Grupo Rotoplas S.A.B. de C.V. (BMV: AGUA)
Mexico flag Mexico · Delayed Price · Currency is MXN
23.78
+0.14 (0.59%)
Sep 26, 2024, 1:58 PM CST

AGUA Balance Sheet

Millions MXN. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2023 FY 2022 FY 2021 FY 2020 FY 2019 2018 - 2014
Period Ending
Jun '24 Dec '23 Dec '22 Dec '21 Dec '20 Dec '19 2018 - 2014
Cash & Equivalents
665.51565.69672.641,6293,0921,848
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Trading Asset Securities
----39.8745.1
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Cash & Short-Term Investments
665.51565.69672.641,6293,1321,893
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Cash Growth
24.22%-15.90%-58.70%-48.00%65.47%79.48%
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Accounts Receivable
1,5611,2261,4651,3921,3391,672
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Other Receivables
655.6729.35746.56685.21564.98461.8
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Receivables
2,2171,9552,2112,0771,9042,134
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Inventory
1,3761,0061,5241,575832.68894.46
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Prepaid Expenses
---81.4244.38-
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Other Current Assets
232.27110.88114.4674.3377.33119.79
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Total Current Assets
4,4913,6384,5225,4365,9905,041
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Property, Plant & Equipment
4,2254,2313,4753,2322,5472,542
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Long-Term Investments
22.61239.4200.01138.7866.0895.37
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Goodwill
2,5972,5522,6272,5862,5612,374
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Other Intangible Assets
1,0971,1281,145975.1969.52867.74
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Long-Term Accounts Receivable
221.42286.16243.9942.7384.03-
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Long-Term Deferred Tax Assets
379.6294.55159.0665.01180.07300.17
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Other Long-Term Assets
304.9539.1839.0348.9183.0185.15
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Total Assets
13,48412,55212,56712,67812,61311,430
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Accounts Payable
948.63815.63762.27757.13669.22348.7
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Accrued Expenses
79.49149.74135.93134.52178.59197.35
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Short-Term Debt
321.66-----
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Current Portion of Long-Term Debt
11.5328.6510.578.65186.59606.49
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Current Portion of Leases
78.1668.1563.8758.5248.229.06
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Current Income Taxes Payable
103.8877.0258.9852.49105.398.73
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Other Current Liabilities
779.59559.45472.98597.04553.76940.3
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Total Current Liabilities
2,3231,6991,5051,6081,7422,221
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Long-Term Debt
3,9993,9993,9993,9984,0502,329
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Long-Term Leases
117.63114.26154.68179.71185.236
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Long-Term Unearned Revenue
----4.28-
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Long-Term Deferred Tax Liabilities
480.7426.77230.49243.92153.44264.65
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Other Long-Term Liabilities
189.56175.38142.13145.55138.67136.9
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Total Liabilities
7,2046,5016,1086,2376,3185,019
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Common Stock
1,7562,0702,6992,9153,8884,688
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Additional Paid-In Capital
33.7633.7633.7633.7633.7633.76
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Retained Earnings
4,7614,5304,2063,4373,1192,606
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Treasury Stock
-86.49-93.76-413.49-111.69-576.18-587.52
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Comprensive Income & Other
-221.66-593.41-202.0756.5-257.28-440.61
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Total Common Equity
6,2435,9466,3246,3306,2076,299
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Minority Interest
37.93104.93135.66111.5487.13111.94
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Shareholders' Equity
6,2816,0516,4596,4426,2946,411
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Total Liabilities & Equity
13,48412,55212,56712,67812,61311,430
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Total Debt
4,5284,2104,2284,2454,4703,000
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Net Cash (Debt)
-3,863-3,644-3,555-2,617-1,337-1,107
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Net Cash Per Share
-8.31-7.71-7.47-5.70-3.01-2.34
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Filing Date Shares Outstanding
484.64484.37471.17482.15462.43461.94
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Total Common Shares Outstanding
484.64484.37471.17482.15462.43461.94
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Working Capital
2,1681,9393,0173,8284,2482,820
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Book Value Per Share
12.8812.2813.4213.1313.4213.64
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Tangible Book Value
2,5482,2652,5512,7692,6773,057
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Tangible Book Value Per Share
5.264.685.415.745.796.62
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Land
-884.55643.48582.56366.66425.72
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Buildings
-2,6311,3861,395724.78731.23
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Machinery
-2,8852,8242,7762,6562,425
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Construction In Progress
-686.37905.5556.63354.73382.55
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Leasehold Improvements
-166.6279.467.7946.5162.1
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Source: S&P Capital IQ. Standard template. Financial Sources.