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Grupo Televisa S.A. ADR (TV)

Grupo Televisa S.A. ADR (TV)
1.84 x 100 2.40 x 200
Post-market by (Cboe BZX)
2.25 -0.09 (-3.85%) 07/07/25 [NYSE]
1.84 x 100 2.40 x 200
Post-market 2.25 unch (unch) 16:00 ET
Cash Flow for Mon, Jul 7th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income -422,544 -346,289 -604,641 695,158 259,391
Depreciation Amortization 1,130,390 1,236,854 1,073,149 1,072,152 1,014,993
Accounts receivable 87,829 101,429 -317,813 -240,743 -86,090
Accounts payable and accrued liabilities -40,549 -181,729 -6,110 41,943 N/A
Other Working Capital 225,555 -142,348 -208,811 -186,018 -469,314
Other Operating Activity 806,540 190,962 683,865 63,189 836,268
Operating Cash Flow $1,787,221 $858,879 $619,639 $1,445,681 $1,555,247
Cash Flows From Investing Activities
PPE Investments -464,971 -828,242 -847,446 -1,113,954 -872,871
Net Acquisitions 2,787 2,574 N/A 228,027 206,531
Purchase Of Investment N/A N/A N/A -55,323 -28,256
Sale Of Investment N/A N/A -394 105,334 5,892
Purchase Sale Intangibles -75,699 -105,638 -89,817 -93,644 -57,930
Other Investing Activity -32,447 -64,681 2,970,275 -93,151 -57,930
Investing Cash Flow $-494,631 $-890,349 $2,122,435 $-929,067 $-746,634
Cash Flows From Financing Activities
Change In Short Term Borrowing N/A N/A N/A N/A -62,099
Debt Issued 549,000 22,600 N/A 130,645 N/A
Debt Repayment -635,045 -447,020 -830,486 -98,230 -152,073
Common Stock Issued 20,801 9,773 48,726 38,162 5,252
Common Stock Repurchased -20,801 -77,408 -80,004 -38,162 -14,425
Dividend Paid -55,941 -58,046 -52,354 -68,141 -66,620
Other Financing Activity -373,470 -452,945 -565,421 -641,281 -469,590
Financing Cash Flow $-515,456 $-1,003,045 $-1,479,538 $-677,007 $-759,556
Exchange Rate Effect 8,141 -13,257 -4,987 1,161 -540
Beginning Cash Position 1,788,991 2,888,901 1,283,662 1,432,564 1,287,511
End Cash Position 2,536,005 1,841,129 2,541,210 1,273,331 1,362,825
Net Cash Flow $747,015 $-1,047,772 $1,257,548 $-159,233 $75,313
Free Cash Flow
Operating Cash Flow 1,787,221 858,879 619,639 1,445,681 1,555,247
Capital Expenditure -499,447 -831,003 -860,575 -1,147,105 -944,179
Free Cash Flow 1,287,774 27,876 -240,936 298,576 611,069
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