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

GRBMF · OTC
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income$14,237,609$15,477,000$69,394,000$26,353,000
Dep. & Amort.$23,050,930$18,929,114$18,282,000$16,375,000
Deferred Tax$0$0$0$0
Stock-Based Comp.$0$0$0$0
Change in WC-$11,060,745-$9,840,000-$5,519,000$3,565,000
Other Non-Cash$13,779,624$6,844,886-$43,306,000-$517,000
Operating Cash Flow$40,007,418$31,411,000$38,851,000$45,776,000
Investing Activities
PP&E Inv.-$29,402,773-$34,754,000-$29,467,000-$21,370,000
Net Acquisitions-$8,386,723-$7,109,000-$6,671,000-$11,653,000
Inv. Purchases$0$0-$151,000-$1,016,000
Inv. Sales/Matur.$0$0$151,000$1,016,000
Other Inv. Act.$989,689-$577,000$27,016,000$564,000
Investing Cash Flow-$36,799,807-$42,440,000-$9,122,000-$32,459,000
Financing Activities
Debt Repay.$22,615,836$26,790,811-$10,257,000$17,000
Stock Issued$0$0$0$0
Stock Repurch.-$4,432,242-$3,586,000-$2,568,000-$1,901,000
Dividends Paid-$4,234,005-$3,458,000-$5,791,000-$4,636,000
Other Fin. Act.-$16,084,050-$13,842,466-$5,989,000-$6,975,000
Financing Cash Flow-$2,134,461$5,904,000-$25,692,000-$14,116,000
Forex Effect$630,769-$835,000-$472,000$279,000
Net Chg. in Cash$1,703,919-$5,960,000$3,565,000-$520,000
Supplemental Information
Beg. Cash$6,353,124$12,313,000$8,748,000$9,268,000
End Cash$8,057,043$6,353,000$12,313,000$8,748,000
Free Cash Flow$9,832,631-$4,390,000$9,384,000$24,406,000