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Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 30 Jun 2024 | 31 Mar 2024 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $131.225 | $116.618 | |||
Short term investments | $1.048 | ||||
Net receivables | $59.205 | $58.979 | |||
Inventory | |||||
Total current assets | $257.778 | $247.836 | |||
Long term investments | $0.105 | ||||
Property, plant & equipment | $87.333 | $89.105 | |||
Goodwill & intangible assets | $348.017 | $353.291 | |||
Total noncurrent assets | $497.961 | $508.143 | |||
Total investments | $1.153 | ||||
Total assets | $755.739 | $755.979 | |||
Current liabilities | |||||
Accounts payable | $51.727 | $48.862 | |||
Deferred revenue | $41.36 | $42.135 | |||
Short long term debt | $11.564 | $11.295 | |||
Total current liabilities | $172.361 | $172.584 | |||
Long term debt | $465.93 | $466.337 | |||
Total noncurrent liabilities | $478.79 | $481.437 | |||
Total debt | $477.494 | $477.632 | |||
Total liabilities | $651.151 | $654.021 | |||
Stockholders' equity | |||||
Retained earnings | -$870.799 | -$860.509 | |||
Other stockholder equity | -$11.912 | -$11.553 | |||
Total stockholder equity | $104.588 | $101.958 |
(in millions USD) | 2024 | 2023 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $116.618 | $111.911 | ||
Short term investments | $1.048 | $26.228 | ||
Net receivables | $58.979 | $62.307 | ||
Inventory | ||||
Total current assets | $247.836 | $273.124 | ||
Long term investments | $0.105 | $0.818 | ||
Property, plant & equipment | $89.105 | $110.315 | ||
Goodwill & intangible assets | $353.291 | $373.975 | ||
Total noncurrent assets | $508.143 | $568.686 | ||
Total investments | $1.153 | $27.046 | ||
Total assets | $755.979 | $841.81 | ||
Current liabilities | ||||
Accounts payable | $48.862 | $46.802 | ||
Deferred revenue | $42.135 | $45.524 | ||
Short long term debt | $11.295 | $74.436 | ||
Total current liabilities | $172.584 | $229.887 | ||
Long term debt | $466.337 | $494.437 | ||
Total noncurrent liabilities | $481.437 | $512.017 | ||
Total debt | $477.632 | $568.873 | ||
Total liabilities | $654.021 | $741.904 | ||
Stockholders' equity | ||||
Retained earnings | -$860.509 | -$792.917 | ||
Other stockholder equity | -$11.553 | -$12.927 | ||
Total stockholder equity | $101.958 | $99.906 |
Income statement
(in millions USD) | 30 Jun 2024 | 31 Mar 2024 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $178.147 | $179.413 | |||
Cost of revenue | $57.187 | $56.969 | |||
Gross profit | $120.96 | $122.444 | |||
Operating activities | |||||
Research & development | $32.137 | $33.93 | |||
Selling, general & administrative | $90.197 | $102.733 | |||
Total operating expenses | $122.334 | $136.663 | |||
Operating income | -$1.374 | -$14.219 | |||
Income from continuing operations | |||||
EBIT | -$9.614 | -$21.525 | |||
Income tax expense | $0.676 | $2.066 | |||
Interest expense | |||||
Net income | |||||
Net income | -$10.29 | -$23.591 | |||
Income (for common shares) | -$10.29 | -$23.591 |
(in millions USD) | 2024 | 2023 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $728.705 | $743.938 | ||
Cost of revenue | $224.905 | $241.475 | ||
Gross profit | $503.8 | $502.463 | ||
Operating activities | ||||
Research & development | $136.216 | $146.22 | ||
Selling, general & administrative | $384.153 | $422.535 | ||
Total operating expenses | $531.403 | $568.755 | ||
Operating income | -$27.603 | -$66.292 | ||
Income from continuing operations | ||||
EBIT | -$63.95 | -$70.336 | ||
Income tax expense | $3.642 | $2.807 | ||
Interest expense | ||||
Net income | ||||
Net income | -$67.592 | -$73.143 | ||
Income (for common shares) | -$67.592 | -$73.143 |
Cash flows
(in millions USD) | 30 Jun 2024 | 31 Mar 2024 | |||
---|---|---|---|---|---|
Net income | -$10.29 | -$23.591 | |||
Operating activities | |||||
Depreciation | $10.765 | $11.335 | |||
Business acquisitions & disposals | |||||
Stock-based compensation | $12.801 | $15.075 | |||
Total cash flows from operations | $18.148 | $12.653 | |||
Investing activities | |||||
Capital expenditures | -$3.407 | -$3.685 | |||
Investments | $0.277 | ||||
Total cash flows from investing | -$3.13 | -$3.685 | |||
Financing activities | |||||
Dividends paid | |||||
Sale and purchase of stock | $2.519 | ||||
Net borrowings | -$63.295 | ||||
Total cash flows from financing | -$0.352 | -$60.776 | |||
Effect of exchange rate | -$0.164 | -$0.8 | |||
Change in cash and equivalents | $14.502 | -$52.608 |
(in millions USD) | 2024 | 2023 | ||
---|---|---|---|---|
Net income | -$67.592 | -$73.143 | ||
Operating activities | ||||
Depreciation | $47.182 | $52.281 | ||
Business acquisitions & disposals | -$1.25 | |||
Stock-based compensation | $61.91 | $89.536 | ||
Total cash flows from operations | $78.985 | $48.786 | ||
Investing activities | ||||
Capital expenditures | -$16.939 | -$14.887 | ||
Investments | $25.485 | $21.187 | ||
Total cash flows from investing | $8.546 | $6.05 | ||
Financing activities | ||||
Dividends paid | ||||
Sale and purchase of stock | $4.884 | -$55.535 | ||
Net borrowings | -$88.295 | $17.507 | ||
Total cash flows from financing | -$83.411 | -$37.784 | ||
Effect of exchange rate | -$0.126 | -$5.037 | ||
Change in cash and equivalents | $3.994 | $12.015 |
Quarterly EPS estimates
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 30 Jun 2023 | 31 Mar 2023 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $10,770 | $9,236 | |||
Short term investments | $2,314 | $3,280 | |||
Net receivables | $1,035 | $764 | |||
Inventory | |||||
Total current assets | $15,496 | $14,519 | |||
Long term investments | |||||
Property, plant & equipment | $204 | $199 | |||
Goodwill & intangible assets | $11,812 | $11,703 | |||
Total noncurrent assets | $13,022 | $12,874 | |||
Total investments | $2,314 | $3,280 | |||
Total assets | $28,518 | $27,393 | |||
Current liabilities | |||||
Accounts payable | $225 | $177 | |||
Deferred revenue | $1,877 | $1,653 | |||
Short long term debt | |||||
Total current liabilities | $3,322 | $2,817 | |||
Long term debt | $3,612 | $3,611 | |||
Total noncurrent liabilities | $4,403 | $4,461 | |||
Total debt | $3,612 | $3,611 | |||
Total liabilities | $7,725 | $7,278 | |||
Stockholders' equity | |||||
Retained earnings | $14,498 | $13,911 | |||
Other stockholder equity | -$631 | -$629 | |||
Total stockholder equity | $20,793 | $20,115 |
(in millions USD) | 2022 | 2021 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $7,060 | $10,423 | ||
Short term investments | $4,932 | |||
Net receivables | $1,204 | $972 | ||
Inventory | ||||
Total current assets | $14,469 | $12,556 | ||
Long term investments | ||||
Property, plant & equipment | $193 | $169 | ||
Goodwill & intangible assets | $11,652 | $10,906 | ||
Total noncurrent assets | $12,914 | $12,500 | ||
Total investments | $4,932 | |||
Total assets | $27,383 | $25,056 | ||
Current liabilities | ||||
Accounts payable | $324 | $285 | ||
Deferred revenue | $2,088 | $1,118 | ||
Short long term debt | ||||
Total current liabilities | $3,555 | $2,411 | ||
Long term debt | $3,611 | $3,608 | ||
Total noncurrent liabilities | $4,585 | $5,046 | ||
Total debt | $3,611 | $3,608 | ||
Total liabilities | $8,140 | $7,457 | ||
Stockholders' equity | ||||
Retained earnings | $13,171 | $12,025 | ||
Other stockholder equity | -$625 | -$578 | ||
Total stockholder equity | $19,243 | $17,599 |
Income statement
(in millions USD) | 30 Jun 2023 | 31 Mar 2023 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $2,207 | $2,383 | |||
Cost of revenue | $656 | $665 | |||
Gross profit | $1,551 | $1,718 | |||
Operating activities | |||||
Research & development | $405 | $402 | |||
Selling, general & administrative | $563 | $516 | |||
Total operating expenses | $968 | $918 | |||
Operating income | $583 | $800 | |||
Income from continuing operations | |||||
EBIT | $751 | $922 | |||
Income tax expense | $137 | $155 | |||
Interest expense | $27 | $27 | |||
Net income | |||||
Net income | $587 | $740 | |||
Income (for common shares) | $587 | $740 |
(in millions USD) | 2022 | 2021 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $7,528 | $8,803 | ||
Cost of revenue | $2,222 | $2,317 | ||
Gross profit | $5,306 | $6,486 | ||
Operating activities | ||||
Research & development | $1,421 | $1,337 | ||
Selling, general & administrative | $2,218 | $1,813 | ||
Total operating expenses | $3,636 | $3,227 | ||
Operating income | $1,670 | $3,259 | ||
Income from continuing operations | ||||
EBIT | $1,852 | $3,259 | ||
Income tax expense | $231 | $465 | ||
Interest expense | $108 | $95 | ||
Net income | ||||
Net income | $1,513 | $2,699 | ||
Income (for common shares) | $1,513 | $2,699 |
Cash flows
(in millions USD) | 30 Jun 2023 | 31 Mar 2023 | |||
---|---|---|---|---|---|
Net income | $587 | $740 | |||
Operating activities | |||||
Depreciation | $148 | $144 | |||
Business acquisitions & disposals | |||||
Stock-based compensation | $102 | $124 | |||
Total cash flows from operations | $590 | $577 | |||
Investing activities | |||||
Capital expenditures | -$23 | -$37 | |||
Investments | $989 | $1,700 | |||
Total cash flows from investing | $966 | $1,663 | |||
Financing activities | |||||
Dividends paid | |||||
Sale and purchase of stock | $12 | $13 | |||
Net borrowings | |||||
Total cash flows from financing | -$26 | -$71 | |||
Effect of exchange rate | $4 | $8 | |||
Change in cash and equivalents | $1,534 | $2,177 |
(in millions USD) | 2022 | 2021 | ||
---|---|---|---|---|
Net income | $1,513 | $2,699 | ||
Operating activities | ||||
Depreciation | $396 | $181 | ||
Business acquisitions & disposals | -$135 | |||
Stock-based compensation | $462 | $508 | ||
Total cash flows from operations | $2,220 | $2,414 | ||
Investing activities | ||||
Capital expenditures | -$91 | -$80 | ||
Investments | -$4,769 | $32 | ||
Total cash flows from investing | -$4,994 | -$59 | ||
Financing activities | ||||
Dividends paid | -$367 | -$365 | ||
Sale and purchase of stock | $47 | $90 | ||
Net borrowings | ||||
Total cash flows from financing | -$534 | -$521 | ||
Effect of exchange rate | -$44 | -$48 | ||
Change in cash and equivalents | -$3,352 | $1,786 |
Quarterly EPS estimates
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 31 Mar 2021 | 31 Dec 2020 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $23.44 | $20.97 | |||
Short term investments | $0.434 | $0.434 | |||
Net receivables | $40.284 | $41.893 | |||
Inventory | $9.093 | $7.624 | |||
Total current assets | $80.468 | $77.325 | |||
Long term investments | |||||
Property, plant & equipment | $475.144 | $480.737 | |||
Goodwill & intangible assets | |||||
Total noncurrent assets | $487.017 | $492.107 | |||
Total investments | $0.434 | $0.434 | |||
Total assets | $567.485 | $569.432 | |||
Current liabilities | |||||
Accounts payable | $51.355 | $49.7 | |||
Deferred revenue | |||||
Short long term debt | $12.347 | $12.459 | |||
Total current liabilities | $63.702 | $62.159 | |||
Long term debt | $237.261 | $240.744 | |||
Total noncurrent liabilities | $337.191 | $341.354 | |||
Total debt | $249.608 | $253.203 | |||
Total liabilities | $400.893 | $403.513 | |||
Stockholders' equity | |||||
Retained earnings | $10.048 | $9.442 | |||
Other stockholder equity | -$5.976 | -$6.34 | |||
Total stockholder equity | $165.851 | $165.156 |
(in millions USD) | 2020 | 2019 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $20.97 | $28.293 | ||
Short term investments | $0.434 | $0.134 | ||
Net receivables | $41.893 | $34.354 | ||
Inventory | $7.624 | $8.9 | ||
Total current assets | $77.325 | $81.298 | ||
Long term investments | ||||
Property, plant & equipment | $480.737 | $463.349 | ||
Goodwill & intangible assets | ||||
Total noncurrent assets | $492.107 | $475.947 | ||
Total investments | $0.434 | $0.134 | ||
Total assets | $569.432 | $557.245 | ||
Current liabilities | ||||
Accounts payable | $49.7 | $39.108 | ||
Deferred revenue | $3.761 | |||
Short long term debt | $12.459 | $11.701 | ||
Total current liabilities | $62.159 | $54.57 | ||
Long term debt | $240.744 | $246.243 | ||
Total noncurrent liabilities | $341.354 | $329.166 | ||
Total debt | $253.203 | $257.944 | ||
Total liabilities | $403.513 | $383.736 | ||
Stockholders' equity | ||||
Retained earnings | $9.442 | $15.367 | ||
Other stockholder equity | -$6.34 | -$3.277 | ||
Total stockholder equity | $165.156 | $172.663 |
Income statement
(in millions USD) | 31 Mar 2021 | 31 Dec 2020 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $60.668 | $62.333 | |||
Cost of revenue | $27.366 | $30.316 | |||
Gross profit | $33.302 | $32.017 | |||
Operating activities | |||||
Research & development | |||||
Selling, general & administrative | $18.289 | $17.61 | |||
Total operating expenses | $30.344 | $37.837 | |||
Operating income | $2.958 | -$5.82 | |||
Income from continuing operations | |||||
EBIT | $3.376 | -$5.791 | |||
Income tax expense | $0.118 | -$0.232 | |||
Interest expense | $2.652 | $2.643 | |||
Net income | |||||
Net income | $0.606 | -$8.202 | |||
Income (for common shares) | $0.606 | -$8.202 |
(in millions USD) | 2020 | 2019 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $240.569 | $231.694 | ||
Cost of revenue | $112.443 | $105.615 | ||
Gross profit | $128.126 | $126.079 | ||
Operating activities | ||||
Research & development | ||||
Selling, general & administrative | $65.773 | $66.718 | ||
Total operating expenses | $116.23 | $104.15 | ||
Operating income | $11.896 | $21.929 | ||
Income from continuing operations | ||||
EBIT | $12.592 | $19.752 | ||
Income tax expense | $2.665 | $2.765 | ||
Interest expense | $11 | $12.059 | ||
Net income | ||||
Net income | -$1.073 | $4.928 | ||
Income (for common shares) | -$1.073 | $4.928 |
Cash flows
(in millions USD) | 31 Mar 2021 | 31 Dec 2020 | |||
---|---|---|---|---|---|
Net income | $0.606 | -$8.202 | |||
Operating activities | |||||
Depreciation | $11.884 | $11.385 | |||
Business acquisitions & disposals | |||||
Stock-based compensation | $0.389 | $0.475 | |||
Total cash flows from operations | $16.71 | $6.233 | |||
Investing activities | |||||
Capital expenditures | -$11.15 | -$16.284 | |||
Investments | |||||
Total cash flows from investing | -$11.311 | -$16.642 | |||
Financing activities | |||||
Dividends paid | |||||
Sale and purchase of stock | $0.12 | ||||
Net borrowings | -$2.265 | -$2.267 | |||
Total cash flows from financing | -$2.929 | -$2.164 | |||
Effect of exchange rate | |||||
Change in cash and equivalents | $2.47 | -$12.573 |
(in millions USD) | 2020 | 2019 | ||
---|---|---|---|---|
Net income | -$1.073 | $4.928 | ||
Operating activities | ||||
Depreciation | $43.564 | $37.276 | ||
Business acquisitions & disposals | $0.025 | |||
Stock-based compensation | $1.693 | $1.58 | ||
Total cash flows from operations | $57.119 | $58.815 | ||
Investing activities | ||||
Capital expenditures | -$48.822 | -$44.124 | ||
Investments | ||||
Total cash flows from investing | -$50.186 | -$45.478 | ||
Financing activities | ||||
Dividends paid | -$4.836 | |||
Sale and purchase of stock | $0.244 | -$1.601 | ||
Net borrowings | -$8.908 | $3.277 | ||
Total cash flows from financing | -$13.956 | -$0.029 | ||
Effect of exchange rate | ||||
Change in cash and equivalents | -$7.023 | $13.308 |
AMCX
Quarterly EPS estimates
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions USD) | 30 Jun 2024 | 31 Mar 2024 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | $802.553 | $690.522 | |||
Short term investments | |||||
Net receivables | $643.278 | $629.073 | |||
Inventory | |||||
Total current assets | $1,717.768 | $1,650.401 | |||
Long term investments | |||||
Property, plant & equipment | $205.461 | $216.758 | |||
Goodwill & intangible assets | $2,585.213 | $2,648.254 | |||
Total noncurrent assets | $3,154.952 | $3,261.155 | |||
Total investments | |||||
Total assets | $4,872.72 | $4,911.556 | |||
Current liabilities | |||||
Accounts payable | $109.672 | $90.594 | |||
Deferred revenue | $57.768 | $61.252 | |||
Short long term debt | $63.961 | $100.273 | |||
Total current liabilities | $807.745 | $890.269 | |||
Long term debt | $2,426.339 | $2,361.355 | |||
Total noncurrent liabilities | $2,802.818 | $2,717.012 | |||
Total debt | $2,490.3 | $2,461.628 | |||
Total liabilities | $3,610.563 | $3,607.281 | |||
Stockholders' equity | |||||
Retained earnings | $2,335.526 | $2,365.524 | |||
Other stockholder equity | -$248.12 | -$245.803 | |||
Total stockholder equity | $1,053.709 | $1,080.275 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Current assets | ||||
Cash | $570.576 | $930.002 | ||
Short term investments | ||||
Net receivables | $664.396 | $722.185 | ||
Inventory | ||||
Total current assets | $1,623.37 | $1,949.869 | ||
Long term investments | ||||
Property, plant & equipment | $230.4 | $310.263 | ||
Goodwill & intangible assets | $2,705.587 | $2,771.841 | ||
Total noncurrent assets | $3,346.417 | $3,683.967 | ||
Total investments | ||||
Total assets | $4,969.787 | $5,633.836 | ||
Current liabilities | ||||
Accounts payable | $89.469 | $172.009 | ||
Deferred revenue | $65.736 | $134.883 | ||
Short long term debt | $101.159 | $70.161 | ||
Total current liabilities | $943.423 | $1,170.233 | ||
Long term debt | $2,381.489 | $2,903.502 | ||
Total noncurrent liabilities | $2,767.121 | $3,356.121 | ||
Total debt | $2,482.648 | $2,973.663 | ||
Total liabilities | $3,710.544 | $4,526.354 | ||
Stockholders' equity | ||||
Retained earnings | $2,321.105 | $2,105.641 | ||
Other stockholder equity | -$232.831 | -$239.798 | ||
Total stockholder equity | $1,048.051 | $806.988 |
Income statement
(in millions USD) | 30 Jun 2024 | 31 Mar 2024 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | $625.934 | $596.461 | |||
Cost of revenue | $280.727 | $271.576 | |||
Gross profit | $345.207 | $324.885 | |||
Operating activities | |||||
Research & development | |||||
Selling, general & administrative | $208.176 | $188.881 | |||
Total operating expenses | $334.419 | $214.707 | |||
Operating income | $10.788 | $110.178 | |||
Income from continuing operations | |||||
EBIT | $24.875 | $102.293 | |||
Income tax expense | $10.893 | $23.649 | |||
Interest expense | $43.216 | $32.841 | |||
Net income | |||||
Net income | -$29.234 | $45.803 | |||
Income (for common shares) | -$29.234 | $45.803 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | $2,711.877 | $3,096.545 | ||
Cost of revenue | $1,327.5 | $1,515.902 | ||
Gross profit | $1,384.377 | $1,580.643 | ||
Operating activities | ||||
Research & development | ||||
Selling, general & administrative | $764.087 | $896.817 | ||
Total operating expenses | $995.965 | $1,493.727 | ||
Operating income | $388.412 | $86.916 | ||
Income from continuing operations | ||||
EBIT | $462.773 | $100.376 | ||
Income tax expense | $94.606 | -$40.98 | ||
Interest expense | $152.703 | $133.762 | ||
Net income | ||||
Net income | $215.464 | $7.594 | ||
Income (for common shares) | $215.464 | $7.594 |
Cash flows
(in millions USD) | 30 Jun 2024 | 31 Mar 2024 | |||
---|---|---|---|---|---|
Net income | -$29.234 | $45.803 | |||
Operating activities | |||||
Depreciation | $238.657 | $228.378 | |||
Business acquisitions & disposals | |||||
Stock-based compensation | $8.457 | $6.075 | |||
Total cash flows from operations | $104.403 | $150.869 | |||
Investing activities | |||||
Capital expenditures | -$9.238 | -$6.72 | |||
Investments | |||||
Total cash flows from investing | -$9.238 | -$2.784 | |||
Financing activities | |||||
Dividends paid | |||||
Sale and purchase of stock | -$0.665 | -$3.961 | |||
Net borrowings | $33.228 | -$18.004 | |||
Total cash flows from financing | $17.211 | -$23.133 | |||
Effect of exchange rate | -$0.345 | -$5.006 | |||
Change in cash and equivalents | $112.031 | $119.946 |
(in millions USD) | 2023 | 2022 | ||
---|---|---|---|---|
Net income | $215.464 | $7.594 | ||
Operating activities | ||||
Depreciation | $1,013.56 | $1,115.697 | ||
Business acquisitions & disposals | $0.18 | -$1.736 | ||
Stock-based compensation | $25.665 | $29.986 | ||
Total cash flows from operations | $203.919 | $181.834 | ||
Investing activities | ||||
Capital expenditures | -$35.207 | -$44.272 | ||
Investments | $10.112 | $6.623 | ||
Total cash flows from investing | -$24.322 | -$39.385 | ||
Financing activities | ||||
Dividends paid | ||||
Sale and purchase of stock | -$7.271 | -$22.332 | ||
Net borrowings | -$462.945 | -$37.326 | ||
Total cash flows from financing | -$544.435 | -$97.115 | ||
Effect of exchange rate | $5.412 | -$7.553 | ||
Change in cash and equivalents | -$364.838 | $45.334 |
Profit margin
Debt to assets
Cash flow
Balance sheet
(in millions MXN) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Current assets | |||||
Cash | MXN$27,678.829 | MXN$35,095.651 | |||
Short term investments | MXN$89,002.254 | MXN$118,696.734 | |||
Net receivables | MXN$212,450.814 | MXN$208,387.703 | |||
Inventory | MXN$31,821.865 | MXN$33,622.734 | |||
Other current assets | MXN$15,628.48 | MXN$18,243.796 | |||
Total current assets | MXN$376,582.242 | MXN$414,046.618 | |||
Long term investments | MXN$9,975.366 | MXN$9,755.954 | |||
Property, plant & equipment | MXN$779,867.393 | MXN$822,529.226 | |||
Goodwill | MXN$143,330.328 | MXN$141,644.912 | |||
Intangible assets | MXN$131,646.378 | MXN$134,019.982 | |||
Other assets | MXN$188,901.861 | MXN$184,423.358 | |||
Deferred long term asset charges | MXN$133,125.491 | MXN$129,290.9 | |||
Total assets | MXN$1,630,303.568 | MXN$1,706,420.05 | |||
Current liabilities | |||||
Accounts payable | MXN$69,775.262 | MXN$74,701.668 | |||
Short long term debt | MXN$144,059.795 | MXN$126,452.328 | |||
Other current liabilities | MXN$166,710.087 | MXN$151,059.79 | |||
Total current liabilities | MXN$542,997.774 | MXN$544,448.656 | |||
Long term debt | MXN$380,401.304 | MXN$438,979.104 | |||
Other liabilities | MXN$175,106.015 | MXN$204,264.829 | |||
Deferred long term liabilities | |||||
Minority interest | MXN$62,077.545 | MXN$61,807.76 | |||
Total liabilities | MXN$1,198,747.156 | MXN$1,260,015.692 | |||
Stockholders' equity | |||||
Stock option warrants | |||||
Common stock | MXN$241.743 | MXN$242.702 | |||
Retained earnings | MXN$496,298.343 | MXN$449,113.212 | |||
Treasury stock | -MXN$127,061.219 | -MXN$64,759.316 | |||
Capital surplus | |||||
Other stockholder equity | -MXN$127,061.219 | -MXN$64,759.316 | |||
Total stockholder equity | MXN$369,478.867 | MXN$384,596.598 | |||
Net tangible assets | MXN$94,502.161 | MXN$108,931.704 |
(in millions MXN) | 2021 | 2020 | ||
---|---|---|---|---|
Current assets | ||||
Cash | MXN$38,679.891 | MXN$35,917.907 | ||
Short term investments | MXN$117,703.202 | MXN$50,096.051 | ||
Net receivables | MXN$204,005.208 | MXN$209,369.254 | ||
Inventory | MXN$24,185.31 | MXN$30,377.439 | ||
Other current assets | MXN$17,833.469 | MXN$28,622.223 | ||
Total current assets | MXN$404,156.669 | MXN$355,682.893 | ||
Long term investments | MXN$9,947.238 | MXN$6,370.104 | ||
Property, plant & equipment | MXN$821,569.072 | MXN$824,906.475 | ||
Goodwill | MXN$136,578.194 | MXN$143,052.859 | ||
Intangible assets | MXN$143,225.764 | MXN$133,456.967 | ||
Other assets | MXN$174,172.912 | MXN$161,578.929 | ||
Deferred long term asset charges | MXN$127,287.934 | MXN$115,370.24 | ||
Total assets | MXN$1,689,649.849 | MXN$1,625,048.227 | ||
Current liabilities | ||||
Accounts payable | MXN$92,158.988 | MXN$78,285.797 | ||
Short long term debt | MXN$145,209.322 | MXN$107,128.797 | ||
Other current liabilities | MXN$215,840.571 | MXN$201,277.131 | ||
Total current liabilities | MXN$534,012.766 | MXN$507,310.678 | ||
Long term debt | MXN$418,773.037 | MXN$480,256.416 | ||
Other liabilities | MXN$211,766.059 | MXN$238,060.823 | ||
Deferred long term liabilities | ||||
Minority interest | MXN$64,406.799 | MXN$64,638.815 | ||
Total liabilities | MXN$1,235,608.123 | MXN$1,309,930.609 | ||
Stockholders' equity | ||||
Stock option warrants | ||||
Common stock | MXN$96,333.432 | MXN$96,341.695 | ||
Retained earnings | MXN$447,690.426 | MXN$314,718.025 | ||
Treasury stock | -MXN$154,388.931 | -MXN$160,580.917 | ||
Capital surplus | ||||
Other stockholder equity | -MXN$154,388.931 | -MXN$160,580.917 | ||
Total stockholder equity | MXN$389,634.927 | MXN$250,478.803 | ||
Net tangible assets | MXN$109,830.969 | -MXN$26,031.023 |
Income statement
(in millions MXN) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Revenue | |||||
Total revenue | MXN$214,466.279 | ||||
Cost of revenue | MXN$124,038.171 | ||||
Gross profit | MXN$90,428.108 | ||||
Operating activities | |||||
Research & development | |||||
Selling, general & administrative | MXN$45,684.826 | MXN$45,684.826 | |||
Non-recurring | |||||
Other operating expenses | MXN$1,172.3 | MXN$1,172.3 | |||
Total operating expenses | MXN$170,895.297 | ||||
Operating income | MXN$43,570.982 | MXN$43,570.982 | |||
Income from continuing operations | |||||
Net other income | -MXN$16,416.917 | ||||
EBIT | MXN$43,570.982 | ||||
Interest expense | -MXN$10,693.057 | -MXN$10,693.057 | |||
Income before tax | MXN$27,154.065 | MXN$27,154.065 | |||
Income tax expense | MXN$10,852.082 | ||||
Minority interest | MXN$62,077.545 | MXN$61,807.76 | |||
Net income from continuing ops | MXN$16,301.983 | MXN$16,301.983 | |||
Non-recurring events | |||||
Discontinued operations | MXN$3,405.014 | MXN$3,405.014 | |||
Extraordinary items | |||||
Effect of accounting change | |||||
Other items | |||||
Net income | |||||
Net income | MXN$17,969.166 | ||||
Income (for common shares) | MXN$17,969.166 | MXN$17,969.166 |
(in millions MXN) | 2021 | 2020 | ||
---|---|---|---|---|
Revenue | ||||
Total revenue | MXN$855,534.871 | MXN$839,707.16 | ||
Cost of revenue | MXN$341,059.662 | MXN$334,881.859 | ||
Gross profit | MXN$514,475.209 | MXN$504,825.301 | ||
Operating activities | ||||
Research & development | ||||
Selling, general & administrative | MXN$195,213.932 | MXN$205,007.591 | ||
Non-recurring | ||||
Other operating expenses | MXN$11,726.989 | MXN$4,480.296 | ||
Total operating expenses | MXN$710,627.449 | MXN$707,052.144 | ||
Operating income | MXN$144,907.422 | MXN$132,655.016 | ||
Income from continuing operations | ||||
Net other income | -MXN$42,147.257 | -MXN$85,111.414 | ||
EBIT | MXN$144,907.422 | MXN$132,655.016 | ||
Interest expense | -MXN$34,741.128 | -MXN$36,948.904 | ||
Income before tax | MXN$102,760.165 | MXN$47,543.602 | ||
Income tax expense | MXN$28,144.769 | MXN$13,509.27 | ||
Minority interest | MXN$64,406.799 | MXN$64,638.815 | ||
Net income from continuing ops | MXN$74,615.396 | MXN$34,034.332 | ||
Non-recurring events | ||||
Discontinued operations | MXN$121,710.718 | MXN$16,992.625 | ||
Extraordinary items | ||||
Effect of accounting change | ||||
Other items | ||||
Net income | ||||
Net income | MXN$192,423.167 | MXN$46,852.605 | ||
Income (for common shares) | MXN$192,423.167 | MXN$46,852.605 |
Cash flows
(in millions MXN) | 29 Sep 2022 | 29 Jun 2022 | |||
---|---|---|---|---|---|
Net income | MXN$17,969.166 | ||||
Operating activities | |||||
Depreciation | |||||
Net income adjustments | |||||
Change in accounts receivable | |||||
Changes in liabilities | |||||
Changes in inventory | |||||
Changes in other operating activities | |||||
Total cash flows from operations | |||||
Investing activities | |||||
Capital expenditures | |||||
Investments | |||||
Other cash flows from investing | |||||
Total cash flows from investing | |||||
Financing activities | |||||
Dividends paid | |||||
Sale and purchase of stock | |||||
Net borrowings | |||||
Other cash flows from financing | |||||
Total cash flows from financing | |||||
Effect of exchange rate | |||||
Change in cash and equivalents |
(in millions MXN) | 2021 | 2020 | ||
---|---|---|---|---|
Net income | MXN$192,423.167 | MXN$46,852.605 | ||
Operating activities | ||||
Depreciation | MXN$159,445.79 | MXN$159,800.695 | ||
Net income adjustments | MXN$20,519.597 | MXN$64,818.485 | ||
Change in accounts receivable | MXN$6,883.27 | MXN$3,189.136 | ||
Changes in liabilities | MXN$688.801 | MXN$13,206.234 | ||
Changes in inventory | MXN$5,756.325 | MXN$10,402.117 | ||
Changes in other operating activities | -MXN$41,053.386 | -MXN$21,014.429 | ||
Total cash flows from operations | MXN$258,181.638 | MXN$280,827.543 | ||
Investing activities | ||||
Capital expenditures | -MXN$145,279.359 | -MXN$108,866.816 | ||
Investments | MXN$72,356.537 | -MXN$8,134.494 | ||
Other cash flows from investing | MXN$1,978.281 | MXN$2,082.224 | ||
Total cash flows from investing | -MXN$76,520.944 | -MXN$135,557.493 | ||
Financing activities | ||||
Dividends paid | -MXN$27,829.345 | -MXN$9,592.253 | ||
Sale and purchase of stock | ||||
Net borrowings | -MXN$88,899.031 | -MXN$82,715.366 | ||
Other cash flows from financing | -MXN$23,892.13 | -MXN$29,526.396 | ||
Total cash flows from financing | -MXN$177,366.249 | -MXN$126,910.134 | ||
Effect of exchange rate | -MXN$1,532.461 | -MXN$2,187.665 | ||
Change in cash and equivalents | MXN$2,761.984 | MXN$16,172.251 |