Grupo Financiero Inbursa, S.A.B. de C.V. (GPFOF)

USD 2.35

(0.0%)

Annual Cash Flows

(In MXN)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -42.91 Billion -8.53 Billion 37.58 Billion -6.06 Billion 8.39 Billion 14.78 Billion
Net Income 30.95 Billion 29.17 Billion 20.92 Billion 12.69 Billion 12.95 Billion 17.12 Billion
Depreciation & Amortization 1.07 Billion 1.01 Billion 520 Million 544 Million 527 Million 512 Million
Deferred income taxes - - - - - -
Stock-based compensation - - - - - -
Change in working capital -73.92 Billion -29.97 Billion 13.72 Billion -18 Billion -4.22 Billion -1.64 Billion
Other non-cash items -1.01 Billion -8.75 Billion 2.41 Billion -1.3 Billion -869 Million -1.21 Billion
Investing Cash Flow -7.93 Billion 1.26 Billion -7.26 Billion -5.85 Billion -265 Million -218 Million
Investments in PPE -9.18 Billion -2.73 Billion -771 Million -784 Million -882 Million -976 Million
Acquisitions - -155 Million -5.91 Billion 793 Million 617 Million 758 Million
Investment purchases -12.03 Billion -8.91 Billion -53.05 Billion -57.57 Billion -1.57 Billion -22.14 Billion
Sales/Maturities of investments - 8.91 Billion 36.42 Billion 628 Million 16.38 Billion 758 Million
Other Investing Activities 1.25 Billion 4.15 Billion 16.05 Billion 51.07 Billion -14.81 Billion 758 Million
Financing Cash Flow 49 Billion -3.7 Billion -5.7 Billion -1.19 Billion -10.59 Billion -3.52 Billion
Debt repayment -5.88 Billion -46.89 Billion -28.82 Billion -13.31 Billion -6.92 Billion -1.03 Billion
Dividends payments - - - - -9.94 Billion -3.18 Billion
Common Stock Repurchased -788 Million -4.53 Billion -5.7 Billion -1.19 Billion -652 Million -338 Million
Common Stock Issuance - - - - - -
Other Financing Activities 49.79 Billion 47.72 Billion 28.82 Billion 13.31 Billion 6.92 Billion -18.74 Billion
Accounts receivables - - - - - -
Accounts payables - - - - - -
Inventory - - - - - -
Other working capital -73.92 Billion -29.97 Billion 13.72 Billion -18 Billion -4.22 Billion 24.95 Billion
Cash at beginning of period 30.16 Billion 41.13 Billion 16.51 Billion 29.63 Billion 32.1 Billion 21.06 Billion
Cash at end of period 28.32 Billion 30.15 Billion 41.13 Billion 16.51 Billion 29.63 Billion 32.1 Billion
Capital Expenditure -9.18 Billion -2.73 Billion -771 Million -784 Million -882 Million -976 Million
Effect of forex changes on cash -139.05 Thousand - - - - -
Net cash flow / Change in cash -1.83 Billion -10.97 Billion 24.62 Billion -13.11 Billion -2.47 Billion 11.04 Billion
Free Cash Flow -52.09 Billion -11.26 Billion 36.81 Billion -6.85 Billion 7.5 Billion 13.8 Billion

Cash Flow Charts