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Consorcio Aristos SAB de CV Cl -A- (MX:ARISTOSA)
:ARISTOSA
Mexico Market

Consorcio Aristos SAB de CV Cl -A- (ARISTOSA) Financial Statements

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Consorcio Aristos SAB de CV Cl -A- Financial Overview

Consorcio Aristos SAB de CV Cl -A-'s market cap is currently $7.19B. The company's EPS TTM is $0.45; its P/E ratio is 90.33; Consorcio Aristos SAB de CV Cl -A- is scheduled to report earnings on ―, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 24Dec 23Dec 22Dec 21Dec 20
Income Statement
Total Revenue$ 5.99B$ 4.06B$ 2.04B$ 1.49B$ 2.07B
Gross Profit$ 1.09B$ 737.71M$ 435.58M$ 396.48M$ 371.42M
Operating Income$ 529.32M$ 388.43M$ 221.49M$ 174.99M$ 190.55M
EBITDA$ 892.96M$ 734.95M$ 492.92M$ 438.76M$ 459.96M
Net Income$ 276.86M$ 146.63M$ 75.52M$ 56.49M$ 52.22M
Balance Sheet
Cash & Short-Term Investments$ 2.04B$ 1.10B$ 563.11M$ 535.27M$ 614.62M
Total Assets$ 6.93B$ 6.37B$ 5.93B$ 5.82B$ 6.17B
Total Debt$ 1.05B$ 1.20B$ 1.07B$ 1.15B$ 1.18B
Net Debt$ -988.90M$ -1.10B$ 504.60M$ 616.74M$ 560.79M
Total Liabilities$ 1.81B$ 1.54B$ 1.24B$ 1.28B$ 1.68B
Stockholders' Equity$ 5.11B$ 4.84B$ 4.69B$ 4.55B$ 4.49B
Cash Flow
Free Cash Flow$ 555.43M$ 669.72M$ 217.34M$ -77.58M$ 491.49M
Operating Cash Flow$ 615.32M$ 696.92M$ 373.00M$ 56.52M$ 573.33M
Investing Cash Flow$ -60.56M$ -27.59M$ -157.04M$ -134.11M$ -81.84M
Financing Cash Flow$ 387.42M$ -134.29M$ -187.72M$ -1.77M$ -40.34M
Currency in MXN

Consorcio Aristos SAB de CV Cl -A- Earnings and Revenue History

Consorcio Aristos SAB de CV Cl -A- Debt to Assets

Consorcio Aristos SAB de CV Cl -A- Cash Flow

Consorcio Aristos SAB de CV Cl -A- Forecast EPS vs Actual EPS

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