Compañía Minera Autlán, S.A.B. de C.V. financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
Mex$1.81B Mex$2.18B Mex$1.66B Mex$2.46B Mex$5.37B Mex$2.20B Mex$4.32B Mex$3.79B Mex$3.86B Mex$3.62B Mex$338.04M Mex$267.73M Mex$230.71M Mex$359.34M Mex$413.50M Mex$420.13M Mex$346.24M Mex$450.36M Mex$624.15M Mex$365.40M Mex$0.00M
GM % Gross Margin %
33.58% 30.58% 20.10% 33.40% 49.81% 25.83% 34.81% 28.00% 21.11% 15.78% 20.05% 19.07% 22.02% 38.44% 25.10% 18.62% 18.01% 21.00% 25.58% 13.54% 0.00%
OM Operating Margin
20.68% 17.48% 4.69% 20.97% 42.21% 9.53% 22.76% 10.29% 8.18% 2.69% 7.36% 5.19% 6.73% 25.21% 13.28% 5.69% 3.56% 6.88% 11.83% -3.43% 0.00%
EPS Earnings Per Share
Mex$2.49 Mex$1.87 Mex$0.91 Mex$-0.42 Mex$0.00 Mex$1.85 Mex$-0.71 Mex$0.22 Mex$0.00
Div. Dividends
Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.46 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00 Mex$0.00
PR % Payout Ratio %
0 0 0 0 0 0 0.00% 50.55% 0 0 0 0 0 0 0 0 0 0 0 0 0
Sha. Shares
285.52m 283.35m 283.88m 285.09m 271.6m 271.41m 270.7m 269.93m 269.62m 267.67m 263.37m 259.57m 259.54m 261.58m 337.62m 333.72m 330.81m 326.76m 308.6m 0m 311.95m
OCF Operating Cash Flow
Mex$179.72M Mex$104.10M Mex$99.66M Mex$335.83M Mex$1.77B Mex$126.10M Mex$833.16M Mex$516.07M Mex$327.91M Mex$503.23M Mex$40.76M Mex$52.31M Mex$50.33M Mex$97.55M Mex$45.46M Mex$72.00M Mex$57.52M Mex$64.72M Mex$128.33M Mex$58.86M Mex$0.00M
FCF Free Cash Flow
Mex$57.20M Mex$-63.84M Mex$0.00M Mex$49.52M Mex$1.37B Mex$1.09M Mex$620.60M Mex$40.66M Mex$-256.38M Mex$82.95M Mex$22.79M Mex$36.65M Mex$42.37M Mex$81.08M Mex$1.78M Mex$24.75M Mex$31.33M Mex$1.10B Mex$2.08B Mex$-227.45M Mex$0.00M
FCFS Free Cash Flow Per Share
Mex$0.20 Mex$-0.22 Mex$0.35 Mex$0.18 Mex$5.04 Mex$0.00 Mex$2.29 Mex$0.15 Mex$-0.94 Mex$0.31 Mex$0.09 Mex$0.14 Mex$0.16 Mex$0.31 Mex$0.01 Mex$0.07 Mex$0.09 Mex$0.12 Mex$0.29 Mex$0.04 Mex$0.00