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/2023-12-31_Q4_RF_EN_2023_4Q.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 values use dashboard units where applicable; evidence is the stored snippet from the PDF text layer or OCR used during extraction.
| Metric | Value | Evidence / page extract |
|---|---|---|
| Revenue | 14 385.43 | Row: revenue (mln USD, batch apply) · dashboard=14,385.432 mln — [DeepSeek] revenue (mln USD, batch apply) |
| Operating profit | 5 460.85 | Row: operating_profit (mln USD, batch apply) · dashboard=5,460.845 mln — [DeepSeek] operating_profit (mln USD, batch apply) |
| D&A | 1 554.98 | Row: da (mln USD, batch apply) · dashboard=1,554.982 mln — [DeepSeek] da (mln USD, batch apply) |
| EBITDA | 7 015.83 | Row: ebitda (mln USD, batch apply) · dashboard=7,015.827 mln — [DeepSeek] ebitda (mln USD, batch apply) |
| Net profit | 2 916.64 | Row: net_profit (mln USD, batch apply) · dashboard=2,916.645 mln — [DeepSeek] net_profit (mln USD, batch apply) |
| Cash | 6 583.13 | Row: cash (mln USD, batch apply) · dashboard=6,583.133 mln — [DeepSeek] cash (mln USD, batch apply) |
| Debt short | 250.92 | Row: debt_short (mln USD, batch apply) · dashboard=250.923 mln — [DeepSeek] debt_short (mln USD, batch apply) |
| Debt long | 8 541.3 | Row: debt_long (mln USD, batch apply) · dashboard=8,541.295 mln — [DeepSeek] debt_long (mln USD, batch apply) |
| Net debt | 2 209.09 | Components: short debt 250.92 + long debt 8 541.3 + other financial liab. 0 + NCI 0 − cash 6 583.13 = net debt 2 209.09.Row: net_debt (mln USD, batch apply) · dashboard=2,209.085 mln — [DeepSeek] net_debt (mln USD, batch apply) |
| Operating CF | 5 112.97 | Row: operating_cash_flow (mln USD, batch apply) · dashboard=5,112.971 mln — [DeepSeek] operating_cash_flow (mln USD, batch apply) |
| Investing CF | -1 908.87 | Row: investing_cash_flow (mln USD, batch apply) · dashboard=-1,908.874 mln — [DeepSeek] investing_cash_flow (mln USD, batch apply) |
| Assets | 32 249.02 | Row: total_assets (mln USD, batch apply) · dashboard=32,249.018 mln — [DeepSeek] total_assets (mln USD, batch apply) |
| Equity | 16 772.42 | Row: total_equity (mln USD, batch apply) · dashboard=16,772.418 mln — [DeepSeek] total_equity (mln USD, batch apply) |
| ✓ | Balance sheet identity (A = L + E) | TA (32,249) ≈ TL (15,477) + TE (16,772); residual +0 within 1%. |
| ✓ | Net debt formula | net_debt 2,209 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 2,209. |
| ✓ | EBITDA = OP + D&A | EBITDA (7,016) ≈ OP (5,461) + D&A (1,555) = 7,016. |
| ✓ | Net profit vs operating profit | Net profit (2,917) sits within a plausible band vs operating profit (5,461). |
| ✓ | Cash ≤ total assets | Cash (6,583) ≤ total assets (32,249). |
| Form | Pages |
|---|---|
| P&L | 15 |
| BS | 15 |
| CF | 15 |
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).
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Revenue | 14 385.43 |
| Operating profit | 5 460.85 |
| EBITDA | 7 015.83 |
| Net profit | 2 916.64 |
| D&A | 1 554.98 |
| # | Joined label | Line item | CON SOLIDATED FIN AN CIAL STATEME… | GRUPO MEXICO, S.A.B. DE C.V . (GM… | Va ria nce | Column 5 | Ac c umulated | Va ria nce |
|---|---|---|---|---|---|---|---|---|
| 0 | GRUPO MEXICO, S.A.B. DE C.V . (GM) | GRUPO MEXICO, S.A.B. DE C.V . (GM) | ||||||
| 1 | CON SOLIDATED FIN AN CIAL STATEMEN TS (US GAAP) | CON SOLIDATED FIN AN CIAL STATEMEN TS (US GAAP) | ||||||
| 2 | (Thousands of US Dollars) Quarters Ac c umulated | (Thousands of US Dollars) | Quarters | Ac c umulated | ||||
| 3 | ST AT E ME NT OF E AR NING S Q4 -2 3 Q4 -2 2 Va ria nce 2 0 2 3 2 0 2 2 Va ria nce | ST AT E ME NT OF E AR NING S | Q4 -2 3 | Q4 -2 2 | Va ria nce | 2 0 2 3 | 2 0 2 2 | Va ria nce |
| 4 | Ne t sa le s 3 , 4 2 2 , 4 7 9 3 , 7 8 7 , 6 7 2 (3 6 5 , 1 9 3 ) 1 4 , 3 8 5 , 4 3 2 1 3 , 8 7 0 , 3 1 3 5 1 5 , 1 1 9 | Ne t sa le s | 3 , 4 2 2 , 4 7 9 | 3 , 7 8 7 , 6 7 2 | (3 6 5 , 1 9 3 ) | 1 4 , 3 8 5 , 4 3 2 | 1 3 , 8 7 0 , 3 1 3 | 5 1 5 , 1 1 9 |
| 5 | Cost of sales 1,771,421 1,667,297 104,124 6,952,148 6,445,020 507,128 | Cost of sales | 1,771,421 | 1,667,297 | 104,124 | 6,952,148 | 6,445,020 | 507,128 |
| 6 | Exploration 21,895 15,460 6,435 80,386 47,201 33,185 | Exploration | 21,895 | 15,460 | 6,435 | 80,386 | 47,201 | 33,185 |
| 7 | G ross p rofit 1 , 6 2 9 , 1 6 3 2 , 1 0 4 , 9 1 4 (4 7 5 , 7 5 2 ) 7 , 3 5 2 , 8 9 8 7 , 3 7 8 , 0 9 3 (2 5 , 1 9 5 ) | G ross p rofit | 1 , 6 2 9 , 1 6 3 | 2 , 1 0 4 , 9 1 4 | (4 7 5 , 7 5 2 ) | 7 , 3 5 2 , 8 9 8 | 7 , 3 7 8 , 0 9 3 | (2 5 , 1 9 5 ) |
| 8 | Gross margin 48% 51% 53% | Gross margin | 48% | 51% | 53% | |||
| 9 | Administrative expenses 89,733 85,045 4,688 337,071 296,526 40,545 | Administrative expenses | 89,733 | 85,045 | 4,688 | 337,071 | 296,526 | 40,545 |
| 10 | E BIT DA 1 , 5 2 5 , 9 2 7 2 , 0 8 9 , 0 2 4 (5 6 3 , 0 9 7 ) 7 , 0 4 1 , 3 5 1 7 , 1 3 8 , 9 4 4 (9 7 , 5 9 3 ) | E BIT DA | 1 , 5 2 5 , 9 2 7 | 2 , 0 8 9 , 0 2 4 | (5 6 3 , 0 9 7 ) | 7 , 0 4 1 , 3 5 1 | 7 , 1 3 8 , 9 4 4 | (9 7 , 5 9 3 ) |
| 11 | Depreciation, amortization and depletion 413,094 395,941 17,153 1,554,982 1,431,123 123,859 | Depreciation, amortization and depletion | 413,094 | 395,941 | 17,153 | 1,554,982 | 1,431,123 | 123,859 |
| 12 | Op e ra ting income 1 , 1 2 6 , 3 3 6 1 , 6 2 3 , 9 2 9 (4 9 7 , 5 9 3 ) 5 , 4 6 0 , 8 4 5 5 , 6 5 0 , 4 4 4 (1 8 9 , 5 9 9 ) | Op e ra ting income | 1 , 1 2 6 , 3 3 6 | 1 , 6 2 3 , 9 2 9 | (4 9 7 , 5 9 3 ) | 5 , 4 6 0 , 8 4 5 | 5 , 6 5 0 , 4 4 4 | (1 8 9 , 5 9 9 ) |
| 13 | Operating margin 33% 43% 38% 41% | Operating margin | 33% | 43% | 38% | 41% | ||
| 14 | Interest expense 145,679 132,099 13,580 563,753 536,080 27,673 | Interest expense | 145,679 | 132,099 | 13,580 | 563,753 | 536,080 | 27,673 |
| 15 | Interest income (87,320) (55,494) (31,826) (328,616) (120,854) (207,762) | Interest income | (87,320) | (55,494) | (31,826) | (328,616) | (120,854) | (207,762) |
| 16 | (Gain) loss in investments - (1,834) 1,834 - (15,914) 15,914 | (Gain) loss in investments | - | (1,834) | 1,834 | - | (15,914) | 15,914 |
| 17 | Other (income) expense, net 13,503 (69,154) 82,658 (25,524) (57,377) 31,853 | Other (income) expense, net | 13,503 | (69,154) | 82,658 | (25,524) | (57,377) | 31,853 |
| 18 | E a rnings b e fore T a x 1 , 0 5 4 , 4 7 4 1 , 6 1 8 , 3 1 3 (5 6 3 , 8 3 9 ) 5 , 2 5 1 , 2 3 2 5 , 3 0 8 , 5 0 9 (5 7 , 2 7 7 ) | E a rnings b e fore T a x | 1 , 0 5 4 , 4 7 4 | 1 , 6 1 8 , 3 1 3 | (5 6 3 , 8 3 9 ) | 5 , 2 5 1 , 2 3 2 | 5 , 3 0 8 , 5 0 9 | (5 7 , 2 7 7 ) |
| 19 | Taxes 337,989 568,306 (230,317) 1,802,759 1,893,216 (90,457) | Taxes | 337,989 | 568,306 | (230,317) | 1,802,759 | 1,893,216 | (90,457) |
| 20 | Participation in subsidiary not consolidated and associated (13,022) 1,466 (14,489) (16,509) 6,705 (23,214) | Participation in subsidiary not consolidated and associated | (13,022) | 1,466 | (14,489) | (16,509) | 6,705 | (23,214) |
| 21 | Ne t E a rnings 7 2 9 , 5 0 7 1 , 0 4 8 , 5 4 0 (3 1 9 , 0 3 3 ) 3 , 4 6 4 , 9 8 2 3 , 4 0 8 , 5 8 7 5 6 , 3 9 5 | Ne t E a rnings | 7 2 9 , 5 0 7 | 1 , 0 4 8 , 5 4 0 | (3 1 9 , 0 3 3 ) | 3 , 4 6 4 , 9 8 2 | 3 , 4 0 8 , 5 8 7 | 5 6 , 3 9 5 |
| 22 | Net income attributable to the non-controlling interest 110,184 176,235 (66,052) 548,337 553,058 (4,720) | Net income attributable to the non-controlling interest | 110,184 | 176,235 | (66,052) | 548,337 | 553,058 | (4,720) |
| 23 | Ne t income a ttrib uta b le to G M 6 1 9 , 3 2 4 8 7 2 , 3 0 5 (2 5 2 , 9 8 1 ) 2 , 9 1 6 , 6 4 5 2 , 8 5 5 , 5 3 0 6 1 , 1 1 5 | Ne t income a ttrib uta b le to G M | 6 1 9 , 3 2 4 | 8 7 2 , 3 0 5 | (2 5 2 , 9 8 1 ) | 2 , 9 1 6 , 6 4 5 | 2 , 8 5 5 , 5 3 0 | 6 1 , 1 1 5 |
| 24 | BALANCE SHE E T | BALANCE SHE E T | ||||||
| 25 | Cash and cash equivalents 6,583,133 6,002,639 580,494 6,583,133 6,002,639 580,494 | Cash and cash equivalents | 6,583,133 | 6,002,639 | 580,494 | 6,583,133 | 6,002,639 | 580,494 |
| 26 | Restricted cash 56,679 31,892 24,787 56,679 31,892 24,787 | Restricted cash | 56,679 | 31,892 | 24,787 | 56,679 | 31,892 | 24,787 |
| 27 | Notes and accounts receivable 1,708,181 1,923,103 (214,922) 1,708,181 1,923,103 (214,922) | Notes and accounts receivable | 1,708,181 | 1,923,103 | (214,922) | 1,708,181 | 1,923,103 | (214,922) |
| 28 | Inventories 1,387,745 1,396,686 (8,941) 1,387,745 1,396,686 (8,941) | Inventories | 1,387,745 | 1,396,686 | (8,941) | 1,387,745 | 1,396,686 | (8,941) |
| 29 | Prepaid and others current assets 937,637 744,653 192,985 937,637 744,653 192,985 | Prepaid and others current assets | 937,637 | 744,653 | 192,985 | 937,637 | 744,653 | 192,985 |
| 30 | T ota l Curre nt Asse ts 1 0 , 6 7 3 , 3 7 5 1 0 , 0 9 8 , 9 7 3 5 7 4 , 4 0 2 1 0 , 6 7 3 , 3 7 5 1 0 , 0 9 8 , 9 7 3 5 7 4 , 4 0 2 | T ota l Curre nt Asse ts | 1 0 , 6 7 3 , 3 7 5 | 1 0 , 0 9 8 , 9 7 3 | 5 7 4 , 4 0 2 | 1 0 , 6 7 3 , 3 7 5 | 1 0 , 0 9 8 , 9 7 3 | 5 7 4 , 4 0 2 |
| 31 | Property, plant and equipment, Net 18,259,095 17,228,004 1,031,091 18,259,095 17,228,004 1,031,091 | Property, plant and equipment, Net | 18,259,095 | 17,228,004 | 1,031,091 | 18,259,095 | 17,228,004 | 1,031,091 |
| 32 | Leachable material, net 1,134,462 1,077,392 57,070 1,134,462 1,077,392 57,070 | Leachable material, net | 1,134,462 | 1,077,392 | 57,070 | 1,134,462 | 1,077,392 | 57,070 |
| 33 | Other long term assets 2,182,086 1,929,872 252,213 2,182,086 1,929,872 252,213 | Other long term assets | 2,182,086 | 1,929,872 | 252,213 | 2,182,086 | 1,929,872 | 252,213 |
| 34 | T ota l Asse ts 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 | T ota l Asse ts | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 |
| 35 | Lia b ilitie s a nd Stockhold e rs' E q uity | Lia b ilitie s a nd Stockhold e rs' E q uity | ||||||
| 36 | Current - term debt 250,923 138,846 112,077 250,923 138,846 112,077 | Current - term debt | 250,923 | 138,846 | 112,077 | 250,923 | 138,846 | 112,077 |
| 37 | Accumulated liabilities 1,913,286 1,785,273 128,013 1,913,286 1,785,273 128,013 | Accumulated liabilities | 1,913,286 | 1,785,273 | 128,013 | 1,913,286 | 1,785,273 | 128,013 |
| 38 | Curre nt Lia b ilitie s 2 , 1 6 4 , 2 0 9 1 , 9 2 4 , 1 1 9 2 4 0 , 0 9 0 2 , 1 6 4 , 2 0 9 1 , 9 2 4 , 1 1 9 2 4 0 , 0 9 0 | Curre nt Lia b ilitie s | 2 , 1 6 4 , 2 0 9 | 1 , 9 2 4 , 1 1 9 | 2 4 0 , 0 9 0 | 2 , 1 6 4 , 2 0 9 | 1 , 9 2 4 , 1 1 9 | 2 4 0 , 0 9 0 |
| 39 | Long-term debt 8,541,295 8,257,527 283,768 8,541,295 8,257,527 283,768 | Long-term debt | 8,541,295 | 8,257,527 | 283,768 | 8,541,295 | 8,257,527 | 283,768 |
| 40 | Other non-current liabilities 2,388,799 2,365,825 22,974 2,388,799 2,365,825 22,974 | Other non-current liabilities | 2,388,799 | 2,365,825 | 22,974 | 2,388,799 | 2,365,825 | 22,974 |
| 41 | T ota l Lia b ilitie s 1 3 , 0 9 4 , 3 0 3 1 2 , 5 4 7 , 4 7 0 5 4 6 , 8 3 2 1 3 , 0 9 4 , 3 0 3 1 2 , 5 4 7 , 4 7 0 5 4 6 , 8 3 2 | T ota l Lia b ilitie s | 1 3 , 0 9 4 , 3 0 3 | 1 2 , 5 4 7 , 4 7 0 | 5 4 6 , 8 3 2 | 1 3 , 0 9 4 , 3 0 3 | 1 2 , 5 4 7 , 4 7 0 | 5 4 6 , 8 3 2 |
| 42 | Stockholders equity 2,003,496 2,003,496 - 2,003,496 2,003,496 - | Stockholders equity | 2,003,496 | 2,003,496 | - | 2,003,496 | 2,003,496 | - |
| 43 | Other equity accounts (2,500,657) (2,593,558) 92,900 (2,500,657) (2,593,558) 92,900 | Other equity accounts | (2,500,657) | (2,593,558) | 92,900 | (2,500,657) | (2,593,558) | 92,900 |
| 44 | Retaining earnings 17,269,579 16,037,739 1,231,840 17,269,579 16,037,739 1,231,840 | Retaining earnings | 17,269,579 | 16,037,739 | 1,231,840 | 17,269,579 | 16,037,739 | 1,231,840 |
| 45 | T ota l Stockhold e rs' e q uity 1 6 , 7 7 2 , 4 1 8 1 5 , 4 4 7 , 6 7 8 1 , 3 2 4 , 7 4 0 1 6 , 7 7 2 , 4 1 8 1 5 , 4 4 7 , 6 7 8 1 , 3 2 4 , 7 4 0 | T ota l Stockhold e rs' e q uity | 1 6 , 7 7 2 , 4 1 8 | 1 5 , 4 4 7 , 6 7 8 | 1 , 3 2 4 , 7 4 0 | 1 6 , 7 7 2 , 4 1 8 | 1 5 , 4 4 7 , 6 7 8 | 1 , 3 2 4 , 7 4 0 |
| 46 | Non-controlling interest. 2,382,297 2,339,094 43,204 2,382,297 2,339,094 43,204 | Non-controlling interest. | 2,382,297 | 2,339,094 | 43,204 | 2,382,297 | 2,339,094 | 43,204 |
| 47 | T ota l Lia b ilitie s a nd E q uity 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 | T ota l Lia b ilitie s a nd E q uity | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 |
| 48 | - - - - - - | - | - | - | - | - | - | |
| 49 | CASH FLOW | CASH FLOW | ||||||
| 50 | Ne t e a rnings 7 2 9 , 5 0 7 1 , 0 4 8 , 5 4 0 (3 1 9 , 0 3 3 ) 3 , 4 6 4 , 9 8 2 3 , 4 0 8 , 5 8 7 5 6 , 3 9 5 | Ne t e a rnings | 7 2 9 , 5 0 7 | 1 , 0 4 8 , 5 4 0 | (3 1 9 , 0 3 3 ) | 3 , 4 6 4 , 9 8 2 | 3 , 4 0 8 , 5 8 7 | 5 6 , 3 9 5 |
| 51 | Depreciation, amortization and depletion 413,093 395,940 17,153 1,554,982 1,431,123 123,859 | Depreciation, amortization and depletion | 413,093 | 395,940 | 17,153 | 1,554,982 | 1,431,123 | 123,859 |
| 52 | Deferred income taxes (94,889) 116,356 (211,245) (127,229) 164,405 (291,634) | Deferred income taxes | (94,889) | 116,356 | (211,245) | (127,229) | 164,405 | (291,634) |
| 53 | Participation in subsidiary not consolidated and associated (13,022) 1,466 (14,488) (16,509) 6,705 (23,214) | Participation in subsidiary not consolidated and associated | (13,022) | 1,466 | (14,488) | (16,509) | 6,705 | (23,214) |
| 54 | Other Net 67,643 (1,678) 69,321 102,159 104,306 (2,147) | Other Net | 67,643 | (1,678) | 69,321 | 102,159 | 104,306 | (2,147) |
| 55 | Changes in assets and liabilities (97,988) 60,825 (158,813) 134,586 (984,402) 1,118,988 | Changes in assets and liabilities | (97,988) | 60,825 | (158,813) | 134,586 | (984,402) | 1,118,988 |
| 56 | Ca sh ge ne ra te d b y op e ra ting a ctivitie s 1 , 0 0 4 , 3 4 4 1 , 6 2 1 , 4 4 9 (6 1 7 , 1 0 5 ) 5 , 1 1 2 , 9 7 1 4 , 1 3 0 , 7 2 4 9 8 2 , 2 4 7 | Ca sh ge ne ra te d b y op e ra ting a ctivitie s | 1 , 0 0 4 , 3 4 4 | 1 , 6 2 1 , 4 4 9 | (6 1 7 , 1 0 5 ) | 5 , 1 1 2 , 9 7 1 | 4 , 1 3 0 , 7 2 4 | 9 8 2 , 2 4 7 |
| 57 | Capital expenditures (474,017) (511,026) 37,010 (1,633,121) (1,542,361) (90,760) | Capital expenditures | (474,017) | (511,026) | 37,010 | (1,633,121) | (1,542,361) | (90,760) |
| 58 | Restricted cash 18,035 29,882 (11,847) (24,787) 10,211 (34,998) | Restricted cash | 18,035 | 29,882 | (11,847) | (24,787) | 10,211 | (34,998) |
| 59 | Other - Net (106,986) 29,077 (136,063) (250,965) 117,683 (368,649) | Other - Net | (106,986) | 29,077 | (136,063) | (250,965) | 117,683 | (368,649) |
| 60 | Ca sh use d in inve sting a ctivitie s (5 6 2 , 9 6 8 ) (4 5 2 , 0 6 7 ) (1 1 0 , 9 0 0 ) (1 , 9 0 8 , 8 7 4 ) (1 , 4 1 4 , 4 6 7 ) (4 9 4 , 4 0 7 ) | Ca sh use d in inve sting a ctivitie s | (5 6 2 , 9 6 8 ) | (4 5 2 , 0 6 7 ) | (1 1 0 , 9 0 0 ) | (1 , 9 0 8 , 8 7 4 ) | (1 , 4 1 4 , 4 6 7 ) | (4 9 4 , 4 0 7 ) |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Cash | 6 583.13 |
| Debt Short | 250.92 |
| Debt Long | 8 541.3 |
| Assets | 32 249.02 |
| Equity | 16 772.42 |
| Net debt | 2 209.09 |
| # | Joined label | Line item | CON SOLIDATED FIN AN CIAL STATEME… | GRUPO MEXICO, S.A.B. DE C.V . (GM… | Va ria nce | Column 5 | Ac c umulated | Va ria nce |
|---|---|---|---|---|---|---|---|---|
| 0 | GRUPO MEXICO, S.A.B. DE C.V . (GM) | GRUPO MEXICO, S.A.B. DE C.V . (GM) | ||||||
| 1 | CON SOLIDATED FIN AN CIAL STATEMEN TS (US GAAP) | CON SOLIDATED FIN AN CIAL STATEMEN TS (US GAAP) | ||||||
| 2 | (Thousands of US Dollars) Quarters Ac c umulated | (Thousands of US Dollars) | Quarters | Ac c umulated | ||||
| 3 | ST AT E ME NT OF E AR NING S Q4 -2 3 Q4 -2 2 Va ria nce 2 0 2 3 2 0 2 2 Va ria nce | ST AT E ME NT OF E AR NING S | Q4 -2 3 | Q4 -2 2 | Va ria nce | 2 0 2 3 | 2 0 2 2 | Va ria nce |
| 4 | Ne t sa le s 3 , 4 2 2 , 4 7 9 3 , 7 8 7 , 6 7 2 (3 6 5 , 1 9 3 ) 1 4 , 3 8 5 , 4 3 2 1 3 , 8 7 0 , 3 1 3 5 1 5 , 1 1 9 | Ne t sa le s | 3 , 4 2 2 , 4 7 9 | 3 , 7 8 7 , 6 7 2 | (3 6 5 , 1 9 3 ) | 1 4 , 3 8 5 , 4 3 2 | 1 3 , 8 7 0 , 3 1 3 | 5 1 5 , 1 1 9 |
| 5 | Cost of sales 1,771,421 1,667,297 104,124 6,952,148 6,445,020 507,128 | Cost of sales | 1,771,421 | 1,667,297 | 104,124 | 6,952,148 | 6,445,020 | 507,128 |
| 6 | Exploration 21,895 15,460 6,435 80,386 47,201 33,185 | Exploration | 21,895 | 15,460 | 6,435 | 80,386 | 47,201 | 33,185 |
| 7 | G ross p rofit 1 , 6 2 9 , 1 6 3 2 , 1 0 4 , 9 1 4 (4 7 5 , 7 5 2 ) 7 , 3 5 2 , 8 9 8 7 , 3 7 8 , 0 9 3 (2 5 , 1 9 5 ) | G ross p rofit | 1 , 6 2 9 , 1 6 3 | 2 , 1 0 4 , 9 1 4 | (4 7 5 , 7 5 2 ) | 7 , 3 5 2 , 8 9 8 | 7 , 3 7 8 , 0 9 3 | (2 5 , 1 9 5 ) |
| 8 | Gross margin 48% 51% 53% | Gross margin | 48% | 51% | 53% | |||
| 9 | Administrative expenses 89,733 85,045 4,688 337,071 296,526 40,545 | Administrative expenses | 89,733 | 85,045 | 4,688 | 337,071 | 296,526 | 40,545 |
| 10 | E BIT DA 1 , 5 2 5 , 9 2 7 2 , 0 8 9 , 0 2 4 (5 6 3 , 0 9 7 ) 7 , 0 4 1 , 3 5 1 7 , 1 3 8 , 9 4 4 (9 7 , 5 9 3 ) | E BIT DA | 1 , 5 2 5 , 9 2 7 | 2 , 0 8 9 , 0 2 4 | (5 6 3 , 0 9 7 ) | 7 , 0 4 1 , 3 5 1 | 7 , 1 3 8 , 9 4 4 | (9 7 , 5 9 3 ) |
| 11 | Depreciation, amortization and depletion 413,094 395,941 17,153 1,554,982 1,431,123 123,859 | Depreciation, amortization and depletion | 413,094 | 395,941 | 17,153 | 1,554,982 | 1,431,123 | 123,859 |
| 12 | Op e ra ting income 1 , 1 2 6 , 3 3 6 1 , 6 2 3 , 9 2 9 (4 9 7 , 5 9 3 ) 5 , 4 6 0 , 8 4 5 5 , 6 5 0 , 4 4 4 (1 8 9 , 5 9 9 ) | Op e ra ting income | 1 , 1 2 6 , 3 3 6 | 1 , 6 2 3 , 9 2 9 | (4 9 7 , 5 9 3 ) | 5 , 4 6 0 , 8 4 5 | 5 , 6 5 0 , 4 4 4 | (1 8 9 , 5 9 9 ) |
| 13 | Operating margin 33% 43% 38% 41% | Operating margin | 33% | 43% | 38% | 41% | ||
| 14 | Interest expense 145,679 132,099 13,580 563,753 536,080 27,673 | Interest expense | 145,679 | 132,099 | 13,580 | 563,753 | 536,080 | 27,673 |
| 15 | Interest income (87,320) (55,494) (31,826) (328,616) (120,854) (207,762) | Interest income | (87,320) | (55,494) | (31,826) | (328,616) | (120,854) | (207,762) |
| 16 | (Gain) loss in investments - (1,834) 1,834 - (15,914) 15,914 | (Gain) loss in investments | - | (1,834) | 1,834 | - | (15,914) | 15,914 |
| 17 | Other (income) expense, net 13,503 (69,154) 82,658 (25,524) (57,377) 31,853 | Other (income) expense, net | 13,503 | (69,154) | 82,658 | (25,524) | (57,377) | 31,853 |
| 18 | E a rnings b e fore T a x 1 , 0 5 4 , 4 7 4 1 , 6 1 8 , 3 1 3 (5 6 3 , 8 3 9 ) 5 , 2 5 1 , 2 3 2 5 , 3 0 8 , 5 0 9 (5 7 , 2 7 7 ) | E a rnings b e fore T a x | 1 , 0 5 4 , 4 7 4 | 1 , 6 1 8 , 3 1 3 | (5 6 3 , 8 3 9 ) | 5 , 2 5 1 , 2 3 2 | 5 , 3 0 8 , 5 0 9 | (5 7 , 2 7 7 ) |
| 19 | Taxes 337,989 568,306 (230,317) 1,802,759 1,893,216 (90,457) | Taxes | 337,989 | 568,306 | (230,317) | 1,802,759 | 1,893,216 | (90,457) |
| 20 | Participation in subsidiary not consolidated and associated (13,022) 1,466 (14,489) (16,509) 6,705 (23,214) | Participation in subsidiary not consolidated and associated | (13,022) | 1,466 | (14,489) | (16,509) | 6,705 | (23,214) |
| 21 | Ne t E a rnings 7 2 9 , 5 0 7 1 , 0 4 8 , 5 4 0 (3 1 9 , 0 3 3 ) 3 , 4 6 4 , 9 8 2 3 , 4 0 8 , 5 8 7 5 6 , 3 9 5 | Ne t E a rnings | 7 2 9 , 5 0 7 | 1 , 0 4 8 , 5 4 0 | (3 1 9 , 0 3 3 ) | 3 , 4 6 4 , 9 8 2 | 3 , 4 0 8 , 5 8 7 | 5 6 , 3 9 5 |
| 22 | Net income attributable to the non-controlling interest 110,184 176,235 (66,052) 548,337 553,058 (4,720) | Net income attributable to the non-controlling interest | 110,184 | 176,235 | (66,052) | 548,337 | 553,058 | (4,720) |
| 23 | Ne t income a ttrib uta b le to G M 6 1 9 , 3 2 4 8 7 2 , 3 0 5 (2 5 2 , 9 8 1 ) 2 , 9 1 6 , 6 4 5 2 , 8 5 5 , 5 3 0 6 1 , 1 1 5 | Ne t income a ttrib uta b le to G M | 6 1 9 , 3 2 4 | 8 7 2 , 3 0 5 | (2 5 2 , 9 8 1 ) | 2 , 9 1 6 , 6 4 5 | 2 , 8 5 5 , 5 3 0 | 6 1 , 1 1 5 |
| 24 | BALANCE SHE E T | BALANCE SHE E T | ||||||
| 25 | Cash and cash equivalents 6,583,133 6,002,639 580,494 6,583,133 6,002,639 580,494 | Cash and cash equivalents | 6,583,133 | 6,002,639 | 580,494 | 6,583,133 | 6,002,639 | 580,494 |
| 26 | Restricted cash 56,679 31,892 24,787 56,679 31,892 24,787 | Restricted cash | 56,679 | 31,892 | 24,787 | 56,679 | 31,892 | 24,787 |
| 27 | Notes and accounts receivable 1,708,181 1,923,103 (214,922) 1,708,181 1,923,103 (214,922) | Notes and accounts receivable | 1,708,181 | 1,923,103 | (214,922) | 1,708,181 | 1,923,103 | (214,922) |
| 28 | Inventories 1,387,745 1,396,686 (8,941) 1,387,745 1,396,686 (8,941) | Inventories | 1,387,745 | 1,396,686 | (8,941) | 1,387,745 | 1,396,686 | (8,941) |
| 29 | Prepaid and others current assets 937,637 744,653 192,985 937,637 744,653 192,985 | Prepaid and others current assets | 937,637 | 744,653 | 192,985 | 937,637 | 744,653 | 192,985 |
| 30 | T ota l Curre nt Asse ts 1 0 , 6 7 3 , 3 7 5 1 0 , 0 9 8 , 9 7 3 5 7 4 , 4 0 2 1 0 , 6 7 3 , 3 7 5 1 0 , 0 9 8 , 9 7 3 5 7 4 , 4 0 2 | T ota l Curre nt Asse ts | 1 0 , 6 7 3 , 3 7 5 | 1 0 , 0 9 8 , 9 7 3 | 5 7 4 , 4 0 2 | 1 0 , 6 7 3 , 3 7 5 | 1 0 , 0 9 8 , 9 7 3 | 5 7 4 , 4 0 2 |
| 31 | Property, plant and equipment, Net 18,259,095 17,228,004 1,031,091 18,259,095 17,228,004 1,031,091 | Property, plant and equipment, Net | 18,259,095 | 17,228,004 | 1,031,091 | 18,259,095 | 17,228,004 | 1,031,091 |
| 32 | Leachable material, net 1,134,462 1,077,392 57,070 1,134,462 1,077,392 57,070 | Leachable material, net | 1,134,462 | 1,077,392 | 57,070 | 1,134,462 | 1,077,392 | 57,070 |
| 33 | Other long term assets 2,182,086 1,929,872 252,213 2,182,086 1,929,872 252,213 | Other long term assets | 2,182,086 | 1,929,872 | 252,213 | 2,182,086 | 1,929,872 | 252,213 |
| 34 | T ota l Asse ts 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 | T ota l Asse ts | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 |
| 35 | Lia b ilitie s a nd Stockhold e rs' E q uity | Lia b ilitie s a nd Stockhold e rs' E q uity | ||||||
| 36 | Current - term debt 250,923 138,846 112,077 250,923 138,846 112,077 | Current - term debt | 250,923 | 138,846 | 112,077 | 250,923 | 138,846 | 112,077 |
| 37 | Accumulated liabilities 1,913,286 1,785,273 128,013 1,913,286 1,785,273 128,013 | Accumulated liabilities | 1,913,286 | 1,785,273 | 128,013 | 1,913,286 | 1,785,273 | 128,013 |
| 38 | Curre nt Lia b ilitie s 2 , 1 6 4 , 2 0 9 1 , 9 2 4 , 1 1 9 2 4 0 , 0 9 0 2 , 1 6 4 , 2 0 9 1 , 9 2 4 , 1 1 9 2 4 0 , 0 9 0 | Curre nt Lia b ilitie s | 2 , 1 6 4 , 2 0 9 | 1 , 9 2 4 , 1 1 9 | 2 4 0 , 0 9 0 | 2 , 1 6 4 , 2 0 9 | 1 , 9 2 4 , 1 1 9 | 2 4 0 , 0 9 0 |
| 39 | Long-term debt 8,541,295 8,257,527 283,768 8,541,295 8,257,527 283,768 | Long-term debt | 8,541,295 | 8,257,527 | 283,768 | 8,541,295 | 8,257,527 | 283,768 |
| 40 | Other non-current liabilities 2,388,799 2,365,825 22,974 2,388,799 2,365,825 22,974 | Other non-current liabilities | 2,388,799 | 2,365,825 | 22,974 | 2,388,799 | 2,365,825 | 22,974 |
| 41 | T ota l Lia b ilitie s 1 3 , 0 9 4 , 3 0 3 1 2 , 5 4 7 , 4 7 0 5 4 6 , 8 3 2 1 3 , 0 9 4 , 3 0 3 1 2 , 5 4 7 , 4 7 0 5 4 6 , 8 3 2 | T ota l Lia b ilitie s | 1 3 , 0 9 4 , 3 0 3 | 1 2 , 5 4 7 , 4 7 0 | 5 4 6 , 8 3 2 | 1 3 , 0 9 4 , 3 0 3 | 1 2 , 5 4 7 , 4 7 0 | 5 4 6 , 8 3 2 |
| 42 | Stockholders equity 2,003,496 2,003,496 - 2,003,496 2,003,496 - | Stockholders equity | 2,003,496 | 2,003,496 | - | 2,003,496 | 2,003,496 | - |
| 43 | Other equity accounts (2,500,657) (2,593,558) 92,900 (2,500,657) (2,593,558) 92,900 | Other equity accounts | (2,500,657) | (2,593,558) | 92,900 | (2,500,657) | (2,593,558) | 92,900 |
| 44 | Retaining earnings 17,269,579 16,037,739 1,231,840 17,269,579 16,037,739 1,231,840 | Retaining earnings | 17,269,579 | 16,037,739 | 1,231,840 | 17,269,579 | 16,037,739 | 1,231,840 |
| 45 | T ota l Stockhold e rs' e q uity 1 6 , 7 7 2 , 4 1 8 1 5 , 4 4 7 , 6 7 8 1 , 3 2 4 , 7 4 0 1 6 , 7 7 2 , 4 1 8 1 5 , 4 4 7 , 6 7 8 1 , 3 2 4 , 7 4 0 | T ota l Stockhold e rs' e q uity | 1 6 , 7 7 2 , 4 1 8 | 1 5 , 4 4 7 , 6 7 8 | 1 , 3 2 4 , 7 4 0 | 1 6 , 7 7 2 , 4 1 8 | 1 5 , 4 4 7 , 6 7 8 | 1 , 3 2 4 , 7 4 0 |
| 46 | Non-controlling interest. 2,382,297 2,339,094 43,204 2,382,297 2,339,094 43,204 | Non-controlling interest. | 2,382,297 | 2,339,094 | 43,204 | 2,382,297 | 2,339,094 | 43,204 |
| 47 | T ota l Lia b ilitie s a nd E q uity 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 | T ota l Lia b ilitie s a nd E q uity | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 |
| 48 | - - - - - - | - | - | - | - | - | - | |
| 49 | CASH FLOW | CASH FLOW | ||||||
| 50 | Ne t e a rnings 7 2 9 , 5 0 7 1 , 0 4 8 , 5 4 0 (3 1 9 , 0 3 3 ) 3 , 4 6 4 , 9 8 2 3 , 4 0 8 , 5 8 7 5 6 , 3 9 5 | Ne t e a rnings | 7 2 9 , 5 0 7 | 1 , 0 4 8 , 5 4 0 | (3 1 9 , 0 3 3 ) | 3 , 4 6 4 , 9 8 2 | 3 , 4 0 8 , 5 8 7 | 5 6 , 3 9 5 |
| 51 | Depreciation, amortization and depletion 413,093 395,940 17,153 1,554,982 1,431,123 123,859 | Depreciation, amortization and depletion | 413,093 | 395,940 | 17,153 | 1,554,982 | 1,431,123 | 123,859 |
| 52 | Deferred income taxes (94,889) 116,356 (211,245) (127,229) 164,405 (291,634) | Deferred income taxes | (94,889) | 116,356 | (211,245) | (127,229) | 164,405 | (291,634) |
| 53 | Participation in subsidiary not consolidated and associated (13,022) 1,466 (14,488) (16,509) 6,705 (23,214) | Participation in subsidiary not consolidated and associated | (13,022) | 1,466 | (14,488) | (16,509) | 6,705 | (23,214) |
| 54 | Other Net 67,643 (1,678) 69,321 102,159 104,306 (2,147) | Other Net | 67,643 | (1,678) | 69,321 | 102,159 | 104,306 | (2,147) |
| 55 | Changes in assets and liabilities (97,988) 60,825 (158,813) 134,586 (984,402) 1,118,988 | Changes in assets and liabilities | (97,988) | 60,825 | (158,813) | 134,586 | (984,402) | 1,118,988 |
| 56 | Ca sh ge ne ra te d b y op e ra ting a ctivitie s 1 , 0 0 4 , 3 4 4 1 , 6 2 1 , 4 4 9 (6 1 7 , 1 0 5 ) 5 , 1 1 2 , 9 7 1 4 , 1 3 0 , 7 2 4 9 8 2 , 2 4 7 | Ca sh ge ne ra te d b y op e ra ting a ctivitie s | 1 , 0 0 4 , 3 4 4 | 1 , 6 2 1 , 4 4 9 | (6 1 7 , 1 0 5 ) | 5 , 1 1 2 , 9 7 1 | 4 , 1 3 0 , 7 2 4 | 9 8 2 , 2 4 7 |
| 57 | Capital expenditures (474,017) (511,026) 37,010 (1,633,121) (1,542,361) (90,760) | Capital expenditures | (474,017) | (511,026) | 37,010 | (1,633,121) | (1,542,361) | (90,760) |
| 58 | Restricted cash 18,035 29,882 (11,847) (24,787) 10,211 (34,998) | Restricted cash | 18,035 | 29,882 | (11,847) | (24,787) | 10,211 | (34,998) |
| 59 | Other - Net (106,986) 29,077 (136,063) (250,965) 117,683 (368,649) | Other - Net | (106,986) | 29,077 | (136,063) | (250,965) | 117,683 | (368,649) |
| 60 | Ca sh use d in inve sting a ctivitie s (5 6 2 , 9 6 8 ) (4 5 2 , 0 6 7 ) (1 1 0 , 9 0 0 ) (1 , 9 0 8 , 8 7 4 ) (1 , 4 1 4 , 4 6 7 ) (4 9 4 , 4 0 7 ) | Ca sh use d in inve sting a ctivitie s | (5 6 2 , 9 6 8 ) | (4 5 2 , 0 6 7 ) | (1 1 0 , 9 0 0 ) | (1 , 9 0 8 , 8 7 4 ) | (1 , 4 1 4 , 4 6 7 ) | (4 9 4 , 4 0 7 ) |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Operating CF | 5 112.97 |
| Investing CF | -1 908.87 |
| # | Joined label | Line item | Q4 -2 3 | Quarters → Q4 -2 2 | Va ria nce | Column 5 | Ac c umulated | Va ria nce |
|---|---|---|---|---|---|---|---|---|
| 0 | (Thousands of US Dollars) Quarters Ac c umulated | (Thousands of US Dollars) | Quarters | Ac c umulated | ||||
| 1 | ST AT E ME NT OF E AR NING S Q4 -2 3 Q4 -2 2 Va ria nce 2 0 2 3 2 0 2 2 Va ria nce | ST AT E ME NT OF E AR NING S | Q4 -2 3 | Q4 -2 2 | Va ria nce | 2 0 2 3 | 2 0 2 2 | Va ria nce |
| 2 | Ne t sa le s 3 , 4 2 2 , 4 7 9 3 , 7 8 7 , 6 7 2 (3 6 5 , 1 9 3 ) 1 4 , 3 8 5 , 4 3 2 1 3 , 8 7 0 , 3 1 3 5 1 5 , 1 1 9 | Ne t sa le s | 3 , 4 2 2 , 4 7 9 | 3 , 7 8 7 , 6 7 2 | (3 6 5 , 1 9 3 ) | 1 4 , 3 8 5 , 4 3 2 | 1 3 , 8 7 0 , 3 1 3 | 5 1 5 , 1 1 9 |
| 3 | Cost of sales 1,771,421 1,667,297 104,124 6,952,148 6,445,020 507,128 | Cost of sales | 1,771,421 | 1,667,297 | 104,124 | 6,952,148 | 6,445,020 | 507,128 |
| 4 | Exploration 21,895 15,460 6,435 80,386 47,201 33,185 | Exploration | 21,895 | 15,460 | 6,435 | 80,386 | 47,201 | 33,185 |
| 5 | G ross p rofit 1 , 6 2 9 , 1 6 3 2 , 1 0 4 , 9 1 4 (4 7 5 , 7 5 2 ) 7 , 3 5 2 , 8 9 8 7 , 3 7 8 , 0 9 3 (2 5 , 1 9 5 ) | G ross p rofit | 1 , 6 2 9 , 1 6 3 | 2 , 1 0 4 , 9 1 4 | (4 7 5 , 7 5 2 ) | 7 , 3 5 2 , 8 9 8 | 7 , 3 7 8 , 0 9 3 | (2 5 , 1 9 5 ) |
| 6 | Gross margin 48% 51% 53% | Gross margin | 48% | 51% | 53% | |||
| 7 | Administrative expenses 89,733 85,045 4,688 337,071 296,526 40,545 | Administrative expenses | 89,733 | 85,045 | 4,688 | 337,071 | 296,526 | 40,545 |
| 8 | E BIT DA 1 , 5 2 5 , 9 2 7 2 , 0 8 9 , 0 2 4 (5 6 3 , 0 9 7 ) 7 , 0 4 1 , 3 5 1 7 , 1 3 8 , 9 4 4 (9 7 , 5 9 3 ) | E BIT DA | 1 , 5 2 5 , 9 2 7 | 2 , 0 8 9 , 0 2 4 | (5 6 3 , 0 9 7 ) | 7 , 0 4 1 , 3 5 1 | 7 , 1 3 8 , 9 4 4 | (9 7 , 5 9 3 ) |
| 9 | Depreciation, amortization and depletion 413,094 395,941 17,153 1,554,982 1,431,123 123,859 | Depreciation, amortization and depletion | 413,094 | 395,941 | 17,153 | 1,554,982 | 1,431,123 | 123,859 |
| 10 | Op e ra ting income 1 , 1 2 6 , 3 3 6 1 , 6 2 3 , 9 2 9 (4 9 7 , 5 9 3 ) 5 , 4 6 0 , 8 4 5 5 , 6 5 0 , 4 4 4 (1 8 9 , 5 9 9 ) | Op e ra ting income | 1 , 1 2 6 , 3 3 6 | 1 , 6 2 3 , 9 2 9 | (4 9 7 , 5 9 3 ) | 5 , 4 6 0 , 8 4 5 | 5 , 6 5 0 , 4 4 4 | (1 8 9 , 5 9 9 ) |
| 11 | Operating margin 33% 43% 38% 41% | Operating margin | 33% | 43% | 38% | 41% | ||
| 12 | Interest expense 145,679 132,099 13,580 563,753 536,080 27,673 | Interest expense | 145,679 | 132,099 | 13,580 | 563,753 | 536,080 | 27,673 |
| 13 | Interest income (87,320) (55,494) (31,826) (328,616) (120,854) (207,762) | Interest income | (87,320) | (55,494) | (31,826) | (328,616) | (120,854) | (207,762) |
| 14 | (Gain) loss in investments - (1,834) 1,834 - (15,914) 15,914 | (Gain) loss in investments | - | (1,834) | 1,834 | - | (15,914) | 15,914 |
| 15 | Other (income) expense, net 13,503 (69,154) 82,658 (25,524) (57,377) 31,853 | Other (income) expense, net | 13,503 | (69,154) | 82,658 | (25,524) | (57,377) | 31,853 |
| 16 | E a rnings b e fore T a x 1 , 0 5 4 , 4 7 4 1 , 6 1 8 , 3 1 3 (5 6 3 , 8 3 9 ) 5 , 2 5 1 , 2 3 2 5 , 3 0 8 , 5 0 9 (5 7 , 2 7 7 ) | E a rnings b e fore T a x | 1 , 0 5 4 , 4 7 4 | 1 , 6 1 8 , 3 1 3 | (5 6 3 , 8 3 9 ) | 5 , 2 5 1 , 2 3 2 | 5 , 3 0 8 , 5 0 9 | (5 7 , 2 7 7 ) |
| 17 | Taxes 337,989 568,306 (230,317) 1,802,759 1,893,216 (90,457) | Taxes | 337,989 | 568,306 | (230,317) | 1,802,759 | 1,893,216 | (90,457) |
| 18 | Participation in subsidiary not consolidated and associated (13,022) 1,466 (14,489) (16,509) 6,705 (23,214) | Participation in subsidiary not consolidated and associated | (13,022) | 1,466 | (14,489) | (16,509) | 6,705 | (23,214) |
| 19 | Ne t E a rnings 7 2 9 , 5 0 7 1 , 0 4 8 , 5 4 0 (3 1 9 , 0 3 3 ) 3 , 4 6 4 , 9 8 2 3 , 4 0 8 , 5 8 7 5 6 , 3 9 5 | Ne t E a rnings | 7 2 9 , 5 0 7 | 1 , 0 4 8 , 5 4 0 | (3 1 9 , 0 3 3 ) | 3 , 4 6 4 , 9 8 2 | 3 , 4 0 8 , 5 8 7 | 5 6 , 3 9 5 |
| 20 | Net income attributable to the non-controlling interest 110,184 176,235 (66,052) 548,337 553,058 (4,720) | Net income attributable to the non-controlling interest | 110,184 | 176,235 | (66,052) | 548,337 | 553,058 | (4,720) |
| 21 | Ne t income a ttrib uta b le to G M 6 1 9 , 3 2 4 8 7 2 , 3 0 5 (2 5 2 , 9 8 1 ) 2 , 9 1 6 , 6 4 5 2 , 8 5 5 , 5 3 0 6 1 , 1 1 5 | Ne t income a ttrib uta b le to G M | 6 1 9 , 3 2 4 | 8 7 2 , 3 0 5 | (2 5 2 , 9 8 1 ) | 2 , 9 1 6 , 6 4 5 | 2 , 8 5 5 , 5 3 0 | 6 1 , 1 1 5 |
| 22 | BALANCE SHE E T | BALANCE SHE E T | ||||||
| 23 | Cash and cash equivalents 6,583,133 6,002,639 580,494 6,583,133 6,002,639 580,494 | Cash and cash equivalents | 6,583,133 | 6,002,639 | 580,494 | 6,583,133 | 6,002,639 | 580,494 |
| 24 | Restricted cash 56,679 31,892 24,787 56,679 31,892 24,787 | Restricted cash | 56,679 | 31,892 | 24,787 | 56,679 | 31,892 | 24,787 |
| 25 | Notes and accounts receivable 1,708,181 1,923,103 (214,922) 1,708,181 1,923,103 (214,922) | Notes and accounts receivable | 1,708,181 | 1,923,103 | (214,922) | 1,708,181 | 1,923,103 | (214,922) |
| 26 | Inventories 1,387,745 1,396,686 (8,941) 1,387,745 1,396,686 (8,941) | Inventories | 1,387,745 | 1,396,686 | (8,941) | 1,387,745 | 1,396,686 | (8,941) |
| 27 | Prepaid and others current assets 937,637 744,653 192,985 937,637 744,653 192,985 | Prepaid and others current assets | 937,637 | 744,653 | 192,985 | 937,637 | 744,653 | 192,985 |
| 28 | T ota l Curre nt Asse ts 1 0 , 6 7 3 , 3 7 5 1 0 , 0 9 8 , 9 7 3 5 7 4 , 4 0 2 1 0 , 6 7 3 , 3 7 5 1 0 , 0 9 8 , 9 7 3 5 7 4 , 4 0 2 | T ota l Curre nt Asse ts | 1 0 , 6 7 3 , 3 7 5 | 1 0 , 0 9 8 , 9 7 3 | 5 7 4 , 4 0 2 | 1 0 , 6 7 3 , 3 7 5 | 1 0 , 0 9 8 , 9 7 3 | 5 7 4 , 4 0 2 |
| 29 | Property, plant and equipment, Net 18,259,095 17,228,004 1,031,091 18,259,095 17,228,004 1,031,091 | Property, plant and equipment, Net | 18,259,095 | 17,228,004 | 1,031,091 | 18,259,095 | 17,228,004 | 1,031,091 |
| 30 | Leachable material, net 1,134,462 1,077,392 57,070 1,134,462 1,077,392 57,070 | Leachable material, net | 1,134,462 | 1,077,392 | 57,070 | 1,134,462 | 1,077,392 | 57,070 |
| 31 | Other long term assets 2,182,086 1,929,872 252,213 2,182,086 1,929,872 252,213 | Other long term assets | 2,182,086 | 1,929,872 | 252,213 | 2,182,086 | 1,929,872 | 252,213 |
| 32 | T ota l Asse ts 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 | T ota l Asse ts | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 |
| 33 | Lia b ilitie s a nd Stockhold e rs' E q uity | Lia b ilitie s a nd Stockhold e rs' E q uity | ||||||
| 34 | Current - term debt 250,923 138,846 112,077 250,923 138,846 112,077 | Current - term debt | 250,923 | 138,846 | 112,077 | 250,923 | 138,846 | 112,077 |
| 35 | Accumulated liabilities 1,913,286 1,785,273 128,013 1,913,286 1,785,273 128,013 | Accumulated liabilities | 1,913,286 | 1,785,273 | 128,013 | 1,913,286 | 1,785,273 | 128,013 |
| 36 | Curre nt Lia b ilitie s 2 , 1 6 4 , 2 0 9 1 , 9 2 4 , 1 1 9 2 4 0 , 0 9 0 2 , 1 6 4 , 2 0 9 1 , 9 2 4 , 1 1 9 2 4 0 , 0 9 0 | Curre nt Lia b ilitie s | 2 , 1 6 4 , 2 0 9 | 1 , 9 2 4 , 1 1 9 | 2 4 0 , 0 9 0 | 2 , 1 6 4 , 2 0 9 | 1 , 9 2 4 , 1 1 9 | 2 4 0 , 0 9 0 |
| 37 | Long-term debt 8,541,295 8,257,527 283,768 8,541,295 8,257,527 283,768 | Long-term debt | 8,541,295 | 8,257,527 | 283,768 | 8,541,295 | 8,257,527 | 283,768 |
| 38 | Other non-current liabilities 2,388,799 2,365,825 22,974 2,388,799 2,365,825 22,974 | Other non-current liabilities | 2,388,799 | 2,365,825 | 22,974 | 2,388,799 | 2,365,825 | 22,974 |
| 39 | T ota l Lia b ilitie s 1 3 , 0 9 4 , 3 0 3 1 2 , 5 4 7 , 4 7 0 5 4 6 , 8 3 2 1 3 , 0 9 4 , 3 0 3 1 2 , 5 4 7 , 4 7 0 5 4 6 , 8 3 2 | T ota l Lia b ilitie s | 1 3 , 0 9 4 , 3 0 3 | 1 2 , 5 4 7 , 4 7 0 | 5 4 6 , 8 3 2 | 1 3 , 0 9 4 , 3 0 3 | 1 2 , 5 4 7 , 4 7 0 | 5 4 6 , 8 3 2 |
| 40 | Stockholders equity 2,003,496 2,003,496 - 2,003,496 2,003,496 - | Stockholders equity | 2,003,496 | 2,003,496 | - | 2,003,496 | 2,003,496 | - |
| 41 | Other equity accounts (2,500,657) (2,593,558) 92,900 (2,500,657) (2,593,558) 92,900 | Other equity accounts | (2,500,657) | (2,593,558) | 92,900 | (2,500,657) | (2,593,558) | 92,900 |
| 42 | Retaining earnings 17,269,579 16,037,739 1,231,840 17,269,579 16,037,739 1,231,840 | Retaining earnings | 17,269,579 | 16,037,739 | 1,231,840 | 17,269,579 | 16,037,739 | 1,231,840 |
| 43 | T ota l Stockhold e rs' e q uity 1 6 , 7 7 2 , 4 1 8 1 5 , 4 4 7 , 6 7 8 1 , 3 2 4 , 7 4 0 1 6 , 7 7 2 , 4 1 8 1 5 , 4 4 7 , 6 7 8 1 , 3 2 4 , 7 4 0 | T ota l Stockhold e rs' e q uity | 1 6 , 7 7 2 , 4 1 8 | 1 5 , 4 4 7 , 6 7 8 | 1 , 3 2 4 , 7 4 0 | 1 6 , 7 7 2 , 4 1 8 | 1 5 , 4 4 7 , 6 7 8 | 1 , 3 2 4 , 7 4 0 |
| 44 | Non-controlling interest. 2,382,297 2,339,094 43,204 2,382,297 2,339,094 43,204 | Non-controlling interest. | 2,382,297 | 2,339,094 | 43,204 | 2,382,297 | 2,339,094 | 43,204 |
| 45 | T ota l Lia b ilitie s a nd E q uity 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 | T ota l Lia b ilitie s a nd E q uity | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 |
| 46 | - - - - - - | - | - | - | - | - | - | |
| 47 | CASH FLOW | CASH FLOW | ||||||
| 48 | Ne t e a rnings 7 2 9 , 5 0 7 1 , 0 4 8 , 5 4 0 (3 1 9 , 0 3 3 ) 3 , 4 6 4 , 9 8 2 3 , 4 0 8 , 5 8 7 5 6 , 3 9 5 | Ne t e a rnings | 7 2 9 , 5 0 7 | 1 , 0 4 8 , 5 4 0 | (3 1 9 , 0 3 3 ) | 3 , 4 6 4 , 9 8 2 | 3 , 4 0 8 , 5 8 7 | 5 6 , 3 9 5 |
| 49 | Depreciation, amortization and depletion 413,093 395,940 17,153 1,554,982 1,431,123 123,859 | Depreciation, amortization and depletion | 413,093 | 395,940 | 17,153 | 1,554,982 | 1,431,123 | 123,859 |
| 50 | Deferred income taxes (94,889) 116,356 (211,245) (127,229) 164,405 (291,634) | Deferred income taxes | (94,889) | 116,356 | (211,245) | (127,229) | 164,405 | (291,634) |
| 51 | Participation in subsidiary not consolidated and associated (13,022) 1,466 (14,488) (16,509) 6,705 (23,214) | Participation in subsidiary not consolidated and associated | (13,022) | 1,466 | (14,488) | (16,509) | 6,705 | (23,214) |
| 52 | Other Net 67,643 (1,678) 69,321 102,159 104,306 (2,147) | Other Net | 67,643 | (1,678) | 69,321 | 102,159 | 104,306 | (2,147) |
| 53 | Changes in assets and liabilities (97,988) 60,825 (158,813) 134,586 (984,402) 1,118,988 | Changes in assets and liabilities | (97,988) | 60,825 | (158,813) | 134,586 | (984,402) | 1,118,988 |
| 54 | Ca sh ge ne ra te d b y op e ra ting a ctivitie s 1 , 0 0 4 , 3 4 4 1 , 6 2 1 , 4 4 9 (6 1 7 , 1 0 5 ) 5 , 1 1 2 , 9 7 1 4 , 1 3 0 , 7 2 4 9 8 2 , 2 4 7 | Ca sh ge ne ra te d b y op e ra ting a ctivitie s | 1 , 0 0 4 , 3 4 4 | 1 , 6 2 1 , 4 4 9 | (6 1 7 , 1 0 5 ) | 5 , 1 1 2 , 9 7 1 | 4 , 1 3 0 , 7 2 4 | 9 8 2 , 2 4 7 |
| 55 | Capital expenditures (474,017) (511,026) 37,010 (1,633,121) (1,542,361) (90,760) | Capital expenditures | (474,017) | (511,026) | 37,010 | (1,633,121) | (1,542,361) | (90,760) |
| 56 | Restricted cash 18,035 29,882 (11,847) (24,787) 10,211 (34,998) | Restricted cash | 18,035 | 29,882 | (11,847) | (24,787) | 10,211 | (34,998) |
| 57 | Other - Net (106,986) 29,077 (136,063) (250,965) 117,683 (368,649) | Other - Net | (106,986) | 29,077 | (136,063) | (250,965) | 117,683 | (368,649) |
| 58 | Ca sh use d in inve sting a ctivitie s (5 6 2 , 9 6 8 ) (4 5 2 , 0 6 7 ) (1 1 0 , 9 0 0 ) (1 , 9 0 8 , 8 7 4 ) (1 , 4 1 4 , 4 6 7 ) (4 9 4 , 4 0 7 ) | Ca sh use d in inve sting a ctivitie s | (5 6 2 , 9 6 8 ) | (4 5 2 , 0 6 7 ) | (1 1 0 , 9 0 0 ) | (1 , 9 0 8 , 8 7 4 ) | (1 , 4 1 4 , 4 6 7 ) | (4 9 4 , 4 0 7 ) |
| 59 | GRUPO MEXICO, S.A.B. DE C.V . (GM) | GRUPO MEXICO, S.A.B. DE C.V . (GM) | ||||||
| 60 | CON SOLIDATED FIN AN CIAL STATEMEN TS (US GAAP) | CON SOLIDATED FIN AN CIAL STATEMEN TS (US GAAP) | ||||||
| 61 | (Thousands of US Dollars) Quarters Ac c umulated | (Thousands of US Dollars) | Quarters | Ac c umulated | ||||
| 62 | ST AT E ME NT OF E AR NING S Q4 -2 3 Q4 -2 2 Va ria nce 2 0 2 3 2 0 2 2 Va ria nce | ST AT E ME NT OF E AR NING S | Q4 -2 3 | Q4 -2 2 | Va ria nce | 2 0 2 3 | 2 0 2 2 | Va ria nce |
| 63 | Ne t sa le s 3 , 4 2 2 , 4 7 9 3 , 7 8 7 , 6 7 2 (3 6 5 , 1 9 3 ) 1 4 , 3 8 5 , 4 3 2 1 3 , 8 7 0 , 3 1 3 5 1 5 , 1 1 9 | Ne t sa le s | 3 , 4 2 2 , 4 7 9 | 3 , 7 8 7 , 6 7 2 | (3 6 5 , 1 9 3 ) | 1 4 , 3 8 5 , 4 3 2 | 1 3 , 8 7 0 , 3 1 3 | 5 1 5 , 1 1 9 |
| 64 | Cost of sales 1,771,421 1,667,297 104,124 6,952,148 6,445,020 507,128 | Cost of sales | 1,771,421 | 1,667,297 | 104,124 | 6,952,148 | 6,445,020 | 507,128 |
| 65 | Exploration 21,895 15,460 6,435 80,386 47,201 33,185 | Exploration | 21,895 | 15,460 | 6,435 | 80,386 | 47,201 | 33,185 |
| 66 | G ross p rofit 1 , 6 2 9 , 1 6 3 2 , 1 0 4 , 9 1 4 (4 7 5 , 7 5 2 ) 7 , 3 5 2 , 8 9 8 7 , 3 7 8 , 0 9 3 (2 5 , 1 9 5 ) | G ross p rofit | 1 , 6 2 9 , 1 6 3 | 2 , 1 0 4 , 9 1 4 | (4 7 5 , 7 5 2 ) | 7 , 3 5 2 , 8 9 8 | 7 , 3 7 8 , 0 9 3 | (2 5 , 1 9 5 ) |
| 67 | Gross margin 48% 51% 53% | Gross margin | 48% | 51% | 53% | |||
| 68 | Administrative expenses 89,733 85,045 4,688 337,071 296,526 40,545 | Administrative expenses | 89,733 | 85,045 | 4,688 | 337,071 | 296,526 | 40,545 |
| 69 | E BIT DA 1 , 5 2 5 , 9 2 7 2 , 0 8 9 , 0 2 4 (5 6 3 , 0 9 7 ) 7 , 0 4 1 , 3 5 1 7 , 1 3 8 , 9 4 4 (9 7 , 5 9 3 ) | E BIT DA | 1 , 5 2 5 , 9 2 7 | 2 , 0 8 9 , 0 2 4 | (5 6 3 , 0 9 7 ) | 7 , 0 4 1 , 3 5 1 | 7 , 1 3 8 , 9 4 4 | (9 7 , 5 9 3 ) |
| 70 | Depreciation, amortization and depletion 413,094 395,941 17,153 1,554,982 1,431,123 123,859 | Depreciation, amortization and depletion | 413,094 | 395,941 | 17,153 | 1,554,982 | 1,431,123 | 123,859 |
| 71 | Op e ra ting income 1 , 1 2 6 , 3 3 6 1 , 6 2 3 , 9 2 9 (4 9 7 , 5 9 3 ) 5 , 4 6 0 , 8 4 5 5 , 6 5 0 , 4 4 4 (1 8 9 , 5 9 9 ) | Op e ra ting income | 1 , 1 2 6 , 3 3 6 | 1 , 6 2 3 , 9 2 9 | (4 9 7 , 5 9 3 ) | 5 , 4 6 0 , 8 4 5 | 5 , 6 5 0 , 4 4 4 | (1 8 9 , 5 9 9 ) |
| 72 | Operating margin 33% 43% 38% 41% | Operating margin | 33% | 43% | 38% | 41% | ||
| 73 | Interest expense 145,679 132,099 13,580 563,753 536,080 27,673 | Interest expense | 145,679 | 132,099 | 13,580 | 563,753 | 536,080 | 27,673 |
| 74 | Interest income (87,320) (55,494) (31,826) (328,616) (120,854) (207,762) | Interest income | (87,320) | (55,494) | (31,826) | (328,616) | (120,854) | (207,762) |
| 75 | (Gain) loss in investments - (1,834) 1,834 - (15,914) 15,914 | (Gain) loss in investments | - | (1,834) | 1,834 | - | (15,914) | 15,914 |
| 76 | Other (income) expense, net 13,503 (69,154) 82,658 (25,524) (57,377) 31,853 | Other (income) expense, net | 13,503 | (69,154) | 82,658 | (25,524) | (57,377) | 31,853 |
| 77 | E a rnings b e fore T a x 1 , 0 5 4 , 4 7 4 1 , 6 1 8 , 3 1 3 (5 6 3 , 8 3 9 ) 5 , 2 5 1 , 2 3 2 5 , 3 0 8 , 5 0 9 (5 7 , 2 7 7 ) | E a rnings b e fore T a x | 1 , 0 5 4 , 4 7 4 | 1 , 6 1 8 , 3 1 3 | (5 6 3 , 8 3 9 ) | 5 , 2 5 1 , 2 3 2 | 5 , 3 0 8 , 5 0 9 | (5 7 , 2 7 7 ) |
| 78 | Taxes 337,989 568,306 (230,317) 1,802,759 1,893,216 (90,457) | Taxes | 337,989 | 568,306 | (230,317) | 1,802,759 | 1,893,216 | (90,457) |
| 79 | Participation in subsidiary not consolidated and associated (13,022) 1,466 (14,489) (16,509) 6,705 (23,214) | Participation in subsidiary not consolidated and associated | (13,022) | 1,466 | (14,489) | (16,509) | 6,705 | (23,214) |
| 80 | Ne t E a rnings 7 2 9 , 5 0 7 1 , 0 4 8 , 5 4 0 (3 1 9 , 0 3 3 ) 3 , 4 6 4 , 9 8 2 3 , 4 0 8 , 5 8 7 5 6 , 3 9 5 | Ne t E a rnings | 7 2 9 , 5 0 7 | 1 , 0 4 8 , 5 4 0 | (3 1 9 , 0 3 3 ) | 3 , 4 6 4 , 9 8 2 | 3 , 4 0 8 , 5 8 7 | 5 6 , 3 9 5 |
| 81 | Net income attributable to the non-controlling interest 110,184 176,235 (66,052) 548,337 553,058 (4,720) | Net income attributable to the non-controlling interest | 110,184 | 176,235 | (66,052) | 548,337 | 553,058 | (4,720) |
| 82 | Ne t income a ttrib uta b le to G M 6 1 9 , 3 2 4 8 7 2 , 3 0 5 (2 5 2 , 9 8 1 ) 2 , 9 1 6 , 6 4 5 2 , 8 5 5 , 5 3 0 6 1 , 1 1 5 | Ne t income a ttrib uta b le to G M | 6 1 9 , 3 2 4 | 8 7 2 , 3 0 5 | (2 5 2 , 9 8 1 ) | 2 , 9 1 6 , 6 4 5 | 2 , 8 5 5 , 5 3 0 | 6 1 , 1 1 5 |
| 83 | BALANCE SHE E T | BALANCE SHE E T | ||||||
| 84 | Cash and cash equivalents 6,583,133 6,002,639 580,494 6,583,133 6,002,639 580,494 | Cash and cash equivalents | 6,583,133 | 6,002,639 | 580,494 | 6,583,133 | 6,002,639 | 580,494 |
| 85 | Restricted cash 56,679 31,892 24,787 56,679 31,892 24,787 | Restricted cash | 56,679 | 31,892 | 24,787 | 56,679 | 31,892 | 24,787 |
| 86 | Notes and accounts receivable 1,708,181 1,923,103 (214,922) 1,708,181 1,923,103 (214,922) | Notes and accounts receivable | 1,708,181 | 1,923,103 | (214,922) | 1,708,181 | 1,923,103 | (214,922) |
| 87 | Inventories 1,387,745 1,396,686 (8,941) 1,387,745 1,396,686 (8,941) | Inventories | 1,387,745 | 1,396,686 | (8,941) | 1,387,745 | 1,396,686 | (8,941) |
| 88 | Prepaid and others current assets 937,637 744,653 192,985 937,637 744,653 192,985 | Prepaid and others current assets | 937,637 | 744,653 | 192,985 | 937,637 | 744,653 | 192,985 |
| 89 | T ota l Curre nt Asse ts 1 0 , 6 7 3 , 3 7 5 1 0 , 0 9 8 , 9 7 3 5 7 4 , 4 0 2 1 0 , 6 7 3 , 3 7 5 1 0 , 0 9 8 , 9 7 3 5 7 4 , 4 0 2 | T ota l Curre nt Asse ts | 1 0 , 6 7 3 , 3 7 5 | 1 0 , 0 9 8 , 9 7 3 | 5 7 4 , 4 0 2 | 1 0 , 6 7 3 , 3 7 5 | 1 0 , 0 9 8 , 9 7 3 | 5 7 4 , 4 0 2 |
| 90 | Property, plant and equipment, Net 18,259,095 17,228,004 1,031,091 18,259,095 17,228,004 1,031,091 | Property, plant and equipment, Net | 18,259,095 | 17,228,004 | 1,031,091 | 18,259,095 | 17,228,004 | 1,031,091 |
| 91 | Leachable material, net 1,134,462 1,077,392 57,070 1,134,462 1,077,392 57,070 | Leachable material, net | 1,134,462 | 1,077,392 | 57,070 | 1,134,462 | 1,077,392 | 57,070 |
| 92 | Other long term assets 2,182,086 1,929,872 252,213 2,182,086 1,929,872 252,213 | Other long term assets | 2,182,086 | 1,929,872 | 252,213 | 2,182,086 | 1,929,872 | 252,213 |
| 93 | T ota l Asse ts 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 | T ota l Asse ts | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 |
| 94 | Lia b ilitie s a nd Stockhold e rs' E q uity | Lia b ilitie s a nd Stockhold e rs' E q uity | ||||||
| 95 | Current - term debt 250,923 138,846 112,077 250,923 138,846 112,077 | Current - term debt | 250,923 | 138,846 | 112,077 | 250,923 | 138,846 | 112,077 |
| 96 | Accumulated liabilities 1,913,286 1,785,273 128,013 1,913,286 1,785,273 128,013 | Accumulated liabilities | 1,913,286 | 1,785,273 | 128,013 | 1,913,286 | 1,785,273 | 128,013 |
| 97 | Curre nt Lia b ilitie s 2 , 1 6 4 , 2 0 9 1 , 9 2 4 , 1 1 9 2 4 0 , 0 9 0 2 , 1 6 4 , 2 0 9 1 , 9 2 4 , 1 1 9 2 4 0 , 0 9 0 | Curre nt Lia b ilitie s | 2 , 1 6 4 , 2 0 9 | 1 , 9 2 4 , 1 1 9 | 2 4 0 , 0 9 0 | 2 , 1 6 4 , 2 0 9 | 1 , 9 2 4 , 1 1 9 | 2 4 0 , 0 9 0 |
| 98 | Long-term debt 8,541,295 8,257,527 283,768 8,541,295 8,257,527 283,768 | Long-term debt | 8,541,295 | 8,257,527 | 283,768 | 8,541,295 | 8,257,527 | 283,768 |
| 99 | Other non-current liabilities 2,388,799 2,365,825 22,974 2,388,799 2,365,825 22,974 | Other non-current liabilities | 2,388,799 | 2,365,825 | 22,974 | 2,388,799 | 2,365,825 | 22,974 |
| 100 | T ota l Lia b ilitie s 1 3 , 0 9 4 , 3 0 3 1 2 , 5 4 7 , 4 7 0 5 4 6 , 8 3 2 1 3 , 0 9 4 , 3 0 3 1 2 , 5 4 7 , 4 7 0 5 4 6 , 8 3 2 | T ota l Lia b ilitie s | 1 3 , 0 9 4 , 3 0 3 | 1 2 , 5 4 7 , 4 7 0 | 5 4 6 , 8 3 2 | 1 3 , 0 9 4 , 3 0 3 | 1 2 , 5 4 7 , 4 7 0 | 5 4 6 , 8 3 2 |
| 101 | Stockholders equity 2,003,496 2,003,496 - 2,003,496 2,003,496 - | Stockholders equity | 2,003,496 | 2,003,496 | - | 2,003,496 | 2,003,496 | - |
| 102 | Other equity accounts (2,500,657) (2,593,558) 92,900 (2,500,657) (2,593,558) 92,900 | Other equity accounts | (2,500,657) | (2,593,558) | 92,900 | (2,500,657) | (2,593,558) | 92,900 |
| 103 | Retaining earnings 17,269,579 16,037,739 1,231,840 17,269,579 16,037,739 1,231,840 | Retaining earnings | 17,269,579 | 16,037,739 | 1,231,840 | 17,269,579 | 16,037,739 | 1,231,840 |
| 104 | T ota l Stockhold e rs' e q uity 1 6 , 7 7 2 , 4 1 8 1 5 , 4 4 7 , 6 7 8 1 , 3 2 4 , 7 4 0 1 6 , 7 7 2 , 4 1 8 1 5 , 4 4 7 , 6 7 8 1 , 3 2 4 , 7 4 0 | T ota l Stockhold e rs' e q uity | 1 6 , 7 7 2 , 4 1 8 | 1 5 , 4 4 7 , 6 7 8 | 1 , 3 2 4 , 7 4 0 | 1 6 , 7 7 2 , 4 1 8 | 1 5 , 4 4 7 , 6 7 8 | 1 , 3 2 4 , 7 4 0 |
| 105 | Non-controlling interest. 2,382,297 2,339,094 43,204 2,382,297 2,339,094 43,204 | Non-controlling interest. | 2,382,297 | 2,339,094 | 43,204 | 2,382,297 | 2,339,094 | 43,204 |
| 106 | T ota l Lia b ilitie s a nd E q uity 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 3 2 , 2 4 9 , 0 1 8 3 0 , 3 3 4 , 2 4 1 1 , 9 1 4 , 7 7 6 | T ota l Lia b ilitie s a nd E q uity | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 | 3 2 , 2 4 9 , 0 1 8 | 3 0 , 3 3 4 , 2 4 1 | 1 , 9 1 4 , 7 7 6 |
| 107 | - - - - - - | - | - | - | - | - | - | |
| 108 | CASH FLOW | CASH FLOW | ||||||
| 109 | Ne t e a rnings 7 2 9 , 5 0 7 1 , 0 4 8 , 5 4 0 (3 1 9 , 0 3 3 ) 3 , 4 6 4 , 9 8 2 3 , 4 0 8 , 5 8 7 5 6 , 3 9 5 | Ne t e a rnings | 7 2 9 , 5 0 7 | 1 , 0 4 8 , 5 4 0 | (3 1 9 , 0 3 3 ) | 3 , 4 6 4 , 9 8 2 | 3 , 4 0 8 , 5 8 7 | 5 6 , 3 9 5 |
| 110 | Depreciation, amortization and depletion 413,093 395,940 17,153 1,554,982 1,431,123 123,859 | Depreciation, amortization and depletion | 413,093 | 395,940 | 17,153 | 1,554,982 | 1,431,123 | 123,859 |
| 111 | Deferred income taxes (94,889) 116,356 (211,245) (127,229) 164,405 (291,634) | Deferred income taxes | (94,889) | 116,356 | (211,245) | (127,229) | 164,405 | (291,634) |
| 112 | Participation in subsidiary not consolidated and associated (13,022) 1,466 (14,488) (16,509) 6,705 (23,214) | Participation in subsidiary not consolidated and associated | (13,022) | 1,466 | (14,488) | (16,509) | 6,705 | (23,214) |
| 113 | Other Net 67,643 (1,678) 69,321 102,159 104,306 (2,147) | Other Net | 67,643 | (1,678) | 69,321 | 102,159 | 104,306 | (2,147) |
| 114 | Changes in assets and liabilities (97,988) 60,825 (158,813) 134,586 (984,402) 1,118,988 | Changes in assets and liabilities | (97,988) | 60,825 | (158,813) | 134,586 | (984,402) | 1,118,988 |
| 115 | Ca sh ge ne ra te d b y op e ra ting a ctivitie s 1 , 0 0 4 , 3 4 4 1 , 6 2 1 , 4 4 9 (6 1 7 , 1 0 5 ) 5 , 1 1 2 , 9 7 1 4 , 1 3 0 , 7 2 4 9 8 2 , 2 4 7 | Ca sh ge ne ra te d b y op e ra ting a ctivitie s | 1 , 0 0 4 , 3 4 4 | 1 , 6 2 1 , 4 4 9 | (6 1 7 , 1 0 5 ) | 5 , 1 1 2 , 9 7 1 | 4 , 1 3 0 , 7 2 4 | 9 8 2 , 2 4 7 |
| 116 | Capital expenditures (474,017) (511,026) 37,010 (1,633,121) (1,542,361) (90,760) | Capital expenditures | (474,017) | (511,026) | 37,010 | (1,633,121) | (1,542,361) | (90,760) |
| 117 | Restricted cash 18,035 29,882 (11,847) (24,787) 10,211 (34,998) | Restricted cash | 18,035 | 29,882 | (11,847) | (24,787) | 10,211 | (34,998) |
| 118 | Other - Net (106,986) 29,077 (136,063) (250,965) 117,683 (368,649) | Other - Net | (106,986) | 29,077 | (136,063) | (250,965) | 117,683 | (368,649) |
| 119 | Ca sh use d in inve sting a ctivitie s (5 6 2 , 9 6 8 ) (4 5 2 , 0 6 7 ) (1 1 0 , 9 0 0 ) (1 , 9 0 8 , 8 7 4 ) (1 , 4 1 4 , 4 6 7 ) (4 9 4 , 4 0 7 ) | Ca sh use d in inve sting a ctivitie s | (5 6 2 , 9 6 8 ) | (4 5 2 , 0 6 7 ) | (1 1 0 , 9 0 0 ) | (1 , 9 0 8 , 8 7 4 ) | (1 , 4 1 4 , 4 6 7 ) | (4 9 4 , 4 0 7 ) |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).