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Gruma SAB de CV (DE:3G3B)
FRANKFURT:3G3B

Gruma SAB de CV (3G3B) Financial Statements

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Gruma SAB de CV Financial Overview

Gruma SAB de CV's market cap is currently ―. The company's EPS TTM is €; its P/E ratio is ―; Gruma SAB de CV is scheduled to report earnings on July 17, 2024, and the estimated EPS forecast is €―. See an overview of income statement, balance sheet, and cash flow financials.
Mar 23Sep 22Jun 22Mar 22Sep 21
Income Statement-
Total Revenue$ 1.59B$ 1.44B$ 1.34B$ 1.26B$ 1.16B
Gross Profit$ 540.79M$ 511.25M$ 465.26M$ 438.48M$ 419.58M
EBIT$ 157.50M$ 152.09M$ 133.74M$ 118.54M$ 132.85M
EBITDA$ 210.32M$ 200.77M$ 181.49M$ 165.38M$ 174.24M
Net Income Common Stockholders$ 75.85M$ 77.08M$ 68.34M$ 61.19M$ 72.03M
Balance Sheet-
Cash, Cash Equivalents and Short-Term Investments$ 304.95M$ 235.99M$ 238.55M$ 454.94M$ 7.79B
Total Assets$ 4.77B$ 4.20B$ 4.20B$ 4.11B$ 76.79B
Total Debt$ 2.02B$ 1.89B$ 1.71B$ 1.65B$ 1.47B
Net Debt$ 1.72B$ 1.66B$ 1.47B$ 1.20B$ -6.32B
Total Liabilities-$ 2.84B$ 2.86B$ 2.65B$ 47.93B
Stockholders Equity$ 1.54B$ 1.36B$ 1.34B$ 1.47B$ 28.88B
Cash Flow-
Free Cash Flow$ 67.14M$ -115.64M$ -4.08M$ 52.09M$ 9.05M
Operating Cash Flow$ 116.17M$ -19.53M$ 62.96M$ 115.38M$ 113.68M
Investing Cash Flow$ -44.30M$ -91.86M$ -66.06M$ -61.94M$ -105.66M
Financing Cash Flow$ -74.12M$ 119.34M$ -52.15M$ -17.38M$ -85.93M
Currency in MXN

Gruma SAB de CV Earnings and Revenue History

Gruma SAB de CV Debt to Assets

Gruma SAB de CV Cash Flow

Gruma SAB de CV Forecast EPS vs Actual EPS

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