C
Operadora de Sites Mexicanos, S.A.B. de C.V. OPMXF
$0.856 -$0.0224-2.55% OTC PK
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03/31/2025 12/31/2024 09/30/2024 06/30/2024 03/31/2024
Net Income 10.54M -3.51M 11.04M 12.94M -1.20M
Total Depreciation and Amortization 84.69M 84.90M 90.67M 98.31M 98.64M
Total Amortization of Deferred Charges -- -- -- -- --
Total Other Non-Cash Items 54.73M 106.05M 80.66M 33.84M 66.05M
Change in Net Operating Assets -940.20K 32.01M -80.07M 4.61M -17.50M
Cash from Operations 149.01M 219.46M 102.30M 149.70M 146.00M
Capital Expenditure -10.47M -11.20M -30.77M -23.75M -41.62M
Sale of Property, Plant, and Equipment -- -- -- -- --
Cash Acquisitions -- -- -- -- --
Divestitures -- -- -- -- --
Other Investing Activities 6.77M 6.48M 5.67M 6.65M 6.42M
Cash from Investing -3.70M -4.72M -25.10M -17.11M -35.20M
Total Debt Issued 130.00M 700.00M -- -- --
Total Debt Repaid -923.43M -1.93B -565.96M -789.43M -779.77M
Issuance of Common Stock -- -- -- -- --
Repurchase of Common Stock -- -371.00M -556.89M -- --
Issuance of Preferred Stock -- -- -- -- --
Repurchase of Preferred Stock -- -- -- -- --
Total Dividends Paid -7.13M -6.17M -7.81M -98.41M -6.14M
Other Financing Activities -1.43B -394.96M -657.80M -418.14M -679.78M
Cash from Financing -116.17M -105.80M -102.01M -168.50M -92.14M
Foreign Exchange rate Adjustments -- -- -- -- --
Miscellaneous Cash Flow Adjustments -- -- -- -- --
Net Change in Cash 29.14M 108.93M -24.82M -35.91M 18.67M