Grupo Aeroméxico, S.A.B. de C.V. (BMV:AERO)
Mexico flag Mexico · Delayed Price · Currency is MXN
30.00
+1.17 (4.06%)
At close: Jun 12, 2026

Grupo Aeroméxico Income Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Operating Revenue
5,3305,1735,4474,7743,6942,204
Other Revenue
187.69187.69172.86141.99118.2534.19
5,5185,3615,6204,9163,8122,238
Revenue Growth (YoY)
0.31%-4.61%14.31%28.96%70.35%60.61%
Cost of Revenue
3,4673,3223,3463,1262,9451,836
Gross Profit
2,0512,0382,2741,790867.19402
Selling, General & Admin
464.84456.24528.49469.51360.45244.35
Other Operating Expenses
29.9824.6827.1523.4211.26-8.48
Operating Expenses
1,2251,2111,2111,073825.26705.77
Operating Income
826.08827.181,063717.2941.94-303.77
Interest Expense
-360.46-355.7-274-276.98-273.3-209.03
Interest & Investment Income
31.1631.6455.4764.1815.334.05
Earnings From Equity Investments
77.1977.195.86-3.06329.6517.9
Currency Exchange Gain (Loss)
-52.49-45.7722.44-88.39-58.43-113.93
Other Non Operating Income (Expenses)
-116.22-114.53-112.82-100.53-95.67-165.21
EBT Excluding Unusual Items
405.27420760.12312.52-40.49-769.99
Merger & Restructuring Charges
----114.09-419.19
Gain (Loss) on Sale of Assets
-3.55-3.55-5.2-4.519.884.93
Asset Writedown
3.73.7--3.431.1850.66
Legal Settlements
1.591.59-6.15-1.04-0.82
Other Unusual Items
-7.79-7.79-51.56-15.87-24.41-
Pretax Income
399.22413.95697.22287.6860.25-1,133
Income Tax Expense
58.5162.0979.7314.31124.48-113.35
Earnings From Continuing Operations
340.71351.86617.49273.37-64.23-1,019
Minority Interest in Earnings
---0.05-0.03-0.02-0.02
Net Income
340.71351.86617.44273.33-64.25-1,019
Net Income to Common
340.71351.86617.44273.33-64.25-1,019
Net Income Growth
-36.33%-43.01%125.89%---
Shares Outstanding (Basic)
147145134132136136
Shares Outstanding (Diluted)
148146136136136136
Shares Change (YoY)
9.03%6.95%----
EPS (Basic)
2.312.434.622.07-0.47-7.47
EPS (Diluted)
2.282.404.502.00-0.47-7.47
EPS Growth
-41.43%-46.67%125.00%---
Free Cash Flow
588.62568.27902.79957.99-480.9-146.49
Free Cash Flow Per Share
3.973.906.627.02-3.52-1.07
Gross Margin
37.17%38.03%40.46%36.41%22.75%17.96%
Operating Margin
14.97%15.43%18.92%14.59%1.10%-13.58%
Profit Margin
6.17%6.56%10.99%5.56%-1.69%-45.56%
Free Cash Flow Margin
10.67%10.60%16.06%19.49%-12.62%-6.55%
EBITDA
1,1191,1071,329934.48172.62-179.44
EBITDA Margin
20.28%20.66%23.64%19.01%4.53%-8.02%
D&A For EBITDA
293.02280.15265.52217.18130.68124.33
EBIT
826.08827.181,063717.2941.94-303.77
EBIT Margin
14.97%15.43%18.92%14.59%1.10%-13.58%
Effective Tax Rate
14.66%15.00%11.44%4.98%206.59%-
Revenue as Reported
5,3615,3615,6204,9163,8122,238