Grupo Comercial Chedraui, S.A.B. de C.V. (BMV:CHDRAUI.B)
Mexico flag Mexico · Delayed Price · Currency is MXN
100.02
-0.17 (-0.17%)
At close: Apr 28, 2026

Grupo Comercial Chedraui Cash Flow Statement

Millions MXN. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Mar '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Net Income
6,5516,5356,6917,6225,9973,420
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Depreciation & Amortization
9,0779,2938,3697,3227,2895,108
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Other Amortization
338.57338.57373.15397.99391.53292.26
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Loss (Gain) From Sale of Assets
-192.85-190.49-208.5824.9348.47159.44
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Asset Writedown & Restructuring Costs
----32.82-
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Loss (Gain) on Equity Investments
5.35-----54.47
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Other Operating Activities
5,8255,7726,7975,8565,5054,244
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Change in Accounts Receivable
-44.8722.47-234.952.08159.68690.07
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Change in Inventory
-1,394-238.46-2,007-815.45-3,100-589.38
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Change in Accounts Payable
1,608621.291,1352,0792,9444,435
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Change in Income Taxes
-2,887-2,887-3,427-4,967-2,061-
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Change in Other Net Operating Assets
556.12-1,0261,094413.511,329-1,602
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Operating Cash Flow
19,44218,24118,58117,98618,53616,103
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Operating Cash Flow Growth
17.16%-1.83%3.31%-2.96%15.11%30.73%
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Capital Expenditures
-819.55-----
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Sale of Property, Plant & Equipment
132.09129.52338.07334.5838.671.7
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Cash Acquisitions
----8.47-1,107-11,482
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Sale (Purchase) of Intangibles
-316.47-328.27-180.77-213.16-280.49-210.05
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Sale (Purchase) of Real Estate
-8,221-8,221-11,273-7,278-5,401-4,137
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Other Investing Activities
619.52671.49950.75564.81269.22134.76
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Investing Cash Flow
-8,605-7,748-10,165-6,600-6,481-15,622
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Long-Term Debt Issued
--9,327--16,297
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Long-Term Debt Repaid
--3,064-12,226-4,638-5,935-9,626
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Net Debt Issued (Repaid)
-4,895-3,064-2,899-4,638-5,9356,671
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Issuance of Common Stock
208.91208.91992.77478.17868.63273.54
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Repurchase of Common Stock
-284.85-419-645.32-676.14-567.71-300.78
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Common Dividends Paid
-2,139-2,139-1,138-897.59-499.15-457.86
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Other Financing Activities
-3,862-3,981-3,946-3,303-3,378-2,658
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Financing Cash Flow
-10,972-9,394-8,636-9,037-9,5113,528
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Foreign Exchange Rate Adjustments
-106.02-116.75181.45-217.97-79.24-352.68
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Net Cash Flow
-240.61982.68-38.492,1302,4643,657
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Free Cash Flow
18,62318,24118,58117,98618,53616,103
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Free Cash Flow Growth
9.42%-1.83%3.31%-2.96%15.11%30.73%
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Free Cash Flow Margin
6.41%6.18%6.59%6.84%7.15%8.54%
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Free Cash Flow Per Share
19.3618.9819.3518.7519.3816.82
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Cash Interest Paid
3,7333,8473,9363,2323,3822,658
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Levered Free Cash Flow
15,12815,42216,34615,68715,50514,133
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Unlevered Free Cash Flow
17,50617,82718,80617,70717,61915,794
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Change in Working Capital
-2,162-3,508-3,441-3,238-728.262,933
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Source: S&P Capital IQ. Standard template. Financial Sources.