Grupo Aeroportuario del Centro Norte, S.A.B. de C.V. (OMAB)
NASDAQ: OMAB · Real-Time Price · USD
72.10
+0.26 (0.36%)
Dec 20, 2024, 4:00 PM EST - Market closed
OMAB Cash Flow Statement
Financials in millions MXN. Fiscal year is January - December.
Millions MXN. Fiscal year is Jan - Dec.
Fiscal Year | TTM | FY 2023 | FY 2022 | FY 2021 | FY 2020 | FY 2019 | 2018 - 2014 |
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Period Ending | Sep '24 Sep 30, 2024 | Dec '23 Dec 31, 2023 | Dec '22 Dec 31, 2022 | Dec '21 Dec 31, 2021 | Dec '20 Dec 31, 2020 | Dec '19 Dec 31, 2019 | 2018 - 2014 |
Net Income | 4,993 | 5,012 | 3,901 | 2,857 | 1,094 | 3,220 | Upgrade
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Depreciation & Amortization | 727.47 | 641.34 | 551.2 | 487.23 | 435.34 | 415.25 | Upgrade
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Loss (Gain) From Sale of Assets | 0.08 | -0.53 | -0.04 | -1.52 | -5.38 | -1.16 | Upgrade
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Provision & Write-off of Bad Debts | 5.77 | 5.77 | 4.71 | 0.65 | 18.34 | -0.24 | Upgrade
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Other Operating Activities | 3,203 | 3,367 | 2,632 | 1,793 | 1,027 | 1,921 | Upgrade
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Change in Accounts Receivable | -276.84 | -38.06 | -185.15 | -252.67 | -94.23 | -60.95 | Upgrade
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Change in Accounts Payable | -227.66 | -72.92 | 120.3 | -32.37 | 7.38 | -26.88 | Upgrade
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Change in Income Taxes | -2,234 | -2,234 | -1,672 | -323.29 | -945.99 | -1,467 | Upgrade
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Change in Other Net Operating Assets | -81.56 | -345.53 | -367.3 | -81.92 | -233.26 | -283.69 | Upgrade
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Operating Cash Flow | 6,109 | 6,335 | 4,985 | 4,447 | 1,303 | 3,717 | Upgrade
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Operating Cash Flow Growth | -0.12% | 27.07% | 12.11% | 241.15% | -64.93% | 0.19% | Upgrade
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Capital Expenditures | -340.44 | -403.99 | -236.47 | -101.33 | -157.99 | -57.1 | Upgrade
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Sale of Property, Plant & Equipment | -0.08 | 0.53 | 0.04 | 1.52 | 5.38 | 1.16 | Upgrade
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Sale (Purchase) of Intangibles | -2,715 | -2,660 | -2,669 | -1,825 | -1,284 | -1,086 | Upgrade
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Investment in Securities | - | - | - | - | - | 19.66 | Upgrade
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Other Investing Activities | 238.91 | 271.33 | 150.69 | 129.48 | 111.82 | 170.48 | Upgrade
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Investing Cash Flow | -2,817 | -2,792 | -2,755 | -1,795 | -1,324 | -952.23 | Upgrade
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Short-Term Debt Issued | - | 98 | 39.2 | - | 41.9 | 14.7 | Upgrade
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Long-Term Debt Issued | - | 3,200 | 5,200 | 6,200 | - | - | Upgrade
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Total Debt Issued | 3,298 | 3,298 | 5,239 | 6,200 | 41.9 | 14.7 | Upgrade
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Short-Term Debt Repaid | - | - | - | -7.35 | - | - | Upgrade
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Long-Term Debt Repaid | - | -2,759 | -2,753 | -3,069 | -99.92 | -90.97 | Upgrade
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Total Debt Repaid | -1,561 | -2,759 | -2,753 | -3,076 | -99.92 | -90.97 | Upgrade
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Net Debt Issued (Repaid) | 1,737 | 539.22 | 2,486 | 3,124 | -58.02 | -76.27 | Upgrade
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Repurchase of Common Stock | - | - | - | -474.85 | -150 | -244.2 | Upgrade
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Common Dividends Paid | -2,078 | -3,712 | -6,603 | -1,980 | - | -1,599 | Upgrade
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Other Financing Activities | -2,805 | -1,130 | -759.19 | -377.18 | -320.87 | -327.31 | Upgrade
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Financing Cash Flow | -3,145 | -4,302 | -4,876 | 292.27 | -528.89 | -2,246 | Upgrade
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Foreign Exchange Rate Adjustments | 31.14 | -0.8 | -5.55 | 84.14 | 78.77 | -46.87 | Upgrade
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Net Cash Flow | 177.85 | -760.16 | -2,651 | 3,028 | -471.07 | 470.97 | Upgrade
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Free Cash Flow | 5,769 | 5,931 | 4,749 | 4,346 | 1,145 | 3,659 | Upgrade
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Free Cash Flow Growth | 1.35% | 24.89% | 9.28% | 279.36% | -68.70% | 4.61% | Upgrade
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Free Cash Flow Margin | 39.33% | 41.02% | 39.79% | 49.83% | 21.34% | 42.92% | Upgrade
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Free Cash Flow Per Share | 14.94 | 15.36 | 12.30 | 11.18 | 2.93 | 9.32 | Upgrade
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Cash Interest Paid | 1,120 | 1,093 | 731.92 | 364.32 | 320.87 | 327.31 | Upgrade
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Cash Income Tax Paid | 2,369 | 2,406 | 1,722 | 491.54 | 747.87 | 1,325 | Upgrade
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Levered Free Cash Flow | 3,849 | 1,557 | 697.69 | 1,785 | -566.69 | 1,612 | Upgrade
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Unlevered Free Cash Flow | 4,596 | 2,350 | 1,282 | 2,108 | -303.87 | 1,847 | Upgrade
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Change in Net Working Capital | -2,000 | 269.23 | 154.52 | -977.7 | 373.5 | 458.94 | Upgrade
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Source: S&P Capital IQ. Standard template. Financial Sources.