• LAST PRICE
    34.1600
  • TODAY'S CHANGE (%)
    Trending Up0.0900 (0.2642%)
  • Bid / Lots
    31.0100/ 3
  • Ask / Lots
    32.7000/ 1
  • Open / Previous Close
    34.5400 / 34.0700
  • Day Range
    Low 33.7100
    High 34.7500
  • 52 Week Range
    Low 18.7100
    High 35.2200
  • Volume
    884,230
    above average

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  • Yesterday

      Show headlines and story abstract
    • 9 hours ago by MT Newswires
      Companies Mentioned: TBBB
      04:33 PM EST, 11/25/2024 (MT Newswires) -- BBB Foods (TBBB) reported Q3 earnings late Monday of 1.89 Mexican pesos ($0.093) per diluted share, swinging from a loss of 28.25 pesos a year earlier. Two analysts polled by FactSet estimated 1.02 pesos. R...
    • 9 hours ago by MT Newswires
      Companies Mentioned: TBBB
      04:16 PM EST, 11/25/2024 (MT Newswires) -- ...
    • 9 hours ago by Dow Jones
      Companies Mentioned: TBBB
    • 9 hours ago by Dow Jones
      Companies Mentioned: TBBB
      Profit (loss) before income tax Ps. 621,026 (Ps.17,666) Adjustments for: Depreciation of property, furniture, equipment, and lease-hold improvements 468,985 334,184 Depreciation of right-of-use assets 481,244 421,872 Amortization of intangible assets 1,857 1,990 Employee benefits 5,999 - Interest payable on Promissory Notes and Convertible Notes 82,588 459,621 Interest expense on lease liabilities 757,618 526,566 Interest on debt and bonus payable and amortization of issuance costs 29,471 21,676 Other financial income (102,214) (20,510) Gain on fair value of derivative financial instrument (7,287) - Interests and commissions from credit lines 54,378 - Gain on termination of lease agreements (387) - Exchange fluctuation (385,335) (469,030) Share-based payment expense 396,054 302,438 ----------------------------------- -------------------- ------------------- Increase in inventories (167,146) (259,525) Increase in other current assets and guarantee deposits (446,657) (150,082) Increase in suppliers (including supplier finance arrangements) 728,969 1,013,497 Increase (decrease) in other current liabilities 248,169 68,147 Increase (decrease) on bonus payable to related parties (79,351) 11,412 Income taxes paid (309,773) (301,751) ----------------------------------- -------------------- ------------------- Net cash flows provided by operating activities Ps. 2,378,208 Ps. 1,942,839 ----------------------------------- -------------------- ------------------- Purchase of property, furniture, equipment, and lease-hold improvements (1,642,397) (940,202) Sale of property and equipment 1,856 2,454 Additions to intangible assets (1,880) (799) Short-term bank deposits (2,621,393) - Interest earned on short-term investments 91,966 37,354 ----------------------------------- -------------------- ------------------- Net cash flows used in investing activities (Ps. 4,171,848) (Ps. 901,193) ----------------------------------- -------------------- ------------------- Payments made on reverse factoring transactions-net of commissions received (2,266,340) (1,320,996) Finance obtained through supplier finance arrangements 2,385,967 1,334,506 Proceeds (payment) from Santander and HSBC credit line 58,806 300,314 Payment of debt (107,557) (463,437) Interest payment on debt and reverse factoring commissions (76,691) (18,077) Lease payments (1,139,828) (859,684) Payment of Principal amount of Promissory Notes (1,969,602) - Payment of accrued Interests of Promissory Notes (2,955,495) - Proceeds from initial public offering, net of underwriting fees 7,841,837 - Initial public offering costs (23,269) - ----------------------------------- -------------------- ------------------- Net cash flows provided by (used in) financing activities Ps. 1,747,828 (Ps. 1,027,374) ----------------------------------- -------------------- ------------------- Net increase (decrease) in cash and cash equivalents (45,812) 14,272 Effect of foreign exchange movements on cash balances 94,243 1,835 ----------------------------------- -------------------- ------------------- Cash and cash equivalents at beginning of period 1,220,471 984,976 ----------------------------------- -------------------- ------------------- Cash and cash equivalent at end of Ps. 1,268,902 Ps. 1,001,083 period ----------------------------------- -------------------- -------------------
  • Nov 20, 2024

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