ADVFN Logo
Registration Strip Icon for charts Register for streaming realtime charts, analysis tools, and prices.

GPOVF Grupo Carso Sa de CV (PK)

8.30
0.00 (0.00%)
May 17 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2023 20162017201820192020202120222023
MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)
Total Assets 109.56B118.85B137.89B150.45B169.83B185.77B239.38B250.47B
Total Current Assets 52.04B52.39B57.14B61.13B64.59B73.13B94.45B107.33B
Cash and Equivalents 2.95B2.94B5.01B6.43B11.76B11.2B12.29B16.35B
Total Non-Current Assets 71.58B80.93B93.18B94.64B100.71B114.07B134.85B144.16B
Total Liabilities 37.98B37.92B44.71B55.81B69.11B71.7B104.53B106.32B
Total Current Liabilities 34.26B26.06B25.14B29.89B34.92B39.54B61.37B63.03B
Total Non-Current Liabilities 3.72B19.41B32.24B38.1B55.01B50.79B70.36B69.94B
Total Equity 71.58B80.93B93.18B94.64B100.71B114.07B134.85B144.16B
Common Equity 2.53B2.53B2.53B2.53B2.53B2.53B2.53B2.53B
Retained Earnings 58.64B67.74B79.75B78.28B83.76B92.17B105.53B116.01B