Grupo TMM SAB (GTMAY)

Last Closing Price: --

Cash Flow from Investing Activities (Annual)

Cash Flow from Investing Activities: The total change in cash resulting from a company's investments.

Grupo TMM SAB (GTMAY) had Cash Flow from Investing Activities of $-35.42M for the most recently reported fiscal year, ending 2025-12-31.

Figures for fiscal year ending 2025-12-31
Income Statement Financials
$99.65M
$17.83M
$74.07M
$25.58M
$82.43M
$17.22M
$0.61M
$17.82M
$17.82M
$17.82M
$17.82M
$17.82M
$17.82M
$17.22M
$22.88M
34.91M
34.91M
$0.51
$0.51
Balance Sheet Financials
$83.94M
$143.58M
$157.61M
$241.55M
$55.03M
$48.99M
$58.64M
$113.67M
--
$127.88M
$127.88M
34.91M
Cash Flow Statement Financials
$31.11M
Cash Flow from Investing Activities
$-35.42M
$34.26M
$10.81M
$39.25M
$28.44M
--
--
--
Fundamental Metrics & Ratios
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--