Wal-Mart de México, S.A.B. de C.V.

WMMVF · OTC
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9/30/2025
6/30/2025
3/31/2025
12/31/2024
Operating Activities
Net Income$640,815$11,226,894$12,316,745$15,199,567
Dep. & Amort.$340,685$6,227,732$6,202,100$5,900,547
Deferred Tax-$22,532$0$0$0
Stock-Based Comp.$0-$39,382$104,970$117,480
Change in WC$222,478$1,123,665-$20,781,384$17,838,053
Other Non-Cash$39,297$3,010,468-$2,285,842-$150,893
Operating Cash Flow$1,220,742$21,549,377-$4,443,411$38,904,754
Investing Activities
PP&E Inv.-$640,763-$7,973,277-$3,430,527-$12,733,249
Net Acquisitions$5,084$0$0$0
Inv. Purchases$0$0$0$0
Inv. Sales/Matur.$0$0$0$0
Other Inv. Act.$3,351$903,840$658,639$899,359
Investing Cash Flow-$632,328-$7,069,437-$2,771,888-$11,833,890
Financing Activities
Debt Repay.$0-$3,279,798-$3,264,310-$3,199,776
Stock Issued$0$0$0$0
Stock Repurch.$0$0$0$0
Dividends Paid$0$0$0-$20,337,028
Other Fin. Act.-$426,345-$1,438,895-$1,854,501-$7,683
Financing Cash Flow-$426,345-$4,718,693-$5,118,811-$40,606,911
Forex Effect$27,513-$1,258,795-$238,156$1,513,698
Net Chg. in Cash$189,582$8,502,452-$12,572,266-$12,022,349
Supplemental Information
Beg. Cash$1,729,577$23,941,316$36,513,582$48,535,931
End Cash$1,919,160$32,443,768$23,941,316$36,513,582
Free Cash Flow$579,979$13,576,100-$7,873,938$26,171,505
Wal-Mart de México, S.A.B. de C.V. (WMMVF) Financial Statements & Key Stats | AlphaPilot