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Last $19.38 USD
Change Today -0.03 / -0.15%
Volume 3.9K
AMOV On Other Exchanges
Symbol
Exchange
NASDAQ GS
OTC US
Berlin
New York
Mexico
Mexico
Mexico
Frankfurt
Frankfurt
As of 5:20 PM 08/3/15 All times are local (Market data is delayed by at least 15 minutes).

Financial Statements for america movil-adr series a (AMOV)

View Cash Flow In U.S. Dollar
Currency in
Millions of Mexican Pesos
As of:Jan 01
2012
Restated
MXN
Dec 31
2012
Restated
MXN
Dec 31
2013
Reclassified
MXN
Dec 31
2014
MXN
4 Year
Trend
NET INCOME83,045.290,988.674,625.046,146.4
Depreciation & Amortization82,642.292,268.394,893.8107,909.2
Amortization of Goodwill and Intangible Assets10,956.511,071.96,514.06,800.3
DEPRECIATION & AMORTIZATION, TOTAL93,598.7103,340.2101,407.8114,709.5
Amortization of Deferred Charges398.4244.5127.1284.1
(Gain) Loss from Sale of Asset32.5112.4546.9297.6
(Gain) Loss on Sale of Investment--795.0897.08,726.8
Other Operating Activities85,718.263,586.967,983.8110,592.3
(Income) Loss on Equity Investments-1,924.0-761.4-36.36,073.0
Change in Accounts Receivable-6,705.68,624.8-12,386.1-11,791.2
Change in Inventories-6,721.44,104.3-9,565.02,470.8
Change in Accounts Payable20,976.9-2,764.137,755.014,260.2
Change in Unearned Revenues994.31,809.42,542.01,356.5
Change in Income Taxes-63,556.3-47,347.3-55,014.0-33,542.5
Change in Other Working Capital-12,616.2-16,129.1-21,093.8-18,972.9
CASH FROM OPERATIONS193,240.8206,604.4187,789.3240,610.5
Capital Expenditure-120,193.2-121,955.9-118,416.3-126,265.3
Sale of Property, Plant, and Equipment38.358.044.096.8
Cash Acquisitions-995.63,089.8-1,730.6-11,910.6
Sale (Purchase) of Intangible Assets-993.7-7,830.2-3,334.5-19,319.7
Investments in Marketable & Equity Securities-1,275.4-71,560.9-11,066.79,411.7
CASH FROM INVESTING-123,419.6-197,628.1-134,291.6-147,627.6
Long-Term Debt Issued87,230.8140,094.6126,301.444,174.7
TOTAL DEBT ISSUED87,230.8140,094.6126,301.444,174.7
Long Term Debt Repaid-41,222.2-97,354.3-60,710.9-36,683.9
TOTAL DEBT REPAID-41,222.2-97,354.3-60,710.9-36,683.9
Repurchase of Common Stock-53,726.8-17,836.7-70,745.8-35,049.3
Common Dividends Paid-17,043.0-15,384.6-15,722.6-17,054.8
TOTAL DIVIDEND PAID-17,043.0-15,384.6-15,722.6-17,054.8
Other Financing Activities-82,373.0-27,379.3-25,768.5-30,144.7
CASH FROM FINANCING-107,134.1-17,860.4-46,646.3-74,758.0
Foreign Exchange Rate Adjustments498.5-4,752.6-4,175.085.3
NET CHANGE IN CASH-36,814.5-13,636.82,676.418,310.2
 

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AMOV Competitors

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Industry Analysis

AMOV

Industry Average

Valuation AMOV Industry Range
Price/Earnings 29.2x
Price/Sales 1.2x
Price/Book 7.9x
Price/Cash Flow 4.3x
TEV/Sales NM Not Meaningful
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