Grupo Aeroportuario del Centro Norte, SAB de CV (OMAB)
NASDAQ: OMAB · IEX Real-Time Price · USD
69.33
+0.09 (0.13%)
At close: Jul 26, 2024, 4:00 PM
70.60
+1.27 (1.83%)
After-hours: Jul 26, 2024, 4:22 PM EDT

OMAB Cash Flow Statement

Millions MXN. Fiscal year is Jan - Dec.
Year Ending
TTM Dec 31, 2023Dec 31, 2022Dec 31, 2021Dec 31, 2020Dec 31, 2019 2018 - 2013
Net Income
5,0255,0123,9012,8571,0943,220
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Depreciation & Amortization
701.89641.34551.2487.23435.34415.25
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Loss (Gain) From Sale of Assets
0.27-0.53-0.04-1.52-5.38-1.16
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Provision & Write-off of Bad Debts
5.775.774.710.6518.34-0.24
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Other Operating Activities
3,2643,3672,6321,7931,0271,921
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Change in Accounts Receivable
-232.65-38.06-185.15-252.67-94.23-60.95
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Change in Accounts Payable
-267.95-72.92120.3-32.377.38-26.88
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Change in Income Taxes
-2,234.06-2,234.06-1,671.62-323.29-945.99-1,466.57
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Change in Other Net Operating Assets
-408.06-345.53-367.3-81.92-233.26-283.69
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Operating Cash Flow
5,8546,3354,9854,4471,3033,717
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Operating Cash Flow Growth
-6.27%27.07%12.11%241.15%-64.93%0.19%
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Capital Expenditures
-407.8-403.99-236.47-101.33-157.99-57.1
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Sale of Property, Plant & Equipment
-0.270.530.041.525.381.16
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Sale (Purchase) of Intangibles
-2,457.43-2,659.6-2,669.02-1,824.56-1,283.64-1,086.43
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Investment in Securities
-----19.66
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Other Investing Activities
237.1271.33150.69129.48111.82170.48
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Investing Cash Flow
-2,628.39-2,791.72-2,754.76-1,794.89-1,324.43-952.23
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Short-Term Debt Issued
-9839.2-41.914.7
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Long-Term Debt Issued
-3,2005,2006,200--
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Total Debt Issued
3,2983,2985,2396,20041.914.7
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Short-Term Debt Repaid
----7.35--
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Long-Term Debt Repaid
--2,758.78-2,753.19-3,068.56-99.92-90.97
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Total Debt Repaid
-1,552.44-2,758.78-2,753.19-3,075.91-99.92-90.97
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Net Debt Issued (Repaid)
1,746539.222,4863,124-58.02-76.27
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Repurchase of Common Stock
----474.85-150-244.2
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Common Dividends Paid
-2,579.72-3,712.1-6,602.6-1,979.79--1,598.68
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Other Financing Activities
-2,819.23-1,129.51-759.19-377.18-320.87-327.31
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Financing Cash Flow
-3,653.39-4,302.39-4,875.77292.27-528.89-2,246.46
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Foreign Exchange Rate Adjustments
31.39-0.8-5.5584.1478.77-46.87
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Net Cash Flow
-396.05-760.16-2,650.743,028-471.07470.97
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Free Cash Flow
5,4475,9314,7494,3461,1453,659
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Free Cash Flow Growth
-8.13%24.89%9.28%279.36%-68.70%4.61%
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Free Cash Flow Margin
36.63%41.02%39.79%49.83%21.34%42.92%
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Free Cash Flow Per Share
14.1015.3612.3011.182.939.32
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Cash Interest Paid
1,0931,093731.92364.32320.87327.31
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Cash Income Tax Paid
2,4062,4061,722491.54747.871,325
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Levered Free Cash Flow
3,7321,557697.691,785-566.691,612
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Unlevered Free Cash Flow
4,4642,3501,2822,108-303.871,847
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Change in Net Working Capital
-1,638.21269.23154.52-977.7373.5458.94
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Source: S&P Capital IQ. Standard template.