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Grupo TMM SA (PK)

Grupo TMM SA (PK) (GTMAY)

1.00
0.00
( 0.00% )
Updated: 08:30:25

Income Statement

Balance Sheet

Cash Flow

Year End December 30 2023 20162017201820192020202120222023
MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)MXN ($)
Total Assets 11.92B4.12B3.78B4.56B4.03B3.71B3.5B3.27B
Total Current Assets 2.12B1.32B1.27B1.53B722.15M1.35B1.27B880.17M
Cash and Equivalents 304.84M158.96M124.81M127.87M756k39.57M94.73M98.38M
Total Non-Current Assets 963.99M2.23B2.12B2.42B2.25B1.82B1.8B1.97B
Total Liabilities 10.96B1.9B1.66B2.14B1.78B1.89B1.7B1.29B
Total Current Liabilities 1.39B1.05B861.35M1.05B942.86M1.23B1.21B969.78M
Total Non-Current Liabilities 18.9B1.24B1.19B1.21B893.93M728.25M522.34M335.05M
Total Equity 963.99M2.23B2.12B2.42B2.25B1.82B1.8B1.97B
Common Equity 2.22B2.22B2.22B2.22B2.22B2.22B2.22B2.37B
Retained Earnings -4.26B-859.16M-799.82M-565.53M-963.6M-1.17B-1.13B-1.08B