Operadora de Sites Mexicanos, S.A.B. de C.V. (OPMXF)
OTCMKTS · Delayed Price · Currency is USD
0.9476
+0.0258 (2.80%)
At close: Mar 27, 2026

OPMXF Balance Sheet

Millions MXN. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
2,0075,9024,4864,8885,686
Cash & Short-Term Investments
2,0075,9024,4864,8885,686
Cash Growth
-65.99%31.56%-8.23%-14.03%-38.76%
Accounts Receivable
113.21317.63263.61279.26515.92
Other Receivables
359.92588.28250.64518.413,030
Receivables
473.13905.92514.26797.673,546
Prepaid Expenses
37.461.724.8564.1969.44
Other Current Assets
3.6433.3348.3447.6745.8
Total Current Assets
2,5216,8425,0535,7989,347
Property, Plant & Equipment
114,38099,07798,98597,40989,802
Other Intangible Assets
16.0416.0318.2315.814.29
Long-Term Deferred Tax Assets
33.7735.3135.1929.9858.28
Long-Term Deferred Charges
-52.9858.31--
Other Long-Term Assets
569.38588.79587.26573.14145.99
Total Assets
117,521106,613104,737103,82699,367
Accounts Payable
66.5439.03105.46107.31142.4
Accrued Expenses
52.4647.45619.31612.32594.11
Current Portion of Long-Term Debt
839.6310,047-458.7450.26
Current Portion of Leases
3,7893,6413,545--
Current Income Taxes Payable
299.451,249141.37309.11222.52
Other Current Liabilities
816.49110.05224.97260.5193.97
Total Current Liabilities
5,86315,7334,6361,7481,503
Long-Term Debt
17,73411,36520,60419,76319,587
Long-Term Leases
16,81617,29018,06321,56718,262
Pension & Post-Retirement Benefits
22.5216.6914.4311.9413.38
Long-Term Deferred Tax Liabilities
19,71115,21915,44815,69015,962
Other Long-Term Liabilities
1,1221,2881,2401,1761,057
Total Liabilities
61,27060,91160,00659,95656,384
Common Stock
21.8122.9523.3623.7310.05
Retained Earnings
-2,565-221.231,0552,3084,673
Comprehensive Income & Other
41,87228,99427,03624,91721,913
Total Common Equity
39,32928,79528,11427,24926,596
Minority Interest
16,92216,90616,61716,62116,387
Shareholders' Equity
56,25145,70144,73143,87042,983
Total Liabilities & Equity
117,521106,613104,737103,82699,367
Total Debt
39,17942,34342,21241,78938,299
Net Cash (Debt)
-37,172-36,442-37,726-36,901-32,613
Net Cash Per Share
-12.50-11.64-11.84-11.40-9.88
Filing Date Shares Outstanding
2,9743,1313,1863,2283,300
Total Common Shares Outstanding
2,9743,1313,1863,2283,300
Working Capital
-3,342-8,890417.244,0507,844
Book Value Per Share
13.229.208.828.448.06
Tangible Book Value
39,31328,77928,09627,23326,582
Tangible Book Value Per Share
13.229.198.828.448.06
Land
-61.8852.9654.0450.54
Machinery
-199.12165.09143.88134.18
Construction In Progress
-578.23593.82390.98510.66
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.