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/2025-09-30_Q3_RF_EN_2025_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 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 | 13 024.18 | Row: revenue (mln USD, batch apply) · dashboard=13,024.180 mln — [DeepSeek] revenue (mln USD, batch apply) |
| Operating profit | 5 838.1 | Row: operating_profit (mln USD, batch apply) · dashboard=5,838.102 mln — [DeepSeek] operating_profit (mln USD, batch apply) |
| D&A | 1 201.63 | Row: da (mln USD, batch apply) · dashboard=1,201.634 mln — [DeepSeek] da (mln USD, batch apply) |
| EBITDA | 7 039.74 | Row: ebitda (mln USD, batch apply) · dashboard=7,039.736 mln — [DeepSeek] ebitda (mln USD, batch apply) |
| Net profit | 3 313.86 | Row: net_profit (mln USD, batch apply) · dashboard=3,313.863 mln — [DeepSeek] net_profit (mln USD, batch apply) |
| Cash | 9 643.68 | Row: cash (mln USD, batch apply) · dashboard=9,643.683 mln — [DeepSeek] cash (mln USD, batch apply) |
| Debt short | 297.09 | Row: debt_short (mln USD, batch apply) · dashboard=297.087 mln — [DeepSeek] debt_short (mln USD, batch apply) |
| Debt long | 9 118.05 | Row: debt_long (mln USD, batch apply) · dashboard=9,118.047 mln — [DeepSeek] debt_long (mln USD, batch apply) |
| Net debt | -228.55 | Components: short debt 297.09 + long debt 9 118.05 + other financial liab. 0 + NCI 0 − cash 9 643.68 = net debt -228.55.Row: net_debt (mln USD, batch apply) · dashboard=-228.549 mln — [DeepSeek] net_debt (mln USD, batch apply) |
| Operating CF | 4 441.34 | Row: operating_cash_flow (mln USD, batch apply) · dashboard=4,441.335 mln — [DeepSeek] operating_cash_flow (mln USD, batch apply) |
| Investing CF | -1 743.34 | Row: investing_cash_flow (mln USD, batch apply) · dashboard=-1,743.344 mln — [DeepSeek] investing_cash_flow (mln USD, batch apply) |
| Assets | 37 189.42 | Row: total_assets (mln USD, batch apply) · dashboard=37,189.423 mln — [DeepSeek] total_assets (mln USD, batch apply) |
| Equity | 20 430.77 | Row: total_equity (mln USD, batch apply) · dashboard=20,430.770 mln — [DeepSeek] total_equity (mln USD, batch apply) |
| ✓ | Balance sheet identity (A = L + E) | TA (37,189) ≈ TL (16,759) + TE (20,431); residual +0 within 1%. |
| ✓ | Net debt formula | net_debt -229 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = -229. |
| ✓ | EBITDA = OP + D&A | EBITDA (7,040) ≈ OP (5,838) + D&A (1,202) = 7,040. |
| ✓ | Net profit vs operating profit | Net profit (3,314) sits within a plausible band vs operating profit (5,838). |
| ✓ | Cash ≤ total assets | Cash (9,644) ≤ total assets (37,189). |
| Form | Pages |
|---|---|
| P&L | 16 |
| BS | 16 |
| CF | 16 |
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 | 13 024.18 |
| Operating profit | 5 838.1 |
| EBITDA | 7 039.74 |
| Net profit | 3 313.86 |
| D&A | 1 201.63 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 | Column 4 | 2024 | 2025 | Column 7 |
|---|---|---|---|---|---|---|---|
| 0 | THIRD QUARTER RESULTS 2025 GrupoMexico | ||||||
| 1 | (Thousands of US Dollars) | ||||||
| 2 | SATEMENL OE EARNINGS | 3 | 3 | 2024 | 2025 | ||
| 3 | Net sales | 4126519 | 4592138 | 465619 | 12322659 | 13024180 | 701521 |
| 4 | Cost Of sales | 1876662 | 2001773 | 125111 | 5555782 | 5666969 | 111186 |
| 5 | Exploration | 16.622 | 16.092 | 530 | 59.44 | 51.606 | 7.8351 |
| 6 | Gross profit | 2233235 | 2574273 | 341039 | 6707436 | 7305605 | 598169 |
| 7 | Gross margin | 54 | 0 | 9 | 5480 | 5696 | 7 |
| 8 | Administrative expenses | 85400 | 91836 | 6437 | 255195 | 265869 | 10674 |
| 9 | EBITDA | 2173485 | 2505137 | 331653 | 6471956 | 7083491 | 611535 |
| 10 | Depreciation; amortization and depletion | 396.607 | 403.008 | 6.401 | 493.846 | 1201.634 | 7.788 |
| 11 | operating income | 1751228 | 2079429 | 328201 | 5258395 | 5838102 | 579707 |
| 12 | Operating margin | 4270 | 4590 | 0 | 4390 | 4590 | 0 |
| 13 | Interest expense | 139611 | 153589 | 13977 | 427367 | 455192 | 27825 |
| 14 | Incerest income | -113.116 | -109.885 | 3232 | -316113 | -327705 | -11592 |
| 15 | Other (income) expense; net | 5.649 | 2 | 2949 | 197151 | 43.7552 | 24040 |
| 16 | Earnings before Tax | 1750383 | 2058425 | 308043 | 5166856 | 5754370 | 587514 |
| 17 | Taxes | 589779 | 672202 | 82423 | 1750866 | 1930769 | 179903 |
| 18 | Participation in subsidiary nor consolidated and associated | 24 | 516 | 9.0451 | 15.6931 | -31863 | 161701 |
| 19 | Net Earnings | 1163074 | 1397738 | 234664 | 3431683 | 3855464 | 423781 |
| 20 | Net income attributable t0 the non-controlling interest | 15 | 188.614 | 30.923 | 496724 | 541601 | 44877 |
| 21 | Net Income attributable tQ CM | 5.384 | 4209 | 20374 | 2934959 | 3313863 | 378904 |
| 22 | BALANCE SHEET | ||||||
| 23 | Cash and cash equivalents | 7622425 | 9643683 | 2021258 | 7622425 | 9643683 | 2021258 |
| 24 | Restricted cash | 73828 | 35739 | 38.0891 | 73828 | 35739 | -38089 |
| 25 | Notes and accounts recelvable | 2272503 | 2495983 | 223.48 | 2272503 | 2495983 | 223480 |
| 26 | Inventones | 1372026 | 1483737 | 1711 | 1372026 | 1483737 | 111711 |
| 27 | Prer pald and others current assets | 781751 | 264 | 229513 | 781751 | 229513 | |
| 28 | Toral Current Assets | 12122532 | 14670406 | 2547874 | 12122532 | 14670406 | 2547874 |
| 29 | Property, plant and equipment; Net | 18042820 | 18618.498 | 575678 | 18042820 | 18618498 | 575678 |
| 30 | Leachable material, ner | 1156290 | 1162506 | 6216 | 1156290 | 1162506 | 6216 |
| 31 | Other long rerm assels | 2396980 | 2738.018 | 34 | 2396.98 | 2738013 | 341.033 |
| 32 | Total Assets | 33718.622 | 37489423 | 3470.801 | 33718.622 | 37489423 | 3470.801 |
| 33 | Liabilities and Stockholders" Equlty | ||||||
| 34 | Current term debt | 893555 | 297087 | -596468 | 893555 | 297087 | 596.4681 |
| 35 | Accumulated Ilabilities | 4219179 | 2177.683 | -4 | 2219.179 | 2177.683 | 41.4961 |
| 36 | Current labilities | 3112735 | 2474771 | -637964 | 3112735 | 2474771 | -637964 |
| 37 | Long-term debt | 7775267 | 9118.047 | 1342780 | 7775267 | 9118047 | 1342780 |
| 38 | Other non-current Ilabllltles | 2468.592 | 2439044 | 29.5 | 2468592 | 2439.044 | -29548 |
| 39 | Total Liabilitles | 13356593 | 14031861 | 675268 | 73356593 | 14031861 | 675268 |
| 40 | Stock holders equlty | 2003496 | 2003496 | 0 | 2003496 | 2003496 | 0 |
| 41 | Other equity accounts | 2.981 | -2159416 | 822313 | 2.981 | -2159416 | 822313 |
| 42 | Retaining eamings | 18908.417 | 20586690 | 1678274 | 18908417 | 20.5 | 1678.274 |
| 43 | Total Stockholders' equity | 17930183 | 20430770 | 2500587 | 17930183 | 20430770 | 2500587 |
| 44 | Non-controlling Interest: | 2431.846 | 2726.793 | 294946 | 2431846 | 2726793 | 294946 |
| 45 | Total Liabilities and Equity | 33718622 | 37189.423 | 3470801 | 33718622 | 37189423 | 3.47 |
| 46 | cASHFLOW | ||||||
| 47 | Net earnings | 1163074 | 1397738 | 234664 | 3431683 | 3855464 | 423781 |
| 48 | Depreciation; amortization and depletion | 396607 | 403008 | 6401 | 1193.846 | 1201634 | 7788 |
| 49 | Deferred income taxes | -27548 | -45067 | 17.5191 | -523 | -8494 | -7971 |
| 50 | Participation in subsidiary not consolidated and associated | -2471 | -11516 | 9045 | -15693 | -31863 | -16170 |
| 51 | Other Net | 57354 | 4.2891 | -61643 | 95677 | 27343 | -68334 |
| 52 | Changes in assets and liabilities | 243.866 | 239.521 | 4344 | -516.272 | -602749 | -86477 |
| 53 | Cash generated bY operating activities | 1830882 | 1979395 | 148514 | 4188718 | 4441335 | 252617 |
| 54 | Capital expenditures | -536052 | -464755 | 71297 | -1360457 | -1417546 | -57089 |
| 55 | Restricted casn | -28487 | -25663 | 2824 | -16959 | 6550 | 23509 |
| 56 | Other Net | 114.003 | 76.3201 | 40.684 | 227.971 | -332.348 | 104.377 |
| 57 | Cash used in investing activities | -681542 | -566738 | 114804 | -1605387 | -1743344 | -137957 |
| 58 | Debt incurred | 202423 | 25000 | -177423 | 278417 | 1557966 | 1279549 |
| 59 | Debt repaid | -96057 | -49825 | 46232 | -171058 | -786439 | -615381 |
| 60 | Dividends paid | -593511 | -669250 | -75739 | 1.622 | -1787030 | -164748 |
| 61 | CMXT common shares buyback | 0 | -2090 | 0 | 2090 | ||
| 62 | Payment of debt issuance costs | 0 | 0 | 0 | 0 | -6382 | 6.382 |
| 63 | Other Net | 91 | 79 | 12 | 308 | 237 | 71 |
| 64 | Cash used in financing activities | -487054 | -693996 | -206942 | -1516705 | -1021648 | 495057 |
| 65 | of exchance rate changes on cash and cash equivalents | 15937 | 81709 | 91.646 | -32.593 | -169.44 | -136848 |
| 66 | Net increase (decrease) cash & cash equivalents | 678222 | 636952 | -41270 | 1034034 | 1506902 | 472869 |
| 67 | Cash and cash equivalents Beginning of year | 6944202 | 9006730 | 2062528 | 6588.391 | 8136780 | 4548.389 |
| 68 | Cashand cash equivalents End of year | 4622.425 | 9643683 | 2021.258 | 7622.425 | 9643683 | 2021.258 |
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Cash | 9 643.68 |
| Debt Short | 297.09 |
| Debt Long | 9 118.05 |
| Assets | 37 189.42 |
| Equity | 20 430.77 |
| Net debt | -228.55 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 | Column 4 | 2024 | 2025 | Column 7 |
|---|---|---|---|---|---|---|---|
| 0 | THIRD QUARTER RESULTS 2025 GrupoMexico | ||||||
| 1 | (Thousands of US Dollars) | ||||||
| 2 | SATEMENL OE EARNINGS | 3 | 3 | 2024 | 2025 | ||
| 3 | Net sales | 4126519 | 4592138 | 465619 | 12322659 | 13024180 | 701521 |
| 4 | Cost Of sales | 1876662 | 2001773 | 125111 | 5555782 | 5666969 | 111186 |
| 5 | Exploration | 16.622 | 16.092 | 530 | 59.44 | 51.606 | 7.8351 |
| 6 | Gross profit | 2233235 | 2574273 | 341039 | 6707436 | 7305605 | 598169 |
| 7 | Gross margin | 54 | 0 | 9 | 5480 | 5696 | 7 |
| 8 | Administrative expenses | 85400 | 91836 | 6437 | 255195 | 265869 | 10674 |
| 9 | EBITDA | 2173485 | 2505137 | 331653 | 6471956 | 7083491 | 611535 |
| 10 | Depreciation; amortization and depletion | 396.607 | 403.008 | 6.401 | 493.846 | 1201.634 | 7.788 |
| 11 | operating income | 1751228 | 2079429 | 328201 | 5258395 | 5838102 | 579707 |
| 12 | Operating margin | 4270 | 4590 | 0 | 4390 | 4590 | 0 |
| 13 | Interest expense | 139611 | 153589 | 13977 | 427367 | 455192 | 27825 |
| 14 | Incerest income | -113.116 | -109.885 | 3232 | -316113 | -327705 | -11592 |
| 15 | Other (income) expense; net | 5.649 | 2 | 2949 | 197151 | 43.7552 | 24040 |
| 16 | Earnings before Tax | 1750383 | 2058425 | 308043 | 5166856 | 5754370 | 587514 |
| 17 | Taxes | 589779 | 672202 | 82423 | 1750866 | 1930769 | 179903 |
| 18 | Participation in subsidiary nor consolidated and associated | 24 | 516 | 9.0451 | 15.6931 | -31863 | 161701 |
| 19 | Net Earnings | 1163074 | 1397738 | 234664 | 3431683 | 3855464 | 423781 |
| 20 | Net income attributable t0 the non-controlling interest | 15 | 188.614 | 30.923 | 496724 | 541601 | 44877 |
| 21 | Net Income attributable tQ CM | 5.384 | 4209 | 20374 | 2934959 | 3313863 | 378904 |
| 22 | BALANCE SHEET | ||||||
| 23 | Cash and cash equivalents | 7622425 | 9643683 | 2021258 | 7622425 | 9643683 | 2021258 |
| 24 | Restricted cash | 73828 | 35739 | 38.0891 | 73828 | 35739 | -38089 |
| 25 | Notes and accounts recelvable | 2272503 | 2495983 | 223.48 | 2272503 | 2495983 | 223480 |
| 26 | Inventones | 1372026 | 1483737 | 1711 | 1372026 | 1483737 | 111711 |
| 27 | Prer pald and others current assets | 781751 | 264 | 229513 | 781751 | 229513 | |
| 28 | Toral Current Assets | 12122532 | 14670406 | 2547874 | 12122532 | 14670406 | 2547874 |
| 29 | Property, plant and equipment; Net | 18042820 | 18618.498 | 575678 | 18042820 | 18618498 | 575678 |
| 30 | Leachable material, ner | 1156290 | 1162506 | 6216 | 1156290 | 1162506 | 6216 |
| 31 | Other long rerm assels | 2396980 | 2738.018 | 34 | 2396.98 | 2738013 | 341.033 |
| 32 | Total Assets | 33718.622 | 37489423 | 3470.801 | 33718.622 | 37489423 | 3470.801 |
| 33 | Liabilities and Stockholders" Equlty | ||||||
| 34 | Current term debt | 893555 | 297087 | -596468 | 893555 | 297087 | 596.4681 |
| 35 | Accumulated Ilabilities | 4219179 | 2177.683 | -4 | 2219.179 | 2177.683 | 41.4961 |
| 36 | Current labilities | 3112735 | 2474771 | -637964 | 3112735 | 2474771 | -637964 |
| 37 | Long-term debt | 7775267 | 9118.047 | 1342780 | 7775267 | 9118047 | 1342780 |
| 38 | Other non-current Ilabllltles | 2468.592 | 2439044 | 29.5 | 2468592 | 2439.044 | -29548 |
| 39 | Total Liabilitles | 13356593 | 14031861 | 675268 | 73356593 | 14031861 | 675268 |
| 40 | Stock holders equlty | 2003496 | 2003496 | 0 | 2003496 | 2003496 | 0 |
| 41 | Other equity accounts | 2.981 | -2159416 | 822313 | 2.981 | -2159416 | 822313 |
| 42 | Retaining eamings | 18908.417 | 20586690 | 1678274 | 18908417 | 20.5 | 1678.274 |
| 43 | Total Stockholders' equity | 17930183 | 20430770 | 2500587 | 17930183 | 20430770 | 2500587 |
| 44 | Non-controlling Interest: | 2431.846 | 2726.793 | 294946 | 2431846 | 2726793 | 294946 |
| 45 | Total Liabilities and Equity | 33718622 | 37189.423 | 3470801 | 33718622 | 37189423 | 3.47 |
| 46 | cASHFLOW | ||||||
| 47 | Net earnings | 1163074 | 1397738 | 234664 | 3431683 | 3855464 | 423781 |
| 48 | Depreciation; amortization and depletion | 396607 | 403008 | 6401 | 1193.846 | 1201634 | 7788 |
| 49 | Deferred income taxes | -27548 | -45067 | 17.5191 | -523 | -8494 | -7971 |
| 50 | Participation in subsidiary not consolidated and associated | -2471 | -11516 | 9045 | -15693 | -31863 | -16170 |
| 51 | Other Net | 57354 | 4.2891 | -61643 | 95677 | 27343 | -68334 |
| 52 | Changes in assets and liabilities | 243.866 | 239.521 | 4344 | -516.272 | -602749 | -86477 |
| 53 | Cash generated bY operating activities | 1830882 | 1979395 | 148514 | 4188718 | 4441335 | 252617 |
| 54 | Capital expenditures | -536052 | -464755 | 71297 | -1360457 | -1417546 | -57089 |
| 55 | Restricted casn | -28487 | -25663 | 2824 | -16959 | 6550 | 23509 |
| 56 | Other Net | 114.003 | 76.3201 | 40.684 | 227.971 | -332.348 | 104.377 |
| 57 | Cash used in investing activities | -681542 | -566738 | 114804 | -1605387 | -1743344 | -137957 |
| 58 | Debt incurred | 202423 | 25000 | -177423 | 278417 | 1557966 | 1279549 |
| 59 | Debt repaid | -96057 | -49825 | 46232 | -171058 | -786439 | -615381 |
| 60 | Dividends paid | -593511 | -669250 | -75739 | 1.622 | -1787030 | -164748 |
| 61 | CMXT common shares buyback | 0 | -2090 | 0 | 2090 | ||
| 62 | Payment of debt issuance costs | 0 | 0 | 0 | 0 | -6382 | 6.382 |
| 63 | Other Net | 91 | 79 | 12 | 308 | 237 | 71 |
| 64 | Cash used in financing activities | -487054 | -693996 | -206942 | -1516705 | -1021648 | 495057 |
| 65 | of exchance rate changes on cash and cash equivalents | 15937 | 81709 | 91.646 | -32.593 | -169.44 | -136848 |
| 66 | Net increase (decrease) cash & cash equivalents | 678222 | 636952 | -41270 | 1034034 | 1506902 | 472869 |
| 67 | Cash and cash equivalents Beginning of year | 6944202 | 9006730 | 2062528 | 6588.391 | 8136780 | 4548.389 |
| 68 | Cashand cash equivalents End of year | 4622.425 | 9643683 | 2021.258 | 7622.425 | 9643683 | 2021.258 |
Extracted metrics for this form (this period row)
| Metric | Value |
|---|---|
| Operating CF | 4 441.34 |
| Investing CF | -1 743.34 |
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 | Column 4 | 2024 | 2025 | Column 7 |
|---|---|---|---|---|---|---|---|
| 0 | THIRD QUARTER RESULTS 2025 GrupoMexico | ||||||
| 1 | (Thousands of US Dollars) | ||||||
| 2 | SATEMENL OE EARNINGS | 3 | 3 | 2024 | 2025 | ||
| 3 | Net sales | 4126519 | 4592138 | 465619 | 12322659 | 13024180 | 701521 |
| 4 | Cost Of sales | 1876662 | 2001773 | 125111 | 5555782 | 5666969 | 111186 |
| 5 | Exploration | 16.622 | 16.092 | 530 | 59.44 | 51.606 | 7.8351 |
| 6 | Gross profit | 2233235 | 2574273 | 341039 | 6707436 | 7305605 | 598169 |
| 7 | Gross margin | 54 | 0 | 9 | 5480 | 5696 | 7 |
| 8 | Administrative expenses | 85400 | 91836 | 6437 | 255195 | 265869 | 10674 |
| 9 | EBITDA | 2173485 | 2505137 | 331653 | 6471956 | 7083491 | 611535 |
| 10 | Depreciation; amortization and depletion | 396.607 | 403.008 | 6.401 | 493.846 | 1201.634 | 7.788 |
| 11 | operating income | 1751228 | 2079429 | 328201 | 5258395 | 5838102 | 579707 |
| 12 | Operating margin | 4270 | 4590 | 0 | 4390 | 4590 | 0 |
| 13 | Interest expense | 139611 | 153589 | 13977 | 427367 | 455192 | 27825 |
| 14 | Incerest income | -113.116 | -109.885 | 3232 | -316113 | -327705 | -11592 |
| 15 | Other (income) expense; net | 5.649 | 2 | 2949 | 197151 | 43.7552 | 24040 |
| 16 | Earnings before Tax | 1750383 | 2058425 | 308043 | 5166856 | 5754370 | 587514 |
| 17 | Taxes | 589779 | 672202 | 82423 | 1750866 | 1930769 | 179903 |
| 18 | Participation in subsidiary nor consolidated and associated | 24 | 516 | 9.0451 | 15.6931 | -31863 | 161701 |
| 19 | Net Earnings | 1163074 | 1397738 | 234664 | 3431683 | 3855464 | 423781 |
| 20 | Net income attributable t0 the non-controlling interest | 15 | 188.614 | 30.923 | 496724 | 541601 | 44877 |
| 21 | Net Income attributable tQ CM | 5.384 | 4209 | 20374 | 2934959 | 3313863 | 378904 |
| 22 | BALANCE SHEET | ||||||
| 23 | Cash and cash equivalents | 7622425 | 9643683 | 2021258 | 7622425 | 9643683 | 2021258 |
| 24 | Restricted cash | 73828 | 35739 | 38.0891 | 73828 | 35739 | -38089 |
| 25 | Notes and accounts recelvable | 2272503 | 2495983 | 223.48 | 2272503 | 2495983 | 223480 |
| 26 | Inventones | 1372026 | 1483737 | 1711 | 1372026 | 1483737 | 111711 |
| 27 | Prer pald and others current assets | 781751 | 264 | 229513 | 781751 | 229513 | |
| 28 | Toral Current Assets | 12122532 | 14670406 | 2547874 | 12122532 | 14670406 | 2547874 |
| 29 | Property, plant and equipment; Net | 18042820 | 18618.498 | 575678 | 18042820 | 18618498 | 575678 |
| 30 | Leachable material, ner | 1156290 | 1162506 | 6216 | 1156290 | 1162506 | 6216 |
| 31 | Other long rerm assels | 2396980 | 2738.018 | 34 | 2396.98 | 2738013 | 341.033 |
| 32 | Total Assets | 33718.622 | 37489423 | 3470.801 | 33718.622 | 37489423 | 3470.801 |
| 33 | Liabilities and Stockholders" Equlty | ||||||
| 34 | Current term debt | 893555 | 297087 | -596468 | 893555 | 297087 | 596.4681 |
| 35 | Accumulated Ilabilities | 4219179 | 2177.683 | -4 | 2219.179 | 2177.683 | 41.4961 |
| 36 | Current labilities | 3112735 | 2474771 | -637964 | 3112735 | 2474771 | -637964 |
| 37 | Long-term debt | 7775267 | 9118.047 | 1342780 | 7775267 | 9118047 | 1342780 |
| 38 | Other non-current Ilabllltles | 2468.592 | 2439044 | 29.5 | 2468592 | 2439.044 | -29548 |
| 39 | Total Liabilitles | 13356593 | 14031861 | 675268 | 73356593 | 14031861 | 675268 |
| 40 | Stock holders equlty | 2003496 | 2003496 | 0 | 2003496 | 2003496 | 0 |
| 41 | Other equity accounts | 2.981 | -2159416 | 822313 | 2.981 | -2159416 | 822313 |
| 42 | Retaining eamings | 18908.417 | 20586690 | 1678274 | 18908417 | 20.5 | 1678.274 |
| 43 | Total Stockholders' equity | 17930183 | 20430770 | 2500587 | 17930183 | 20430770 | 2500587 |
| 44 | Non-controlling Interest: | 2431.846 | 2726.793 | 294946 | 2431846 | 2726793 | 294946 |
| 45 | Total Liabilities and Equity | 33718622 | 37189.423 | 3470801 | 33718622 | 37189423 | 3.47 |
| 46 | cASHFLOW | ||||||
| 47 | Net earnings | 1163074 | 1397738 | 234664 | 3431683 | 3855464 | 423781 |
| 48 | Depreciation; amortization and depletion | 396607 | 403008 | 6401 | 1193.846 | 1201634 | 7788 |
| 49 | Deferred income taxes | -27548 | -45067 | 17.5191 | -523 | -8494 | -7971 |
| 50 | Participation in subsidiary not consolidated and associated | -2471 | -11516 | 9045 | -15693 | -31863 | -16170 |
| 51 | Other Net | 57354 | 4.2891 | -61643 | 95677 | 27343 | -68334 |
| 52 | Changes in assets and liabilities | 243.866 | 239.521 | 4344 | -516.272 | -602749 | -86477 |
| 53 | Cash generated bY operating activities | 1830882 | 1979395 | 148514 | 4188718 | 4441335 | 252617 |
| 54 | Capital expenditures | -536052 | -464755 | 71297 | -1360457 | -1417546 | -57089 |
| 55 | Restricted casn | -28487 | -25663 | 2824 | -16959 | 6550 | 23509 |
| 56 | Other Net | 114.003 | 76.3201 | 40.684 | 227.971 | -332.348 | 104.377 |
| 57 | Cash used in investing activities | -681542 | -566738 | 114804 | -1605387 | -1743344 | -137957 |
| 58 | Debt incurred | 202423 | 25000 | -177423 | 278417 | 1557966 | 1279549 |
| 59 | Debt repaid | -96057 | -49825 | 46232 | -171058 | -786439 | -615381 |
| 60 | Dividends paid | -593511 | -669250 | -75739 | 1.622 | -1787030 | -164748 |
| 61 | CMXT common shares buyback | 0 | -2090 | 0 | 2090 | ||
| 62 | Payment of debt issuance costs | 0 | 0 | 0 | 0 | -6382 | 6.382 |
| 63 | Other Net | 91 | 79 | 12 | 308 | 237 | 71 |
| 64 | Cash used in financing activities | -487054 | -693996 | -206942 | -1516705 | -1021648 | 495057 |
| 65 | of exchance rate changes on cash and cash equivalents | 15937 | 81709 | 91.646 | -32.593 | -169.44 | -136848 |
| 66 | Net increase (decrease) cash & cash equivalents | 678222 | 636952 | -41270 | 1034034 | 1506902 | 472869 |
| 67 | Cash and cash equivalents Beginning of year | 6944202 | 9006730 | 2062528 | 6588.391 | 8136780 | 4548.389 |
| 68 | Cashand cash equivalents End of year | 4622.425 | 9643683 | 2021.258 | 7622.425 | 9643683 | 2021.258 |