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Grupo Rotoplas SAB de CV
OTC:GRPRF

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Grupo Rotoplas SAB de CV
OTC:GRPRF
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Price: 0.7 USD
Market Cap: $383.2m

Balance Sheet

Balance Sheet Decomposition
Grupo Rotoplas SAB de CV

Balance Sheet
Grupo Rotoplas SAB de CV

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Balance Sheet
Currency: MXN
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
109
125
524
3 882
3 382
1 563
1 680
1 050
1 848
3 132
1 629
673
566
732
Cash
75
77
90
207
149
451
525
622
952
0
1 358
436
449
522
Cash Equivalents
34
48
434
3 675
3 233
1 111
1 155
428
895
3 132
271
236
117
210
Short-Term Investments
0
0
0
0
0
0
0
0
38
0
0
0
0
0
Total Receivables
672
1 032
1 580
1 965
2 005
2 240
2 123
2 281
2 137
2 343
2 080
2 214
1 958
2 303
Accounts Receivables
441
687
1 159
1 605
1 725
1 668
1 438
1 599
1 665
0
1 381
1 452
1 222
1 329
Other Receivables
231
345
421
360
279
572
685
683
472
0
699
762
736
974
Inventory
475
647
645
877
768
892
964
1 057
894
833
1 575
1 524
1 006
1 810
Other Current Assets
24
31
48
196
169
112
237
360
124
0
153
111
108
244
Total Current Assets
1 279
1 835
2 798
6 920
6 324
4 806
5 003
4 749
5 041
6 307
5 436
4 522
3 638
5 088
PP&E Net
1 137
1 278
1 266
1 238
1 354
2 318
2 557
2 738
2 542
2 451
3 232
3 475
4 231
4 611
PP&E Gross
1 137
1 278
1 266
1 238
1 354
2 318
2 557
2 738
2 542
0
3 232
3 475
4 231
4 611
Accumulated Depreciation
488
527
621
708
731
1 266
1 327
1 554
1 546
0
2 367
2 566
3 189
4 068
Intangible Assets
79
52
38
52
111
151
383
935
868
970
975
1 145
1 128
1 291
Goodwill
64
57
57
57
57
1 822
2 117
2 501
2 374
2 561
2 586
2 627
2 552
2 856
Note Receivable
42
46
49
62
89
86
102
113
125
132
197
399
429
365
Long-Term Investments
5
6
7
8
9
131
145
155
95
149
139
200
239
263
Other Long-Term Assets
131
139
197
201
203
298
478
659
385
142
114
198
334
477
Other Assets
64
57
57
57
57
1 822
2 117
2 501
2 374
2 561
2 586
2 627
2 552
2 856
Total Assets
2 737
N/A
3 413
+25%
4 412
+29%
8 536
+93%
8 147
-5%
9 612
+18%
10 786
+12%
11 850
+10%
11 430
-4%
12 712
+11%
12 678
0%
12 567
-1%
12 552
0%
14 952
+19%
Liabilities
Accounts Payable
411
501
406
579
269
291
450
400
349
1 617
757
762
816
1 198
Accrued Liabilities
102
111
114
74
76
126
158
129
197
0
600
446
589
786
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
0
396
108
10
13
285
4
29
29
111
67
74
97
791
Other Current Liabilities
233
291
544
440
480
643
655
1 058
1 646
247
184
222
197
213
Total Current Liabilities
746
1 300
1 172
1 103
839
1 345
1 267
1 616
2 221
1 975
1 608
1 505
1 699
2 987
Long-Term Debt
480
387
1 216
1 201
1 204
958
1 972
2 981
2 365
4 239
4 178
4 153
4 113
4 567
Deferred Income Tax
72
35
45
34
29
67
132
328
265
230
244
230
427
401
Minority Interest
2
3
3
4
2
52
115
114
112
87
112
136
105
35
Other Liabilities
9
12
8
33
23
21
121
162
169
184
206
219
262
287
Total Liabilities
1 309
N/A
1 736
+33%
2 444
+41%
2 374
-3%
2 097
-12%
2 444
+17%
3 606
+48%
5 201
+44%
5 131
-1%
6 715
+31%
6 348
-5%
6 243
-2%
6 606
+6%
8 277
+25%
Equity
Common Stock
540
540
1 177
5 211
5 040
4 989
4 654
4 281
4 100
3 312
2 803
2 286
1 976
1 718
Retained Earnings
577
921
715
898
1 300
1 626
2 145
2 625
2 606
2 999
3 437
4 206
4 530
4 581
Additional Paid In Capital
30
30
30
34
34
34
34
34
34
34
34
34
34
34
Unrealized Security Profit/Loss
237
237
237
196
196
330
330
294
338
0
589
653
1 036
1 179
Other Equity
44
51
190
177
518
190
17
584
779
348
532
855
1 630
838
Total Equity
1 428
N/A
1 677
+17%
1 968
+17%
6 162
+213%
6 051
-2%
7 169
+18%
7 180
+0%
6 650
-7%
6 299
-5%
5 997
-5%
6 330
+6%
6 324
0%
5 946
-6%
6 675
+12%
Total Liabilities & Equity
2 737
N/A
3 413
+25%
4 412
+29%
8 536
+93%
8 147
-5%
9 612
+18%
10 786
+12%
11 850
+10%
11 430
-4%
12 712
+11%
12 678
0%
12 567
-1%
12 552
0%
14 952
+19%
Shares Outstanding
Common Shares Outstanding
141
141
334
486
521
8 293
546
535
553
521
498
487
501
484