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Grupo PochtecaB de CV (MEX:POCHTECB) Cash Flow from Financing : MXN23 Mil (TTM As of Mar. 2025)


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What is Grupo PochtecaB de CV Cash Flow from Financing?

Cash from financing is the cash generated/spent from financial activities such as share issuance (buy back), debt issuance (repayment), and dividends paid to preferred and common stockholders.

For the three months ended in Mar. 2025, Grupo PochtecaB de CV paid MXN0 Mil more to buy back shares than it received from issuing new shares. It received MXN19 Mil from issuing more debt. It paid MXN0 Mil more to buy back preferred shares than it received from issuing preferred shares. It received MXN0 Mil from paying cash dividends to shareholders. It spent MXN64 Mil on other financial activities. In all, Grupo PochtecaB de CV spent MXN45 Mil on financial activities for the three months ended in Mar. 2025.


Grupo PochtecaB de CV Cash Flow from Financing Historical Data

The historical data trend for Grupo PochtecaB de CV's Cash Flow from Financing can be seen below:

* For Operating Data section: All numbers are indicated by the unit behind each term and all currency related amount are in USD.
* For other sections: All numbers are in millions except for per share data, ratio, and percentage. All currency related amount are indicated in the company's associated stock exchange currency.

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Grupo PochtecaB de CV Cash Flow from Financing Chart

Grupo PochtecaB de CV Annual Data
Trend Dec15 Dec16 Dec17 Dec18 Dec19 Dec20 Dec21 Dec22 Dec23 Dec24
Cash Flow from Financing
Get a 7-Day Free Trial Premium Member Only Premium Member Only 155.50 135.02 -164.64 -552.32 67.65

Grupo PochtecaB de CV Quarterly Data
Jun20 Sep20 Dec20 Mar21 Jun21 Sep21 Dec21 Mar22 Jun22 Sep22 Dec22 Mar23 Jun23 Sep23 Dec23 Mar24 Jun24 Sep24 Dec24 Mar25
Cash Flow from Financing Get a 7-Day Free Trial Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only Premium Member Only -34.03 -30.37 -27.29 159.33 -78.83

Grupo PochtecaB de CV Cash Flow from Financing Calculation

This is the cash generated/spent from financial activities such as share issuance (buy back), debt issuance (repayment), and dividends paid to preferred and common stockholders. In the calculation of free cash flow, cash from financing is not calculated because it is not related to operating activities.

Grupo PochtecaB de CV's Cash from Financing for the fiscal year that ended in Dec. 2024 is calculated as:

Grupo PochtecaB de CV's Cash from Financing for the quarter that ended in Mar. 2025 is:


Cash Flow from Financing for the trailing twelve months (TTM) ended in Mar. 2025 adds up the quarterly data reported by the company within the most recent 12 months, which was MXN23 Mil.

* For Operating Data section: All numbers are indicated by the unit behind each term and all currency related amount are in USD.
* For other sections: All numbers are in millions except for per share data, ratio, and percentage. All currency related amount are indicated in the company's associated stock exchange currency.


Grupo PochtecaB de CV  (MEX:POCHTECB) Cash Flow from Financing Explanation

Cash from financing contains six items:

1. Issuance of Stock:
A company may raise cash from issuing new shares. Issuance of stock represents the cash inflow from offering common stock, which is the additional capital contribution to the entity during the period.

Grupo PochtecaB de CV's issuance of stock for the three months ended in Mar. 2025 was MXN0 Mil.

2. Repurchase of Stock:
A company may raise cash from issuing new shares. It can also use cash to buy back shares. Repurchase of stock represents the cash outflow to reacquire common stock during the period.

Grupo PochtecaB de CV's repurchase of stock for the three months ended in Mar. 2025 was MXN0 Mil.

3. Net Issuance of Debt:
Net issuance of debt is the cash a company received or spent through debt related activities such as debt issuance or debt repayment. If a company pays down its debt during the period, this number will be negative. If a company issued more debt, it receives cash and this number is positive.

Grupo PochtecaB de CV's net issuance of debt for the three months ended in Mar. 2025 was MXN19 Mil. Grupo PochtecaB de CV received MXN19 Mil from issuing more debt.

4. Net Issuance of Preferred Stock:
A company may raise cash from issuing new preferred shares. It can also use cash to buy back preferred shares. If this number is positive, it means that the company has received more cash from issuing preferred shares than it has paid to buy back preferred shares. If this number is negative, it means that company has paid more cash to buy back preferred shares than it has received for issuing preferred shares.

Grupo PochtecaB de CV's net issuance of preferred for the three months ended in Mar. 2025 was MXN0 Mil. Grupo PochtecaB de CV paid MXN0 Mil more to buy back preferred shares than it received from issuing preferred shares.

5. Cash Flow for Dividends:
Cash flow for dividends refers to the payment of cash to shareholders as dividends when the company generates income.

Grupo PochtecaB de CV's cash flow for dividends for the three months ended in Mar. 2025 was MXN0 Mil. Grupo PochtecaB de CV received MXN0 Mil from paying cash dividends to shareholders.

6. Other Financing:
Money spent or earned by company from other financial activities.

Grupo PochtecaB de CV's other financing for the three months ended in Mar. 2025 was MXN-64 Mil. Grupo PochtecaB de CV spent MXN64 Mil on other financial activities.


Grupo PochtecaB de CV Cash Flow from Financing Related Terms

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Grupo PochtecaB de CV Business Description

Traded in Other Exchanges
N/A
Address
Manuel Reyes Veramendi No.6, Colonia San Miguel Chapultepec, Mexico, DF, MEX, 11850
Grupo Pochteca SAB de CV is engaged in the trading of raw materials for the chemical, coating, water treatment, paints, plastics, automotive industry, oil exploration and drilling, metalworking industry, and food industries, as well as the processing and marketing of paper, cardboard, and products for graphic arts. The product line of the company includes Inorganic chemicals, Solvents and mixtures, Food chemicals, Lubricants and greases, Personal and home care, Mining, Construction and building, Integral Solutions, and Environmental and outsourced logistics.

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