Grupo Rotoplas S.A.B. de C.V. (BMV:AGUA)
Mexico flag Mexico · Delayed Price · Currency is MXN
12.81
-0.06 (-0.47%)
May 8, 2026, 12:05 PM CST

Grupo Rotoplas Balance Sheet

Millions MXN. 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
Cash & Equivalents
1,094861.36732.01565.69672.641,629
Cash & Short-Term Investments
1,094861.36732.01565.69672.641,629
Cash Growth
42.86%17.67%29.40%-15.90%-58.70%-48.00%
Accounts Receivable
1,5001,3021,3361,2261,4651,392
Other Receivables
-277.36967.22732.36746.56685.21
Receivables
1,5001,5802,3031,9582,2112,077
Inventory
1,4821,2951,8101,0061,5241,575
Prepaid Expenses
-190.29195.36107.87-81.42
Restricted Cash
--21.57---
Other Current Assets
433-26.75-114.4674.33
Total Current Assets
4,5093,9275,0883,6384,5225,436
Property, Plant & Equipment
3,6584,2444,6114,2313,4753,232
Long-Term Investments
-17.54263.26239.4200.01138.78
Goodwill
-2,5962,8562,5522,6272,586
Other Intangible Assets
-1,0401,2911,1281,145975.1
Long-Term Accounts Receivable
-253.63214.12286.16243.9942.73
Long-Term Deferred Tax Assets
-514.55462.08294.55159.0665.01
Other Long-Term Assets
5,462309.6415.2639.1839.0348.91
Total Assets
13,62913,05614,95212,55212,56712,678
Accounts Payable
1,095900.241,198815.63762.27757.13
Accrued Expenses
-108.55205.64149.74135.93134.52
Short-Term Debt
-464.04----
Current Portion of Long-Term Debt
56414.42684.2428.6510.578.65
Current Portion of Leases
-113.78106.3768.1563.8758.52
Current Income Taxes Payable
-17.4358.9177.0258.9852.49
Other Current Liabilities
1,012647.29733.73559.45472.98597.04
Total Current Liabilities
2,6712,2662,9871,6991,5051,608
Long-Term Debt
4,0604,0613,9993,9993,9993,998
Long-Term Leases
-487.6567.31114.26154.68179.71
Pension & Post-Retirement Benefits
-113.7891.8186.8477.2960.72
Long-Term Deferred Tax Liabilities
-231.34401.24426.77230.49243.92
Other Long-Term Liabilities
1,095199.92195.45175.38142.13145.55
Total Liabilities
7,8267,3608,2426,5016,1086,237
Common Stock
5,8031,5201,8272,0702,6992,915
Additional Paid-In Capital
-33.7633.7633.7633.7633.76
Retained Earnings
-4,4264,5814,5304,2063,437
Treasury Stock
---109.01-93.76-413.49-111.69
Comprehensive Income & Other
--328.91341.45-593.41-202.0756.5
Total Common Equity
5,8035,6516,6755,9466,3246,330
Minority Interest
-45.0434.95104.93135.66111.54
Shareholders' Equity
5,8035,6966,7106,0516,4596,442
Total Liabilities & Equity
13,62913,05614,95212,55212,56712,678
Total Debt
4,6245,1415,3574,2104,2284,245
Net Cash (Debt)
-3,530-4,280-4,625-3,644-3,555-2,617
Net Cash Per Share
--8.63-9.56-7.71-7.47-5.70
Filing Date Shares Outstanding
-482.42483.64484.37471.17482.15
Total Common Shares Outstanding
-482.42483.64484.37471.17482.15
Working Capital
1,8381,6612,1011,9393,0173,828
Book Value Per Share
-11.7113.8012.2813.4213.13
Tangible Book Value
5,8032,0152,5282,2652,5512,769
Tangible Book Value Per Share
-4.185.234.685.415.74
Land
--824.32884.55643.48582.56
Buildings
--2,6562,6311,3861,395
Machinery
--3,7432,8852,8242,776
Construction In Progress
--662.28686.37905.5556.63
Leasehold Improvements
--269.97166.6279.467.79
Source: S&P Global Market Intelligence. Standard template. Financial Sources.