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

OTC:OPMXF

1.27 (USD) • At close November 17, 2023
Overzicht | Financiële gegevens

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

2024 Q22024 Q12023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q42020 Q32020 Q22020 Q12019 Q42019 Q32019 Q22019 Q12018 Q42018 Q32018 Q22018 Q12017 Q42017 Q32017 Q22017 Q12016 Q32015 Q42015 Q3
Operationele Activiteiten:
Nettowinst 223.026111.8851,066.234186.811258.29459.844588.74753.393123.27726.39374.826123.749145.867105.364-37.374367.912206.947-18.368-68.9-30.06-8.005-112139.865-35.79784.906-24.147228.002-293.387-267.898-354.298-277.621585.047-125.287
Afschrijvingen & Amortisatie 1,693.8221,674.1921,648.2921,627.0121,612.7511,605.6511,556.0291,502.2411,501.2411,495.4981,382.3941,317.5471,185.8791,225.5171,218.6091,167.4411,028.3291,017.9580989.897982.3131,006.071535.113527.841517.553519.892-103.943713.744707.076705.5170480.0050
Uitgestelde Inkomstenbelasting -37.564-57.9172.553-69.01-31.008-72.535196.585-78.199-62.089-56.297340.43-70.672-7.934-5.4630000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000
Verandering in Werkkapitaal -304.181-296.987-836.901-331.167-17.617154.763-15.002-296.9022,342.166-366.8031,515.0971.401-4,958.5424,763.647-29.765-5,352.049149.34-3.796059.938-63.443115.941-975.677-66.395-158.804208.786-499.947233.221217.70610.8840307.2160
Vorderingen 81.881-43.448157.47-82.811-49.92831.755-232.903-103.529378.924-254.8162,202.57-26.929-252.228238.37891.317-33.067-45.272-97.859032.407-25.488-32.8987.046-28.693-76.499-30.35420.38562.42213.422-139.794018.020
Voorraden 000000000000000000000000000000000
Crediteuren -2.51-265.6688.728-244.44136.29124.557-6.028-120.689175.599-111.987703.67923.7330.859-2.9620000000000000000000
Overig Werkkapitaal -383.55212.129-2.23-248.35632.311123.008217.901-193.3731,963.242-3.133-11.439-0.403-4,872.0964,871.9964,390.451-5,171.528-0.1220.15400.38427.53657.979-27.26639.948-1.16836.67-520.332170.799204.284150.6780289.1960
Overige Niet-Contante Posten 4,422.21867.071396.725290.496-1,185.455570.1524,147.255519.581-2,454.7511,204.533-1,642.63488.4733,631.401389.561359.982435.92451.467719.02868.9560.51629.567496.6621,127.255367.953192.063229.591,210.697172.335143.093290.496277.62165.531125.287
Kasstroom uit Operationele Activiteiten 2,689.042,346.6615,362.3381,773.152667.9732,390.416,277.0291,778.3131,511.9332,359.6211,329.6871,931.174.6056,484.0891,572.876-3,380.7761,836.0831,714.82201,580.2851,540.4321,506.674826.556793.602635.718934.121834.809825.913799.977652.59901,437.7990
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -410.167-707.077-513.499-1,526.841-509.294-140.834-2,976.65-390.451-420.596-316.445-9,982.63-305.219-235.384-336.329-89.532-31,959.274-353.278-412.190-620.165-501.942-379.771-222.69-337.356-445.584-285.042-248.024-419.746-438.936-188.6860-6,054.7920
Netto Overnames 00-967.051000-1,244.11200000000000000000000000000
Aankoop van Beleggingen 000000000000000000000000000000000
Verkoop/verval van Beleggingen 00000000000.050000000000000000000000
Overige Investeringsactiviteiten 114.506109.015100.08293.445136.577120.179138.265115.08148.673125.62456.115157.114253.707125.31170.02931,821.13927.33814.679023.2423.70420.9088.97910.97510.3718.1223.6361.9682.7453.7920-20,879.2960
Kasstroom uit Investeringsactiviteiten -410.167-597.343-409.016-1,433.396-372.717-20.655-2,838.385-275.37-371.923-190.821-9,931.065-144.72719.495-211.018-19.503-137.989-325.664-395.2270-596.925-478.238-358.863-209.66-326.827-435.224-276.045-244.388-417.778-436.191-184.8940-26,934.0880
Financieringsactiviteiten:
Schuldaflossingen -789.428-779.767-925.14-698.039-724.11-649.975-60.578-470-100-450-100-2,600-632.956-1,100-620.939-4,500-575.661-608.0640-528.46-586.359-581.15500000000000
Uitgifte van Gewone Aandelen 00000014.141000-2,964.746-1,071.0664,035.8620012,036.78100000000000000000
Terugkoop van Gewone Aandelen -412.50-847.42900-962.5-1,037.745-419.1130-8250-1,071.066000000000000000000000
Uitgekeerde Dividenden -1,695.621-104.226-120.725-153.109-1,718.379-126.09-104.155-99.768-1,851.1760-78.593-39.2320-0.868-29.007000000000000000000
Overige Financieringsactiviteiten -412.5-652.677-16.641-638.704-4.997-1,290.199-2,935.948-862.431-543.272-1,358.4373,208.46-1,246.023202.7-533.132647.14114,366.706-75.845-680.9090-715.888-94.605-684.463-91.938-702.996-87.57-667.193-91.022-684.113-76.587-641.04105,660.3630
Kasstroom uit Financieringsactiviteiten -2,897.549-1,432.444-4,042.008-1,336.743-729.107-2,252.699-4,020.13-1,751.544-643.272-2,633.437143.714-4,917.0893,324.808-1,633.132-2.8059,164.471-651.506-1,288.9730-1,244.348-680.964-1,265.618-91.938-702.996-87.57-667.193-91.022-684.113-76.587-641.04105,660.3630
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000000000000000000000000000000000
Netto Kasstroomverandering -618.676316.874911.314-996.987-433.851117.056-581.486-248.601496.738-464.637-8,457.664-3,130.6463,348.9084,639.9391,550.5685,645.706858.91330.6220-260.988381.23-117.807524.958-236.221112.924-9.117499.399-275.978287.199-173.3360-19,835.9260
Kaspositie aan het Einde van de Periode 4,184.0364,802.7124,485.8383,574.5244,571.5115,005.3624,888.3065,469.7925,718.3935,221.6555,686.29214,143.95617,274.60213,925.6949,285.7557,735.1872,089.4811,230.568945.187945.1871,206.175824.945942.752417.794654.015541.091550.20850.809326.78739.5880467.9960