Grupo Simec, SAB de CV (SIM)
NYSEAMERICAN: SIM · IEX Real-Time Price · USD
31.00
-2.00 (-6.06%)
Apr 18, 2024, 12:00 AM EDT - Market open

Grupo Simec Cash Flow Statement

Millions MXN. Fiscal year is Jan - Dec.
Year 2022202120202019201820172016201520142013 2012 - 2002
Net Income
7,8639,4442,798-1,635.913,6531,8952,906-1,214.291,2041,517
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Depreciation & Amortization
1,1171,1751,4521,1091,1121,4661,4291,2611,1181,053
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Other Operating Activities
-30.24-2,231.98-616.581,570-1,541.88-176.181,370-428.49-951.45-518.3
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Operating Cash Flow
8,9498,3873,6341,0433,2243,1845,706-381.681,3702,051
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Operating Cash Flow Growth
6.70%130.81%248.49%-67.66%1.24%-44.19%---33.21%-43.87%
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Capital Expenditures
-1,696.49-1,066.42-951.21-1,271.42-1,994.47-3,039.5-3,100.26-647.74-1,858.36-3,177.95
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Acquisitions
0001,071823.33-412.44-2,277.26000
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Change in Investments
-1,629.9965.95107.83146191.25393.7154.09-35.37-279.9520.4
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Other Investing Activities
-811.41-9.210.71-52.29159.73-60.13-119.4727.9778.03210.03
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Investing Cash Flow
-4,137.89-1,009.67-832.67-106.69-820.15-3,118.36-5,442.9-655.14-2,060.27-2,947.52
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Dividends Paid
00-1,9900000000
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Share Issuance / Repurchase
-90.13-74.5-41.98-156.06-1,640.3-278.86938.26-245.29-25.62-230.42
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Debt Issued / Paid
2,381000-984.62-41.030000
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Other Financing Activities
-56.35-87.45-53.75-55.05-16.51-54.4-40.17-40.2-22.61-28.71
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Financing Cash Flow
2,235-161.94-2,085.73-211.11-2,641.43-374.29898.09-285.48-48.23-259.13
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Exchange Rate Effect
-630.21186.78-434.22-265.7521.340151.09543.44757.1637.91
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Net Cash Flow
7,0467,216715.47724.96-237.7-308.31,161-1,322.31-738.52-1,155.5
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Free Cash Flow
7,2537,3212,683-228.671,229144.852,605-1,029.43-488.38-1,126.8
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Free Cash Flow Growth
-0.93%172.90%--748.73%-94.44%----
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Free Cash Flow Margin
13.39%13.16%7.48%-0.67%3.45%0.50%9.47%-4.21%-1.82%-4.62%
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Free Cash Flow Per Share
47.0647.4517.36-1.487.530.8816.07-6.27-2.97-6.82
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Source: Financials are provided by Nasdaq Data Link and sourced from audited reports submitted to the Securities and Exchange Commission (SEC).