GMexico Transportes SA de CV (GMXT)

37.340 +0.010 (+0.03%)
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GMXT Financial Summary

GMéxico Transportes, S.A.B. de C.V. reported earnings results for the second quarter and six months ended June 30, 2024. For the second quarter, the company reported sales was MXN 15,163.07 million compared to MXN 14,339.44 million a year ago. Net income was MXN 2,293.13 million compared to MXN 2,140.37 million a year ago. Basic earnings per share from continuing operations was MXN 0.5249 compared to MXN 0.4942 a year ago. Basic earnings per share was MXN 0.5249 compared to MXN 0.4942 a year ago.For the six months, sales was MXN 30,194.22 million compared to MXN 28,592.84 million a year ago. Net income was MXN 4,724.53 million compared to MXN 4,244.55 million a year ago. Basic earnings per share from continuing operations was MXN 1.0814 compared to MXN 0.9801 a year ago. Basic earnings per share was MXN 1.0814 compared to MXN 0.9801 a year ago.
TTM
Trailing Twelve Months
MRQ
Most Recent Quarter
GMXT
Gross margin TTM 46.71%
Operating margin TTM 29.14%
Net Profit margin TTM 15.59%
Return on Investment TTM 12.16%
Total Revenue
Net Income
Title
Jun 30, 2024
Mar 31, 2024
Dec 31, 2023
Sep 30, 2023
Total Revenue 15,163.07 15,031.14 13,786.03 14,025.55
Gross Profit 7,046.07 7,577.82 5,696.84 6,784.67
Operating Income 4,169.92 4,725.62 3,816.12 4,196.62
Net Income 2,293.13 2,431.40 1,915.14 2,407.43
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GMXT
Quick Ratio MRQ 1.01
Current Ratio MRQ 1.23
LT Debt to Equity MRQ 37.07%
Total Debt to Equity MRQ 51.55%
Total Assets
Total Liabilities
Title
Jun 30, 2024
Mar 31, 2024
Dec 31, 2023
Sep 30, 2023
Total Assets 122,377.67 116,514.16 116,143.33 118,928.52
Total Liabilities 54,506.58 51,631.31 51,104.33 51,228.51
Total Equity 67,871.09 64,882.85 65,039 67,700.01
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GMXT
Cash Flow/Share TTM 4.68
Revenue/Share TTM 13.28
Operating Cash Flow 42.86%
Cash
Net Change in Cash
Title
Jun 30, 2024
Mar 31, 2024
Dec 31, 2023
Sep 30, 2023
Cash From Operating Activities 6,422.29 4,099.21 4,796.04 5,146.04
Cash From Investing Activities -2,035.29 -1,137.79 -1,620.06 -1,717.02
Cash From Financing Activities -4,031.78 -3,588.66 -4,994.09 -5,661.34
Net Change in Cash 355.22 -627.24 -1,818.11 -2,232.32
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* In Millions of MXN (except for per share items)

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