Name | Symbol | Market | Type |
---|---|---|---|
Grupo TMM SA (PK) | USOTC:GTMAY | OTCMarkets | Depository Receipt |
Price Change | % Change | Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 1.15 | 1.10 | 1.65 | 3 | 21:00:06 |
Press Release dated March 4, 2025 (GRUPO TMM REPORTS FOURTH-QUARTER AND FULL YEAR 2024 FINANCIAL RESULTS).
|
Brief Description of Notices to CNBV and BMV of Financial Statements for the Fourth-Quarter and Full
Year 2024 Financial Results
|
o
|
Shareholders' Equity of $2,083.2 million
|
o
|
2024 Consolidated Revenue growth of 43.9%
|
o
|
Net Income for 2024: $108.8 million
|
•
|
Fourth Quarter 2024: $503.2 million (+46.3% compared to Q4 2023).
|
•
|
Full Year 2024: $1,753.6 million (+43.9% compared to 2023).
|
•
|
Fourth Quarter 2024: $52.4 million (+127.7% compared to Q4 2023).
|
•
|
Full Year 2024: $202.4 million (+451.6% compared to 2023).
|
•
|
Full Year 2024: $297.7 million (+135.9% compared to 2023).
|
December 31,
|
December 31,
|
|
2024
|
2023
|
|
Cash and cash in banks available
|
207.5
|
98.4
|
Restricted cash
|
1.7
|
1.7
|
Total cash and cash equivalents
|
209.2
|
100.0
|
Accounts receivable – Net
|
749.1
|
307.8
|
Other accounts receivable
|
244.3
|
231.5
|
Taxes to be recovered
|
195.4
|
195.2
|
Prepaid expenses and others current assets
|
37.2
|
45.7
|
Total current assets
|
1,435.2
|
880.2
|
Taxes to be recovered long term
|
33.7
|
195.5
|
Property, machinery and, equipment
|
2,355.1
|
1,905.2
|
Cumulative Depreciation
|
(109.1)
|
(100.7)
|
Property, machinery and, equipment – Net
|
2,246.0
|
1,804.4
|
Rights of use
|
67.2
|
148.0
|
Other assets
|
206.7
|
238.8
|
Total assets
|
3,988.8
|
3,266.8
|
Bank loans and current maturities of long-term liabilities
|
256.3
|
198.8
|
Leases short-term
|
22.4
|
67.1
|
Suppliers
|
413.4
|
363.1
|
Other accounts payable and accrued expenses
|
576.2
|
340.7
|
Total current liabilities
|
1,268.3
|
969.8
|
Bank loans
|
374.7
|
12.4
|
Leases long-term
|
60.2
|
100.4
|
Deferred taxes
|
124.3
|
132.5
|
Other long-term liabilities
|
78.2
|
77.4
|
Total long-term liabilities
|
637.3
|
322.7
|
Total liabilities
|
1,905.6
|
1,292.5
|
Total stockholders´ equity
|
2,083.2
|
1,974.4
|
Total liabilities and stockholders´ equity
|
3,988.8
|
3,266.8
|
Three months ended
|
Twelve months ended
|
||||
December 31,
|
December 31,
|
||||
2024
|
2023
|
2024
|
2023
|
||
Maritime
|
429.6
|
204.2
|
1,283.0
|
795.5
|
|
Inland Logistics
|
4.9
|
14.5
|
61.9
|
73.1
|
|
Warehousing Services
|
15.1
|
52.0
|
146.4
|
149.5
|
|
Maritime Infrastructure
|
53.6
|
73.4
|
262.2
|
200.5
|
|
Revenue from freight and services
|
503.2
|
344.1
|
|
1,753.6
|
1,218.6
|
Maritime
|
(314.3)
|
(168.9)
|
(1,049.9)
|
(704.1)
|
|
Inland Logistics
|
(20.7)
|
(23.6)
|
(75.7)
|
(95.8)
|
|
Warehousing Services
|
(49.0)
|
(59.6)
|
(127.6)
|
(120.5)
|
|
Maritime Infrastructure
|
(38.8)
|
(54.8)
|
(188.5)
|
(140.6)
|
|
Cost of freight and services
|
(422.8)
|
(306.9)
|
|
(1,441.7)
|
(1,061.0)
|
Maritime
|
(2.9)
|
(11.3)
|
(19.3)
|
(36.4)
|
|
Inland Logistics
|
(4.0)
|
(2.6)
|
(13.0)
|
(13.1)
|
|
Warehousing Services
|
(2.2)
|
(24.7)
|
(56.1)
|
(65.3)
|
|
Maritime Infrastructure
|
(1.0)
|
(2.0)
|
(4.7)
|
(8.2)
|
|
Depreciation and amortization
|
(10.1)
|
(40.6)
|
|
(93.1)
|
(122.9)
|
Maritime
|
112.3
|
24.0
|
213.8
|
55.1
|
|
Inland Logistics
|
(19.8)
|
(11.7)
|
(26.8)
|
(35.8)
|
|
Warehousing Services
|
(36.1)
|
(32.3)
|
(37.2)
|
(36.3)
|
|
Maritime Infrastructure
|
13.9
|
16.7
|
69.0
|
51.7
|
|
Results by business
|
70.4
|
(3.4)
|
|
218.7
|
34.7
|
Corporate expenses
|
(13.2)
|
(14.0)
|
(59.1)
|
(61.6)
|
|
Corporate depreciation and amortization
|
(0.5)
|
(0.5)
|
(2.2)
|
(2.2)
|
|
Non-recurring (expenses) income
|
(4.2)
|
41.0
|
45.0
|
65.8
|
|
Operating (loss) gain
|
52.4
|
23.0
|
|
202.4
|
36.7
|
Financial (expenses) income - Net
|
(5.6)
|
(12.3)
|
(25.4)
|
(32.2)
|
|
Leases financial expenses
|
(2.2)
|
(10.6)
|
(16.1)
|
(28.8)
|
|
Exchange gain (loss) - Net
|
(11.2)
|
4.0
|
(52.0)
|
19.6
|
|
Net financial cost
|
(19.0)
|
(18.9)
|
|
(93.5)
|
(41.4)
|
(loss) gain before taxes
|
33.5
|
4.1
|
|
108.8
|
(4.7)
|
Provision for taxes
|
-
|
-
|
|
-
|
20.2
|
Net (loss) gain for the period
|
33.5
|
4.1
|
|
108.8
|
15.5
|
Attributable to:
|
|||||
Minority interest
|
0.1
|
(4.7)
|
|
0.3
|
(4.7)
|
Equity holders of GTMM, S.A.B.
|
33.4
|
8.8
|
|
108.5
|
20.2
|
Weighted average outstanding shares (millions)
|
174.55
|
168.89
|
174.55
|
119.43
|
|
Income (loss) earnings per share (pesos/share)
|
0.19
|
0.05
|
0.62
|
0.17
|
|
Outstanding shares at end of period (millions)
|
174.55
|
174.55
|
174.55
|
174.55
|
|
Income (loss) earnings per share (pesos/share)
|
0.19
|
0.05
|
|
0.62
|
0.12
|
Three months ended
|
Twelve months ended
|
||||
December 31,
|
December 31,
|
||||
2024
|
2023
|
|
2024
|
2023
|
|
Net gain (loss) for the period
|
33.5
|
4.1
|
108.8
|
15.5
|
|
Depreciation & amortization
|
10.6
|
41.1
|
95.3
|
125.1
|
|
Deferred taxes
|
(2.7)
|
(1.4)
|
(8.2)
|
(24.7)
|
|
Other non-cash items
|
93.3
|
16.5
|
128.1
|
52.0
|
|
Total non-cash items
|
101.3
|
56.3
|
|
215.2
|
152.5
|
Changes in assets & liabilities
|
(83.0)
|
(15.3)
|
(87.7)
|
(79.4)
|
|
Total adjustments
|
18.3
|
40.9
|
|
127.5
|
73.1
|
Net cash provided by (used in) operating activities
|
51.7
|
45.0
|
|
236.3
|
88.6
|
|
|
|
|
|
|
Proceeds from sale of assets
|
12.9
|
1.7
|
15.4
|
12.0
|
|
Payments for purchase of assets
|
(356.5)
|
(125.0)
|
|
(464.8)
|
(131.3)
|
Net cash provided by (used in) investment activities
|
(343.5)
|
(123.3)
|
|
(449.4)
|
(119.3)
|
Short-term borrowings (net)
|
(5.5)
|
(4.5)
|
(4.3)
|
(14.5)
|
|
Repayment of leases
|
(5.4)
|
(43.1)
|
(67.2)
|
(78.4)
|
|
Proceeds from (repayment of) long-term debt
|
345.3
|
(1.2)
|
386.3
|
(8.4)
|
|
Shares issuance
|
0.0
|
40.5
|
0.0
|
152.0
|
|
Net cash provided by (used in) financing activities
|
334.4
|
(8.3)
|
314.7
|
50.6
|
|
Exchange effect on cash
|
2.86
|
(9.1)
|
|
7.4
|
(16.7)
|
Net increase (decrease) in cash
|
45.5
|
(95.7)
|
|
109.1
|
3.3
|
Cash at beginning of period
|
163.6
|
195.7
|
|
100.0
|
96.8
|
Cash at end of period
|
209.2
|
100.0
|
|
209.2
|
100.0
|
1 Year Grupo TMM (PK) Chart |
1 Month Grupo TMM (PK) Chart |
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