Grupo Televisa SAB
F:TLV
Balance Sheet
Balance Sheet Decomposition
Grupo Televisa SAB
Grupo Televisa SAB
Balance Sheet
Grupo Televisa SAB
| Dec-2001 | Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
486
|
1 613
|
372
|
16 641
|
14 778
|
15 811
|
844
|
35 106
|
29 941
|
20 943
|
16 276
|
19 063
|
16 692
|
29 729
|
49 397
|
47 546
|
38 735
|
32 068
|
27 452
|
29 058
|
25 828
|
51 131
|
32 586
|
46 193
|
|
| Cash |
486
|
1 613
|
372
|
0
|
0
|
0
|
844
|
35 106
|
29 941
|
20 943
|
16 276
|
1 777
|
1 282
|
1 830
|
1 566
|
1 551
|
1 694
|
1 961
|
1 665
|
5 095
|
1 181
|
2 042
|
2 317
|
3 906
|
|
| Cash Equivalents |
0
|
0
|
0
|
16 641
|
14 778
|
15 811
|
0
|
0
|
0
|
0
|
0
|
17 286
|
15 410
|
27 899
|
47 832
|
45 995
|
37 041
|
30 107
|
25 787
|
23 963
|
24 647
|
49 089
|
30 270
|
42 287
|
|
| Short-Term Investments |
5 139
|
7 174
|
11 892
|
0
|
0
|
0
|
26 461
|
6 798
|
8 902
|
10 447
|
5 443
|
5 317
|
3 723
|
4 789
|
5 330
|
5 498
|
1 586
|
31
|
2
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
10 082
|
10 431
|
11 939
|
12 441
|
14 467
|
15 271
|
20 080
|
20 547
|
22 065
|
22 078
|
22 153
|
22 895
|
24 494
|
24 715
|
26 097
|
31 697
|
31 323
|
28 347
|
27 161
|
27 385
|
33 457
|
25 718
|
24 618
|
17 706
|
|
| Accounts Receivables |
8 769
|
9 564
|
10 603
|
11 230
|
13 896
|
13 598
|
17 295
|
18 200
|
18 399
|
17 701
|
19 244
|
18 982
|
20 734
|
21 087
|
21 702
|
24 906
|
24 727
|
20 892
|
14 486
|
13 942
|
14 876
|
10 376
|
10 143
|
7 659
|
|
| Other Receivables |
1 313
|
867
|
1 336
|
1 211
|
571
|
1 673
|
2 785
|
2 347
|
3 666
|
4 377
|
2 909
|
3 913
|
3 760
|
3 628
|
4 394
|
6 790
|
6 596
|
7 455
|
12 675
|
13 442
|
18 581
|
15 343
|
14 475
|
10 047
|
|
| Inventory |
533
|
509
|
513
|
4 257
|
3 759
|
3 826
|
3 989
|
4 955
|
1 665
|
1 255
|
1 384
|
1 509
|
1 718
|
3 337
|
1 628
|
1 899
|
1 493
|
1 026
|
1 151
|
1 641
|
2 213
|
1 448
|
1 261
|
463
|
|
| Other Current Assets |
5 313
|
3 850
|
4 042
|
711
|
578
|
12 593
|
653
|
1 152
|
5 808
|
5 122
|
5 405
|
5 854
|
6 581
|
17 232
|
7 486
|
9 121
|
7 965
|
10 580
|
11 665
|
10 977
|
11 761
|
3 279
|
3 639
|
3 905
|
|
| Total Current Assets |
21 552
|
23 577
|
28 758
|
34 049
|
33 582
|
47 501
|
52 027
|
68 559
|
68 382
|
59 844
|
50 660
|
54 638
|
53 208
|
79 802
|
89 938
|
95 761
|
81 102
|
72 053
|
67 431
|
69 061
|
73 259
|
81 577
|
62 105
|
68 268
|
|
| PP&E Net |
12 920
|
15 343
|
15 601
|
19 160
|
19 729
|
20 976
|
25 171
|
30 798
|
33 071
|
38 652
|
41 499
|
48 363
|
53 476
|
62 010
|
76 089
|
86 784
|
85 720
|
87 343
|
90 882
|
90 494
|
95 527
|
88 907
|
83 934
|
67 001
|
|
| PP&E Gross |
12 920
|
15 343
|
15 601
|
19 160
|
19 729
|
20 976
|
25 171
|
30 798
|
33 071
|
38 652
|
41 499
|
48 363
|
53 476
|
62 010
|
76 089
|
86 784
|
85 720
|
87 343
|
90 882
|
90 494
|
95 527
|
88 907
|
83 934
|
67 001
|
|
| Accumulated Depreciation |
7 177
|
9 296
|
11 306
|
12 785
|
17 175
|
19 449
|
22 750
|
28 552
|
32 145
|
36 900
|
42 380
|
43 392
|
49 198
|
57 540
|
67 907
|
71 807
|
84 331
|
98 803
|
109 029
|
129 600
|
144 305
|
156 695
|
171 692
|
176 814
|
|
| Intangible Assets |
3 768
|
5 243
|
4 671
|
0
|
0
|
0
|
0
|
0
|
8 085
|
7 711
|
9 289
|
8 555
|
8 761
|
19 456
|
23 994
|
23 622
|
21 774
|
28 950
|
29 215
|
28 611
|
28 219
|
27 219
|
26 485
|
25 472
|
|
| Goodwill |
2 559
|
7 561
|
9 200
|
0
|
0
|
0
|
3 978
|
6 289
|
3 134
|
2 530
|
2 572
|
2 572
|
2 622
|
9 323
|
14 113
|
14 113
|
14 113
|
14 114
|
14 114
|
14 114
|
14 037
|
13 905
|
13 905
|
13 455
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
254
|
335
|
0
|
0
|
0
|
0
|
0
|
2 228
|
0
|
2 943
|
3 601
|
10 203
|
8 378
|
6 266
|
|
| Long-Term Investments |
4 005
|
3 033
|
6 322
|
6 758
|
7 588
|
5 711
|
8 116
|
3 349
|
6 361
|
21 837
|
43 408
|
42 979
|
56 267
|
39 742
|
50 353
|
57 229
|
64 799
|
59 750
|
54 031
|
29 816
|
32 780
|
56 714
|
48 804
|
49 638
|
|
| Other Long-Term Assets |
3 347
|
1 716
|
208
|
13 917
|
13 954
|
8 843
|
9 411
|
13 857
|
7 535
|
5 897
|
7 380
|
7 625
|
19 775
|
25 220
|
26 987
|
31 545
|
29 713
|
32 734
|
34 670
|
36 208
|
46 320
|
20 583
|
19 059
|
21 558
|
|
| Other Assets |
2 559
|
7 561
|
9 200
|
0
|
0
|
0
|
3 978
|
6 289
|
3 134
|
2 530
|
2 572
|
2 572
|
2 622
|
9 323
|
14 113
|
14 113
|
14 113
|
14 114
|
14 114
|
14 114
|
14 037
|
13 905
|
13 905
|
13 455
|
|
| Total Assets |
48 151
N/A
|
56 473
+17%
|
64 759
+15%
|
73 884
+14%
|
74 852
+1%
|
83 030
+11%
|
98 703
+19%
|
122 852
+24%
|
126 568
+3%
|
136 471
+8%
|
155 061
+14%
|
165 066
+6%
|
194 109
+18%
|
235 552
+21%
|
281 474
+19%
|
309 054
+10%
|
297 220
-4%
|
297 171
0%
|
290 344
-2%
|
271 246
-7%
|
293 742
+8%
|
299 108
+2%
|
262 670
-12%
|
251 658
-4%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
2 092
|
2 229
|
2 349
|
2 135
|
2 955
|
3 451
|
4 458
|
6 337
|
6 433
|
7 472
|
7 688
|
8 594
|
10 719
|
17 142
|
17 361
|
22 878
|
19 960
|
22 030
|
20 910
|
21 943
|
22 874
|
16 084
|
25 722
|
11 330
|
|
| Accrued Liabilities |
208
|
307
|
315
|
0
|
0
|
0
|
0
|
0
|
665
|
950
|
1 045
|
1 887
|
2 704
|
3 865
|
2 280
|
2 558
|
2 084
|
2 348
|
3 964
|
5 726
|
6 749
|
4 046
|
6 019
|
5 543
|
|
| Short-Term Debt |
0
|
0
|
0
|
86
|
246
|
6
|
586
|
1 260
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
335
|
1 240
|
285
|
3 211
|
94
|
980
|
0
|
1 162
|
1 668
|
1 749
|
1 552
|
814
|
737
|
1 814
|
4 676
|
4 456
|
3 863
|
4 049
|
3 643
|
1 895
|
5 585
|
2 373
|
11 269
|
5 800
|
|
| Other Current Liabilities |
940
|
13 312
|
16 003
|
3 350
|
3 503
|
3 614
|
3 293
|
3 852
|
23 411
|
23 137
|
25 718
|
24 950
|
26 122
|
21 549
|
24 660
|
27 534
|
24 858
|
20 106
|
13 870
|
14 146
|
21 461
|
11 868
|
4 742
|
4 630
|
|
| Total Current Liabilities |
3 576
|
17 088
|
18 952
|
8 782
|
6 798
|
8 051
|
8 337
|
12 612
|
32 177
|
33 309
|
36 002
|
36 246
|
40 283
|
44 370
|
48 978
|
57 426
|
50 765
|
48 531
|
42 386
|
43 710
|
56 670
|
34 371
|
34 891
|
27 303
|
|
| Long-Term Debt |
12 820
|
13 345
|
14 704
|
20 860
|
19 786
|
18 916
|
25 469
|
37 853
|
43 150
|
46 845
|
55 859
|
57 148
|
64 238
|
85 468
|
112 724
|
135 614
|
121 993
|
126 938
|
128 897
|
129 951
|
129 888
|
111 236
|
84 559
|
102 542
|
|
| Deferred Income Tax |
1 732
|
2 036
|
1 154
|
15 303
|
18 046
|
17 162
|
1 273
|
2 265
|
1 765
|
682
|
0
|
0
|
0
|
7 763
|
10 000
|
10 349
|
9 038
|
8 391
|
7 052
|
1 786
|
2 211
|
1 249
|
1 054
|
1 251
|
|
| Minority Interest |
976
|
1 140
|
1 079
|
121
|
851
|
1 583
|
3 611
|
5 233
|
6 302
|
6 793
|
7 197
|
7 891
|
10 268
|
11 110
|
12 139
|
12 492
|
13 995
|
15 014
|
14 874
|
14 497
|
15 406
|
15 822
|
15 392
|
9 242
|
|
| Other Liabilities |
11 295
|
2 680
|
2 422
|
1 334
|
358
|
2 298
|
22 975
|
22 871
|
5 004
|
3 777
|
4 344
|
3 138
|
11 009
|
10 036
|
10 250
|
9 381
|
15 768
|
8 780
|
6 604
|
7 861
|
8 450
|
8 121
|
7 495
|
8 866
|
|
| Total Liabilities |
30 398
N/A
|
36 289
+19%
|
38 312
+6%
|
46 159
+20%
|
45 839
-1%
|
48 009
+5%
|
61 664
+28%
|
80 833
+31%
|
88 399
+9%
|
91 406
+3%
|
103 402
+13%
|
104 422
+1%
|
125 797
+20%
|
158 747
+26%
|
194 091
+22%
|
225 262
+16%
|
211 558
-6%
|
207 654
-2%
|
199 813
-4%
|
197 804
-1%
|
212 624
+7%
|
170 800
-20%
|
143 390
-16%
|
149 204
+4%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
0
|
7 614
|
8 207
|
9 571
|
9 889
|
10 126
|
10 268
|
10 061
|
10 020
|
10 020
|
10 239
|
4 978
|
4 978
|
4 978
|
4 978
|
4 978
|
4 978
|
4 908
|
4 908
|
4 908
|
4 837
|
4 837
|
4 723
|
3 934
|
|
| Retained Earnings |
16 015
|
17 636
|
17 228
|
16 640
|
27 806
|
26 593
|
27 733
|
32 073
|
25 387
|
33 402
|
37 625
|
51 073
|
56 898
|
62 905
|
73 140
|
70 396
|
74 433
|
78 511
|
82 431
|
84 280
|
88 218
|
131 054
|
120 400
|
112 041
|
|
| Additional Paid In Capital |
7 182
|
216
|
3 875
|
4 077
|
4 212
|
4 383
|
4 548
|
4 548
|
4 548
|
4 548
|
16 593
|
15 890
|
15 890
|
15 890
|
15 890
|
15 890
|
15 890
|
15 890
|
15 890
|
15 890
|
15 890
|
15 890
|
15 890
|
13 359
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4 516
|
7 393
|
2 774
|
2 742
|
2 748
|
3 967
|
1 203
|
1 525
|
1 505
|
1 373
|
1 372
|
1 306
|
|
| Treasury Stock |
0
|
245
|
620
|
0
|
7 045
|
0
|
0
|
5 308
|
5 187
|
6 157
|
15 972
|
13 103
|
12 848
|
12 647
|
11 882
|
11 433
|
14 789
|
14 219
|
14 019
|
16 079
|
14 205
|
12 649
|
11 866
|
13 997
|
|
| Other Equity |
5 444
|
5 036
|
2 244
|
2 562
|
5 850
|
6 081
|
5 509
|
645
|
3 402
|
3 251
|
3 175
|
1 806
|
1 122
|
1 714
|
2 483
|
1 220
|
2 403
|
461
|
118
|
17 082
|
15 127
|
12 197
|
11 239
|
14 189
|
|
| Total Equity |
17 753
N/A
|
20 185
+14%
|
26 448
+31%
|
27 725
+5%
|
29 013
+5%
|
35 021
+21%
|
37 039
+6%
|
42 019
+13%
|
38 170
-9%
|
45 064
+18%
|
51 660
+15%
|
60 644
+17%
|
68 311
+13%
|
76 805
+12%
|
87 383
+14%
|
83 792
-4%
|
85 662
+2%
|
89 517
+5%
|
90 530
+1%
|
73 442
-19%
|
81 118
+10%
|
128 308
+58%
|
119 280
-7%
|
102 454
-14%
|
|
| Total Liabilities & Equity |
48 151
N/A
|
56 473
+17%
|
64 759
+15%
|
73 884
+14%
|
74 852
+1%
|
83 030
+11%
|
98 703
+19%
|
122 852
+24%
|
126 568
+3%
|
136 471
+8%
|
155 061
+14%
|
165 066
+6%
|
194 109
+18%
|
235 552
+21%
|
281 474
+19%
|
309 054
+10%
|
297 220
-4%
|
297 171
0%
|
290 344
-2%
|
271 246
-7%
|
293 742
+8%
|
299 108
+2%
|
262 670
-12%
|
251 658
-4%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
345 141
|
344 863
|
341 526
|
341 638
|
339 941
|
337 782
|
329 960
|
328 393
|
327 231
|
325 023
|
330 862
|
333 898
|
335 501
|
338 056
|
338 468
|
341 268
|
256 530
|
338 329
|
337 244
|
325 993
|
329 296
|
330 740
|
323 977
|
315 452
|
|