Operadora de Sites Mexicanos, S.A.B. de C.V.

OPMXF · OTC
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Market Cap$38,433,641$76,754,514$62,381,996$88,470,196
- Cash$5,908,700$4,571,950$4,914,507$5,681,515
+ Debt$42,394,820$43,022,481$42,012,874$38,266,661
Enterprise Value$74,919,761$115,205,046$99,480,363$121,055,342
Revenue$13,198,222$12,099,392$10,686,055$8,848,766
% Growth9.1%13.2%20.8%
Gross Profit$6,230,605$5,350,368$10,572,210$8,777,930
% Margin47.2%44.2%98.9%99.2%
EBITDA$12,454,466$11,447,902$10,030,634$8,319,084
% Margin94.4%94.6%93.9%94%
Net Income$341,332$433,721-$230,425$163
% Margin2.6%3.6%-2.2%0%
EPS Diluted0.110.13-0.0710
% Growth-15.4%283.6%-143,437.5%
Operating Cash Flow$10,516,531$9,532,077$11,163,245$9,030,766
Capital Expenditures-$1,924,446-$2,742,115-$4,126,140-$10,850,439
Free Cash Flow$8,592,085$6,789,962$7,037,105-$1,819,673