G

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 Closed
Market Cap: $383.2m

Cash Flow Statement

Cash Flow Statement
Grupo Rotoplas SAB de CV

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Cash Flow Statement
Currency: MXN
Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Net Income
795
627
577
432
445
455
576
629
684
631
645
502
509
546
729
537
495
437
592
310
249
113
511
891
665
773
418
89
311
293
444
276
333
488
817
704
558
611
280
547
631
329
169
(112)
(130)
(255)
Depreciation & Amortization
223
153
138
127
114
106
105
106
109
124
154
189
223
247
242
255
304
324
375
390
374
341
371
366
355
393
350
355
365
373
379
388
391
394
397
411
431
462
520
573
596
620
626
653
671
673
Other Non-Cash Items
139
88
88
98
115
160
(15)
(19)
(15)
(3)
(23)
166
228
227
27
258
181
166
311
285
314
263
220
355
237
348
473
374
481
381
510
190
287
481
695
473
417
157
658
39
57
115
382
370
297
519
Cash Taxes Paid
89
161
149
170
142
79
95
156
194
289
291
223
320
226
292
455
454
550
327
335
296
306
286
348
291
279
261
251
287
227
136
136
116
156
159
195
180
161
128
66
135
144
227
252
201
208
Cash Interest Paid
129
83
90
108
107
112
101
93
96
109
132
136
113
132
171
0
0
0
254
0
0
0
0
0
0
0
443
0
0
0
509
0
0
0
510
34
248
285
512
510
533
568
586
634
625
622
Change in Working Capital
(659)
(423)
(832)
(1 299)
(1 470)
(985)
(594)
(456)
(29)
(343)
(9)
231
(224)
(470)
(228)
(390)
(64)
239
(414)
(8)
(81)
105
(89)
1
217
101
53
(449)
(519)
(660)
(1 085)
(379)
(487)
(676)
(911)
(566)
(372)
(117)
(227)
127
96
147
(321)
124
162
204
Cash from Operating Activities
498
N/A
445
-11%
(30)
N/A
(642)
-2 068%
(796)
-24%
(264)
+67%
71
N/A
260
+266%
748
+187%
410
-45%
767
+87%
1 088
+42%
736
-32%
551
-25%
770
+40%
659
-14%
916
+39%
1 167
+27%
864
-26%
977
+13%
857
-12%
822
-4%
1 012
+23%
1 613
+59%
1 474
-9%
1 615
+10%
1 294
-20%
369
-71%
638
+73%
388
-39%
248
-36%
476
+92%
524
+10%
686
+31%
998
+45%
1 022
+2%
1 034
+1%
1 113
+8%
1 290
+16%
1 286
0%
1 379
+7%
1 212
-12%
806
-33%
988
+22%
952
-4%
1 093
+15%
Investing Cash Flow
Capital Expenditures
(309)
(183)
(179)
(209)
(260)
(321)
(328)
(384)
(400)
(393)
(371)
(329)
(306)
(261)
(331)
(371)
(501)
(573)
(556)
(530)
(434)
(410)
(329)
(361)
(320)
(300)
(291)
(285)
(349)
(480)
(534)
(592)
(650)
(628)
(698)
(682)
(585)
(495)
(628)
(612)
(669)
(742)
(674)
(673)
(649)
(625)
Other Items
55
45
95
117
143
191
71
(450)
(495)
(2 001)
(1 907)
(1 447)
(1 404)
95
(584)
(521)
(555)
(1 576)
(964)
(935)
(916)
801
710
685
828
116
202
203
54
92
28
18
43
16
96
146
117
128
152
79
27
(73)
(23)
40
89
164
Cash from Investing Activities
(254)
N/A
(138)
+46%
(85)
+39%
(92)
-9%
(117)
-27%
(131)
-12%
(257)
-97%
(833)
-224%
(895)
-7%
(2 393)
-168%
(2 278)
+5%
(1 776)
+22%
(1 709)
+4%
(166)
+90%
(915)
-453%
(892)
+3%
(1 055)
-18%
(2 149)
-104%
(1 520)
+29%
(1 465)
+4%
(1 350)
+8%
391
N/A
381
-3%
324
-15%
508
+57%
(184)
N/A
(89)
+52%
(82)
+8%
(295)
-259%
(388)
-31%
(506)
-30%
(574)
-13%
(607)
-6%
(612)
-1%
(601)
+2%
(536)
+11%
(468)
+13%
(367)
+22%
(476)
-30%
(533)
-12%
(642)
-21%
(815)
-27%
(697)
+15%
(633)
+9%
(560)
+12%
(461)
+18%
Financing Cash Flow
Net Issuance of Common Stock
637
655
4 213
0
4 185
4 083
(172)
(190)
(168)
104
(51)
(72)
(297)
(532)
(334)
(303)
(332)
(307)
(373)
(463)
(401)
(453)
(181)
(549)
(535)
(557)
(788)
(417)
(460)
(487)
(509)
(501)
(536)
(502)
(517)
(443)
(437)
(368)
(310)
(302)
(276)
(271)
(257)
(255)
(26)
(142)
Net Issuance of Debt
435
325
(113)
(110)
(12)
(11)
(9)
(9)
(7)
0
(100)
(174)
674
665
765
838
(10)
403
891
944
945
539
(52)
1 049
1 100
1 092
1 018
(48)
(113)
96 863
(180)
(264)
(265)
(97 241)
(47)
(313)
140
(24)
(20)
257
106
271
718
580
253
234
Cash Paid for Dividends
(917)
(918)
(276)
0
0
0
0
0
(120)
(120)
(120)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other
(129)
(89)
(323)
(341)
(340)
(345)
(101)
(93)
(96)
(109)
(132)
(136)
(113)
(132)
(171)
(172)
(272)
(264)
(254)
(314)
(371)
(366)
(328)
(360)
(395)
(380)
(309)
(314)
(255)
(282)
(509)
(425)
(506)
(505)
(510)
(191)
(512)
(501)
(512)
(830)
(533)
(568)
(586)
(634)
(625)
(622)
Cash from Financing Activities
25
N/A
(27)
N/A
3 502
N/A
3 487
0%
3 834
+10%
3 727
-3%
(282)
N/A
(292)
-3%
(390)
-33%
(129)
+67%
(402)
-213%
(501)
-25%
266
N/A
1
-99%
259
+18 419%
363
+40%
(614)
N/A
(167)
+73%
264
N/A
167
-37%
172
+3%
(279)
N/A
(561)
-101%
139
N/A
170
+22%
155
-9%
(79)
N/A
(778)
-880%
(828)
-6%
96 094
N/A
(1 198)
N/A
(1 191)
+1%
(1 307)
-10%
(98 248)
-7 415%
(1 073)
+99%
(947)
+12%
(809)
+15%
(894)
-10%
(841)
+6%
(874)
-4%
(704)
+19%
(568)
+19%
(125)
+78%
(309)
-146%
(399)
-29%
(530)
-33%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
0
0
0
0
0
0
0
0
0
0
3
(24)
20
(160)
(237)
(244)
(288)
(86)
(35)
300
289
263
159
(114)
(219)
(169)
(7)
(81)
20
(108)
(279)
(300)
(300)
(216)
(80)
9
97
155
183
150
104
84
Net Change in Cash
269
N/A
280
+4%
3 387
+1 111%
2 753
-19%
2 921
+6%
3 332
+14%
(469)
N/A
(865)
-85%
(536)
+38%
(2 112)
-294%
(1 914)
+9%
(1 189)
+38%
(708)
+40%
386
N/A
117
-70%
107
-9%
(734)
N/A
(1 310)
-79%
(630)
+52%
(565)
+10%
(609)
-8%
848
N/A
797
-6%
2 376
+198%
2 441
+3%
1 849
-24%
1 284
-31%
(605)
N/A
(705)
-16%
95 924
N/A
(1 464)
N/A
(1 371)
+6%
(1 370)
+0%
(98 282)
-7 073%
(956)
+99%
(761)
+20%
(543)
+29%
(364)
+33%
(107)
+71%
(112)
-5%
130
N/A
(17)
N/A
166
N/A
196
+18%
97
-51%
186
+93%
Free Cash Flow
Free Cash Flow
189
N/A
262
+39%
(209)
N/A
(850)
-307%
(1 056)
-24%
(586)
+45%
(257)
+56%
(123)
+52%
348
N/A
17
-95%
396
+2 270%
758
+92%
430
-43%
290
-33%
439
+52%
289
-34%
415
+44%
594
+43%
308
-48%
447
+45%
423
-5%
412
-3%
683
+66%
1 251
+83%
1 155
-8%
1 315
+14%
1 003
-24%
84
-92%
289
+243%
(93)
N/A
(286)
-209%
(116)
+59%
(127)
-9%
58
N/A
300
+416%
340
+13%
450
+32%
618
+38%
662
+7%
674
+2%
710
+5%
469
-34%
132
-72%
314
+138%
303
-4%
468
+54%