Grupe, S.A.B. de C.V.

Simbol: CIDMEGA.MX

MEX

34.84

MXN

Tržna cena danes

  • 25.4317

    Razmerje P/E

  • 0.0390

    Razmerje PEG

  • 2.35B

    Kapaciteta MRK

  • 0.00%

    Donos DIV

Grupe, S.A.B. de C.V. (CIDMEGA-MX) Finančni izkazi

Na grafu so prikazane privzete številke v dinamiki za Grupe, S.A.B. de C.V. (CIDMEGA.MX). Prihodki podjetja prikazujejo povprečje NaN M, ki je NaN % gowth. Povprečni bruto dobiček za celotno obdobje je NaN M, ki je NaN %. Povprečno razmerje bruto dobička je NaN %. Rast čistega dobička za lanskoletno poslovanje podjetja je NaN %, kar je enako NaN % % v povprečju v celotni zgodovini podjetja.,

Bilanca stanja

Če pogledamo fiskalno pot podjetja Grupe, S.A.B. de C.V., opazimo povprečno rast sredstev. Zanimivo je, da ta stopnja znaša , kar odraža tako visoke kot tudi padce podjetja. Pri primerjavi četrtletja s četrtletjem se ta številka prilagodi na . Pogled nazaj v preteklo leto razkrije skupno spremembo sredstev v višini NaN. Vrednost za delničarje, kot jo prikazuje celotni lastniški kapital, je ovrednotena z vrednostjo NaN v valuti poročanja. Letna sprememba tega vidika je NaN%.

common:word.in-mln

USD
Growth
TTM2023202220212020201920182017201620152014201320122011201020092008200720062005

balance-sheet.row.cash-and-short-term-investments

0232.7581.5512.4
607.2
227.8
175.3
144.2
129.4
135.4
104.9
110.2
79.4
69.3
66.4
48.6
67.4
24
22.3
26.3

balance-sheet.row.short-term-investments

000-47.6
0
0
0
0
0
0
0
0
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0
0
0
0
0
0
0

balance-sheet.row.net-receivables

010171123.71124.5
1110.2
1090.1
0
0
0
0
0
0
0
0
0
0
0
0
328.2
401.6

balance-sheet.row.inventory

088.590.474.6
53.9
52.8
51.4
62
57.7
54.1
89.9
79.3
75.3
523.2
587.5
582.4
569.5
532.8
488.8
489.1

balance-sheet.row.other-current-assets

0159.9168.2140.4
170.2
174.5
0
0
0
0
0
0
0
0
0
0
0
0
0.1
33.6

balance-sheet.row.total-current-assets

01498.21963.81852
1941.6
1545.3
1535
1708
1716.2
1462.9
1316.8
1205.9
998
1415.9
1280.2
1058.8
1108
933.7
839.5
950.5

balance-sheet.row.property-plant-equipment-net

06329.36261.15822.7
5694.2
5592.5
5500.7
5531.6
5020.5
4877.3
4913.8
4606.1
4552.8
3735.1
3695.1
3742.3
2714.7
2760.4
2549.5
2391.8

balance-sheet.row.goodwill

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.intangible-assets

000206.9
172.5
0
0
0
0
0
0
0
0
22.2
22.5
22.8
0
0
0
0

balance-sheet.row.goodwill-and-intangible-assets

05.80206.9
172.5
-1457.6
0
0
0
0
0
0
0
22.2
22.5
22.8
0
0
0
0

balance-sheet.row.long-term-investments

0937.1926.91041.5
1097.8
1457.6
0
0
0
0
0
0
0
0
0
0
0
8.3
0
0

balance-sheet.row.tax-assets

0462332.6271.7
184.4
136.7
142
117.8
59.1
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.other-non-current-assets

0231.4254421.1
465.3
2130.6
2175.1
2171.8
2223.6
1878.4
1534.3
1465.9
1469
766.3
562.8
580.1
534
352.6
303.2
236.5

balance-sheet.row.total-non-current-assets

07965.67774.57763.9
7614.2
7859.9
7817.8
7821.2
7303.2
6755.7
6448.1
6072
6021.8
4523.7
4280.4
4345.2
3248.7
3121.4
2852.8
2628.3

balance-sheet.row.other-assets

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.total-assets

09463.89738.39615.9
9555.8
9405.1
9352.8
9529.2
9019.4
8218.6
7764.9
7277.9
7019.8
5939.5
5560.6
5404
4356.8
4055.1
3692.3
3578.7

balance-sheet.row.account-payables

0269.4276.1322.8
242.6
236.9
251.3
290.4
215
202.1
187.7
156.7
165.3
202.8
199
199.6
195.6
215.2
167
110.4

balance-sheet.row.short-term-debt

0157.4156.6259.3
283.1
312.8
311.1
353.9
322.7
491.7
399.7
351.5
296.8
395.5
349.3
300.9
252
213.5
258.9
206.1

balance-sheet.row.tax-payables

0129.3131.9126.2
144.5
99.9
74.4
93
150.7
74.6
37.8
45.6
45.1
41.3
82.4
70.5
44.2
29.3
0
0

balance-sheet.row.long-term-debt-total

015141821.21990.6
2163.6
1738.7
1942.9
2127.2
2043.9
1589.7
1612.6
1433.8
1390.3
1396.1
0
0
0
0
0
0

Deferred Revenue Non Current

012.519.40
0
16.4
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.deferred-tax-liabilities-non-current

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

balance-sheet.row.other-current-liab

0162.5171.8151.3
162.5
115
124.7
229.1
283.8
189.4
131.9
107.1
119.9
57.7
98.9
103.6
109
86.8
101
94.3

balance-sheet.row.total-non-current-liabilities

02860.23163.13246.3
3511
3181.1
3352.3
3531
3327.8
2723
2646.3
2413.4
1755.5
1975.1
1650.4
1598.4
1219.2
972.4
781.7
799.2

balance-sheet.row.other-liabilities

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.capital-lease-obligations

012.519.40
0
0
0
0
0
0
0
0
0
0
0
0
252
213.5
255.1
189.7

balance-sheet.row.total-liab

03488.73867.54029.5
4244.5
3881.4
4039.3
4404.3
4149.3
3606.1
3365.6
3028.6
2337.5
2631
2297.6
2202.5
1775.8
1487.9
1308.6
1210

balance-sheet.row.preferred-stock

0000
37.3
1
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.common-stock

0338.2338.21212.5
1212.5
1212.5
1212.5
1212.5
1212.5
1212.5
1212.5
1212.5
1212.5
1971.2
1971.2
1971.2
1971.2
1971.2
1899.8
1899.8

balance-sheet.row.retained-earnings

041674037.73797.6
3572.7
3741.2
3509.9
3320.3
3069.2
2526.2
2337.4
2196.2
2641.3
669.3
0
0
461.9
244.3
138.2
124.8

balance-sheet.row.accumulated-other-comprehensive-income-loss

041.367.523.4
-37.3
-1
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.other-total-stockholders-equity

0874.3874.30
-37.3
-1
18.8
22
22.7
30
30
30
5.1
8.8
636.4
568.6
12.8
70.2
60.9
74.8

balance-sheet.row.total-stockholders-equity

05420.95317.75033.5
4748
4952.8
4741.2
4554.9
4304.4
3768.7
3579.9
3438.7
3858.9
2649.3
2607.6
2539.8
2445.9
2285.8
2099
2099.5

balance-sheet.row.total-liabilities-and-stockholders-equity

09463.89738.39615.9
9555.8
9405.1
9352.8
9529.2
9019.4
8218.6
7764.9
7277.9
7019.8
5939.5
5560.6
5404
4356.8
4055.1
3692.3
3578.7

balance-sheet.row.minority-interest

0554.2553.1552.9
563.4
571
572.2
570
565.7
843.8
819.3
810.5
823.4
659.2
655.4
661.6
135
140.7
142.4
134.6

balance-sheet.row.total-equity

05975.15870.85586.5
5311.3
5523.8
5313.4
-
-
-
-
-
-
-
-
-
-
-
-
-

balance-sheet.row.total-liabilities-and-total-equity

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

Total Investments

0937.1926.9993.9
1097.8
1457.6
0
0
0
0
0
0
8.3
8.3
8.3
8.3
8.3
8.3
0
0

balance-sheet.row.total-debt

01683.91997.22249.8
2446.7
2051.5
2254
2481
2366.6
2081.4
2012.3
1785.3
1687.2
1791.6
349.3
300.9
252
213.5
258.9
206.1

balance-sheet.row.net-debt

01451.11415.71737.4
1839.5
1823.7
2078.7
2336.8
2237.2
1946
1907.4
1675.1
1607.8
1722.3
282.9
252.3
184.6
189.5
236.6
179.8

Izkaz denarnih tokov

V zadnjem obdobju se je v finančnem okolju Grupe, S.A.B. de C.V. opazno spremenil prosti denarni tok, ki se je spremenil v NaN. Podjetje je nedavno povečalo svoj osnovni kapital z izdajo NaN, kar kaže na razliko NaN v primerjavi s prejšnjim letom. Družba je pri naložbenju porabila neto denarna sredstva v višini NaN v valuti poročanja. To je premik za NaN v primerjavi s prejšnjim letom. V istem obdobju je družba zabeležila NaN, NaN in NaN, ki so pomembne za razumevanje naložbenih in odplačilnih strategij podjetja. Družba je pri financiranju porabila NaN, pri čemer je razlika v primerjavi z letom prej znašala NaN. Poleg tega je podjetje namenilo NaN za izplačilo dividend svojim delničarjem. Hkrati je izvajalo tudi druge finančne manevre, imenovane NaN, ki so prav tako pomembno vplivali na denarni tok v tem obdobju. Te sestavine skupaj tvorijo celovito sliko finančnega stanja podjetja in strateškega pristopa k upravljanju denarnih tokov.

common:word.in-mln

USD
Growth
TTM20232022202120202019201820172016201520142013201220112008200720062005

cash-flows.row.net-income

0108.2265.1258.1
-170.9
273.3
270.8
262.7
360.4
0
0
145.4
112.9
56
-10
98.4
21.1
130.6

cash-flows.row.depreciation-and-amortization

0262.3230.3198.4
203.5
193.4
223.2
162.4
153.9
143.3
120.3
99.1
100.1
97.8
89
90.6
68.2
58.1

cash-flows.row.deferred-income-tax

0-76.44.4-141.7
-175.7
19.9
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.stock-based-compensation

0-586.6-620.4141.7
175.7
-19.9
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.change-in-working-capital

0-117.7-113.5150.2
281.5
-57.6
-121.9
-134.1
-225.4
-204.7
-247.2
-303
-165.8
-288.3
-282.2
-89
114.3
-108.4

cash-flows.row.account-receivables

015.5-136.322.5
251.3
-1.1
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.inventory

0-26.1-2.34.9
4.4
-31.3
-22.8
-12.4
-9.1
3.7
-16.3
-5.7
-12.9
45.9
-36.7
-25.6
0.3
-83.5

cash-flows.row.account-payables

0-51.4-21.180.2
5.7
-14.4
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.other-working-capital

0-55.746.342.6
20.1
-10.7
-99.1
-121.7
-216.3
-208.4
-230.9
-297.3
-152.9
-334.2
-245.5
-63.4
114
-24.9

cash-flows.row.other-non-cash-items

0666790.8140.8
223
429.9
371.1
428.2
373.6
534
427
259.2
208.9
180.5
72.6
18.5
-29.5
63.7

cash-flows.row.net-cash-provided-by-operating-activities

0000
0
0
0
0
0
0
0
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0

cash-flows.row.investments-in-property-plant-an-equipment

0-297.7-261-408.9
-290.1
-385
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-673.6
-348.3
-107.3
-214.1
-153.1
-93.7
157.8
-35.8
-205.3
-236.7
-179.1

cash-flows.row.acquisitions-net

00-5.1-20.3
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0
0
0
0
0
0
0
0
0
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0
0
0

cash-flows.row.purchases-of-investments

0000
0
0
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0

cash-flows.row.sales-maturities-of-investments

0000
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0
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0

cash-flows.row.other-investing-activites

00020.3
5.2
0
0
-26.3
-13.4
-7.5
0
0
287.4
-215.5
0
0
0
0

cash-flows.row.net-cash-used-for-investing-activites

0-297.7-266.1-408.9
-290.1
-385
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-673.6
-361.7
-114.9
-214.1
-153.1
193.7
-57.8
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-205.3
-236.7
-179.1

cash-flows.row.debt-repayment

0-307-189.7-234.1
-140.9
-248.2
-535.4
-279.2
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-802.2
-418.7
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-290.8
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0
0

cash-flows.row.common-stock-issued

0000
0
0
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0
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0
0
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0.9
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0
0

cash-flows.row.common-stock-repurchased

00-5.30
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-3.2
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0
0
0
-3.7
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0
0
-6.2
0

cash-flows.row.dividends-paid

0000
0
0
0
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0
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0
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0

cash-flows.row.other-financing-activites

000-226
310.5
-140.6
43.8
254.1
2096.2
137.2
703.1
401.7
850.9
302.7
958.2
142.8
64.8
30.3

cash-flows.row.net-cash-used-provided-by-financing-activities

0-307-194.9-460.1
164.1
-395.5
-494.8
-25.8
-320.1
-345.6
-99.1
-17
-148.8
10.4
210.1
87.6
58.6
30.3

cash-flows.row.effect-of-forex-changes-on-cash

00-26.626.6
-31.6
-6
0
0
13.2
18.4
7.8
0.2
-3.4
4.2
0
0
0
0

cash-flows.row.net-change-in-cash

0-348.969.1-94.8
379.4
52.5
31.1
14.7
-6
30.5
-5.3
30.8
10.1
2.8
43.4
-20.7
196.7
-28.9

cash-flows.row.cash-at-end-of-period

0232.6581.5512.4
607.2
227.8
175.3
144.2
129.4
135.4
104.9
110.2
79.4
69.3
67.4
2.4
223
2.3

cash-flows.row.cash-at-beginning-of-period

0581.5512.4607.2
227.8
175.3
144.2
129.4
135.4
104.9
110.2
79.4
69.3
66.4
24
23.1
26.3
31.1

cash-flows.row.operating-cash-flow

0255.8556.7747.6
537
839.1
743.2
719.1
662.5
472.6
300.1
200.7
256.1
46
-130.7
118.5
174.1
143.9

cash-flows.row.capital-expenditure

0-297.7-261-408.9
-290.1
-385
-217.2
-673.6
-348.3
-107.3
-214.1
-153.1
-93.7
157.8
-35.8
-205.3
-236.7
-179.1

cash-flows.row.free-cash-flow

0-41.9295.7338.7
246.9
454
526
45.5
314.3
365.3
86
47.6
162.4
203.8
-166.5
-86.8
-62.6
-35.2

Vrstica izkaza poslovnega izida

Prihodki Grupe, S.A.B. de C.V. so se v primerjavi s prejšnjim obdobjem spremenili za NaN%. Bruto dobiček podjetja CIDMEGA.MX znaša NaN. Odhodki iz poslovanja podjetja so NaN in so se v primerjavi s prejšnjim letom spremenili za NaN%. Odhodki za amortizacijo znašajo NaN, kar je NaN% sprememba glede na zadnje obračunsko obdobje. Stroški poslovanja so sporočeni v višini NaN, ki kaže NaN% spremembo glede na preteklo leto. Stroški prodaje in trženja znašajo NaN, kar pomeni NaN% spremembo v primerjavi s preteklim letom. EBITDA na podlagi zadnjih podatkov znaša NaN in predstavlja NaN% rast v primerjavi s preteklim letom. Prihodki iz poslovanja so NaN, ki kažejo NaN% spremembo v primerjavi s preteklim letom. Sprememba čistih prihodkov je NaN%. Čisti prihodki v zadnjem letu so znašali NaN.

common:word.in-mln

USD
Growth
TTM2023202220212020201920182017201620152014201320122011201020092008200720062005

income-statement-row.row.total-revenue

03272.43379.32527.1
1388.2
2694.2
2617.9
2311.7
2128.1
1868.1
1589.2
1362.9
1266
70.7
77.2
75.9
46.7
37.7
27.6
25.2

income-statement-row.row.cost-of-revenue

02112.220181265.5
700.7
1094.3
1021.1
884.4
235.4
217.8
203.9
151.7
585.6
41.6
45.4
50.3
17.8
15.2
12.9
14.4

income-statement-row.row.gross-profit

01160.31361.31261.6
687.5
1599.8
1596.8
1427.3
1892.8
1650.3
1385.3
1211.2
680.3
29.1
31.8
25.6
28.9
22.4
14.6
10.8

income-statement-row.row.gross-profit-ratio

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Pogosto zastavljeno vprašanje

Kaj je Grupe, S.A.B. de C.V. (CIDMEGA.MX) skupna sredstva?

Grupe, S.A.B. de C.V. (CIDMEGA.MX) skupna sredstva so 9463791000.000.

Kakšen je letni prihodek podjetja?

Letni prihodki so N/A.

Kolikšna je stopnja dobička podjetja?

Dobiček podjetja je 0.362.

Kakšen je prosti denarni tok podjetja?

Prosti denarni tok je -5.540.

Kolikšna je neto stopnja dobička podjetja?

Čista stopnja dobička je 0.028.

Kolikšni so skupni prihodki podjetja?

Celotni prihodki so 0.138.

Kaj je Grupe, S.A.B. de C.V. (CIDMEGA.MX) čisti dobiček (čisti dobiček)?

Čisti dobiček (čisti prihodek) je 111898000.000.

Kolikšen je skupni dolg podjetja?

Skupni dolg je 1683859000.000.

Kolikšni so stroški poslovanja?

Stroški poslovanja so 722388000.000.

Kolikšno je število denarnih sredstev podjetja?

Denarna sredstva podjetja so 0.000.