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Grupo Carso Sa DE Cv ADR (GPOVY)

Grupo Carso Sa DE Cv ADR (GPOVY)
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Grupo Carso SA de CV is a Mexican group that, through its direct or indirect subsidiaries, is active in the industrial, retail, hotel management, infrastructure and construction sectors. These activities include operating department stores, discotheques, restaurants and managing commercial centers; manufacturing and distributing products for the construction market, automotive, energy and telecommunications industries, and mining. It is also involved in manufacturing and selling products derived from copper and aluminum; producing and selling all types of coverings for walls and floors. Other activities include holding company shares in the property leasing, hotel, lithography and book binding, and printing sectors and manufacturing flexible packaging, providing hotel services, operating various branches of engineering, including the project and construction of all types of public works, industrial and electromechanical.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Dec, 2022 Dec, 2021 Dec, 2020 Dec, 2019 Dec, 2018
Sales 9,022,470 6,141,440 4,440,700 5,328,840 5,034,940
Sales Growth +46.91% +38.30% -16.67% +5.84% +1.50%
Net Income 947,380 556,200 267,630 392,460 469,330
Net Income Growth +70.33% +107.82% -31.81% -16.38% -11.74%
(Values in U.S. Thousands) Dec, 2022 Dec, 2021 Dec, 2020 Dec, 2019 Dec, 2018
Total Assets 11,897,290 9,158,620 7,964,870 7,823,600 7,184,030
Total Assets Growth +29.90% +14.99% +1.81% +8.90% +14.05%
Total Liabilities 5,195,040 3,534,740 3,241,340 2,902,090 2,329,470
Total Liabilities Growth +46.97% +9.05% +11.69% +24.58% +15.92%
(Values in U.S. Thousands) Dec, 2022 Dec, 2021 Dec, 2020 Dec, 2019 Dec, 2018
Operating Cash Flow 821,670 153,670 502,910 436,300 352,860
Operating Cash Flow Growth +434.70% -69.44% +15.27% +23.65% -31.01%
Net Cash Flow 54,520 -27,930 169,130 20,300 179,020
Change in Net Cash Flow +295.20% -116.51% +733.15% -88.66% +741.42%
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