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Grupo Traxion SAB de CV
OTC:GRPOF

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Grupo Traxion SAB de CV
OTC:GRPOF
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Price: 0.7456 USD Market Closed
Market Cap: $422.7m

Balance Sheet

Balance Sheet Decomposition
Grupo Traxion SAB de CV

Balance Sheet
Grupo Traxion SAB de CV

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Balance Sheet
Currency: MXN
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
69
392
468
3 272
501
581
1 597
1 261
844
1 380
1 456
Cash
46
77
243
220
278
467
1 020
809
692
836
1 054
Cash Equivalents
23
315
224
3 052
223
113
578
452
152
544
401
Short-Term Investments
0
0
0
0
0
0
126
140
128
0
0
Total Receivables
457
1 052
1 783
2 122
2 994
2 971
3 736
3 960
4 560
6 007
6 846
Accounts Receivables
361
346
1 038
1 413
2 004
2 026
2 618
2 917
3 280
4 340
5 268
Other Receivables
96
707
745
709
990
945
1 118
1 043
1 279
1 667
1 579
Inventory
7
12
65
90
97
47
88
117
113
163
221
Other Current Assets
12
38
16
31
83
101
126
253
410
288
340
Total Current Assets
544
1 494
2 332
5 515
3 675
3 699
5 674
5 731
6 055
7 838
8 863
PP&E Net
668
663
3 527
4 629
7 925
9 212
9 332
10 311
13 163
15 708
16 867
PP&E Gross
668
663
3 527
4 629
7 925
9 212
9 332
10 311
13 163
15 708
16 867
Accumulated Depreciation
359
426
565
819
1 203
1 556
2 214
2 910
3 925
4 943
6 307
Intangible Assets
161
155
1 269
1 213
1 507
1 369
1 387
1 334
2 218
2 184
2 187
Goodwill
336
336
3 370
3 370
4 290
4 323
4 323
4 323
5 141
5 292
5 324
Note Receivable
37
37
77
0
12
128
122
7
34
160
181
Long-Term Investments
0
0
3
3
3
3
3
47
113
179
408
Other Long-Term Assets
0
500
42
167
259
370
251
250
381
614
767
Other Assets
336
336
3 370
3 370
4 290
4 323
4 323
4 323
5 141
5 292
5 324
Total Assets
1 746
N/A
3 185
+82%
10 620
+233%
14 897
+40%
17 670
+19%
19 104
+8%
21 092
+10%
22 003
+4%
27 104
+23%
31 975
+18%
34 597
+8%
Liabilities
Accounts Payable
111
113
478
473
528
551
939
1 361
1 415
1 630
1 757
Accrued Liabilities
13
29
356
295
474
582
693
536
765
924
1 071
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
197
217
92
452
839
1 705
1 338
951
1 654
1 714
2 085
Other Current Liabilities
174
217
378
333
876
678
937
889
1 588
2 543
2 387
Total Current Liabilities
494
576
1 303
1 553
2 717
3 516
3 908
3 737
5 422
6 811
7 300
Long-Term Debt
174
85
3 149
3 044
4 020
4 445
5 575
6 360
9 175
9 750
11 541
Deferred Income Tax
11
219
619
616
823
712
620
698
1 227
1 330
1 457
Minority Interest
28
12
0
0
0
0
0
0
0
2
21
Other Liabilities
442
199
543
42
61
127
149
102
114
183
121
Total Liabilities
1 149
N/A
1 090
-5%
5 614
+415%
5 254
-6%
7 621
+45%
8 801
+15%
10 252
+16%
10 897
+6%
15 937
+46%
18 072
+13%
20 398
+13%
Equity
Common Stock
428
1 124
5 271
8 930
8 855
8 599
8 355
7 802
7 346
10 043
9 892
Retained Earnings
170
28
63
400
781
1 230
1 887
2 735
3 241
3 879
4 549
Additional Paid In Capital
0
943
327
312
385
511
626
538
530
136
136
Treasury Stock
0
0
0
0
0
0
0
0
0
185
395
Other Equity
0
0
0
0
29
37
28
31
49
31
15
Total Equity
597
N/A
2 095
+251%
5 006
+139%
9 643
+93%
10 049
+4%
10 304
+3%
10 839
+5%
11 106
+2%
11 167
+1%
13 904
+25%
14 198
+2%
Total Liabilities & Equity
1 746
N/A
3 185
+82%
10 620
+233%
14 897
+40%
17 670
+19%
19 104
+8%
21 092
+10%
22 003
+4%
27 104
+23%
31 975
+18%
34 597
+8%
Shares Outstanding
Common Shares Outstanding
304
304
304
543
543
543
543
543
543
568
568