
Change in WC-$28,261,184-$73,928,000-$29,973,897$13,729,000
Other Non-Cash-$20,050,094-$1,011,000-$8,756,277$2,412,000
Operating Cash Flow-$2,334,709-$42,910,000-$8,535,408$37,587,000
Investing Activities
PP&E Inv.-$49,570-$9,185,000-$2,730,499-$771,000
Net Acquisitions$0$0-$155,000-$5,912,000
Inv. Purchases$0$0$0$0
Inv. Sales/Matur.$0$0$0$0
Other Inv. Act.$3,302,889$1,250,000$4,153,560-$578,000
Investing Cash Flow$3,253,319-$7,935,000$1,268,061-$7,261,000
Financing Activities
Debt Repay.$0$0$0$0
Stock Issued$0$0$0$0
Stock Repurch.-$905,241-$788,000-$4,539,000-$5,706,000
Dividends Paid$0$0$0$0
Other Fin. Act.-$32,125$49,796,000$832,388$17,312,000
Financing Cash Flow-$937,367$49,008,000-$3,706,612-$5,706,000
Forex Effect$0$0$0$0
Net Chg. in Cash-$18,757-$1,837,000-$10,973,958$24,620,000
Supplemental Information
Beg. Cash$28,322,892$30,160,000$41,133,819$16,514,000
End Cash$28,304,135$28,323,000$30,159,861$41,134,000
Free Cash Flow-$2,399,277-$52,095,000-$11,265,907$36,816,000