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Grupo Simec SAB de CV

Grupo Simec SAB de CV (SIM)

26.00
0.00
(0.00%)
Closed November 03 4:00PM
0.00
0.00
(0.00%)
After Hours: 4:00PM

Income Statement

Balance Sheet

Cash Flow

Quarter End Sep 2022Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023Mar 2024Jun 2024
MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)
Total Assets 66.44B67.63B67.87B66.77B68.68B66.79B68.69B72.5B
Total Current Assets 46.3B43.52B45.19B44.51B46.38B41.74B45.51B48.9B
Cash and Equivalents 21.62B21.55B21.23B20.86B23.51B23.58B24.07B27.97B
Total Non-Current Assets 36.44B40.89B39.9B39.34B39.54B43.01B41.34B42.13B
Total Liabilities 18.64B19.64B19.18B17.93B18.22B16.98B17.38B17.6B
Total Current Liabilities 14.1B15.15B14.73B13.54B13.79B12.97B13.51B13.64B
Total Non-Current Liabilities 4.54B4.48B4.46B4.39B4.43B4.01B3.87B3.97B
Common Equity 2.83B2.83B2.83B2.83B2.83B2.83B2.83B2.83B
Retained Earnings 36.44B38.1B39.13B40.12B41.92B42.38B44.06B48.04B
Year End December 30 2023 20162017201820192020202120222023
MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)
Total Assets 41.64B45.54B48.2B46.05B47.58B57.34B67.63B66.79B
Total Current Assets 23.01B26.11B27.78B24.45B26.44B35.77B43.52B41.74B
Cash and Equivalents 7.54B7.2B514.17M898.39M7.73B15.13B21.55B23.58B
Total Non-Current Assets 33.21B34.12B35.18B32.61B33.18B41.96B47.99B49.81B
Total Liabilities 8.43B11.42B13.02B13.44B14.4B15.38B19.64B16.98B
Total Current Liabilities 5.52B7.24B8.67B9.32B10.51B10.9B15.15B12.97B
Total Non-Current Liabilities 2.91B4.18B4.35B4.12B3.89B4.48B4.48B4.01B
Total Equity 33.21B34.12B35.18B32.61B33.18B41.96B47.99B49.81B
Common Equity 2.83B2.83B2.83B2.83B2.83B2.83B2.83B2.83B
Retained Earnings 19.05B20.77B20.81B19.99B20.95B30.4B38.1B42.38B