Frontierby eninvs

Language: EN · RU

← Company

MX_GMEXICO 2023-09-30 9M — report review

Status: OK; Currency: USD; Amounts unit: millions; Forms:

Report published: Not stored for this period — set financial_report_date on the row (EDGAR filingDate, KASE change_date, or manual_catalog).

Full financial report: Link

PDF (local): /home/ubuntu/projects/frontier/data/raw_pdfs/MX_GMEXICO/2023-09-30_Q3_RF_EN_2023_3Q.pdf

To recalculate statement detection and previews from the PDF, use this link The default link runs in the background: a status panel shows phase, elapsed time, rough ETA, CUDA vs CPU, and OOM hints, then loads the finished report. Heavy mode with refresh does this automatically so reverse proxies do not return 502. Add &sync=1 only for one long blocking request (not recommended). You can use ?refresh=1, ?recalc=1, ?nocache=1, or ?recompute=1 on the URL. (block in the browser until done: synchronous refresh)

Metric mapping (value → extracted evidence)

Metric values use dashboard units where applicable; evidence is the stored snippet from the PDF text layer or OCR used during extraction.

MetricValueEvidence / page extract
Revenue10 962.95Row: revenue (mln USD, batch apply) · dashboard=10,962.953 mln — [DeepSeek] revenue (mln USD, batch apply)
Operating profit4 334.51Row: operating_profit (mln USD, batch apply) · dashboard=4,334.508 mln — [DeepSeek] operating_profit (mln USD, batch apply)
D&A1 141.89Row: da (mln USD, batch apply) · dashboard=1,141.889 mln — [DeepSeek] da (mln USD, batch apply)
EBITDA5 476.4Row: ebitda (mln USD, batch apply) · dashboard=5,476.397 mln — [DeepSeek] ebitda (mln USD, batch apply)
Net profit2 297.32Row: net_profit (mln USD, batch apply) · dashboard=2,297.321 mln — [DeepSeek] net_profit (mln USD, batch apply)
Cash6 846.86Row: cash (mln USD, batch apply) · dashboard=6,846.862 mln — [DeepSeek] cash (mln USD, batch apply)
Debt short118.28Row: debt_short (mln USD, batch apply) · dashboard=118.281 mln — [DeepSeek] debt_short (mln USD, batch apply)
Debt long8 600.73Row: debt_long (mln USD, batch apply) · dashboard=8,600.732 mln — [DeepSeek] debt_long (mln USD, batch apply)
Net debt1 872.15Components: short debt 118.28 + long debt 8 600.73 + other financial liab. 0 + NCI 0 − cash 6 846.86 = net debt 1 872.15.Row: net_debt (mln USD, batch apply) · dashboard=1,872.151 mln — [DeepSeek] net_debt (mln USD, batch apply)
Operating CF4 115.2Row: operating_cash_flow (mln USD, batch apply) · dashboard=4,115.199 mln — [DeepSeek] operating_cash_flow (mln USD, batch apply)
Investing CF-1 345.91Row: investing_cash_flow (mln USD, batch apply) · dashboard=-1,345.907 mln — [DeepSeek] investing_cash_flow (mln USD, batch apply)
Assets31 887.65Row: total_assets (mln USD, batch apply) · dashboard=31,887.647 mln — [DeepSeek] total_assets (mln USD, batch apply)
Equity16 592.47Row: total_equity (mln USD, batch apply) · dashboard=16,592.473 mln — [DeepSeek] total_equity (mln USD, batch apply)

Consistency checks · All checks passed

Balance sheet identity (A = L + E)TA (31,888) ≈ TL (15,295) + TE (16,592); residual +0 within 1%.
Net debt formulanet_debt 1,872 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 1,872.
EBITDA = OP + D&AEBITDA (5,476) ≈ OP (4,335) + D&A (1,142) = 5,476.
Net profit vs operating profitNet profit (2,297) sits within a plausible band vs operating profit (4,335).
Cash ≤ total assetsCash (6,847) ≤ total assets (31,888).

Statement pages (discovery)

FormPages
P&L17
BS17
CF17

Statement previews & reconstructed tables

Highlights Yellow row = matched stored evidence label; orange cell = exact number used for that metric (hover row for details). Revenue Operating profit D&A EBITDA Net profit cash debt_short debt_long Assets Equity Operating CF Investing CF

Green / amber / red bars on the label column mark subtotal rows where summed detail lines match the reported total (heuristic). The table under each reconstructed grid lists every check (Σ detail vs reported, status).

P&L

Extracted metrics for this form (this period row)

MetricValue
Revenue10 962.95
Operating profit4 334.51
EBITDA5 476.4
Net profit2 297.32
D&A1 141.89
P&L — PDF page 17
PDF page scan — P&L — 17
P&L PDF page 17

Camelot table (pages 17, primary page 17).

#Joined labelLine itemGRUP O MEXIC O, S.A.B. DE C .V. (…Quarters → Q3 -2 2Va ria nceColumn 5Ac c umulatedVa ria nce
0GRUP O MEXIC O, S.A.B. DE C .V. (GM)GRUP O MEXIC O, S.A.B. DE C .V. (GM)
1C ONSOLIDATED FINANC IAL STATEMENTS (US GAAP )C ONSOLIDATED FINANC IAL STATEMENTS (US GAAP )
2(Thousands of US Dollars) Quarters Ac c umulated(Thousands of US Dollars)QuartersAc c umulated
3ST AT E ME NT OF E AR NING S Q3 -2 3 Q3 -2 2 Va ria nce 2 0 2 3 2 0 2 2 Va ria nceST AT E ME NT OF E AR NING SQ3 -2 3Q3 -2 2Va ria nce2 0 2 32 0 2 2Va ria nce
4Ne t sa le s 3 ,6 4 7 ,2 9 6 3 ,1 1 5 ,4 2 3 5 3 1 ,8 7 3 1 0 ,9 6 2 ,9 5 3 1 0 ,0 8 2 ,6 4 2 8 8 0 ,3 1 1Ne t sa le s3 ,6 4 7 ,2 9 63 ,1 1 5 ,4 2 35 3 1 ,8 7 31 0 ,9 6 2 ,9 5 31 0 ,0 8 2 ,6 4 28 8 0 ,3 1 1
5Cost of sales 1,773,431 1,617,669 155,762 5,180,727 4,777,722 403,005Cost of sales1,773,4311,617,669155,7625,180,7274,777,722403,005
6Exploration 21,387 10,001 11,386 58,491 31,741 26,750Exploration21,38710,00111,38658,49131,74126,750
7G ross p rofit 1 ,8 5 2 ,4 7 8 1 ,4 8 7 ,7 5 3 3 6 4 ,7 2 5 5 ,7 2 3 ,7 3 5 5 ,2 7 3 ,1 7 9 4 5 0 ,5 5 7G ross p rofit1 ,8 5 2 ,4 7 81 ,4 8 7 ,7 5 33 6 4 ,7 2 55 ,7 2 3 ,7 3 55 ,2 7 3 ,1 7 94 5 0 ,5 5 7
8Gross margin 51% 52% 52%Gross margin51%52%52%
9Administrative expenses 82,923 68,939 13,984 247,338 211,481 35,857Administrative expenses82,92368,93913,984247,338211,48135,857
10E BIT DA 1 ,7 8 2 ,0 5 6 1 ,4 2 4 ,3 6 1 3 5 7 ,6 9 6 5 ,5 1 5 ,4 2 4 5 ,0 4 9 ,9 2 0 4 6 5 ,5 0 5E BIT DA1 ,7 8 2 ,0 5 61 ,4 2 4 ,3 6 13 5 7 ,6 9 65 ,5 1 5 ,4 2 45 ,0 4 9 ,9 2 04 6 5 ,5 0 5
11Depreciation, amortization and depletion 396,560 340,318 56,243 1,141,889 1,035,183 106,706Depreciation, amortization and depletion396,560340,31856,2431,141,8891,035,183106,706
12Op e ra ting income 1 ,3 7 2 ,9 9 5 1 ,0 7 8 ,4 9 7 2 9 4 ,4 9 8 4 ,3 3 4 ,5 0 8 4 ,0 2 6 ,5 1 5 3 0 7 ,9 9 4Op e ra ting income1 ,3 7 2 ,9 9 51 ,0 7 8 ,4 9 72 9 4 ,4 9 84 ,3 3 4 ,5 0 84 ,0 2 6 ,5 1 53 0 7 ,9 9 4
13Operating margin 38% 35% 40% 40%Operating margin38%35%40%40%
14Interest expense 144,082 134,871 9,211 418,074 403,981 14,093Interest expense144,082134,8719,211418,074403,98114,093
15Interest income (88,731) (32,649) (56,083) (241,296) (65,360) (175,937)Interest income(88,731)(32,649)(56,083)(241,296)(65,360)(175,937)
16(Gain) loss in investments - 4,844 (4,844) - (14,080) 14,080(Gain) loss in investments-4,844(4,844)-(14,080)14,080
17Other (income) expense, net (12,501) (5,547) (6,955) (39,027) 11,777 (50,805)Other (income) expense, net(12,501)(5,547)(6,955)(39,027)11,777(50,805)
18E a rnings b e fore T a x 1 ,3 3 0 ,1 4 5 9 7 6 ,9 7 6 3 5 3 ,1 6 9 4 ,1 9 6 ,7 5 8 3 ,6 9 0 ,1 9 6 5 0 6 ,5 6 2E a rnings b e fore T a x1 ,3 3 0 ,1 4 59 7 6 ,9 7 63 5 3 ,1 6 94 ,1 9 6 ,7 5 83 ,6 9 0 ,1 9 65 0 6 ,5 6 2
19Taxes 495,960 262,603 233,357 1,464,770 1,324,910 139,860Taxes495,960262,603233,3571,464,7701,324,910139,860
20Participation in subsidiary not consolidated and associated (5,171) 9,624 (14,795) (3,487) 5,239 (8,726)Participation in subsidiary not consolidated and associated(5,171)9,624(14,795)(3,487)5,239(8,726)
21Ne t E a rnings 8 3 9 ,3 5 6 7 0 4 ,7 4 9 1 3 4 ,6 0 7 2 ,7 3 5 ,4 7 5 2 ,3 6 0 ,0 4 7 3 7 5 ,4 2 8Ne t E a rnings8 3 9 ,3 5 67 0 4 ,7 4 91 3 4 ,6 0 72 ,7 3 5 ,4 7 52 ,3 6 0 ,0 4 73 7 5 ,4 2 8
22Net income attributable to the non-controlling interest 143,307 128,212 15,094 438,154 376,822 61,331Net income attributable to the non-controlling interest143,307128,21215,094438,154376,82261,331
23Ne t income a ttrib uta b le to G M 6 9 6 ,0 5 0 5 7 6 ,5 3 7 1 1 9 ,5 1 3 2 ,2 9 7 ,3 2 1 1 ,9 8 3 ,2 2 5 3 1 4 ,0 9 6Ne t income a ttrib uta b le to G M6 9 6 ,0 5 05 7 6 ,5 3 71 1 9 ,5 1 32 ,2 9 7 ,3 2 11 ,9 8 3 ,2 2 53 1 4 ,0 9 6
24BALANCE SHE E TBALANCE SHE E T
25Cash and cash equivalents 6,846,862 5,645,063 1,201,799 6,846,862 5,645,063 1,201,799Cash and cash equivalents6,846,8625,645,0631,201,7996,846,8625,645,0631,201,799
26Restricted cash 74,714 61,774 12,940 74,714 61,774 12,940Restricted cash74,71461,77412,94074,71461,77412,940
27Notes and accounts receivable 1,694,766 1,627,424 67,341 1,694,766 1,627,424 67,341Notes and accounts receivable1,694,7661,627,42467,3411,694,7661,627,42467,341
28Inventories 1,335,027 1,441,168 (106,141) 1,335,027 1,441,168 (106,141)Inventories1,335,0271,441,168(106,141)1,335,0271,441,168(106,141)
29Prepaid and others current assets 767,771 926,188 (158,417) 767,771 926,188 (158,417)Prepaid and others current assets767,771926,188(158,417)767,771926,188(158,417)
30T ota l Curre nt Asse ts 1 0 ,7 1 9 ,1 4 1 9 ,7 0 1 ,6 1 7 1 ,0 1 7 ,5 2 4 1 0 ,7 1 9 ,1 4 1 9 ,7 0 1 ,6 1 7 1 ,0 1 7 ,5 2 4T ota l Curre nt Asse ts1 0 ,7 1 9 ,1 4 19 ,7 0 1 ,6 1 71 ,0 1 7 ,5 2 41 0 ,7 1 9 ,1 4 19 ,7 0 1 ,6 1 71 ,0 1 7 ,5 2 4
31Property, plant and equipment, Net 18,075,874 17,005,944 1,069,930 18,075,874 17,005,944 1,069,930Property, plant and equipment, Net18,075,87417,005,9441,069,93018,075,87417,005,9441,069,930
32Leachable material, net 1,102,345 1,088,287 14,058 1,102,345 1,088,287 14,058Leachable material, net1,102,3451,088,28714,0581,102,3451,088,28714,058
33Other long term assets 1,990,287 1,694,311 295,976 1,990,287 1,694,311 295,976Other long term assets1,990,2871,694,311295,9761,990,2871,694,311295,976
34T ota l Asse ts 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8T ota l Asse ts3 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 83 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 8
35Lia b ilitie s a nd Stockhold e rs' E q uityLia b ilitie s a nd Stockhold e rs' E q uity
36Current - term debt 118,281 505,517 (387,236) 118,281 505,517 (387,236)Current - term debt118,281505,517(387,236)118,281505,517(387,236)
37Accumulated liabilities 1,847,941 1,603,881 244,060 1,847,941 1,603,881 244,060Accumulated liabilities1,847,9411,603,881244,0601,847,9411,603,881244,060
38Curre nt Lia b ilitie s 1 ,9 6 6 ,2 2 1 2 ,1 0 9 ,3 9 8 (1 4 3 ,1 7 6 ) 1 ,9 6 6 ,2 2 1 2 ,1 0 9 ,3 9 8 (1 4 3 ,1 7 6 )Curre nt Lia b ilitie s1 ,9 6 6 ,2 2 12 ,1 0 9 ,3 9 8(1 4 3 ,1 7 6 )1 ,9 6 6 ,2 2 12 ,1 0 9 ,3 9 8(1 4 3 ,1 7 6 )
39Long-term debt 8,600,732 8,202,126 398,607 8,600,732 8,202,126 398,607Long-term debt8,600,7328,202,126398,6078,600,7328,202,126398,607
40Other non-current liabilities 2,331,583 2,165,344 166,239 2,331,583 2,165,344 166,239Other non-current liabilities2,331,5832,165,344166,2392,331,5832,165,344166,239
41T ota l Lia b ilitie s 1 2 ,8 9 8 ,5 3 7 1 2 ,4 7 6 ,8 6 7 4 2 1 ,6 7 0 1 2 ,8 9 8 ,5 3 7 1 2 ,4 7 6 ,8 6 7 4 2 1 ,6 7 0T ota l Lia b ilitie s1 2 ,8 9 8 ,5 3 71 2 ,4 7 6 ,8 6 74 2 1 ,6 7 01 2 ,8 9 8 ,5 3 71 2 ,4 7 6 ,8 6 74 2 1 ,6 7 0
42Stockholders equity 2,003,496 2,003,496 - 2,003,496 2,003,496 -Stockholders equity2,003,4962,003,496-2,003,4962,003,496-
43Other equity accounts (2,514,455) (2,672,882) 158,427 (2,514,455) (2,672,882) 158,427Other equity accounts(2,514,455)(2,672,882)158,427(2,514,455)(2,672,882)158,427
44Retaining earnings 17,103,433 15,466,894 1,636,539 17,103,433 15,466,894 1,636,539Retaining earnings17,103,43315,466,8941,636,53917,103,43315,466,8941,636,539
45T ota l Stockhold e rs' e q uity 1 6 ,5 9 2 ,4 7 3 1 4 ,7 9 7 ,5 0 8 1 ,7 9 4 ,9 6 6 1 6 ,5 9 2 ,4 7 3 1 4 ,7 9 7 ,5 0 8 1 ,7 9 4 ,9 6 6T ota l Stockhold e rs' e q uity1 6 ,5 9 2 ,4 7 31 4 ,7 9 7 ,5 0 81 ,7 9 4 ,9 6 61 6 ,5 9 2 ,4 7 31 4 ,7 9 7 ,5 0 81 ,7 9 4 ,9 6 6
46Non-controlling interest. 2,396,636 2,215,784 180,852 2,396,636 2,215,784 180,852Non-controlling interest.2,396,6362,215,784180,8522,396,6362,215,784180,852
47T ota l Lia b ilitie s a nd E q uity 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8T ota l Lia b ilitie s a nd E q uity3 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 83 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 8
48- - - - - -------
49CASH FLOWCASH FLOW
50Ne t e a rnings 8 3 9 ,3 5 7 7 0 4 ,7 4 9 1 3 4 ,6 0 8 2 ,7 3 5 ,4 7 5 2 ,3 6 0 ,0 4 7 3 7 5 ,4 2 8Ne t e a rnings8 3 9 ,3 5 77 0 4 ,7 4 91 3 4 ,6 0 82 ,7 3 5 ,4 7 52 ,3 6 0 ,0 4 73 7 5 ,4 2 8
51Depreciation, amortization and depletion 396,561 340,318 56,243 1,141,889 1,035,183 106,706Depreciation, amortization and depletion396,561340,31856,2431,141,8891,035,183106,706
52Deferred income taxes (37,449) 6,648 (44,097) (32,340) 48,049 (80,389)Deferred income taxes(37,449)6,648(44,097)(32,340)48,049(80,389)
53Participation in subsidiary not consolidated and associated (5,171) 9,624 (14,795) (3,487) 5,239 (8,726)Participation in subsidiary not consolidated and associated(5,171)9,624(14,795)(3,487)5,239(8,726)
54Other Net (2,075) 23,237 (25,312) 34,516 105,984 (71,468)Other Net(2,075)23,237(25,312)34,516105,984(71,468)
55Changes in assets and liabilities 246,015 (307,770) 553,785 239,146 (1,040,996) 1,280,142Changes in assets and liabilities246,015(307,770)553,785239,146(1,040,996)1,280,142
56Ca sh ge ne ra te d b y op e ra ting a ctivitie s 1 ,4 3 7 ,2 3 8 7 7 6 ,8 0 6 6 6 0 ,4 3 2 4 ,1 1 5 ,1 9 9 2 ,5 1 3 ,5 0 6 1 ,6 0 1 ,6 9 3Ca sh ge ne ra te d b y op e ra ting a ctivitie s1 ,4 3 7 ,2 3 87 7 6 ,8 0 66 6 0 ,4 3 24 ,1 1 5 ,1 9 92 ,5 1 3 ,5 0 61 ,6 0 1 ,6 9 3
57Capital expenditures (412,430) (365,004) (47,426) (1,159,105) (1,031,337) (127,769)Capital expenditures(412,430)(365,004)(47,426)(1,159,105)(1,031,337)(127,769)
58Restricted cash (9,104) (8,766) (338) (42,822) (19,671) (23,151)Restricted cash(9,104)(8,766)(338)(42,822)(19,671)(23,151)
59Other - Net 22,079 180,611 (158,532) (143,980) 88,606 (232,586)Other - Net22,079180,611(158,532)(143,980)88,606(232,586)
60Ca sh use d in inve sting a ctivitie s (3 9 9 ,4 5 5 ) (1 9 3 ,1 5 9 ) (2 0 6 ,2 9 6 ) (1 ,3 4 5 ,9 0 7 ) (9 6 2 ,4 0 2 ) (3 8 3 ,5 0 5 )Ca sh use d in inve sting a ctivitie s(3 9 9 ,4 5 5 )(1 9 3 ,1 5 9 )(2 0 6 ,2 9 6 )(1 ,3 4 5 ,9 0 7 )(9 6 2 ,4 0 2 )(3 8 3 ,5 0 5 )
61Debt incurred 27,548 - 27,548 27,548 - 27,548Debt incurred27,548-27,54827,548-27,548
62Debt repaid (136,189) (77,500) (58,689) (161,091) (115,189) (45,902)Debt repaid(136,189)(77,500)(58,689)(161,091)(115,189)(45,902)

No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).

BS

Extracted metrics for this form (this period row)

MetricValue
Cash6 846.86
Debt Short118.28
Debt Long8 600.73
Assets31 887.65
Equity16 592.47
Net debt1 872.15
BS — PDF page 17
PDF page scan — BS — 17
BS PDF page 17

Camelot table (pages 17, primary page 17).

#Joined labelLine itemGRUP O MEXIC O, S.A.B. DE C .V. (…Quarters → Q3 -2 2Va ria nceColumn 5Ac c umulatedVa ria nce
0GRUP O MEXIC O, S.A.B. DE C .V. (GM)GRUP O MEXIC O, S.A.B. DE C .V. (GM)
1C ONSOLIDATED FINANC IAL STATEMENTS (US GAAP )C ONSOLIDATED FINANC IAL STATEMENTS (US GAAP )
2(Thousands of US Dollars) Quarters Ac c umulated(Thousands of US Dollars)QuartersAc c umulated
3ST AT E ME NT OF E AR NING S Q3 -2 3 Q3 -2 2 Va ria nce 2 0 2 3 2 0 2 2 Va ria nceST AT E ME NT OF E AR NING SQ3 -2 3Q3 -2 2Va ria nce2 0 2 32 0 2 2Va ria nce
4Ne t sa le s 3 ,6 4 7 ,2 9 6 3 ,1 1 5 ,4 2 3 5 3 1 ,8 7 3 1 0 ,9 6 2 ,9 5 3 1 0 ,0 8 2 ,6 4 2 8 8 0 ,3 1 1Ne t sa le s3 ,6 4 7 ,2 9 63 ,1 1 5 ,4 2 35 3 1 ,8 7 31 0 ,9 6 2 ,9 5 31 0 ,0 8 2 ,6 4 28 8 0 ,3 1 1
5Cost of sales 1,773,431 1,617,669 155,762 5,180,727 4,777,722 403,005Cost of sales1,773,4311,617,669155,7625,180,7274,777,722403,005
6Exploration 21,387 10,001 11,386 58,491 31,741 26,750Exploration21,38710,00111,38658,49131,74126,750
7G ross p rofit 1 ,8 5 2 ,4 7 8 1 ,4 8 7 ,7 5 3 3 6 4 ,7 2 5 5 ,7 2 3 ,7 3 5 5 ,2 7 3 ,1 7 9 4 5 0 ,5 5 7G ross p rofit1 ,8 5 2 ,4 7 81 ,4 8 7 ,7 5 33 6 4 ,7 2 55 ,7 2 3 ,7 3 55 ,2 7 3 ,1 7 94 5 0 ,5 5 7
8Gross margin 51% 52% 52%Gross margin51%52%52%
9Administrative expenses 82,923 68,939 13,984 247,338 211,481 35,857Administrative expenses82,92368,93913,984247,338211,48135,857
10E BIT DA 1 ,7 8 2 ,0 5 6 1 ,4 2 4 ,3 6 1 3 5 7 ,6 9 6 5 ,5 1 5 ,4 2 4 5 ,0 4 9 ,9 2 0 4 6 5 ,5 0 5E BIT DA1 ,7 8 2 ,0 5 61 ,4 2 4 ,3 6 13 5 7 ,6 9 65 ,5 1 5 ,4 2 45 ,0 4 9 ,9 2 04 6 5 ,5 0 5
11Depreciation, amortization and depletion 396,560 340,318 56,243 1,141,889 1,035,183 106,706Depreciation, amortization and depletion396,560340,31856,2431,141,8891,035,183106,706
12Op e ra ting income 1 ,3 7 2 ,9 9 5 1 ,0 7 8 ,4 9 7 2 9 4 ,4 9 8 4 ,3 3 4 ,5 0 8 4 ,0 2 6 ,5 1 5 3 0 7 ,9 9 4Op e ra ting income1 ,3 7 2 ,9 9 51 ,0 7 8 ,4 9 72 9 4 ,4 9 84 ,3 3 4 ,5 0 84 ,0 2 6 ,5 1 53 0 7 ,9 9 4
13Operating margin 38% 35% 40% 40%Operating margin38%35%40%40%
14Interest expense 144,082 134,871 9,211 418,074 403,981 14,093Interest expense144,082134,8719,211418,074403,98114,093
15Interest income (88,731) (32,649) (56,083) (241,296) (65,360) (175,937)Interest income(88,731)(32,649)(56,083)(241,296)(65,360)(175,937)
16(Gain) loss in investments - 4,844 (4,844) - (14,080) 14,080(Gain) loss in investments-4,844(4,844)-(14,080)14,080
17Other (income) expense, net (12,501) (5,547) (6,955) (39,027) 11,777 (50,805)Other (income) expense, net(12,501)(5,547)(6,955)(39,027)11,777(50,805)
18E a rnings b e fore T a x 1 ,3 3 0 ,1 4 5 9 7 6 ,9 7 6 3 5 3 ,1 6 9 4 ,1 9 6 ,7 5 8 3 ,6 9 0 ,1 9 6 5 0 6 ,5 6 2E a rnings b e fore T a x1 ,3 3 0 ,1 4 59 7 6 ,9 7 63 5 3 ,1 6 94 ,1 9 6 ,7 5 83 ,6 9 0 ,1 9 65 0 6 ,5 6 2
19Taxes 495,960 262,603 233,357 1,464,770 1,324,910 139,860Taxes495,960262,603233,3571,464,7701,324,910139,860
20Participation in subsidiary not consolidated and associated (5,171) 9,624 (14,795) (3,487) 5,239 (8,726)Participation in subsidiary not consolidated and associated(5,171)9,624(14,795)(3,487)5,239(8,726)
21Ne t E a rnings 8 3 9 ,3 5 6 7 0 4 ,7 4 9 1 3 4 ,6 0 7 2 ,7 3 5 ,4 7 5 2 ,3 6 0 ,0 4 7 3 7 5 ,4 2 8Ne t E a rnings8 3 9 ,3 5 67 0 4 ,7 4 91 3 4 ,6 0 72 ,7 3 5 ,4 7 52 ,3 6 0 ,0 4 73 7 5 ,4 2 8
22Net income attributable to the non-controlling interest 143,307 128,212 15,094 438,154 376,822 61,331Net income attributable to the non-controlling interest143,307128,21215,094438,154376,82261,331
23Ne t income a ttrib uta b le to G M 6 9 6 ,0 5 0 5 7 6 ,5 3 7 1 1 9 ,5 1 3 2 ,2 9 7 ,3 2 1 1 ,9 8 3 ,2 2 5 3 1 4 ,0 9 6Ne t income a ttrib uta b le to G M6 9 6 ,0 5 05 7 6 ,5 3 71 1 9 ,5 1 32 ,2 9 7 ,3 2 11 ,9 8 3 ,2 2 53 1 4 ,0 9 6
24BALANCE SHE E TBALANCE SHE E T
25Cash and cash equivalents 6,846,862 5,645,063 1,201,799 6,846,862 5,645,063 1,201,799Cash and cash equivalents6,846,8625,645,0631,201,7996,846,8625,645,0631,201,799
26Restricted cash 74,714 61,774 12,940 74,714 61,774 12,940Restricted cash74,71461,77412,94074,71461,77412,940
27Notes and accounts receivable 1,694,766 1,627,424 67,341 1,694,766 1,627,424 67,341Notes and accounts receivable1,694,7661,627,42467,3411,694,7661,627,42467,341
28Inventories 1,335,027 1,441,168 (106,141) 1,335,027 1,441,168 (106,141)Inventories1,335,0271,441,168(106,141)1,335,0271,441,168(106,141)
29Prepaid and others current assets 767,771 926,188 (158,417) 767,771 926,188 (158,417)Prepaid and others current assets767,771926,188(158,417)767,771926,188(158,417)
30T ota l Curre nt Asse ts 1 0 ,7 1 9 ,1 4 1 9 ,7 0 1 ,6 1 7 1 ,0 1 7 ,5 2 4 1 0 ,7 1 9 ,1 4 1 9 ,7 0 1 ,6 1 7 1 ,0 1 7 ,5 2 4T ota l Curre nt Asse ts1 0 ,7 1 9 ,1 4 19 ,7 0 1 ,6 1 71 ,0 1 7 ,5 2 41 0 ,7 1 9 ,1 4 19 ,7 0 1 ,6 1 71 ,0 1 7 ,5 2 4
31Property, plant and equipment, Net 18,075,874 17,005,944 1,069,930 18,075,874 17,005,944 1,069,930Property, plant and equipment, Net18,075,87417,005,9441,069,93018,075,87417,005,9441,069,930
32Leachable material, net 1,102,345 1,088,287 14,058 1,102,345 1,088,287 14,058Leachable material, net1,102,3451,088,28714,0581,102,3451,088,28714,058
33Other long term assets 1,990,287 1,694,311 295,976 1,990,287 1,694,311 295,976Other long term assets1,990,2871,694,311295,9761,990,2871,694,311295,976
34T ota l Asse ts 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8T ota l Asse ts3 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 83 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 8
35Lia b ilitie s a nd Stockhold e rs' E q uityLia b ilitie s a nd Stockhold e rs' E q uity
36Current - term debt 118,281 505,517 (387,236) 118,281 505,517 (387,236)Current - term debt118,281505,517(387,236)118,281505,517(387,236)
37Accumulated liabilities 1,847,941 1,603,881 244,060 1,847,941 1,603,881 244,060Accumulated liabilities1,847,9411,603,881244,0601,847,9411,603,881244,060
38Curre nt Lia b ilitie s 1 ,9 6 6 ,2 2 1 2 ,1 0 9 ,3 9 8 (1 4 3 ,1 7 6 ) 1 ,9 6 6 ,2 2 1 2 ,1 0 9 ,3 9 8 (1 4 3 ,1 7 6 )Curre nt Lia b ilitie s1 ,9 6 6 ,2 2 12 ,1 0 9 ,3 9 8(1 4 3 ,1 7 6 )1 ,9 6 6 ,2 2 12 ,1 0 9 ,3 9 8(1 4 3 ,1 7 6 )
39Long-term debt 8,600,732 8,202,126 398,607 8,600,732 8,202,126 398,607Long-term debt8,600,7328,202,126398,6078,600,7328,202,126398,607
40Other non-current liabilities 2,331,583 2,165,344 166,239 2,331,583 2,165,344 166,239Other non-current liabilities2,331,5832,165,344166,2392,331,5832,165,344166,239
41T ota l Lia b ilitie s 1 2 ,8 9 8 ,5 3 7 1 2 ,4 7 6 ,8 6 7 4 2 1 ,6 7 0 1 2 ,8 9 8 ,5 3 7 1 2 ,4 7 6 ,8 6 7 4 2 1 ,6 7 0T ota l Lia b ilitie s1 2 ,8 9 8 ,5 3 71 2 ,4 7 6 ,8 6 74 2 1 ,6 7 01 2 ,8 9 8 ,5 3 71 2 ,4 7 6 ,8 6 74 2 1 ,6 7 0
42Stockholders equity 2,003,496 2,003,496 - 2,003,496 2,003,496 -Stockholders equity2,003,4962,003,496-2,003,4962,003,496-
43Other equity accounts (2,514,455) (2,672,882) 158,427 (2,514,455) (2,672,882) 158,427Other equity accounts(2,514,455)(2,672,882)158,427(2,514,455)(2,672,882)158,427
44Retaining earnings 17,103,433 15,466,894 1,636,539 17,103,433 15,466,894 1,636,539Retaining earnings17,103,43315,466,8941,636,53917,103,43315,466,8941,636,539
45T ota l Stockhold e rs' e q uity 1 6 ,5 9 2 ,4 7 3 1 4 ,7 9 7 ,5 0 8 1 ,7 9 4 ,9 6 6 1 6 ,5 9 2 ,4 7 3 1 4 ,7 9 7 ,5 0 8 1 ,7 9 4 ,9 6 6T ota l Stockhold e rs' e q uity1 6 ,5 9 2 ,4 7 31 4 ,7 9 7 ,5 0 81 ,7 9 4 ,9 6 61 6 ,5 9 2 ,4 7 31 4 ,7 9 7 ,5 0 81 ,7 9 4 ,9 6 6
46Non-controlling interest. 2,396,636 2,215,784 180,852 2,396,636 2,215,784 180,852Non-controlling interest.2,396,6362,215,784180,8522,396,6362,215,784180,852
47T ota l Lia b ilitie s a nd E q uity 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8T ota l Lia b ilitie s a nd E q uity3 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 83 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 8
48- - - - - -------
49CASH FLOWCASH FLOW
50Ne t e a rnings 8 3 9 ,3 5 7 7 0 4 ,7 4 9 1 3 4 ,6 0 8 2 ,7 3 5 ,4 7 5 2 ,3 6 0 ,0 4 7 3 7 5 ,4 2 8Ne t e a rnings8 3 9 ,3 5 77 0 4 ,7 4 91 3 4 ,6 0 82 ,7 3 5 ,4 7 52 ,3 6 0 ,0 4 73 7 5 ,4 2 8
51Depreciation, amortization and depletion 396,561 340,318 56,243 1,141,889 1,035,183 106,706Depreciation, amortization and depletion396,561340,31856,2431,141,8891,035,183106,706
52Deferred income taxes (37,449) 6,648 (44,097) (32,340) 48,049 (80,389)Deferred income taxes(37,449)6,648(44,097)(32,340)48,049(80,389)
53Participation in subsidiary not consolidated and associated (5,171) 9,624 (14,795) (3,487) 5,239 (8,726)Participation in subsidiary not consolidated and associated(5,171)9,624(14,795)(3,487)5,239(8,726)
54Other Net (2,075) 23,237 (25,312) 34,516 105,984 (71,468)Other Net(2,075)23,237(25,312)34,516105,984(71,468)
55Changes in assets and liabilities 246,015 (307,770) 553,785 239,146 (1,040,996) 1,280,142Changes in assets and liabilities246,015(307,770)553,785239,146(1,040,996)1,280,142
56Ca sh ge ne ra te d b y op e ra ting a ctivitie s 1 ,4 3 7 ,2 3 8 7 7 6 ,8 0 6 6 6 0 ,4 3 2 4 ,1 1 5 ,1 9 9 2 ,5 1 3 ,5 0 6 1 ,6 0 1 ,6 9 3Ca sh ge ne ra te d b y op e ra ting a ctivitie s1 ,4 3 7 ,2 3 87 7 6 ,8 0 66 6 0 ,4 3 24 ,1 1 5 ,1 9 92 ,5 1 3 ,5 0 61 ,6 0 1 ,6 9 3
57Capital expenditures (412,430) (365,004) (47,426) (1,159,105) (1,031,337) (127,769)Capital expenditures(412,430)(365,004)(47,426)(1,159,105)(1,031,337)(127,769)
58Restricted cash (9,104) (8,766) (338) (42,822) (19,671) (23,151)Restricted cash(9,104)(8,766)(338)(42,822)(19,671)(23,151)
59Other - Net 22,079 180,611 (158,532) (143,980) 88,606 (232,586)Other - Net22,079180,611(158,532)(143,980)88,606(232,586)
60Ca sh use d in inve sting a ctivitie s (3 9 9 ,4 5 5 ) (1 9 3 ,1 5 9 ) (2 0 6 ,2 9 6 ) (1 ,3 4 5 ,9 0 7 ) (9 6 2 ,4 0 2 ) (3 8 3 ,5 0 5 )Ca sh use d in inve sting a ctivitie s(3 9 9 ,4 5 5 )(1 9 3 ,1 5 9 )(2 0 6 ,2 9 6 )(1 ,3 4 5 ,9 0 7 )(9 6 2 ,4 0 2 )(3 8 3 ,5 0 5 )
61Debt incurred 27,548 - 27,548 27,548 - 27,548Debt incurred27,548-27,54827,548-27,548
62Debt repaid (136,189) (77,500) (58,689) (161,091) (115,189) (45,902)Debt repaid(136,189)(77,500)(58,689)(161,091)(115,189)(45,902)

No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).

CF

Extracted metrics for this form (this period row)

MetricValue
Operating CF4 115.2
Investing CF-1 345.91
CF — PDF page 17
PDF page scan — CF — 17
CF PDF page 17

Camelot table (pages 17, primary page 17).

#Joined labelLine itemGRUP O MEXIC O, S.A.B. DE C .V. (…Quarters → Q3 -2 2Va ria nceColumn 5Ac c umulatedVa ria nce
0GRUP O MEXIC O, S.A.B. DE C .V. (GM)GRUP O MEXIC O, S.A.B. DE C .V. (GM)
1C ONSOLIDATED FINANC IAL STATEMENTS (US GAAP )C ONSOLIDATED FINANC IAL STATEMENTS (US GAAP )
2(Thousands of US Dollars) Quarters Ac c umulated(Thousands of US Dollars)QuartersAc c umulated
3ST AT E ME NT OF E AR NING S Q3 -2 3 Q3 -2 2 Va ria nce 2 0 2 3 2 0 2 2 Va ria nceST AT E ME NT OF E AR NING SQ3 -2 3Q3 -2 2Va ria nce2 0 2 32 0 2 2Va ria nce
4Ne t sa le s 3 ,6 4 7 ,2 9 6 3 ,1 1 5 ,4 2 3 5 3 1 ,8 7 3 1 0 ,9 6 2 ,9 5 3 1 0 ,0 8 2 ,6 4 2 8 8 0 ,3 1 1Ne t sa le s3 ,6 4 7 ,2 9 63 ,1 1 5 ,4 2 35 3 1 ,8 7 31 0 ,9 6 2 ,9 5 31 0 ,0 8 2 ,6 4 28 8 0 ,3 1 1
5Cost of sales 1,773,431 1,617,669 155,762 5,180,727 4,777,722 403,005Cost of sales1,773,4311,617,669155,7625,180,7274,777,722403,005
6Exploration 21,387 10,001 11,386 58,491 31,741 26,750Exploration21,38710,00111,38658,49131,74126,750
7G ross p rofit 1 ,8 5 2 ,4 7 8 1 ,4 8 7 ,7 5 3 3 6 4 ,7 2 5 5 ,7 2 3 ,7 3 5 5 ,2 7 3 ,1 7 9 4 5 0 ,5 5 7G ross p rofit1 ,8 5 2 ,4 7 81 ,4 8 7 ,7 5 33 6 4 ,7 2 55 ,7 2 3 ,7 3 55 ,2 7 3 ,1 7 94 5 0 ,5 5 7
8Gross margin 51% 52% 52%Gross margin51%52%52%
9Administrative expenses 82,923 68,939 13,984 247,338 211,481 35,857Administrative expenses82,92368,93913,984247,338211,48135,857
10E BIT DA 1 ,7 8 2 ,0 5 6 1 ,4 2 4 ,3 6 1 3 5 7 ,6 9 6 5 ,5 1 5 ,4 2 4 5 ,0 4 9 ,9 2 0 4 6 5 ,5 0 5E BIT DA1 ,7 8 2 ,0 5 61 ,4 2 4 ,3 6 13 5 7 ,6 9 65 ,5 1 5 ,4 2 45 ,0 4 9 ,9 2 04 6 5 ,5 0 5
11Depreciation, amortization and depletion 396,560 340,318 56,243 1,141,889 1,035,183 106,706Depreciation, amortization and depletion396,560340,31856,2431,141,8891,035,183106,706
12Op e ra ting income 1 ,3 7 2 ,9 9 5 1 ,0 7 8 ,4 9 7 2 9 4 ,4 9 8 4 ,3 3 4 ,5 0 8 4 ,0 2 6 ,5 1 5 3 0 7 ,9 9 4Op e ra ting income1 ,3 7 2 ,9 9 51 ,0 7 8 ,4 9 72 9 4 ,4 9 84 ,3 3 4 ,5 0 84 ,0 2 6 ,5 1 53 0 7 ,9 9 4
13Operating margin 38% 35% 40% 40%Operating margin38%35%40%40%
14Interest expense 144,082 134,871 9,211 418,074 403,981 14,093Interest expense144,082134,8719,211418,074403,98114,093
15Interest income (88,731) (32,649) (56,083) (241,296) (65,360) (175,937)Interest income(88,731)(32,649)(56,083)(241,296)(65,360)(175,937)
16(Gain) loss in investments - 4,844 (4,844) - (14,080) 14,080(Gain) loss in investments-4,844(4,844)-(14,080)14,080
17Other (income) expense, net (12,501) (5,547) (6,955) (39,027) 11,777 (50,805)Other (income) expense, net(12,501)(5,547)(6,955)(39,027)11,777(50,805)
18E a rnings b e fore T a x 1 ,3 3 0 ,1 4 5 9 7 6 ,9 7 6 3 5 3 ,1 6 9 4 ,1 9 6 ,7 5 8 3 ,6 9 0 ,1 9 6 5 0 6 ,5 6 2E a rnings b e fore T a x1 ,3 3 0 ,1 4 59 7 6 ,9 7 63 5 3 ,1 6 94 ,1 9 6 ,7 5 83 ,6 9 0 ,1 9 65 0 6 ,5 6 2
19Taxes 495,960 262,603 233,357 1,464,770 1,324,910 139,860Taxes495,960262,603233,3571,464,7701,324,910139,860
20Participation in subsidiary not consolidated and associated (5,171) 9,624 (14,795) (3,487) 5,239 (8,726)Participation in subsidiary not consolidated and associated(5,171)9,624(14,795)(3,487)5,239(8,726)
21Ne t E a rnings 8 3 9 ,3 5 6 7 0 4 ,7 4 9 1 3 4 ,6 0 7 2 ,7 3 5 ,4 7 5 2 ,3 6 0 ,0 4 7 3 7 5 ,4 2 8Ne t E a rnings8 3 9 ,3 5 67 0 4 ,7 4 91 3 4 ,6 0 72 ,7 3 5 ,4 7 52 ,3 6 0 ,0 4 73 7 5 ,4 2 8
22Net income attributable to the non-controlling interest 143,307 128,212 15,094 438,154 376,822 61,331Net income attributable to the non-controlling interest143,307128,21215,094438,154376,82261,331
23Ne t income a ttrib uta b le to G M 6 9 6 ,0 5 0 5 7 6 ,5 3 7 1 1 9 ,5 1 3 2 ,2 9 7 ,3 2 1 1 ,9 8 3 ,2 2 5 3 1 4 ,0 9 6Ne t income a ttrib uta b le to G M6 9 6 ,0 5 05 7 6 ,5 3 71 1 9 ,5 1 32 ,2 9 7 ,3 2 11 ,9 8 3 ,2 2 53 1 4 ,0 9 6
24BALANCE SHE E TBALANCE SHE E T
25Cash and cash equivalents 6,846,862 5,645,063 1,201,799 6,846,862 5,645,063 1,201,799Cash and cash equivalents6,846,8625,645,0631,201,7996,846,8625,645,0631,201,799
26Restricted cash 74,714 61,774 12,940 74,714 61,774 12,940Restricted cash74,71461,77412,94074,71461,77412,940
27Notes and accounts receivable 1,694,766 1,627,424 67,341 1,694,766 1,627,424 67,341Notes and accounts receivable1,694,7661,627,42467,3411,694,7661,627,42467,341
28Inventories 1,335,027 1,441,168 (106,141) 1,335,027 1,441,168 (106,141)Inventories1,335,0271,441,168(106,141)1,335,0271,441,168(106,141)
29Prepaid and others current assets 767,771 926,188 (158,417) 767,771 926,188 (158,417)Prepaid and others current assets767,771926,188(158,417)767,771926,188(158,417)
30T ota l Curre nt Asse ts 1 0 ,7 1 9 ,1 4 1 9 ,7 0 1 ,6 1 7 1 ,0 1 7 ,5 2 4 1 0 ,7 1 9 ,1 4 1 9 ,7 0 1 ,6 1 7 1 ,0 1 7 ,5 2 4T ota l Curre nt Asse ts1 0 ,7 1 9 ,1 4 19 ,7 0 1 ,6 1 71 ,0 1 7 ,5 2 41 0 ,7 1 9 ,1 4 19 ,7 0 1 ,6 1 71 ,0 1 7 ,5 2 4
31Property, plant and equipment, Net 18,075,874 17,005,944 1,069,930 18,075,874 17,005,944 1,069,930Property, plant and equipment, Net18,075,87417,005,9441,069,93018,075,87417,005,9441,069,930
32Leachable material, net 1,102,345 1,088,287 14,058 1,102,345 1,088,287 14,058Leachable material, net1,102,3451,088,28714,0581,102,3451,088,28714,058
33Other long term assets 1,990,287 1,694,311 295,976 1,990,287 1,694,311 295,976Other long term assets1,990,2871,694,311295,9761,990,2871,694,311295,976
34T ota l Asse ts 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8T ota l Asse ts3 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 83 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 8
35Lia b ilitie s a nd Stockhold e rs' E q uityLia b ilitie s a nd Stockhold e rs' E q uity
36Current - term debt 118,281 505,517 (387,236) 118,281 505,517 (387,236)Current - term debt118,281505,517(387,236)118,281505,517(387,236)
37Accumulated liabilities 1,847,941 1,603,881 244,060 1,847,941 1,603,881 244,060Accumulated liabilities1,847,9411,603,881244,0601,847,9411,603,881244,060
38Curre nt Lia b ilitie s 1 ,9 6 6 ,2 2 1 2 ,1 0 9 ,3 9 8 (1 4 3 ,1 7 6 ) 1 ,9 6 6 ,2 2 1 2 ,1 0 9 ,3 9 8 (1 4 3 ,1 7 6 )Curre nt Lia b ilitie s1 ,9 6 6 ,2 2 12 ,1 0 9 ,3 9 8(1 4 3 ,1 7 6 )1 ,9 6 6 ,2 2 12 ,1 0 9 ,3 9 8(1 4 3 ,1 7 6 )
39Long-term debt 8,600,732 8,202,126 398,607 8,600,732 8,202,126 398,607Long-term debt8,600,7328,202,126398,6078,600,7328,202,126398,607
40Other non-current liabilities 2,331,583 2,165,344 166,239 2,331,583 2,165,344 166,239Other non-current liabilities2,331,5832,165,344166,2392,331,5832,165,344166,239
41T ota l Lia b ilitie s 1 2 ,8 9 8 ,5 3 7 1 2 ,4 7 6 ,8 6 7 4 2 1 ,6 7 0 1 2 ,8 9 8 ,5 3 7 1 2 ,4 7 6 ,8 6 7 4 2 1 ,6 7 0T ota l Lia b ilitie s1 2 ,8 9 8 ,5 3 71 2 ,4 7 6 ,8 6 74 2 1 ,6 7 01 2 ,8 9 8 ,5 3 71 2 ,4 7 6 ,8 6 74 2 1 ,6 7 0
42Stockholders equity 2,003,496 2,003,496 - 2,003,496 2,003,496 -Stockholders equity2,003,4962,003,496-2,003,4962,003,496-
43Other equity accounts (2,514,455) (2,672,882) 158,427 (2,514,455) (2,672,882) 158,427Other equity accounts(2,514,455)(2,672,882)158,427(2,514,455)(2,672,882)158,427
44Retaining earnings 17,103,433 15,466,894 1,636,539 17,103,433 15,466,894 1,636,539Retaining earnings17,103,43315,466,8941,636,53917,103,43315,466,8941,636,539
45T ota l Stockhold e rs' e q uity 1 6 ,5 9 2 ,4 7 3 1 4 ,7 9 7 ,5 0 8 1 ,7 9 4 ,9 6 6 1 6 ,5 9 2 ,4 7 3 1 4 ,7 9 7 ,5 0 8 1 ,7 9 4 ,9 6 6T ota l Stockhold e rs' e q uity1 6 ,5 9 2 ,4 7 31 4 ,7 9 7 ,5 0 81 ,7 9 4 ,9 6 61 6 ,5 9 2 ,4 7 31 4 ,7 9 7 ,5 0 81 ,7 9 4 ,9 6 6
46Non-controlling interest. 2,396,636 2,215,784 180,852 2,396,636 2,215,784 180,852Non-controlling interest.2,396,6362,215,784180,8522,396,6362,215,784180,852
47T ota l Lia b ilitie s a nd E q uity 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8 3 1 ,8 8 7 ,6 4 7 2 9 ,4 9 0 ,1 5 9 2 ,3 9 7 ,4 8 8T ota l Lia b ilitie s a nd E q uity3 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 83 1 ,8 8 7 ,6 4 72 9 ,4 9 0 ,1 5 92 ,3 9 7 ,4 8 8
48- - - - - -------
49CASH FLOWCASH FLOW
50Ne t e a rnings 8 3 9 ,3 5 7 7 0 4 ,7 4 9 1 3 4 ,6 0 8 2 ,7 3 5 ,4 7 5 2 ,3 6 0 ,0 4 7 3 7 5 ,4 2 8Ne t e a rnings8 3 9 ,3 5 77 0 4 ,7 4 91 3 4 ,6 0 82 ,7 3 5 ,4 7 52 ,3 6 0 ,0 4 73 7 5 ,4 2 8
51Depreciation, amortization and depletion 396,561 340,318 56,243 1,141,889 1,035,183 106,706Depreciation, amortization and depletion396,561340,31856,2431,141,8891,035,183106,706
52Deferred income taxes (37,449) 6,648 (44,097) (32,340) 48,049 (80,389)Deferred income taxes(37,449)6,648(44,097)(32,340)48,049(80,389)
53Participation in subsidiary not consolidated and associated (5,171) 9,624 (14,795) (3,487) 5,239 (8,726)Participation in subsidiary not consolidated and associated(5,171)9,624(14,795)(3,487)5,239(8,726)
54Other Net (2,075) 23,237 (25,312) 34,516 105,984 (71,468)Other Net(2,075)23,237(25,312)34,516105,984(71,468)
55Changes in assets and liabilities 246,015 (307,770) 553,785 239,146 (1,040,996) 1,280,142Changes in assets and liabilities246,015(307,770)553,785239,146(1,040,996)1,280,142
56Ca sh ge ne ra te d b y op e ra ting a ctivitie s 1 ,4 3 7 ,2 3 8 7 7 6 ,8 0 6 6 6 0 ,4 3 2 4 ,1 1 5 ,1 9 9 2 ,5 1 3 ,5 0 6 1 ,6 0 1 ,6 9 3Ca sh ge ne ra te d b y op e ra ting a ctivitie s1 ,4 3 7 ,2 3 87 7 6 ,8 0 66 6 0 ,4 3 24 ,1 1 5 ,1 9 92 ,5 1 3 ,5 0 61 ,6 0 1 ,6 9 3
57Capital expenditures (412,430) (365,004) (47,426) (1,159,105) (1,031,337) (127,769)Capital expenditures(412,430)(365,004)(47,426)(1,159,105)(1,031,337)(127,769)
58Restricted cash (9,104) (8,766) (338) (42,822) (19,671) (23,151)Restricted cash(9,104)(8,766)(338)(42,822)(19,671)(23,151)
59Other - Net 22,079 180,611 (158,532) (143,980) 88,606 (232,586)Other - Net22,079180,611(158,532)(143,980)88,606(232,586)
60Ca sh use d in inve sting a ctivitie s (3 9 9 ,4 5 5 ) (1 9 3 ,1 5 9 ) (2 0 6 ,2 9 6 ) (1 ,3 4 5 ,9 0 7 ) (9 6 2 ,4 0 2 ) (3 8 3 ,5 0 5 )Ca sh use d in inve sting a ctivitie s(3 9 9 ,4 5 5 )(1 9 3 ,1 5 9 )(2 0 6 ,2 9 6 )(1 ,3 4 5 ,9 0 7 )(9 6 2 ,4 0 2 )(3 8 3 ,5 0 5 )
61Debt incurred 27,548 - 27,548 27,548 - 27,548Debt incurred27,548-27,54827,548-27,548
62Debt repaid (136,189) (77,500) (58,689) (161,091) (115,189) (45,902)Debt repaid(136,189)(77,500)(58,689)(161,091)(115,189)(45,902)

No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).

Formulas used