Earnings
GRPRF
0.780
0.00%
--
Currencies: MXN
Items
Cash from Operating Activities
Net Income
Depreciation/Depletion & Amortization
Deferred Taxes
Non-Cash Items
Changes in Working Capital
Cash from Investing Activities
Capital Expenditures
Other Investing Cash Flow Items, Total
Cash from Financing Activities
Financing Cash Flow Items
Total Cash Dividends Paid
Issuance (Retirement) of Stock, Net
Issuance (Retirement) of Debt, Net
Foreign Exchange Effects
Net Change in Cash
Cash Interest Paid
Cash Taxes Paid
FY 2025
1.51B
-1.01M
658.19M
--
673.50M
175.50M
-380.54M
-487.77M
107.23M
-1.04B
-567.59M
--
-198.27M
-278.16M
47.73M
129.35M
567.59M
156.59M
FY 2024
806.32M
120.22M
625.72M
--
381.69M
-321.31M
-697.12M
-652.59M
-44.53M
-125.39M
-586.40M
--
-257.40M
718.41M
182.51M
166.32M
586.40M
227.01M
FY 2023
1.29B
339.24M
519.83M
--
658.01M
-227.33M
-475.70M
-608.69M
132.99M
-841.41M
-511.85M
--
-309.91M
-19.65M
-79.59M
-106.95M
511.85M
127.68M
FY 2022
998.01M
817.14M
397.31M
--
694.83M
-911.27M
-601.27M
-659.00M
57.74M
-1.07B
-509.56M
--
-517.17M
-46.70M
-279.23M
-955.92M
509.56M
158.50M
FY 2021
247.79M
443.72M
378.69M
--
510.31M
-1.08B
-505.96M
-515.00M
9.04M
-1.20B
-509.37M
--
-508.78M
-180.19M
-7.19M
-1.46B
509.37M
135.61M

FY: Financial Year. It represents annual report.

Q: Quarter Report. Q1、Q2、Q3、Q4 represent three-month periodic financial reports.