Grupo Televisa, S.A.B. (TV)
NYSE: TV · IEX Real-Time Price · USD
3.000
+0.100 (3.45%)
Apr 23, 2024, 4:00 PM EDT - Market closed

Grupo Televisa, S.A.B. Balance Sheet

Millions MXN. Fiscal year is Jan - Dec.
Year 2022202120202019201820172016201520142013 2012 - 2004
Cash & Equivalents
51,13125,82829,05827,45232,09944,74953,04454,72834,51820,415
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Cash & Cash Equivalents
51,13125,82829,05827,45232,09944,74953,04454,72834,51820,415
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Cash Growth
97.97%-11.12%5.85%-14.48%-28.27%-15.64%-3.08%58.55%69.08%-16.27%
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Receivables
15,88715,37913,94915,30120,82730,53131,69726,09735,29924,494
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Inventory
1,4482,2131,6411,1511,0261,4931,8991,6283,3371,718
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Other Current Assets
13,11129,83924,41323,52718,10010,2729,1217,4866,6496,581
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Total Current Assets
81,57773,25969,06167,43172,05387,04595,76189,93879,80253,208
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Property, Plant & Equipment
88,90795,52790,49490,88287,34385,72086,78476,08962,01053,476
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Long-Term Investments
56,71432,78029,81654,02859,75058,10857,22950,35339,74256,267
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Goodwill and Intangibles
43,03562,68957,10357,71060,07949,93652,24352,63542,62525,418
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Other Long-Term Assets
28,87629,48824,77220,29217,94616,41217,03712,45811,3735,740
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Total Long-Term Assets
217,531220,483202,185222,913225,118210,175213,293191,536155,750140,901
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Total Assets
299,108293,742271,246290,344297,171297,220309,054281,474235,552194,109
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Accounts Payable
16,17222,95622,02621,55422,74420,95123,96617,80517,15112,025
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Deferred Revenue
7,3078,9995,9365,78013,63818,79821,70920,98520,43522,437
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Current Debt
2,3735,5851,8953,0744,0493,8634,4564,6761,8141,535
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Other Current Liabilities
8,51919,13013,85311,7578,1017,1527,2945,5134,9714,286
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Total Current Liabilities
34,37156,67043,71042,16548,53150,76557,42648,97844,37040,283
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Long-Term Debt
111,236129,888129,951128,550126,938129,541135,614112,72485,46864,238
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Other Long-Term Liabilities
9,37010,6619,64714,00317,17017,25819,73020,25017,79911,009
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Total Long-Term Liabilities
120,607140,548139,598142,554144,108146,798155,344132,974103,26775,246
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Total Liabilities
154,978197,218183,307184,719192,640197,563212,770181,952147,637115,529
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Total Debt
113,610135,473131,845131,624130,987133,404140,070117,40087,28265,773
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Debt Growth
-16.14%2.75%0.17%0.49%-1.81%-4.76%19.31%34.51%32.70%13.47%
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Retained Earnings
131,05488,21884,28082,65278,51174,98470,39673,14062,90556,898
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Comprehensive Income
-10,823.88-13,621.99-15,556.851,3204,4274,5993,9625,2585,6793,394
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Shareholders' Equity
128,30881,11873,44290,75189,51785,66283,79287,38376,80568,311
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Net Cash / Debt
-62,478.73-109,644.49-102,787.23-104,172.01-98,887.52-88,655.21-87,025.47-62,672.37-52,764.17-45,357.72
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Working Capital
47,20616,58925,35125,26623,52136,28038,33540,96035,43212,925
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Book Value Per Share
194.82124.42108.89134.12130.74125.50123.78129.24114.46102.29
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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).