Frontierby eninvs

Language: EN · RU

← Company

MX_GMEXICO 2025-09-30 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/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 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
Revenue13 024.18Row: revenue (mln USD, batch apply) · dashboard=13,024.180 mln — [DeepSeek] revenue (mln USD, batch apply)
Operating profit5 838.1Row: operating_profit (mln USD, batch apply) · dashboard=5,838.102 mln — [DeepSeek] operating_profit (mln USD, batch apply)
D&A1 201.63Row: da (mln USD, batch apply) · dashboard=1,201.634 mln — [DeepSeek] da (mln USD, batch apply)
EBITDA7 039.74Row: ebitda (mln USD, batch apply) · dashboard=7,039.736 mln — [DeepSeek] ebitda (mln USD, batch apply)
Net profit3 313.86Row: net_profit (mln USD, batch apply) · dashboard=3,313.863 mln — [DeepSeek] net_profit (mln USD, batch apply)
Cash9 643.68Row: cash (mln USD, batch apply) · dashboard=9,643.683 mln — [DeepSeek] cash (mln USD, batch apply)
Debt short297.09Row: debt_short (mln USD, batch apply) · dashboard=297.087 mln — [DeepSeek] debt_short (mln USD, batch apply)
Debt long9 118.05Row: debt_long (mln USD, batch apply) · dashboard=9,118.047 mln — [DeepSeek] debt_long (mln USD, batch apply)
Net debt-228.55Components: 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 CF4 441.34Row: operating_cash_flow (mln USD, batch apply) · dashboard=4,441.335 mln — [DeepSeek] operating_cash_flow (mln USD, batch apply)
Investing CF-1 743.34Row: investing_cash_flow (mln USD, batch apply) · dashboard=-1,743.344 mln — [DeepSeek] investing_cash_flow (mln USD, batch apply)
Assets37 189.42Row: total_assets (mln USD, batch apply) · dashboard=37,189.423 mln — [DeepSeek] total_assets (mln USD, batch apply)
Equity20 430.77Row: total_equity (mln USD, batch apply) · dashboard=20,430.770 mln — [DeepSeek] total_equity (mln USD, batch apply)

Consistency checks · All checks passed

Balance sheet identity (A = L + E)TA (37,189) ≈ TL (16,759) + TE (20,431); residual +0 within 1%.
Net debt formulanet_debt -229 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = -229.
EBITDA = OP + D&AEBITDA (7,040) ≈ OP (5,838) + D&A (1,202) = 7,040.
Net profit vs operating profitNet profit (3,314) sits within a plausible band vs operating profit (5,838).
Cash ≤ total assetsCash (9,644) ≤ total assets (37,189).

Statement pages (discovery)

FormPages
P&L16
BS16
CF16

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
Revenue13 024.18
Operating profit5 838.1
EBITDA7 039.74
Net profit3 313.86
D&A1 201.63
P&L — PDF page 16
PDF page scan — P&L — 16
P&L PDF page 16

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 16 (69 rows). Blank amount cells are normal for section headers and line-wrapped captions; 0 from OCR on those rows is not a reported financial zero. Amounts follow the PDF header (often thousands of currency).

#Joined labelColumn 2Column 3Column 420242025Column 7
0THIRD QUARTER RESULTS 2025 GrupoMexico
1(Thousands of US Dollars)
2SATEMENL OE EARNINGS3320242025
3Net sales412651945921384656191232265913024180701521
4Cost Of sales1876662200177312511155557825666969111186
5Exploration16.62216.09253059.4451.6067.8351
6Gross profit2233235257427334103967074367305605598169
7Gross margin5409548056967
8Administrative expenses8540091836643725519526586910674
9EBITDA2173485250513733165364719567083491611535
10Depreciation; amortization and depletion396.607403.0086.401493.8461201.6347.788
11operating income1751228207942932820152583955838102579707
12Operating margin427045900439045900
13Interest expense1396111535891397742736745519227825
14Incerest income-113.116-109.8853232-316113-327705-11592
15Other (income) expense; net5.6492294919715143.755224040
16Earnings before Tax1750383205842530804351668565754370587514
17Taxes5897796722028242317508661930769179903
18Participation in subsidiary nor consolidated and associated245169.045115.6931-31863161701
19Net Earnings1163074139773823466434316833855464423781
20Net income attributable t0 the non-controlling interest15188.61430.92349672454160144877
21Net Income attributable tQ CM5.38442092037429349593313863378904
22BALANCE SHEET
23Cash and cash equivalents762242596436832021258762242596436832021258
24Restricted cash738283573938.08917382835739-38089
25Notes and accounts recelvable22725032495983223.4822725032495983223480
26Inventones13720261483737171113720261483737111711
27Prer pald and others current assets781751264229513781751229513
28Toral Current Assets1212253214670406254787412122532146704062547874
29Property, plant and equipment; Net1804282018618.4985756781804282018618498575678
30Leachable material, ner115629011625066216115629011625066216
31Other long rerm assels23969802738.018342396.982738013341.033
32Total Assets33718.622374894233470.80133718.622374894233470.801
33Liabilities and Stockholders" Equlty
34Current term debt893555297087-596468893555297087596.4681
35Accumulated Ilabilities42191792177.683-42219.1792177.68341.4961
36Current labilities31127352474771-63796431127352474771-637964
37Long-term debt77752679118.0471342780777526791180471342780
38Other non-current Ilabllltles2468.592243904429.524685922439.044-29548
39Total Liabilitles13356593140318616752687335659314031861675268
40Stock holders equlty200349620034960200349620034960
41Other equity accounts2.981-21594168223132.981-2159416822313
42Retaining eamings18908.4172058669016782741890841720.51678.274
43Total Stockholders' equity1793018320430770250058717930183204307702500587
44Non-controlling Interest:2431.8462726.79329494624318462726793294946
45Total Liabilities and Equity3371862237189.423347080133718622371894233.47
46cASHFLOW
47Net earnings1163074139773823466434316833855464423781
48Depreciation; amortization and depletion39660740300864011193.84612016347788
49Deferred income taxes-27548-4506717.5191-523-8494-7971
50Participation in subsidiary not consolidated and associated-2471-115169045-15693-31863-16170
51Other Net573544.2891-616439567727343-68334
52Changes in assets and liabilities243.866239.5214344-516.272-602749-86477
53Cash generated bY operating activities1830882197939514851441887184441335252617
54Capital expenditures-536052-46475571297-1360457-1417546-57089
55Restricted casn-28487-256632824-16959655023509
56Other Net114.00376.320140.684227.971-332.348104.377
57Cash used in investing activities-681542-566738114804-1605387-1743344-137957
58Debt incurred20242325000-17742327841715579661279549
59Debt repaid-96057-4982546232-171058-786439-615381
60Dividends paid-593511-669250-757391.622-1787030-164748
61CMXT common shares buyback0-209002090
62Payment of debt issuance costs0000-63826.382
63Other Net91791230823771
64Cash used in financing activities-487054-693996-206942-1516705-1021648495057
65of exchance rate changes on cash and cash equivalents159378170991.646-32.593-169.44-136848
66Net increase (decrease) cash & cash equivalents678222636952-4127010340341506902472869
67Cash and cash equivalents Beginning of year6944202900673020625286588.39181367804548.389
68Cashand cash equivalents End of year4622.42596436832021.2587622.42596436832021.258

BS

Extracted metrics for this form (this period row)

MetricValue
Cash9 643.68
Debt Short297.09
Debt Long9 118.05
Assets37 189.42
Equity20 430.77
Net debt-228.55
BS — PDF page 16
PDF page scan — BS — 16
BS PDF page 16

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 16 (69 rows). Blank amount cells are normal for section headers and line-wrapped captions; 0 from OCR on those rows is not a reported financial zero. Amounts follow the PDF header (often thousands of currency).

#Joined labelColumn 2Column 3Column 420242025Column 7
0THIRD QUARTER RESULTS 2025 GrupoMexico
1(Thousands of US Dollars)
2SATEMENL OE EARNINGS3320242025
3Net sales412651945921384656191232265913024180701521
4Cost Of sales1876662200177312511155557825666969111186
5Exploration16.62216.09253059.4451.6067.8351
6Gross profit2233235257427334103967074367305605598169
7Gross margin5409548056967
8Administrative expenses8540091836643725519526586910674
9EBITDA2173485250513733165364719567083491611535
10Depreciation; amortization and depletion396.607403.0086.401493.8461201.6347.788
11operating income1751228207942932820152583955838102579707
12Operating margin427045900439045900
13Interest expense1396111535891397742736745519227825
14Incerest income-113.116-109.8853232-316113-327705-11592
15Other (income) expense; net5.6492294919715143.755224040
16Earnings before Tax1750383205842530804351668565754370587514
17Taxes5897796722028242317508661930769179903
18Participation in subsidiary nor consolidated and associated245169.045115.6931-31863161701
19Net Earnings1163074139773823466434316833855464423781
20Net income attributable t0 the non-controlling interest15188.61430.92349672454160144877
21Net Income attributable tQ CM5.38442092037429349593313863378904
22BALANCE SHEET
23Cash and cash equivalents762242596436832021258762242596436832021258
24Restricted cash738283573938.08917382835739-38089
25Notes and accounts recelvable22725032495983223.4822725032495983223480
26Inventones13720261483737171113720261483737111711
27Prer pald and others current assets781751264229513781751229513
28Toral Current Assets1212253214670406254787412122532146704062547874
29Property, plant and equipment; Net1804282018618.4985756781804282018618498575678
30Leachable material, ner115629011625066216115629011625066216
31Other long rerm assels23969802738.018342396.982738013341.033
32Total Assets33718.622374894233470.80133718.622374894233470.801
33Liabilities and Stockholders" Equlty
34Current term debt893555297087-596468893555297087596.4681
35Accumulated Ilabilities42191792177.683-42219.1792177.68341.4961
36Current labilities31127352474771-63796431127352474771-637964
37Long-term debt77752679118.0471342780777526791180471342780
38Other non-current Ilabllltles2468.592243904429.524685922439.044-29548
39Total Liabilitles13356593140318616752687335659314031861675268
40Stock holders equlty200349620034960200349620034960
41Other equity accounts2.981-21594168223132.981-2159416822313
42Retaining eamings18908.4172058669016782741890841720.51678.274
43Total Stockholders' equity1793018320430770250058717930183204307702500587
44Non-controlling Interest:2431.8462726.79329494624318462726793294946
45Total Liabilities and Equity3371862237189.423347080133718622371894233.47
46cASHFLOW
47Net earnings1163074139773823466434316833855464423781
48Depreciation; amortization and depletion39660740300864011193.84612016347788
49Deferred income taxes-27548-4506717.5191-523-8494-7971
50Participation in subsidiary not consolidated and associated-2471-115169045-15693-31863-16170
51Other Net573544.2891-616439567727343-68334
52Changes in assets and liabilities243.866239.5214344-516.272-602749-86477
53Cash generated bY operating activities1830882197939514851441887184441335252617
54Capital expenditures-536052-46475571297-1360457-1417546-57089
55Restricted casn-28487-256632824-16959655023509
56Other Net114.00376.320140.684227.971-332.348104.377
57Cash used in investing activities-681542-566738114804-1605387-1743344-137957
58Debt incurred20242325000-17742327841715579661279549
59Debt repaid-96057-4982546232-171058-786439-615381
60Dividends paid-593511-669250-757391.622-1787030-164748
61CMXT common shares buyback0-209002090
62Payment of debt issuance costs0000-63826.382
63Other Net91791230823771
64Cash used in financing activities-487054-693996-206942-1516705-1021648495057
65of exchance rate changes on cash and cash equivalents159378170991.646-32.593-169.44-136848
66Net increase (decrease) cash & cash equivalents678222636952-4127010340341506902472869
67Cash and cash equivalents Beginning of year6944202900673020625286588.39181367804548.389
68Cashand cash equivalents End of year4622.42596436832021.2587622.42596436832021.258

CF

Extracted metrics for this form (this period row)

MetricValue
Operating CF4 441.34
Investing CF-1 743.34
CF — PDF page 16
PDF page scan — CF — 16
CF PDF page 16

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 16 (69 rows). Blank amount cells are normal for section headers and line-wrapped captions; 0 from OCR on those rows is not a reported financial zero. Amounts follow the PDF header (often thousands of currency).

#Joined labelColumn 2Column 3Column 420242025Column 7
0THIRD QUARTER RESULTS 2025 GrupoMexico
1(Thousands of US Dollars)
2SATEMENL OE EARNINGS3320242025
3Net sales412651945921384656191232265913024180701521
4Cost Of sales1876662200177312511155557825666969111186
5Exploration16.62216.09253059.4451.6067.8351
6Gross profit2233235257427334103967074367305605598169
7Gross margin5409548056967
8Administrative expenses8540091836643725519526586910674
9EBITDA2173485250513733165364719567083491611535
10Depreciation; amortization and depletion396.607403.0086.401493.8461201.6347.788
11operating income1751228207942932820152583955838102579707
12Operating margin427045900439045900
13Interest expense1396111535891397742736745519227825
14Incerest income-113.116-109.8853232-316113-327705-11592
15Other (income) expense; net5.6492294919715143.755224040
16Earnings before Tax1750383205842530804351668565754370587514
17Taxes5897796722028242317508661930769179903
18Participation in subsidiary nor consolidated and associated245169.045115.6931-31863161701
19Net Earnings1163074139773823466434316833855464423781
20Net income attributable t0 the non-controlling interest15188.61430.92349672454160144877
21Net Income attributable tQ CM5.38442092037429349593313863378904
22BALANCE SHEET
23Cash and cash equivalents762242596436832021258762242596436832021258
24Restricted cash738283573938.08917382835739-38089
25Notes and accounts recelvable22725032495983223.4822725032495983223480
26Inventones13720261483737171113720261483737111711
27Prer pald and others current assets781751264229513781751229513
28Toral Current Assets1212253214670406254787412122532146704062547874
29Property, plant and equipment; Net1804282018618.4985756781804282018618498575678
30Leachable material, ner115629011625066216115629011625066216
31Other long rerm assels23969802738.018342396.982738013341.033
32Total Assets33718.622374894233470.80133718.622374894233470.801
33Liabilities and Stockholders" Equlty
34Current term debt893555297087-596468893555297087596.4681
35Accumulated Ilabilities42191792177.683-42219.1792177.68341.4961
36Current labilities31127352474771-63796431127352474771-637964
37Long-term debt77752679118.0471342780777526791180471342780
38Other non-current Ilabllltles2468.592243904429.524685922439.044-29548
39Total Liabilitles13356593140318616752687335659314031861675268
40Stock holders equlty200349620034960200349620034960
41Other equity accounts2.981-21594168223132.981-2159416822313
42Retaining eamings18908.4172058669016782741890841720.51678.274
43Total Stockholders' equity1793018320430770250058717930183204307702500587
44Non-controlling Interest:2431.8462726.79329494624318462726793294946
45Total Liabilities and Equity3371862237189.423347080133718622371894233.47
46cASHFLOW
47Net earnings1163074139773823466434316833855464423781
48Depreciation; amortization and depletion39660740300864011193.84612016347788
49Deferred income taxes-27548-4506717.5191-523-8494-7971
50Participation in subsidiary not consolidated and associated-2471-115169045-15693-31863-16170
51Other Net573544.2891-616439567727343-68334
52Changes in assets and liabilities243.866239.5214344-516.272-602749-86477
53Cash generated bY operating activities1830882197939514851441887184441335252617
54Capital expenditures-536052-46475571297-1360457-1417546-57089
55Restricted casn-28487-256632824-16959655023509
56Other Net114.00376.320140.684227.971-332.348104.377
57Cash used in investing activities-681542-566738114804-1605387-1743344-137957
58Debt incurred20242325000-17742327841715579661279549
59Debt repaid-96057-4982546232-171058-786439-615381
60Dividends paid-593511-669250-757391.622-1787030-164748
61CMXT common shares buyback0-209002090
62Payment of debt issuance costs0000-63826.382
63Other Net91791230823771
64Cash used in financing activities-487054-693996-206942-1516705-1021648495057
65of exchance rate changes on cash and cash equivalents159378170991.646-32.593-169.44-136848
66Net increase (decrease) cash & cash equivalents678222636952-4127010340341506902472869
67Cash and cash equivalents Beginning of year6944202900673020625286588.39181367804548.389
68Cashand cash equivalents End of year4622.42596436832021.2587622.42596436832021.258

Formulas used