Grupo Televisa, S.A.B. (TV)
NYSE: TV · Real-Time Price · USD
2.660
-0.110 (-3.97%)
At close: May 29, 2026, 4:00 PM EDT
2.670
+0.010 (0.39%)
After-hours: May 29, 2026, 7:46 PM EDT

Grupo Televisa, S.A.B. Cash Flow Statement

Millions MXN. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Net Income
--1,004-7,626-6,12963,25014,101
Depreciation & Amortization
16,97017,16220,59021,89121,59321,748
Stock-Based Compensation
84,977373.51488.83748.51,6661,088
Other Adjustments
7,4985,09815,8058,224-57,7225,327
Change in Receivables
312.26-365.993,7941,7752,053-8,031
Changes in Inventories
392.44-48.091,100564.75-588.95-571.28
Changes in Accounts Payable
792.012,689-738.6-3,216-122.95850.76
Changes in Unearned Revenue
--457.4-526.7-734.35267.243,061
Changes in Other Operating Activities
-361.42-3,355-332.09-7,923-17,928-8,249
Operating Cash Flow
4,565,27020,09232,55415,20112,46829,324
Operating Cash Flow Growth
50911.68%-38.28%114.15%21.93%-57.48%-11.57%
Capital Expenditures
2,485,940-12,187-9,097-14,708-17,315-23,268
Sale of Property, Plant & Equipment
182.9133.18627.9748.87264.16672.42
Purchases of Intangible Assets
197,485-1,287-1,379-1,870-1,807-1,899
Purchases of Investments
--13,069----1,122
Proceeds from Sale of Investments
-116.2750.7745.56-7.922,137
Proceeds from Business Divestments
5---66,0964,625
Other Investing Activities
2,4184,004787.84724.91-4,52410
Investing Cash Flow
-21,280-22,290-9,010-15,75842,705-18,845
Long-Term Debt Issued
-3,001-10,000400-2,650
Long-Term Debt Repaid
1,304-8,366-11,567-8,094-18,400-3,721
Net Long-Term Debt Issued (Repaid)
-1,697-8,366-1,567-7,694-18,400-1,071
Issuance of Common Stock
-495.83378.89172.98980.41774.07
Repurchase of Common Stock
40,000-1,090-511.47-1,456-2,258-1,103
Net Common Stock Issued (Repurchased)
40,000-594.2-132.57-1,283-1,278-328.5
Common Dividends Paid
------328.77
Other Financing Activities
-582.74474.2350.83-195.06-145.13-2,692
Financing Cash Flow
-16,420-16,321-9,389-17,753-29,769-13,732
Effect of Exchange Rate Changes on Cash and Cash Equivalents
4.45-67148.29-234.64-100.3423.54
Net Cash Flow
-8,310-18,58614,304-18,54525,303-3,230
Free Cash Flow
7,051,2107,90623,457493.38-4,8486,056
Free Cash Flow Growth
89092.71%-66.30%4654.27%---53.52%
FCF Margin
12070.50%13.43%37.67%0.75%-7.07%8.19%
Free Cash Flow Per Share
199.052.908.610.01-0.070.09
Levered Free Cash Flow
2,493,930-13,7311,162-20,24212,217-1,445
Unlevered Free Cash Flow
2,488,92041,4217,924-1,648-10,749-3,064
SEC Filings: 10-K · 10-Q