Bio Pappel, S.A.B. de C.V. financials at a glance

Year Year 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2005 2021 2004
Rev. Revenue
Mex$9.97B Mex$10.13B Mex$10.22B Mex$10.29B Mex$11.32B Mex$11.49B Mex$11.99B Mex$11.72B Mex$12.30B Mex$16.97B Mex$21.86B Mex$23.90B Mex$26.45B Mex$25.94B Mex$27.42B Mex$8.71B Mex$0.00M Mex$8.37B
GM % Gross Margin %
16.18% 13.77% 6.37% 14.76% 12.24% 10.28% 16.81% 20.13% 19.18% 18.10% 19.42% 16.22% 21.17% 22.35% 19.24% 12.88% 0.00% 14.30%
OM Operating Margin
3.29% 6.26% -1.09% 5.52% 5.96% 4.07% 8.69% 11.89% 12.00% 10.56% 12.50% 10.14% 15.07% 15.47% 10.78% 1.41% 0.00% 5.67%
EPS Earnings Per Share
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$0.00 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 0 0 0 0 0 0 0 0 0 0 0
Sha. Shares
110.64m 110.64m 171.01m 289.96m 289.96m 289.96m 289.96m 289.96m 289.96m 289.96m 289.96m 289.96m 289.96m 289.96m 289.96m 0m 0m 0m
OCF Operating Cash Flow
Mex$920.10M Mex$520.90M Mex$216.05M Mex$714.59M Mex$695.89M Mex$644.38M Mex$1.34B Mex$1.45B Mex$907.23M Mex$3.21B Mex$2.80B Mex$2.03B Mex$3.69B Mex$4.16B Mex$2.95B Mex$156.60M Mex$0.00M Mex$859.59M
FCF Free Cash Flow
Mex$684.10M Mex$283.90M Mex$60.26M Mex$524.73M Mex$8.70M Mex$239.69M Mex$636.97M Mex$971.62M Mex$218.96M Mex$2.82B Mex$2.02B Mex$1.17B Mex$1.95B Mex$3.08B Mex$1.35B Mex$92.10M Mex$0.00M Mex$677.65M
FCFS Free Cash Flow Per Share
Mex$6.18 Mex$2.57 Mex$0.76 Mex$2.46 Mex$0.02 Mex$0.83 Mex$2.20 Mex$3.35 Mex$0.76 Mex$9.74 Mex$6.88 Mex$4.01 Mex$6.72 Mex$10.62 Mex$4.66 Mex$0.85 Mex$0.00 Mex$7.38