Arca Continental SAB de CV
OTC:EMBVF

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Arca Continental SAB de CV Logo
Arca Continental SAB de CV
OTC:EMBVF
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Price: 10.4 USD -3.61% Market Closed
Market Cap: 17.7B USD

Balance Sheet

Balance Sheet Decomposition
Arca Continental SAB de CV

Current Assets 68.6B
Cash & Short-Term Investments 32.3B
Receivables 19.7B
Other Current Assets 16.6B
Non-Current Assets 223.2B
Long-Term Investments 14.2B
PP&E 85.5B
Intangibles 117.9B
Other Non-Current Assets 5.5B
Current Liabilities 63.1B
Accounts Payable 18.2B
Accrued Liabilities 2.4B
Other Current Liabilities 42.5B
Non-Current Liabilities 100.3B
Long-Term Debt 40.8B
Other Non-Current Liabilities 59.5B

Balance Sheet
Arca Continental SAB de CV

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Balance Sheet
Currency: MXN
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
972
1 381
1 093
1 784
1 950
2 469
135
440
0
463
608
2 676
9 110
9 039
8 295
5 546
23 842
15 941
22 051
27 336
32 117
27 761
22 128
29 545
Cash
0
0
0
0
0
0
135
440
0
463
608
55
71
6
22
35
77
57
94
109
8 618
6 378
5 758
6 328
Cash Equivalents
972
1 381
1 093
1 784
1 950
2 469
0
0
0
0
0
2 621
9 039
9 033
8 274
5 511
23 765
15 884
21 957
27 226
23 499
21 384
16 370
23 217
Short-Term Investments
0
0
0
0
0
0
2 623
519
4 421
3 166
2 690
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Receivables
504
766
683
708
800
914
989
1 208
1 333
1 761
2 336
3 429
4 312
4 312
6 772
6 586
11 429
13 438
10 686
10 191
14 772
17 778
20 130
23 273
Accounts Receivables
349
383
432
445
523
690
738
928
906
1 177
1 826
2 427
3 160
3 160
4 242
4 529
8 906
9 173
8 590
7 590
9 270
10 919
12 013
14 853
Other Receivables
155
383
251
263
277
224
251
280
427
584
510
1 002
1 152
1 152
2 530
2 057
2 523
4 265
2 096
2 601
5 501
6 859
8 117
8 420
Inventory
1 151
1 140
1 057
935
867
930
996
1 491
1 742
2 135
3 488
2 345
2 832
2 832
4 337
5 126
7 718
7 798
7 948
8 251
9 640
11 643
10 844
13 182
Other Current Assets
11
40
21
48
57
64
54
70
93
140
467
183
269
269
390
391
792
391
671
1 322
903
1 156
1 371
1 663
Total Current Assets
2 638
3 327
2 855
3 475
3 674
4 378
4 797
3 727
7 589
7 665
9 589
8 633
16 453
16 453
19 795
17 650
43 781
37 568
41 357
47 099
57 432
58 338
54 473
67 663
PP&E Net
7 442
7 592
7 099
7 505
7 870
8 519
9 182
10 929
10 869
12 315
21 162
22 524
25 321
25 321
42 913
49 233
71 664
74 079
73 114
70 849
69 873
69 690
67 223
84 664
PP&E Gross
0
0
7 099
7 505
7 870
8 519
9 182
10 929
10 869
12 315
21 162
22 524
25 321
25 321
42 913
49 233
71 664
74 079
73 114
70 849
69 873
69 690
67 223
84 664
Accumulated Depreciation
0
0
6 137
6 556
6 888
7 330
8 171
9 628
9 619
11 420
18 317
20 771
25 791
25 791
29 007
33 336
33 445
40 874
48 728
48 933
55 083
59 150
56 542
70 471
Intangible Assets
0
0
0
0
0
0
0
0
1 699
0
0
13 662
14 491
14 663
27 646
31 372
60 225
60 784
59 068
60 495
60 124
58 544
52 747
61 628
Goodwill
2 092
2 096
2 045
0
0
0
2 534
4 521
4 612
8 033
8 296
15 477
19 114
18 982
28 675
33 738
56 181
56 306
54 350
55 929
57 219
55 785
49 194
59 744
Note Receivable
0
0
346
288
213
164
0
0
0
0
0
0
0
0
0
349
566
951
668
702
958
943
879
1 142
Long-Term Investments
71
84
97
108
125
86
122
766
787
696
2 429
2 983
3 926
3 926
4 491
5 336
6 935
7 068
8 198
8 308
8 614
9 188
10 304
13 518
Other Long-Term Assets
63
41
116
2 169
2 424
2 509
605
1 716
86
5 882
18 940
1 171
1 022
1 022
1 415
1 246
933
1 124
1 691
2 591
3 807
4 063
4 119
4 278
Other Assets
2 092
2 096
2 045
0
0
0
2 534
4 521
4 612
8 033
8 296
15 477
19 114
18 982
28 675
33 738
56 181
56 306
54 350
55 929
57 219
55 785
49 194
59 744
Total Assets
12 306
N/A
13 141
+7%
12 558
-4%
13 545
+8%
14 306
+6%
15 654
+9%
17 240
+10%
21 659
+26%
25 642
+18%
34 592
+35%
60 415
+75%
64 451
+7%
80 327
+25%
80 367
+0%
124 934
+55%
138 924
+11%
240 285
+73%
237 879
-1%
238 447
+0%
245 974
+3%
258 027
+5%
256 552
-1%
238 939
-7%
292 636
+22%
Liabilities
Accounts Payable
1 246
1 153
674
583
580
659
979
1 116
1 622
1 448
2 622
4 022
3 373
3 980
6 515
7 646
12 554
12 705
13 035
8 028
12 330
14 078
45 039
15 485
Accrued Liabilities
0
0
0
0
0
0
0
0
226
0
0
763
2 376
2 278
2 405
2 745
3 358
4 595
3 614
9 464
10 389
11 439
10 482
12 577
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
156
197
0
12
11
11
1 011
2 488
1 961
531
1 337
710
1 699
1 699
6 998
4 368
1 785
2 672
7 009
7 490
7 953
6 742
12 371
4 014
Other Current Liabilities
0
0
298
584
495
597
727
824
20
1 827
2 398
2 180
3 561
2 631
3 166
3 600
5 620
3 856
4 094
5 796
8 204
10 344
10 226
13 392
Total Current Liabilities
1 403
1 350
972
1 179
1 086
1 267
2 718
4 428
3 829
3 806
6 357
7 675
10 588
10 588
19 084
18 359
23 318
23 827
27 751
30 779
38 876
42 602
47 050
45 467
Long-Term Debt
1 937
1 837
1 500
1 686
1 820
1 520
509
500
4 004
7 785
10 204
10 732
14 078
14 078
32 916
26 816
53 338
53 155
47 435
44 298
44 272
41 437
33 830
46 066
Deferred Income Tax
1 374
1 299
1 277
1 134
1 045
1 511
1 410
1 869
1 762
3 119
3 642
3 572
4 944
4 984
9 043
10 755
17 945
17 483
16 559
17 040
17 378
16 628
14 713
17 546
Minority Interest
9
0
0
0
0
0
0
0
0
2 346
2 723
2 497
3 320
3 320
10 588
8 896
31 103
27 727
28 491
30 566
29 760
30 229
28 823
36 109
Other Liabilities
177
154
148
0
0
0
87
203
250
213
1 101
1 368
1 333
1 333
2 259
2 673
4 108
3 884
5 315
6 436
7 363
8 030
9 029
9 653
Total Liabilities
4 901
N/A
4 640
-5%
3 896
-16%
3 999
+3%
3 951
-1%
4 298
+9%
4 724
+10%
7 000
+48%
9 845
+41%
17 268
+75%
24 026
+39%
25 845
+8%
34 263
+33%
34 303
+0%
73 890
+115%
67 500
-9%
129 811
+92%
126 077
-3%
125 551
0%
129 120
+3%
137 650
+7%
138 927
+1%
133 446
-4%
154 841
+16%
Equity
Common Stock
3 643
3 851
4 004
4 212
4 352
4 528
4 698
4 698
4 698
4 698
5 696
972
972
972
972
978
982
982
982
982
982
971
958
945
Retained Earnings
4 826
4 650
5 916
6 732
7 453
8 408
9 533
9 036
10 495
12 333
2 993
10 934
18 508
18 508
22 942
27 911
60 524
63 054
68 392
69 883
73 120
77 959
85 683
94 565
Additional Paid In Capital
540
0
571
604
628
695
725
725
711
729
26 861
28 104
28 121
28 121
28 141
38 674
45 120
45 115
45 089
45 086
43 052
39 964
35 098
35 065
Unrealized Security Profit/Loss
0
0
0
0
2 079
2 274
0
0
108
53
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Equity
1 604
0
1 830
2 001
0
0
2 440
200
0
382
839
1 404
1 536
1 536
1 011
3 862
3 847
2 652
1 567
903
3 223
1 270
16 245
7 220
Total Equity
7 405
N/A
8 501
+15%
8 661
+2%
9 546
+10%
10 355
+8%
11 356
+10%
12 516
+10%
14 659
+17%
15 796
+8%
17 324
+10%
36 389
+110%
38 606
+6%
46 064
+19%
46 064
0%
51 044
+11%
71 425
+40%
110 473
+55%
111 802
+1%
112 896
+1%
116 854
+4%
120 377
+3%
117 625
-2%
105 494
-10%
137 795
+31%
Total Liabilities & Equity
12 306
N/A
13 141
+7%
12 558
-4%
13 545
+8%
14 306
+6%
15 654
+9%
17 240
+10%
21 659
+26%
25 642
+18%
34 592
+35%
60 415
+75%
64 451
+7%
80 327
+25%
80 367
+0%
124 934
+55%
138 924
+11%
240 285
+73%
237 879
-1%
238 447
+0%
245 974
+3%
258 027
+5%
256 552
-1%
238 939
-7%
292 636
+22%
Shares Outstanding
Common Shares Outstanding
806
806
806
806
806
806
806
806
803
806
1 611
1 611
1 611
1 611
1 611
1 704
1 764
1 764
1 764
1 764
1 764
1 744
1 721
1 698