C
Grupo TMM, S.A.B. GTMAY
$1.25 -$0.25-16.67% OTC PK
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52-Week Range
P/E (TTM)
EPS (TTM)

03/31/2025 12/31/2024 09/30/2024 06/30/2024 03/31/2024
Net Income 360.11% 426.99% 575.46% 404.86% 953.84%
Total Depreciation and Amortization -40.06% -25.28% 20.61% 63.60% 54.17%
Total Amortization of Deferred Charges 5.14% 5.14% -61.35% -61.35% -60.38%
Total Other Non-Cash Items 152.19% 132.57% -14.73% -28.07% -66.12%
Change in Net Operating Assets -418.88% 55.84% 61.94% 30.14% 65.30%
Cash from Operations -33.21% 157.39% 158.67% 93.91% 104.75%
Capital Expenditure -264.27% -223.73% -1,219.35% -912.80% -1,008.73%
Sale of Property, Plant, and Equipment -- -- -- -- --
Cash Acquisitions -- -- -- -- --
Divestitures -- -- -- -- --
Other Investing Activities -15.80% -8.08% -164.88% 606.33% 418.12%
Cash from Investing -278.50% -245.76% -3,170.64% -870.60% -1,576.05%
Total Debt Issued 4,127.71% 1,369.11% 851.20% 257.55% 2,718.07%
Total Debt Repaid 31.53% 23.32% -57.33% 23.81% 17.13%
Issuance of Common Stock -- -- -63.67% -- --
Repurchase of Common Stock -- -- -- -- --
Issuance of Preferred Stock -- -- -- -- --
Repurchase of Preferred Stock -- -- -- -- --
Total Dividends Paid -- -- -- -- --
Other Financing Activities -119.82% 42.78% 41.68% 48.63% 36.24%
Cash from Financing 1,397.65% 393.17% -188.37% 180.98% 149.02%
Foreign Exchange rate Adjustments 215.81% 144.20% 62.43% 83.27% 89.10%
Miscellaneous Cash Flow Adjustments -- -- -- -- --
Net Change in Cash 296,045.00% 858.71% -124.79% 843.91% 99.80%