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MX_WALMEX 2024-06-30 H1 — report review

Status: OK; Currency: MXN; 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_WALMEX/2024-06-30_Q2_walmex-2q24-mse.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)

Default view is fast (metric table + statement page numbers only) so reverse proxies do not time out. Use ?heavy=1 when you need embedded page images and Camelot tables.

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
Revenue453 608.73Row: revenue (mln MXN, batch apply) · dashboard=453,608.735 mln — [DeepSeek] revenue (mln MXN, batch apply)
Operating profit37 153.86Row: operating_profit (mln MXN, batch apply) · dashboard=37,153.856 mln — [DeepSeek] operating_profit (mln MXN, batch apply)
D&A0Row: derived: same-row components · dashboard=0.000 mln — derived: same-row components
EBITDA37 153.86Row: computed as operating_profit + D&A (D&A not split out in source → 0) · dashboard=37,153.856 mln — computed as operating_profit + D&A (D&A not split out in source → 0)
Net profit25 693.44Row: net_profit (mln MXN, batch apply) · dashboard=25,693.436 mln — [DeepSeek] net_profit (mln MXN, batch apply)
Cash48 509.09Row: cash (mln MXN, batch apply) · dashboard=48,509.093 mln — [DeepSeek] cash (mln MXN, batch apply)
Debt short4 493.95Row: debt_short (mln MXN, batch apply) · dashboard=4,493.952 mln — [DeepSeek] debt_short (mln MXN, batch apply)
Debt long72 118.58Row: debt_long (mln MXN, batch apply) · dashboard=72,118.579 mln — [DeepSeek] debt_long (mln MXN, batch apply)
Net debt28 103.44Components: short debt 4 493.95 + long debt 72 118.58 + other financial liab. 0 + NCI 0 − cash 48 509.09 = net debt 28 103.44.Row: net_debt (mln MXN, batch apply) · dashboard=28,103.438 mln — [DeepSeek] net_debt (mln MXN, batch apply)
Operating CF21 671.68Row: operating_cash_flow (mln MXN, batch apply) · dashboard=21,671.680 mln — [DeepSeek] operating_cash_flow (mln MXN, batch apply)
Investing CF21 671.68Row: investing_cash_flow (mln MXN, batch apply) · dashboard=21,671.680 mln — [DeepSeek] investing_cash_flow (mln MXN, batch apply)
Assets457 351.36Row: total_assets (mln MXN, batch apply) · dashboard=457,351.356 mln — [DeepSeek] total_assets (mln MXN, batch apply)
Equity193 547.29Row: total_equity (mln MXN, batch apply) · dashboard=193,547.287 mln — [DeepSeek] total_equity (mln MXN, batch apply)

Consistency checks · All checks passed

Balance sheet identity (A = L + E)TA (457,351) ≈ TL (263,804) + TE (193,547); residual +0 within 1%.
Net debt formulanet_debt 28,103 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 28,103.
EBITDA = OP + D&AEBITDA (37,154) ≈ OP (37,154) + D&A (0) = 37,154.
Net profit vs operating profitNet profit (25,693) sits within a plausible band vs operating profit (37,154).
Cash ≤ total assetsCash (48,509) ≤ total assets (457,351).

Statement pages (discovery)

FormPages
P&L20, 21, 22
BS18, 19, 20
CF23, 24, 25

Below: last full statement reconstruction (PDF scans + tables + subtotal checks) cached from a ?heavy=1 run. Open heavy mode to rebuild if the PDF, discovery, or extraction changed. full previews & tables (?heavy=1).

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
Revenue453 608.73
Operating profit37 153.86
EBITDA37 153.86
Net profit25 693.44
D&A0

Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.

P&L — PDF page 20
PDF page scan — P&L — 20
P&L PDF page 20

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 20 (20 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 3
0Other non-current financial liabilities
1Non-current lease liabilities7211857900070941673000
2Other non-current non-financial liabilities
3Non-current provisions [abstract]
4Non-current provisions for employee benelits24467430002327110000
5Other non-current provisions
6Total non-current provisions24467430002327110000
7Deferred tax liabilities27053300004481551000
8Total non-current liabilities8136184900081242066000
9Total liabilities263804069000237460579000
10Equity [abstract]
11Issued capital45.429245429160000
12Share premium-5715934000-6454865000
13Treasury shares
14Retained earnings139319991000151020031000
15Other reserves145140700009091711000
16Total equity attributable t0 owners of parent193547287000199086037000
17Non-controlling interests
18Total equity193547287000199086037000
19Total equity and liabilities457351356000436546616000
P&L — PDF page 21
PDF page scan — P&L — 21
P&L PDF page 21

Camelot table (pages 21, primary page 21).

#Joined labelLine itemColumn 2Column 3Column 4Column 5
0oncept Accumulated Accumulated Quarter Current Quarter Previous Current Year Previous Year Year Year 2024-01-01 - 2024- 2023-01-01 - 2023- 2024-04-01 - 2024- 2023-04-01 - 2023- 06-30 06-30 06-30 06-30 Profit or loss [abstract] Profit (loss) [abstract]oncept Accumulated Accumulated Quarter Current Quarter Previous Current Year Previous Year Ye
1Revenue 453,608,735,000 419,799,821,000 227,415,117,000 213,724,839,000Revenue453,608,735,000419,799,821,000227,415,117,000213,724,839,000
2Cost of sales 344,525,807,000 321,302,945,000 172,500,625,000 163,902,915,000Cost of sales344,525,807,000321,302,945,000172,500,625,000163,902,915,000
3Gross profit 109,082,928,000 98,496,876,000 54,914,492,000 49,821,924,000Gross profit109,082,928,00098,496,876,00054,914,492,00049,821,924,000
4Distribution costs 0 0 0 0Distribution costs0000
5Administrative expenses 73,293,590,000 64,518,524,000 37,827,399,000 32,973,077,000Administrative expenses73,293,590,00064,518,524,00037,827,399,00032,973,077,000
6Other income 1,703,130,000 826,444,000 1,095,582,000 442,294,000Other income1,703,130,000826,444,0001,095,582,000442,294,000
7Other expense 338,612,000 630,334,000 198,573,000 453,862,000Other expense338,612,000630,334,000198,573,000453,862,000
8Profit (loss) from operating activities 37,153,856,000 34,174,462,000 17,984,102,000 16,837,279,000Profit (loss) from operating activities37,153,856,00034,174,462,00017,984,102,00016,837,279,000
9Finance income 1,807,070,000 1,906,182,000 1,054,371,000 806,775,000Finance income1,807,070,0001,906,182,0001,054,371,000806,775,000
10Finance costs 5,508,362,000 4,376,635,000 2,731,765,000 1,959,738,000Finance costs5,508,362,0004,376,635,0002,731,765,0001,959,738,000
11Share of profit (loss) of associates and joint ventures accounted for using equity method 0 0 0 0Share of profit (loss) of associates and joint ventures accounted for using equity method0000
12Profit (loss) before tax 33,452,564,000 31,704,009,000 16,306,708,000 15,684,316,000Profit (loss) before tax33,452,564,00031,704,009,00016,306,708,00015,684,316,000
13Tax income (expense) 7,759,128,000 8,740,951,000 3,796,583,000 4,240,225,000Tax income (expense)7,759,128,0008,740,951,0003,796,583,0004,240,225,000
14Profit (loss) from continuing operations 25,693,436,000 22,963,058,000 12,510,125,000 11,444,091,000Profit (loss) from continuing operations25,693,436,00022,963,058,00012,510,125,00011,444,091,000
15Profit (loss) from discontinued operations 0 0 0 0Profit (loss) from discontinued operations0000
16Profit (loss) 25,693,436,000 22,963,058,000 12,510,125,000 11,444,091,000Profit (loss)25,693,436,00022,963,058,00012,510,125,00011,444,091,000
17Profit (loss), attributable to [abstract]Profit (loss), attributable to [abstract]
18Profit (loss), attributable to owners of parent 25,693,436,000 22,963,058,000 12,510,125,000 11,444,091,000Profit (loss), attributable to owners of parent 25,693,436,000 22,963,058,000 12,510,125,000 11,
19Profit (loss), attributable to non-controlling interests 0 0 0 0Profit (loss), attributable to non-controlling interests 0 0 0 0
20Earnings per share [text block]Earnings per share [text block]
21Earnings per share [abstract] Earnings per share [line items] Basic earnings per share [abstract]Earnings per share [abstract] Earnings per share [line items] Basic earnings per s
22Basic earnings (loss) per share from continuing operations 1.47 1.32 0.72 0.66Basic earnings (loss) per share from continuing operations 1.47 1.32 0.72 0.66
23Basic earnings (loss) per share from discontinued operations 0 0 0 0Basic earnings (loss) per share from discontinued operations 0 0 0 0
24Total basic earnings (loss) per share 1.47 1.32 0.72 0.66Total basic earnings (loss) per share 1.47 1.32 0.72 0.66
25Diluted earnings per share [abstract]Diluted earnings per share [abstract]
26Diluted earnings (loss) per share from continuing operations 1.47 1.32 0.72 0.66Diluted earnings (loss) per share from continuing operations 1.47 1.32 0.72 0.66
27Diluted earnings (loss) per share from discontinued operations 0 0 0 0Diluted earnings (loss) per share from discontinued operations 0 0 0 0
28Total diluted earnings (loss) per share 1.47 1.32 0.72 0.66Total diluted earnings (loss) per share 1.47 1.32 0.72 0.66

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

BS

Extracted metrics for this form (this period row)

MetricValue
Cash48 509.09
Debt Short4 493.95
Debt Long72 118.58
Assets457 351.36
Equity193 547.29
Net debt28 103.44

Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.

BS — PDF page 18
PDF page scan — BS — 18
BS PDF page 18

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 18 (2 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 label2024
0Wal-Mart de Mexico, S.AB: de C.V: Consolidated
1Ticker: WALMEX Quarter: Year:2024
BS — PDF page 19
PDF page scan — BS — 19
BS PDF page 19

Camelot table (pages 19, primary page 19).

#Joined labelLine itemColumn 2Column 3
0Statement of financial position [abstract]Statement of financial position [abstract]
1Assets [abstract]Assets [abstract]
2Current assets [abstract]Current assets [abstract]
3Cash and cash equivalents 48,509,093,000 40,668,985,000Cash and cash equivalents48,509,093,00040,668,985,000
4Trade and other current receivables 18,127,459,000 19,027,619,000Trade and other current receivables18,127,459,00019,027,619,000
5Current tax assets, current 2,580,703,000 3,932,476,000Current tax assets, current2,580,703,0003,932,476,000
6Other current financial assets 0 0Other current financial assets00
7Current inventories 100,680,419,000 95,088,332,000Current inventories100,680,419,00095,088,332,000
8Current biological assets 0 0Current biological assets00
9Other current non-financial assets 1,970,298,000 1,024,900,000Other current non-financial assets1,970,298,0001,024,900,000
10Total current assets other than non-current assets or disposal groups classified as held for sale or as held for 171,867,972,000 159,742,312,000Total current assets other than non-current assets or disposal groups classified as held for sale or171,867,972,000159,742,312,000
11distribution to ownersdistribution to owners
12Non-current assets or disposal groups classified as held for sale or as held for distribution to owners 0 0Non-current assets or disposal groups classified as held for sale or as held for distribution to own00
13Total current assets 171,867,972,000 159,742,312,000Total current assets171,867,972,000159,742,312,000
14Non-current assets [abstract]Non-current assets [abstract]
15Trade and other non-current receivables 0 0Trade and other non-current receivables00
16Current tax assets, non-current 302,918,000 364,821,000Current tax assets, non-current302,918,000364,821,000
17Non-current inventories 0 0Non-current inventories00
18Non-current biological assets 0 0Non-current biological assets00
19Other non-current financial assets 1,448,151,000 1,318,955,000Other non-current financial assets1,448,151,0001,318,955,000
20Investments accounted for using equity method 0 0Investments accounted for using equity method00
21Investments in subsidiaries, joint ventures and associates 0 0Investments in subsidiaries, joint ventures and associates00
22Property, plant and equipment 161,297,475,000 156,127,476,000Property, plant and equipment161,297,475,000156,127,476,000
23Investment property 4,844,314,000 4,995,315,000Investment property4,844,314,0004,995,315,000
24Right-of-use assets that do not meet definition of investment property 61,710,819,000 61,483,671,000Right-of-use assets that do not meet definition of investment property61,710,819,00061,483,671,000
25Goodwill 36,974,428,000 34,296,811,000Goodwill36,974,428,00034,296,811,000
26Intangible assets other than goodwill 4,002,573,000 4,039,409,000Intangible assets other than goodwill4,002,573,0004,039,409,000
27Deferred tax assets 14,902,706,000 14,177,846,000Deferred tax assets14,902,706,00014,177,846,000
28Other non-current non-financial assets 0 0Other non-current non-financial assets00
29Total non-current assets 285,483,384,000 276,804,304,000Total non-current assets285,483,384,000276,804,304,000
30Total assets 457,351,356,000 436,546,616,000Total assets457,351,356,000436,546,616,000
31Equity and liabilities [abstract]Equity and liabilities [abstract]
32Liabilities [abstract]Liabilities [abstract]
33Current liabilities [abstract]Current liabilities [abstract]
34Trade and other current payables 173,700,187,000 148,714,546,000Trade and other current payables173,700,187,000148,714,546,000
35Current tax liabilities, current 1,841,326,000 1,214,037,000Current tax liabilities, current1,841,326,0001,214,037,000
36Other current financial liabilities 0 0Other current financial liabilities00
37Current lease liabilities 4,493,952,000 4,312,123,000Current lease liabilities4,493,952,0004,312,123,000
38Other current non-financial liabilities 0 0Other current non-financial liabilities00
39Current provisions [abstract]Current provisions [abstract]
40Current provisions for employee benefits 0 0Current provisions for employee benefits00
41Other current provisions 2,406,755,000 1,977,807,000Other current provisions2,406,755,0001,977,807,000
42Total current provisions 2,406,755,000 1,977,807,000Total current provisions2,406,755,0001,977,807,000
43Total current liabilities other than liabilities included in disposal groups classified as held for sale 182,442,220,000 156,218,513,000Total current liabilities other than liabilities included in disposal groups classified as held for 182,442,220,000156,218,513,000
44Liabilities included in disposal groups classified as held for sale 0 0Liabilities included in disposal groups classified as held for sale00
45Total current liabilities 182,442,220,000 156,218,513,000Total current liabilities182,442,220,000156,218,513,000
46Non-current liabilities [abstract]Non-current liabilities [abstract]
47Trade and other non-current payables 4,091,197,000 3,491,732,000Trade and other non-current payables4,091,197,0003,491,732,000
48Current tax liabilities, non-current 0 0Current tax liabilities, non-current00

Subtotals vs summed lines (heuristic)

For each recognised total/subtotal row, amounts in the detected reporting column are summed over preceding detail rows until another subtotal or a lookback limit. This mirrors coarse PHP-style checks; it is not a full chart-of-accounts reconciliation.

RowLabel (trimmed)Σ detailReported|Δ|/scaleStatus
10Total current assets other than non-current assets or disposal groups classified as held for sale or as held for 171,867,972,000 159,742,312,000159.742e9159.742e90.0000OK (7 lines)
29Total non-current assets 285,483,384,000 276,804,304,000276.804e9276.804e90.0000OK (14 lines)
43Total current liabilities other than liabilities included in disposal groups classified as held for sale 182,442,220,000 156,218,513,000594.743e9156.219e90.7373Mismatch (9 lines)

CF

Extracted metrics for this form (this period row)

MetricValue
Operating CF21 671.68
Investing CF21 671.68

Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.

CF — PDF page 23
PDF page scan — CF — 23
CF PDF page 23

Camelot table (pages 23, primary page 23).

#Joined labelLine item2024-01-012023-01-012024-04-012023-04-01
0Wal-Mart de México, S.A.B. de C.V. ConsolidatedWal-Mart de México, S.A.B. de C.V.Consolidated
1Ticker: WALMEX Quarter: 2 Year: 2024Ticker: WALMEXQuarter: 2 Year: 2024
2Concept Accumulated Accumulated Quarter Current Quarter PreviousConceptAccumulatedAccumulatedQuarter CurrentQuarter Previous
3Current Year Previous Year Year YearCurrent YearPrevious YearYearYear
42024-01-01 - 2024- 2023-01-01 - 2023- 2024-04-01 - 2024- 2023-04-01 - 2023-2024-01-01 - 2024-2023-01-01 - 2023-2024-04-01 - 2024-2023-04-01 - 2023-
506-30 06-30 06-30 06-3006-3006-3006-3006-30
6Reclassification adjustments on change in value of time value of 0 0 0 0Reclassification adjustments on change in value of time value of0000
7options, net of taxoptions, net of tax
8Other comprehensive income, net of tax, change in value of time 0 0 0 0Other comprehensive income, net of tax, change in value of time0000
9value of optionsvalue of options
10Change in value of forward elements of forward contractsChange in value of forward elements of forward contracts
11[abstract][abstract]
12Gains (losses) on change in value of forward elements of forward 0 0 0 0Gains (losses) on change in value of forward elements of forward0000
13contracts, net of taxcontracts, net of tax
14Reclassification adjustments on change in value of forward 0 0 0 0Reclassification adjustments on change in value of forward0000
15elements of forward contracts, net of taxelements of forward contracts, net of tax
16Other comprehensive income, net of tax, change in value of forward 0 0 0 0Other comprehensive income, net of tax, change in value of forward0000
17elements of forward contractselements of forward contracts
18Change in value of foreign currency basis spreads [abstract]Change in value of foreign currency basis spreads [abstract]
19Gains (losses) on change in value of foreign currency basis 0 0 0 0Gains (losses) on change in value of foreign currency basis0000
20spreads, net of taxspreads, net of tax
21Reclassification adjustments on change in value of foreign currency 0 0 0 0Reclassification adjustments on change in value of foreign currency0000
22basis spreads, net of taxbasis spreads, net of tax
23Other comprehensive income, net of tax, change in value of foreign 0 0 0 0Other comprehensive income, net of tax, change in value of foreign0000
24currency basis spreadscurrency basis spreads
25Financial assets measured at fair value through otherFinancial assets measured at fair value through other
26comprehensive income [abstract]comprehensive income [abstract]
27Gains (losses) on financial assets measured at fair value through 0 0 0 0Gains (losses) on financial assets measured at fair value through0000
28other comprehensive income, net of taxother comprehensive income, net of tax
29Reclassification adjustments on financial assets measured at fair 0 0 0 0Reclassification adjustments on financial assets measured at fair0000
30value through other comprehensive income, net of taxvalue through other comprehensive income, net of tax
31Amounts removed from equity and adjusted against fair value of 0 0 0 0Amounts removed from equity and adjusted against fair value of0000
32financial assets on reclassification out of fair value through otherfinancial assets on reclassification out of fair value through other
33comprehensive income measurement category, net of taxcomprehensive income measurement category, net of tax
34Other comprehensive income, net of tax, financial assets measured 0 0 0 0Other comprehensive income, net of tax, financial assets measured0000
35at fair value through other comprehensive incomeat fair value through other comprehensive income
36Share of other comprehensive income of associates and joint 0 0 0 0Share of other comprehensive income of associates and joint0000
37ventures accounted for using equity method that will be reclassifiedventures accounted for using equity method that will be reclassified
38to profit or loss, net of taxto profit or loss, net of tax
39Total other comprehensive income that will be reclassified to profit 5,422,359,000 (4,981,652,000) 5,261,681,000 (4,111,264,000)Total other comprehensive income that will be reclassified to profit5,422,359,000(4,981,652,000)5,261,681,000(4,111,264,000)
40or loss, net of taxor loss, net of tax
41Total other comprehensive income 5,422,359,000 (4,981,652,000) 5,261,681,000 (4,111,264,000)Total other comprehensive income5,422,359,000(4,981,652,000)5,261,681,000(4,111,264,000)
42Total comprehensive income 31,115,795,000 17,981,406,000 17,771,806,000 7,332,827,000Total comprehensive income31,115,795,00017,981,406,00017,771,806,0007,332,827,000
43Comprehensive income attributable to [abstract]Comprehensive income attributable to [abstract]
44Comprehensive income, attributable to owners of parent 31,115,795,000 17,981,406,000 17,771,806,000 7,332,827,000Comprehensive income, attributable to owners of parent31,115,795,00017,981,406,00017,771,806,0007,332,827,000
45Comprehensive income, attributable to non-controlling interests 0 0 0 0Comprehensive income, attributable to non-controlling interests0000

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

CF — PDF page 24
PDF page scan — CF — 24
CF PDF page 24

Camelot table (pages 24, primary page 24).

#Joined labelLine itemColumn 2Column 3
006-30 06-3006-3006-30
1Statement of cash flows [abstract]Statement of cash flows [abstract]
2Cash flows from (used in) operating activities [abstract]Cash flows from (used in) operating activities [abstract]
3Profit (loss) 25,693,436,000 22,963,058,000Profit (loss)25,693,436,00022,963,058,000
4Adjustments to reconcile profit (loss) [abstract]Adjustments to reconcile profit (loss) [abstract]
5+ Discontinued operations 0 0+ Discontinued operations00
6+ Adjustments for income tax expense 7,759,128,000 8,740,951,000+ Adjustments for income tax expense7,759,128,0008,740,951,000
7+ (-) Adjustments for finance costs 2,943,682,000 2,349,237,000+ (-) Adjustments for finance costs2,943,682,0002,349,237,000
8+ Adjustments for depreciation and amortisation expense 11,006,748,000 10,005,428,000+ Adjustments for depreciation and amortisation expense11,006,748,00010,005,428,000
9+ Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss 6,775,000 45,290,000+ Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss6,775,00045,290,000
10+ Adjustments for provisions 234,051,000 330,233,000+ Adjustments for provisions234,051,000330,233,000
11+ (-) Adjustments for unrealised foreign exchange losses (gains) 134,410,000 14,835,000+ (-) Adjustments for unrealised foreign exchange losses (gains)134,410,00014,835,000
12+ Adjustments for share-based payments 220,379,000 227,703,000+ Adjustments for share-based payments220,379,000227,703,000
13+ (-) Adjustments for fair value losses (gains) 0 0+ (-) Adjustments for fair value losses (gains)00
14- Adjustments for undistributed profits of associates 0 0- Adjustments for undistributed profits of associates00
15+ (-) Adjustments for losses (gains) on disposal of non-current assets (359,338,000) 18,385,000+ (-) Adjustments for losses (gains) on disposal of non-current assets(359,338,000)18,385,000
160 000
17+ (-) Adjustments for decrease (increase) in inventories (4,598,982,000) (609,097,000)+ (-) Adjustments for decrease (increase) in inventories(4,598,982,000)(609,097,000)
18+ (-) Adjustments for decrease (increase) in trade accounts receivable 1,870,024,000 2,396,127,000+ (-) Adjustments for decrease (increase) in trade accounts receivable1,870,024,0002,396,127,000
19+ (-) Adjustments for decrease (increase) in other operating receivables (945,807,000) 150,882,000+ (-) Adjustments for decrease (increase) in other operating receivables(945,807,000)150,882,000
20+ (-) Adjustments for increase (decrease) in trade accounts payable (8,591,644,000) (5,240,595,000)+ (-) Adjustments for increase (decrease) in trade accounts payable(8,591,644,000)(5,240,595,000)
21+ (-) Adjustments for increase (decrease) in other operating payables (5,938,757,000) (3,523,928,000)+ (-) Adjustments for increase (decrease) in other operating payables(5,938,757,000)(3,523,928,000)
22+ Other adjustments for non-cash items 0 0+ Other adjustments for non-cash items00
23oncept Accumulated Accumulated Current Year Previous Year 2024-01-01 - 2024- 2023-01-01 - 2023- 06-30 06-30 Statement of cash flows [abstract] Cash flows from (used in) operating activities [abstract]oncept Accumulated Accumulated Current Year Previous Year 2024-01-01 - 2024- 2023-01-01 - 2023-
24Profit (loss) 25,693,436,000 22,963,058,000Profit (loss) 25,693,436,000 22,963,058,000
25Adjustments to reconcile profit (loss) [abstract]Adjustments to reconcile profit (loss) [abstract]
26+ Discontinued operations 0 0+ Discontinued operations00
27+ Adjustments for income tax expense 7,759,128,000 8,740,951,000+ Adjustments for income tax expense7,759,128,0008,740,951,000
28+ (-) Adjustments for finance costs 2,943,682,000 2,349,237,000+ (-) Adjustments for finance costs2,943,682,0002,349,237,000
29+ Adjustments for depreciation and amortisation expense 11,006,748,000 10,005,428,000+ Adjustments for depreciation and amortisation expense11,006,748,00010,005,428,000
30+ Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss 6,775,000 45,290,000+ Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss6,775,00045,290,000
31+ Adjustments for provisions 234,051,000 330,233,000+ Adjustments for provisions234,051,000330,233,000
32+ (-) Adjustments for unrealised foreign exchange losses (gains) 134,410,000 14,835,000+ (-) Adjustments for unrealised foreign exchange losses (gains)134,410,00014,835,000
33+ Adjustments for share-based payments 220,379,000 227,703,000+ Adjustments for share-based payments220,379,000227,703,000
34+ (-) Adjustments for fair value losses (gains) 0 0+ (-) Adjustments for fair value losses (gains)00
35- Adjustments for undistributed profits of associates 0 0- Adjustments for undistributed profits of associates00
36+ (-) Adjustments for losses (gains) on disposal of non-current assets (359,338,000) 18,385,000+ (-) Adjustments for losses (gains) on disposal of non-current assets(359,338,000)18,385,000
370 000
38+ (-) Adjustments for decrease (increase) in inventories (4,598,982,000) (609,097,000)+ (-) Adjustments for decrease (increase) in inventories(4,598,982,000)(609,097,000)
39+ (-) Adjustments for decrease (increase) in trade accounts receivable 1,870,024,000 2,396,127,000+ (-) Adjustments for decrease (increase) in trade accounts receivable1,870,024,0002,396,127,000
40+ (-) Adjustments for decrease (increase) in other operating receivables (945,807,000) 150,882,000+ (-) Adjustments for decrease (increase) in other operating receivables(945,807,000)150,882,000
41+ (-) Adjustments for increase (decrease) in trade accounts payable (8,591,644,000) (5,240,595,000)+ (-) Adjustments for increase (decrease) in trade accounts payable(8,591,644,000)(5,240,595,000)
42+ (-) Adjustments for increase (decrease) in other operating payables (5,938,757,000) (3,523,928,000)+ (-) Adjustments for increase (decrease) in other operating payables(5,938,757,000)(3,523,928,000)
43+ Other adjustments for non-cash items 0 0+ Other adjustments for non-cash items00
44+ Other adjustments for which cash effects are investing or financing cash flow 0 0+ Other adjustments for which cash effects are investing or financing cash flow00
45+ Straight-line rent adjustment 0 0+ Straight-line rent adjustment00
46+ Amortization of lease fees 0 0+ Amortization of lease fees00
47+ Setting property values 0 0+ Setting property values00
48+ (-) Other adjustments to reconcile profit (loss) 0 0+ (-) Other adjustments to reconcile profit (loss)00
49+ (-) Total adjustments to reconcile profit (loss) 3,740,669,000 14,905,451,000+ (-) Total adjustments to reconcile profit (loss)3,740,669,00014,905,451,000
50Net cash flows from (used in) operations 29,434,105,000 37,868,509,000Net cash flows from (used in) operations29,434,105,00037,868,509,000
51- Dividends paid 0 0- Dividends paid00
520 000
53- Interest paid 0 0- Interest paid00
54+ Interest received 0 0+ Interest received00
55+ (-) Income taxes refund (paid) 7,762,425,000 9,762,353,000+ (-) Income taxes refund (paid)7,762,425,0009,762,353,000
56+ (-) Other inflows (outflows) of cash 0 0+ (-) Other inflows (outflows) of cash00
57Net cash flows from (used in) operating activities 21,671,680,000 28,106,156,000Net cash flows from (used in) operating activities21,671,680,00028,106,156,000
58Cash flows from (used in) investing activities [abstract]Cash flows from (used in) investing activities [abstract]
59+ Cash flows from losing control of subsidiaries or other businesses 0 0+ Cash flows from losing control of subsidiaries or other businesses00
60- Cash flows used in obtaining control of subsidiaries or other businesses 0 169,023,000- Cash flows used in obtaining control of subsidiaries or other businesses0169,023,000
61+ Other cash receipts from sales of equity or debt instruments of other entities 0 0+ Other cash receipts from sales of equity or debt instruments of other entities00
62- Other cash payments to acquire equity or debt instruments of other entities 0 0- Other cash payments to acquire equity or debt instruments of other entities00
63+ Other cash receipts from sales of interests in joint ventures 0 0+ Other cash receipts from sales of interests in joint ventures00
64- Other cash payments to acquire interests in joint ventures 0 0- Other cash payments to acquire interests in joint ventures00
65+ Proceeds from sales of property, plant and equipment 556,953,000 153,303,000+ Proceeds from sales of property, plant and equipment556,953,000153,303,000
66- Purchase of property, plant and equipment 10,912,523,000 8,246,864,000- Purchase of property, plant and equipment10,912,523,0008,246,864,000
67+ Proceeds from sales of intangible assets 0 0+ Proceeds from sales of intangible assets00
68- Purchase of intangible assets 0 0- Purchase of intangible assets00
69+ Proceeds from sales of other long-term assets 0 0+ Proceeds from sales of other long-term assets00
70- Purchase of other long-term assets 0 0- Purchase of other long-term assets00

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

Formulas used