Grupo Aeroportuario del Centro Norte, S.A.B. de C.V.

BMV:OMAB.MX

162.84 (MXN) • At close November 1, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) MXN.

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,576.2563,336.425,987.1642,958.8043,429.8732,958.9022,333.0073,005.7922,605.1962,808.1491,534.0061,152.433523.634312.838267.734257.421,756.7041,612.3841,644.776
Kortetermijnbeleggingen 0000019.65749.339060.4450000000000
Liquide middelen en kortetermijnbeleggingen 2,576.2563,336.425,987.1642,958.8043,429.8732,978.5592,382.3463,005.7922,665.6412,808.1491,534.0061,152.433523.634312.838267.734257.421,756.7041,612.3841,644.776
Nettovorderingen 1,683.751,534.831,584.7681,534.5261,096.266809.231855.367818.244483.316472.717616.168543.982639.747511.565598.142672.27566.753368.813181.59
Voorraad 644.273672.588162.165115.2330164.709222.054265.67862.258115.21589.62400000260.600
Overige vlottende activa 3.65149.63942.33366.575284.7657.06838.8558.7455.5598.26237.140017.17218.5290084.426110.101
Totaal vlottende activa 4,907.935,593.4777,776.434,675.1384,810.9043,959.5673,498.6224,098.4593,216.7743,404.3432,276.9381,696.4151,163.381841.575884.405929.6952,084.0572,065.6231,936.467
Niet-vlottende activa:
Materiële vaste activa, netto 3,002.1162,731.0992,921.4272,878.7162,857.8892,670.2622,601.3972,444.2052,370.9752,284.3142,165.7662,150.3272,118.452,310.8482,183.6131,935.6412,293.0071,758.0641,469.09
Goodwill 0000000000000000000
Immateriële activa 16,421.30413,940.36611,680.68410,229.6569,267.1118,566.6567,648.4176,513.5146,348.6056,180.2776,092.0465,942.98907,266.567,164.8740000
Goodwill en immateriële activa 16,421.30413,940.36611,680.68410,229.6569,267.1118,566.6567,648.4176,513.5146,348.6056,180.2776,092.0465,942.98907,266.567,164.87404,000.393,976.7484,098.025
Langetermijnbeleggingen 0000000000005,769.688006,955.015000
Belastingvorderingen 867.421756.909464.404317.758297.004316.939348.034380.103463.26504.368451.371195.123218.484000000
Overige niet-vlottende activa 38.82448.12746.19634.62144.05377.06104.33109.042110.72244.57825.33225.55625.15134.69643.78642.931756.934752.025776.732
Totaal niet-vlottende activa 20,329.66517,476.50115,112.71113,460.75112,466.05711,630.91710,702.1789,446.8649,293.5629,013.5378,734.5158,313.9958,131.7739,612.1049,392.2738,933.5877,050.3316,486.8376,343.847
Totaal activa 25,237.59523,069.97822,889.14118,135.88917,276.96115,590.48414,200.813,545.32312,510.33612,417.8811,011.45310,010.419,295.15410,453.67910,276.6789,863.2829,134.3888,552.468,280.314
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 286.264332.287213.207148.357196.791382.106255.982393.159311.388320.113326.522294.151357.592385.545582.238394.70656.03166.92269.717
Kortlopende schulden 44.9282,733.4462,729.3323,039.234109.17154.37350.85256.12255.43347.076133.009583.068193.555143.33261.881130.863124.51657.45624.318
Belastingschulden 410.775957.609997.854370.188590.263308.345434.771262.772158.58981.62553.622185.9540114.95297.909202.55689.22757.45624.318
Uitgestelde opbrengsten 32.89246.37758.51291.84143.10239.87742.31700000175.7650.2231.0943.9672.30110.93617.977
Overige kortlopende verplichtingen 2,109.8062,146.9081,901.379889.621886.23748.36755.121659.05601.961463.491497.458339.66298.033211.694192.39619.707224.24842.24737.692
Totaal kortlopende verplichtingen 2,473.895,259.0184,902.434,169.0531,235.2941,224.7161,104.2721,108.331968.782830.68956.9891,216.881824.945740.7921,037.6031,149.243407.096177.561149.704
Langlopende verplichtingen:
Langetermijnschulden 10,830.6247,659.0955,192.0261,665.9174,655.2984,543.1694,582.424,637.7434,658.3494,677.3252,970.5261,505.1411,528.895959.505411.7650000
Uitgestelde opbrengsten niet-vlottend 1,632.6561,162.9981,178.144990.106908.501798.471752.458620.967489.707502.393439.759488.05029.52724.9910000
Uitgestelde belastingverplichtingen niet-vlottend 57.72156.67136.189133.828202.717184.147197.081218.791201.048189.938203.433351.292341.31859.5891,108.0981,140.4161,087.400
Overige niet-vlottende verplichtingen 404.202377.576342.12350.738387.656328.054335.254272.511241.923100.94143.35233.09515.50318.85719.25843.863165.55682.122567.845
Totaal niet-vlottende verplichtingen 12,925.2039,256.346,748.4793,140.5896,154.1725,853.8415,867.2135,750.0125,591.0275,470.5973,657.072,377.5732,385.7081,867.4781,564.1121,184.2791,252.95682.122567.845
Totaal passiva 15,399.09314,515.35811,650.9097,309.6427,389.4667,078.5576,971.4856,858.3436,559.8096,301.2774,614.0593,594.4543,210.6532,608.272,601.7152,333.5221,660.046859.683717.549
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 297.782297.782297.782300.822301.739303.394303.394303.644302.3981,491.0232,698.6913,897.1684,394.4444,399.594,390.4744,356.3614,408.2394,437.1324,320.278
Ingehouden winsten 7,828.4366,528.6989,702.1418,824.6668,121.9376,534.8045,281.6624,846.0455,546.4584,312.6863,287.9922,083.58201,226.9131,121.7331,050.745664.3121,447.3391,425.608
Overige gereserveerde algehele resultaten 1,514.4551,512.9451,026.2521,495.0671,261.6481,479.1941,455.0251,375.072-9.484231.918363.938396.851397.557405.674351.836333.186353.46800
Overige totale aandeelhoudersvermogen 29.78629.78629.78629.78629.78629.78629.78629.78629.78629.78629.78629.7861,284.9231,805.7661,802.0841,787.152,048.32300
Totaal eigen vermogen van aandeelhouders 9,670.4598,369.21111,055.96110,650.3419,715.118,347.1787,069.8676,554.5475,869.1586,065.4136,380.4076,407.3876,076.9247,837.9437,666.1277,527.4427,474.3425,884.4715,745.886
Totaal eigen vermogen 9,838.5028,554.6211,238.23210,826.2479,887.4958,511.9277,229.3156,686.985,950.5276,116.6036,397.3946,415.9566,084.5017,845.4097,674.9637,528.6017,474.3425,884.4715,745.886
Totaal passiva en aandeelhoudersvermogen 25,237.59523,069.97822,889.14118,135.88917,276.96115,590.48414,200.813,545.32312,510.33612,417.8811,011.45310,010.419,295.15410,453.67910,276.6789,863.2829,134.3886,744.1546,463.435