Promotora y Operadora de Infraestructura SAB de CV
BMV:PINFRA

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Promotora y Operadora de Infraestructura SAB de CV
BMV:PINFRA
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Price: 276.15 MXN -0.53% Market Closed
Market Cap: Mex$118.6B

Cash Flow Statement

Cash Flow Statement
Promotora y Operadora de Infraestructura SAB de CV

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Cash Flow Statement
Currency: MXN
Jun-2005 Sep-2005 Dec-2005 Mar-2006 Jun-2006 Sep-2006 Dec-2006 Mar-2007 Jun-2007 Sep-2007 Dec-2007 Mar-2008 Jun-2008 Sep-2008 Dec-2008 Mar-2009 Jun-2009 Sep-2009 Dec-2009 Mar-2010 Jun-2010 Sep-2010 Dec-2010 Mar-2011 Jun-2011 Sep-2011 Dec-2011 Mar-2012 Jun-2012 Sep-2012 Dec-2012 Mar-2013 Jun-2013 Sep-2013 Dec-2013 Mar-2014 Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025 Dec-2025
Operating Cash Flow
Net Income
842
2 387
177
220
223
323
383
451
522
516
566
543
536
532
385
436
458
692
788
711
896
869
954
1 100
1 169
1 315
1 471
1 493
1 618
1 603
1 842
2 000
2 082
2 282
2 461
2 676
2 802
2 363
2 606
2 833
3 143
4 133
5 137
5 324
5 443
5 733
4 842
5 494
5 431
5 241
4 826
6 185
6 752
6 855
7 577
6 301
5 881
5 943
7 096
7 280
6 654
5 929
4 181
4 144
4 571
5 665
6 929
6 287
6 685
6 861
7 478
7 375
7 101
7 462
7 333
8 218
9 353
9 676
10 732
10 665
10 829
18 101
16 309
Depreciation & Amortization
720
493
502
524
576
516
464
324
251
416
355
369
373
234
383
380
392
405
413
421
424
428
448
470
492
389
360
282
235
294
305
313
317
344
341
333
324
284
287
280
279
303
280
293
304
319
370
386
404
413
424
429
437
444
454
445
444
554
691
662
707
678
863
911
1 014
1 075
1 078
1 092
1 164
1 194
1 220
1 237
1 224
1 131
1 035
1 012
955
1 040
1 103
1 057
1 045
1 067
962
Other Non-Cash Items
(367)
(331)
(4)
(5)
(5)
34
110
257
371
210
187
59
497
901
1 100
1 471
1 019
699
220
1 169
1 395
1 608
1 318
1 342
782
781
1 020
216
351
168
1 723
396
565
571
466
505
228
253
1 958
2 116
2 405
2 639
1 082
1 070
801
817
1 982
1 385
2 175
2 096
521
(234)
(651)
(491)
(2 099)
1 700
1 548
1 492
(9 971)
(4 535)
(4 455)
(4 404)
954
1 040
1 737
1 296
(563)
754
806
1 026
2 006
2 643
3 809
3 931
2 303
3 263
1 500
1 690
586
(7 633)
(5 188)
(936)
6 116
Cash Taxes Paid
0
0
0
0
0
0
0
0
0
0
0
62
115
157
186
168
170
182
162
170
233
294
236
566
133
48
328
(265)
1
(13)
(2)
295
398
439
224
127
78
25
6
(135)
(272)
(563)
(337)
(339)
(358)
(731)
727
1 120
1 443
2 533
1 029
984
655
548
0
1 143
1 599
1 653
0
102
103
615
0
1 416
1 254
(370)
0
1 336
1 474
2 316
0
788
980
1 249
1 625
1 676
1 756
2 633
2 799
3 077
3 258
5 818
5 751
Cash Interest Paid
0
0
0
0
0
0
0
0
0
0
0
188
407
646
1 053
1 166
1 104
814
818
676
870
1 108
751
772
565
600
742
730
669
723
705
709
736
675
657
676
647
639
657
521
562
411
276
248
242
232
287
242
260
214
614
648
685
480
0
2 114
2 693
3 351
0
1 934
1 942
2 191
0
2 062
2 241
2 343
0
3 853
3 386
3 829
0
2 585
3 255
2 612
3 843
3 685
3 606
4 635
4 838
3 979
2 423
2 031
4 000
Change in Working Capital
(3 113)
(2 987)
(64)
(8)
(2)
(140)
(854)
(1 220)
(1 421)
(1 229)
(279)
260
(50)
(262)
(610)
(904)
(379)
(232)
90
(96)
(269)
(388)
(432)
(587)
(925)
381
51
808
1 014
(309)
(611)
(796)
(123)
137
482
138
(281)
(198)
(88)
1
(350)
(424)
(762)
(1 834)
(1 651)
(2 707)
(1 218)
(0)
(1 155)
(456)
(1 102)
(2 855)
395
1 442
1 735
(5 689)
(10 263)
(11 177)
420
4 757
8 127
7 293
(1 890)
(1 981)
(3 464)
(2 800)
(787)
(5 407)
(4 848)
(5 087)
(1 346)
(548)
(1 294)
(1 161)
(2 276)
(4 017)
(3 900)
(4 885)
(4 259)
(5 509)
(3 852)
(7 251)
(9 236)
Cash from Operating Activities
(1 918)
N/A
(439)
+77%
611
N/A
731
+20%
792
+8%
733
-7%
103
-86%
(188)
N/A
(278)
-48%
(88)
+68%
829
N/A
1 231
+49%
1 355
+10%
1 406
+4%
1 258
-11%
1 383
+10%
1 490
+8%
1 564
+5%
1 511
-3%
2 205
+46%
2 447
+11%
2 516
+3%
2 287
-9%
2 325
+2%
1 518
-35%
2 866
+89%
2 902
+1%
2 799
-4%
3 218
+15%
1 756
-45%
3 259
+86%
1 913
-41%
2 842
+49%
3 333
+17%
3 750
+13%
3 653
-3%
3 073
-16%
2 702
-12%
4 762
+76%
5 229
+10%
5 477
+5%
6 651
+21%
5 737
-14%
4 853
-15%
4 897
+1%
4 163
-15%
5 976
+44%
7 264
+22%
6 855
-6%
7 293
+6%
4 668
-36%
3 524
-24%
6 933
+97%
8 250
+19%
7 667
-7%
2 757
-64%
(2 390)
N/A
(3 188)
-33%
(1 765)
+45%
8 163
N/A
11 033
+35%
9 495
-14%
4 108
-57%
4 114
+0%
3 859
-6%
5 235
+36%
6 656
+27%
2 726
-59%
3 807
+40%
3 994
+5%
9 357
+134%
10 707
+14%
10 840
+1%
11 363
+5%
10 363
-9%
8 477
-18%
7 908
-7%
7 521
-5%
8 209
+9%
1 703
-79%
5 956
+250%
14 104
+137%
14 150
+0%
Investing Cash Flow
Capital Expenditures
0
(23)
(29)
(32)
(39)
(969)
(173)
(208)
(216)
137
(43)
(132)
(147)
431
(568)
(482)
(554)
(540)
(122)
(149)
(71)
(85)
(86)
(1 367)
(1 327)
(1 435)
(250)
(302)
(417)
(467)
(3 113)
(3 263)
(3 428)
(3 570)
(1 348)
(1 401)
(1 405)
(1 683)
(1 774)
(1 997)
(2 543)
(746)
(2 527)
(2 590)
(2 705)
(2 532)
(2 545)
(2 454)
(2 412)
(4 535)
(2 440)
(2 603)
(2 361)
(2 289)
(3 629)
(2 853)
(2 860)
(15 194)
(9 245)
(12 068)
(8 042)
4 484
(1 353)
1 713
(2 054)
(2 029)
(2 886)
(1 998)
(2 320)
(2 351)
(2 211)
(1 726)
(1 329)
(1 230)
(1 359)
(2 546)
(3 018)
(3 223)
(4 452)
(3 934)
(4 198)
(3 707)
(3 928)
Other Items
1 514
(70)
(42)
(43)
(1 130)
(863)
(1 154)
(1 282)
(399)
12
(471)
(420)
(308)
(1 196)
(167)
(122)
(163)
197
8
(334)
(248)
(119)
(602)
(13)
309
(656)
(41)
(845)
(901)
324
272
1 756
711
342
(1 062)
(795)
(139)
(5 909)
(7 170)
(7 434)
(6 638)
(3 163)
(1 085)
(304)
(2 909)
(2 480)
(5 080)
(6 491)
(524)
989
(6 221)
(5 479)
(8 185)
(11 410)
(1 439)
(1 600)
(4 673)
3 100
8 214
(229)
1 505
(3 440)
4 572
4 641
4 480
6 572
4 094
1 378
546
486
3 288
2 500
5 455
3 198
1 616
1 653
(1 249)
434
2 005
7 460
5 160
(5 014)
(6 288)
Cash from Investing Activities
1 514
N/A
(84)
N/A
(71)
+15%
(73)
-3%
(1 169)
-1 497%
(1 833)
-57%
(1 327)
+28%
(1 490)
-12%
(615)
+59%
149
N/A
(515)
N/A
(552)
-7%
(455)
+18%
(765)
-68%
(735)
+4%
(605)
+18%
(718)
-19%
(343)
+52%
(114)
+67%
(483)
-322%
(319)
+34%
(204)
+36%
(688)
-237%
(1 380)
-101%
(1 018)
+26%
(2 091)
-105%
(291)
+86%
(1 148)
-295%
(1 318)
-15%
(144)
+89%
(2 841)
-1 874%
(1 508)
+47%
(2 717)
-80%
(3 228)
-19%
(2 410)
+25%
(2 196)
+9%
(1 544)
+30%
(7 592)
-392%
(8 944)
-18%
(9 431)
-5%
(9 181)
+3%
(3 909)
+57%
(3 612)
+8%
(2 894)
+20%
(5 614)
-94%
(5 012)
+11%
(7 625)
-52%
(8 945)
-17%
(2 936)
+67%
(3 547)
-21%
(8 661)
-144%
(8 082)
+7%
(10 545)
-30%
(13 699)
-30%
(5 068)
+63%
(4 453)
+12%
(7 533)
-69%
(12 094)
-61%
(1 031)
+91%
(12 297)
-1 092%
(6 538)
+47%
1 044
N/A
3 219
+208%
6 354
+97%
2 426
-62%
4 542
+87%
1 208
-73%
(620)
N/A
(1 774)
-186%
(1 865)
-5%
1 077
N/A
774
-28%
4 126
+433%
1 968
-52%
257
-87%
(893)
N/A
(4 267)
-378%
(2 790)
+35%
(2 447)
+12%
3 526
N/A
962
-73%
(8 721)
N/A
(10 217)
-17%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
0
0
7
(12)
(82)
(93)
(175)
(195)
(195)
(196)
(146)
(130)
(68)
(66)
(42)
(52)
(42)
(94)
(333)
(203)
(192)
1 269
1 316
1 214
1 197
(3)
0
(26)
7 691
7 842
7 827
7 823
32
(170)
(137)
(95)
(61)
5 320
5 330
2 310
2 326
5 403
5 372
8 295
8 199
(83)
236
375
1 383
2 380
2 271
2 199
1 299
(289)
(311)
(345)
(1 070)
(1 557)
(1 758)
(3 552)
(4 063)
(4 730)
(4 642)
(2 807)
(1 577)
(295)
(131)
(162)
(165)
(150)
(159)
(121)
(101)
(43)
Net Issuance of Debt
665
(77)
1 235
(220)
1 099
2 525
2 451
2 829
1 637
831
(543)
(702)
(492)
(523)
(426)
820
574
591
272
(1 566)
(2 088)
(2 134)
(1 088)
(978)
(343)
(420)
(546)
(652)
(1 099)
(974)
(974)
(967)
(579)
(633)
(637)
(782)
(815)
(2 074)
(2 760)
(2 648)
(2 750)
(1 482)
(1 341)
(1 354)
(1 281)
(1 386)
1 838
(1 943)
(1 787)
0
(367)
0
0
1 433
5
1 792
1 807
6 348
4 775
5 138
5 092
(1 279)
(1 066)
(1 614)
(1 714)
(1 814)
(743)
(672)
(514)
(403)
(898)
(964)
(1 150)
(1 247)
(1 429)
(1 140)
(1 756)
(1 948)
(1 805)
(2 196)
(1 626)
(1 520)
(810)
Cash Paid for Dividends
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
(400)
0
(1 200)
(1 200)
(800)
0
(4 000)
0
(2 000)
0
0
0
(2 000)
0
(3 960)
(3 960)
(2 000)
0
(40)
(1 040)
(2 000)
0
0
0
(3 000)
0
(4 000)
(3 000)
(2 000)
(2 000)
(1 000)
(1 000)
(2 000)
0
(2 000)
(2 000)
(1 916)
Other
0
981
(1 018)
585
585
0
0
0
0
0
0
29
(411)
(475)
(1 051)
(1 866)
(1 591)
(1 480)
(1 128)
(154)
(310)
(516)
(751)
(1 133)
(954)
(1 212)
(934)
(727)
(671)
(531)
(705)
(709)
(737)
(675)
(657)
(676)
(647)
(630)
(692)
(553)
(813)
(800)
(276)
(206)
2 218
2 464
(4 175)
(1 023)
(2 671)
(2 735)
(446)
132
(670)
(711)
(866)
(812)
3 519
3 391
(1 644)
(1 488)
(5 976)
(5 658)
(2 004)
(1 821)
(1 785)
(1 970)
(2 412)
(1 093)
(669)
(655)
(3 608)
(3 715)
(4 708)
(4 709)
(3 260)
(2 076)
(1 353)
(1 410)
(1 318)
(3 415)
(4 048)
(4 140)
(1 688)
Cash from Financing Activities
705
N/A
904
+28%
217
-76%
(220)
N/A
1 099
N/A
1 939
+76%
2 451
+26%
2 829
+15%
1 637
-42%
831
-49%
(543)
N/A
(666)
-23%
(915)
-37%
(1 080)
-18%
(1 570)
-45%
(1 221)
+22%
(1 211)
+1%
(1 084)
+11%
(1 052)
+3%
(1 866)
-77%
(2 528)
-35%
(2 718)
-8%
(1 905)
+30%
(2 153)
-13%
(1 348)
+37%
(1 674)
-24%
(1 574)
+6%
(1 712)
-9%
(1 974)
-15%
(1 697)
+14%
(409)
+76%
(361)
+12%
(102)
+72%
(111)
-9%
(1 298)
-1 067%
(1 462)
-13%
(1 487)
-2%
4 988
N/A
4 390
-12%
4 625
+5%
4 260
-8%
(2 249)
N/A
(1 787)
+21%
(1 696)
+5%
842
N/A
1 017
+21%
2 583
+154%
1 964
-24%
(3 347)
N/A
(3 113)
+7%
3 791
N/A
4 336
+14%
3 258
-25%
4 921
+51%
(2 943)
N/A
1 216
N/A
9 701
+698%
15 122
+56%
3 510
-77%
3 921
+12%
(2 645)
N/A
(9 597)
-263%
(5 358)
+44%
(5 745)
-7%
(3 884)
+32%
(5 895)
-52%
(6 712)
-14%
(3 523)
+48%
(4 735)
-34%
(5 121)
-8%
(12 237)
-139%
(12 321)
-1%
(12 665)
-3%
(10 533)
+17%
(6 984)
+34%
(5 347)
+23%
(4 271)
+20%
(4 522)
-6%
(5 273)
-17%
(6 770)
-28%
(7 795)
-15%
(7 761)
+0%
(4 458)
+43%
Change in Cash
Effect of Foreign Exchange Rates
0
0
0
0
0
0
0
0
0
0
0
(15)
2
(7)
(88)
(83)
(80)
(80)
6
31
(14)
7
(4)
54
21
10
56
38
0
97
(18)
0
0
0
0
0
0
0
29
442
(206)
153
(161)
(1 135)
1 682
2 090
4 013
310
(801)
(1 296)
6 785
87
199
1 552
109
5 347
8 661
4 375
(453)
720
(7 230)
(3 119)
(1 322)
(4 364)
(935)
(2 844)
373
1 344
1 192
1 208
0
212
(2 628)
(572)
(2 073)
(1 597)
3 546
2 370
2 695
4 025
1 630
13 198
11 186
Net Change in Cash
301
N/A
382
+27%
757
+98%
437
-42%
722
+65%
839
+16%
1 227
+46%
1 151
-6%
744
-35%
892
+20%
(229)
N/A
(1)
+100%
(13)
-1 757%
(446)
-3 331%
(1 136)
-155%
(525)
+54%
(519)
+1%
57
N/A
351
+519%
(113)
N/A
(415)
-268%
(399)
+4%
(309)
+23%
(1 154)
-273%
(828)
+28%
(890)
-7%
1 092
N/A
(22)
N/A
(73)
-239%
11
N/A
(9)
N/A
44
N/A
23
-48%
(7)
N/A
42
N/A
(6)
N/A
42
N/A
98
+134%
236
+140%
866
+266%
351
-59%
646
+84%
177
-73%
(873)
N/A
1 808
N/A
2 258
+25%
4 947
+119%
593
-88%
(229)
N/A
(662)
-189%
6 583
N/A
(134)
N/A
(156)
-17%
1 025
N/A
(235)
N/A
4 866
N/A
8 439
+73%
4 214
-50%
261
-94%
507
+94%
(5 379)
N/A
(2 178)
+60%
647
N/A
359
-45%
1 466
+309%
1 039
-29%
1 525
+47%
(74)
N/A
(1 510)
-1 941%
(1 783)
-18%
(1 802)
-1%
(628)
+65%
(327)
+48%
2 226
N/A
1 563
-30%
640
-59%
2 915
+355%
2 579
-12%
3 186
+24%
2 484
-22%
753
-70%
10 820
+1 336%
10 661
-1%
Free Cash Flow
Free Cash Flow
(1 918)
N/A
(462)
+76%
582
N/A
698
+20%
753
+8%
(237)
N/A
(70)
+71%
(396)
-470%
(494)
-25%
50
N/A
786
+1 484%
1 100
+40%
1 208
+10%
1 836
+52%
690
-62%
901
+30%
936
+4%
1 023
+9%
1 389
+36%
2 057
+48%
2 376
+16%
2 431
+2%
2 201
-9%
958
-56%
190
-80%
1 430
+651%
2 652
+85%
2 497
-6%
2 802
+12%
1 289
-54%
147
-89%
(1 351)
N/A
(586)
+57%
(237)
+60%
2 402
N/A
2 252
-6%
1 668
-26%
1 020
-39%
2 987
+193%
3 232
+8%
2 934
-9%
5 904
+101%
3 210
-46%
2 263
-30%
2 192
-3%
1 631
-26%
3 431
+110%
4 810
+40%
4 443
-8%
2 758
-38%
2 227
-19%
922
-59%
4 572
+396%
5 961
+30%
4 038
-32%
(96)
N/A
(5 250)
-5 358%
(18 383)
-250%
(11 010)
+40%
(3 905)
+65%
2 991
N/A
13 978
+367%
2 755
-80%
5 827
+111%
1 805
-69%
3 206
+78%
3 770
+18%
727
-81%
1 487
+104%
1 643
+11%
7 147
+335%
8 981
+26%
9 511
+6%
10 133
+7%
9 004
-11%
5 931
-34%
4 890
-18%
4 297
-12%
3 758
-13%
(2 231)
N/A
1 758
N/A
10 397
+491%
10 222
-2%
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