Grupo Simec, S.A.B. de C.V. (SIM)

USD 26.89

(0.0%)

Annual Cash Flows

(In MXN)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 5.17 Billion 8.79 Billion 8.38 Billion 3.63 Billion 1.04 Billion 3.18 Billion
Net Income 5.18 Billion 11 Billion 13.83 Billion 4.87 Billion 1.63 Billion 3.98 Billion
Depreciation & Amortization 1.02 Billion 1.11 Billion 1.17 Billion 1.45 Billion 1.1 Billion 1.11 Billion
Deferred income taxes -143.95 Million 3.29 Billion 4.38 Billion 2.07 Billion 3.27 Billion 752.46 Million
Stock-based compensation - - - - - -
Change in working capital -2.41 Billion -3.72 Billion -6.64 Billion -2.65 Billion -1.67 Billion -1.84 Billion
Other non-cash items 4.23 Billion -2.9 Billion 21.49 Million -54.08 Million -72.91 Million -67.94 Million
Investing Cash Flow -2.35 Billion -4.13 Billion -1 Billion -832.67 Million -106.68 Million -3.28 Billion
Investments in PPE -2.86 Billion -1.69 Billion -1.06 Billion -951.2 Million -1.27 Billion -1.99 Billion
Acquisitions - - - - 1.07 Billion -638.97 Million
Investment purchases - -2.85 Billion - - - -1.64 Billion
Sales/Maturities of investments 64.43 Million - - - - 741.28 Million
Other Investing Activities 511.1 Million 413.12 Million 56.74 Million 118.53 Million 93.7 Million 248.67 Million
Financing Cash Flow -89.04 Million 2.23 Billion -161.94 Million -2.08 Billion -211.1 Million -2.64 Billion
Debt repayment - -2.38 Billion - - - -
Dividends payments - - - -1.99 Billion - -
Common Stock Repurchased -89.04 Million -90.12 Million -74.49 Million -41.98 Million -156.05 Million -1.64 Billion
Common Stock Issuance - 90.12 Million - - - -
Other Financing Activities -155.35 Million 2.23 Billion -87.44 Million -53.74 Million -55.04 Million -1 Billion
Accounts receivables 6.79 Million -440.42 Million -1.8 Billion -795.68 Million 515.72 Million -1.08 Billion
Accounts payables -1.48 Billion 2.37 Billion 836.4 Million 1.06 Billion -151.98 Million 460.35 Million
Inventory 826.24 Million -1.54 Billion -2.71 Billion -777.41 Million 1.81 Billion -1.09 Billion
Other working capital -1.76 Billion -4.11 Billion -2.96 Billion -2.14 Billion -3.85 Billion -124.32 Million
Cash at beginning of period 21.54 Billion 15.13 Billion 7.72 Billion 7.44 Billion 6.98 Billion 7.29 Billion
Cash at end of period 23.58 Billion 21.54 Billion 15.13 Billion 7.72 Billion 7.44 Billion 6.98 Billion
Capital Expenditure -2.86 Billion -1.69 Billion -1.06 Billion -951.2 Million -1.27 Billion -1.99 Billion
Effect of forex changes on cash -699.47 Million -471 Million 186.77 Million -434.22 Million -265.75 Million 21.33 Million
Net cash flow / Change in cash 2.03 Billion 6.41 Billion 7.4 Billion 281.25 Million 459.2 Million -305.31 Million
Free Cash Flow 2.31 Billion 7.09 Billion 7.32 Billion 2.68 Billion -228.66 Million 1.18 Billion

Cash Flow Charts