Grupo Gigante SAB de CV
BMV:GIGANTE

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Grupo Gigante SAB de CV
BMV:GIGANTE
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Price: 28 MXN Market Closed
Market Cap: 27.8B MXN
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Balance Sheet

Balance Sheet Decomposition
Grupo Gigante SAB de CV

Current Assets 15.2B
Cash & Short-Term Investments 4.5B
Receivables 3.6B
Other Current Assets 7.1B
Non-Current Assets 39.2B
Long-Term Investments 22.2B
PP&E 13.1B
Intangibles 1.8B
Other Non-Current Assets 2.1B
Current Liabilities 9.6B
Accounts Payable 4.2B
Accrued Liabilities 1.7B
Other Current Liabilities 3.7B
Non-Current Liabilities 18.5B
Long-Term Debt 14.8B
Other Non-Current Liabilities 3.8B

Balance Sheet
Grupo Gigante SAB de CV

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Balance Sheet
Currency: MXN
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
1 688
3 112
2 076
1 852
2 050
1 687
2 425
3 083
2 439
2 995
Cash
15
21
2 076
1 852
2 050
1 687
2 425
3 083
2 439
2 995
Cash Equivalents
1 672
3 092
0
0
0
0
0
0
0
0
Short-Term Investments
2 719
2 139
492
435
426
427
352
324
1 469
1 370
Total Receivables
1 699
3 008
2 860
2 759
3 121
3 138
2 981
2 988
3 134
3 290
Accounts Receivables
625
1 241
1 497
1 641
1 475
1 268
1 103
982
1 152
1 137
Other Receivables
1 073
1 767
1 362
1 119
1 646
1 870
1 878
2 006
1 982
2 153
Inventory
4 189
5 447
6 928
6 628
6 744
6 568
5 655
5 958
6 119
6 048
Other Current Assets
177
305
740
314
236
204
1 700
205
295
642
Total Current Assets
10 471
14 011
13 094
11 988
12 577
12 023
13 113
12 558
13 457
14 345
PP&E Net
8 856
9 364
9 769
9 821
10 399
15 747
13 676
12 617
12 645
12 823
PP&E Gross
8 856
9 364
9 769
9 821
10 399
15 747
13 676
12 617
12 645
12 823
Accumulated Depreciation
3 632
4 702
5 223
5 536
6 058
6 560
7 054
7 551
8 047
7 898
Intangible Assets
335
941
1 080
1 036
851
848
880
958
873
793
Goodwill
360
947
993
996
986
978
985
975
971
962
Note Receivable
64
128
167
148
143
13
46
50
39
44
Long-Term Investments
12 448
14 892
14 386
15 289
16 834
18 123
17 351
18 109
19 406
21 311
Other Long-Term Assets
1 409
719
942
1 291
1 513
1 098
1 629
3 024
2 286
2 141
Other Assets
360
947
993
996
986
978
985
975
971
962
Total Assets
33 942
N/A
41 003
+21%
40 432
-1%
40 568
+0%
43 302
+7%
48 830
+13%
47 681
-2%
48 290
+1%
49 677
+3%
52 419
+6%
Liabilities
Accounts Payable
2 195
4 094
5 028
4 303
5 329
4 774
4 124
3 903
4 154
3 689
Accrued Liabilities
487
768
509
521
713
627
653
1 513
1 091
1 163
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
397
607
472
515
1 058
1 171
3 474
1 534
2 120
1 393
Other Current Liabilities
1 008
1 162
1 397
1 089
1 230
1 537
1 656
1 768
1 871
1 857
Total Current Liabilities
4 087
6 631
7 407
6 428
8 330
8 110
9 907
8 718
9 235
8 102
Long-Term Debt
10 860
13 646
9 855
9 587
9 459
14 978
13 723
14 397
13 397
15 007
Deferred Income Tax
2 317
2 618
2 538
2 471
2 476
2 397
2 393
2 298
2 344
2 657
Minority Interest
135
424
507
516
260
287
363
542
544
515
Other Liabilities
598
425
645
703
930
780
1 127
544
513
861
Total Liabilities
17 997
N/A
23 745
+32%
20 952
-12%
19 705
-6%
21 455
+9%
26 552
+24%
27 513
+4%
26 498
-4%
26 033
-2%
27 143
+4%
Equity
Common Stock
1 375
1 375
1 375
1 375
1 375
1 375
1 375
1 375
1 375
1 375
Retained Earnings
9 125
10 621
13 411
14 821
15 990
16 591
14 382
16 166
18 056
19 984
Additional Paid In Capital
4 027
4 027
4 027
4 027
4 027
4 027
4 027
4 027
4 027
4 027
Unrealized Security Profit/Loss
0
1 052
0
0
0
0
0
0
0
0
Other Equity
70
184
668
641
455
285
385
223
187
109
Total Equity
15 944
N/A
17 259
+8%
19 480
+13%
20 863
+7%
21 847
+5%
22 277
+2%
20 168
-9%
21 791
+8%
23 644
+9%
25 276
+7%
Total Liabilities & Equity
33 942
N/A
41 003
+21%
40 432
-1%
40 568
+0%
43 302
+7%
48 830
+13%
47 681
-2%
48 290
+1%
49 677
+3%
52 419
+6%
Shares Outstanding
Common Shares Outstanding
994
994
994
994
994
994
994
994
994
994

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