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Grupo Aeroportuario Del Centro NorteB. De C.v.

(OTC) GAERF

Current Price$13.26
Market Cap$5.12B
Since IPO (2009)+1,590%
5 Year+216%
1 Year+68%
1 Month-18%

Grupo Aeroportuario Del Centro NorteB. De C.v. Financials at a Glance

Market Cap

$5.12B

Revenue (TTM)

$15.96B

Net Income (TTM)

$5.34B

EPS (TTM)

$0.70

P/E Ratio

18.37

Dividend

$0.61

Beta (Volatility)

-0.02 (Low)

Price

$13.26

Volume

33

Open

$14.99

Previous Close

$13.26

Daily Range

$13.26 - $14.99

52-Week Range

$8.26 - $17.82

GAERF News

No articles available.

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About Grupo Aeroportuario Del Centro NorteB. De C.v.

Industry

Transportation Infrastructure

Employees

1,171

CEO

Ricardo Dueñas Espriu, MBA

Headquarters

Mexico City, DF 03800, MX

GAERF Financials

Key Financial Metrics (TTM)

Gross Margin

70%

Operating Margin

30%

Net Income Margin

33%

Return on Equity

49%

Return on Capital

19%

Return on Assets

17%

Earnings Yield

5.44%

Dividend Yield

0.05%

Payout Ratio

81.96%

Stock Overview

Market Cap

$5.12B

Shares Outstanding

386.17M

Volume

33

Short Interest

0.00%

Avg. Volume

611.55

Financials (TTM)

Gross Profit

$9.80B

Operating Income

$8.93B

EBITDA

$9.81B

Operating Cash Flow

$6.53B

Capital Expenditure

$163.15M

Free Cash Flow

$6.36B

Cash & ST Invst.

$3.09B

Total Debt

$13.68B

Grupo Aeroportuario Del Centro NorteB. De C.v. Performance Analysis

Revenue Growth Rate

Annual and quarterly growth comparison

Earnings Per Share Growth Rate

Annual and quarterly EPS growth comparison

Quarterly Performance

Name
Q4 2025YOY CHG

Revenue

$4.11B

-0.1%

Gross Profit

$2.36B

-14.1%

Gross Margin

57.43%

N/A

Market Cap

$5.12B

N/A

Market Cap/Employee

$4.40M

N/A

Employees

1,163

N/A

Net Income

$1.22B

+2.4%

EBITDA

$2.36B

-4.7%

Quarterly Fundamentals

Name
Q4 2025YOY CHG

Net Cash

$10.59B

-8.0%

Accounts Receivable

$2.50B

+10.4%

Inventory

$0.00

N/A

Long Term Debt

$11.99B

+10.6%

Short Term Debt

$1.69B

+172.6%

Return on Assets

16.72%

N/A

Return on Invested Capital

19.18%

N/A

Free Cash Flow

$1.57B

-11.7%

Operating Cash Flow

$1.64B

-12.2%

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