share_log

Press Release: Grupo TMM Reports 2021 Third Quarter Financial Results (in Millions of Mexican Pesos)

Press Release: Grupo TMM Reports 2021 Third Quarter Financial Results (in Millions of Mexican Pesos)

新闻稿:Grupo TMM公布2021年第三季财报(单位:百万墨西哥披索)
Dow Jones Newswires ·  2021/10/28 17:54

Grupo TMM Reports 2021 Third Quarter Financial Results (in Millions of Mexican Pesos)

Grupo TMM报告2021年第三季度财务业绩(以墨西哥比索为单位)

2021 Third Quarter Results Include:

2021年第三季度业绩包括:


-- Stockholders' Equity of $2,084.5 million.
-- Financial Debt of 12.2 percent from Stockholders' Equity.
-- Accumulated Financial expenses decreased 29.8 percent.
-- Consolidated revenues increased 23.5 percent.
-- Long-term contract for 3 specialized vessels (Mud-vessels).

-股东权益20.845亿美元。
-金融债务占股东权益的12.2%。
累计财务费用下降29.8%。
--综合收入增长23.5%。
-3艘专业船(泥浆船)的长期合同。

MEXICO CITY, Oct. 28, 2021 (GLOBE NEWSWIRE) -- Grupo TMM, S.A.B. (OTC: GTMAY and BMV: TMM A; "TMM" or the "Company"), a Mexican Maritime-management transportation and logistics Company, reported today its financial results for the third quarter of 2021.

墨西哥城,2021年10月28日(环球通讯社)-墨西哥海运管理运输和物流公司Grupo TMM,S.A.B.(场外交易代码:GTMAY和BMV:TMM A;“TMM”或“公司”)今天公布了2021年第三季度的财务业绩。

José F. Serrano, Chairman of Grupo TMM, said, "With its proven experience and the confidence of its clients, Grupo TMM is capitalizing on opportunities by carrying out projects such as the hiring of specialized vessels (Mud-vessels), as well as forming strategic alliances with world-renowned companies to commercialize fuels in the national territory."

Grupo TMM董事长何塞·F·塞拉诺说:“凭借其成熟的经验和客户的信心,Grupo TMM正在利用机遇,开展租用专业船只(泥浆船)等项目,并与世界知名公司结成战略联盟,在本国领土上将燃料商业化。”

"The Company continues its financial recovery quarter by quarter in both revenues and EBITDA, thanks to the generation of new ship contracts, the restart of cruise agency activities, the rebound in work at the Shipyard, as well as the increase in bulk carrier trips to South America."

由于新船舶合同的产生、邮轮代理活动的重新开始、造船厂工作的回升以及前往南美的散货船旅行的增加,该公司的收入和EBITDA继续逐季恢复财务状况。“这要归功于新船舶合同的产生、邮轮代理活动的重新开始、造船厂工作的反弹以及前往南美的散货船旅行的增加。”

"The General Management and its collaborators continue to focus on increasing the market share of the Company's businesses, offering its clients integrated transportation, logistics, warehousing and distribution services; relying on the strategies of technological transformation, cost optimization and customer diversification."

通用管理层及其合作伙伴继续致力于增加公司业务的市场份额,依靠技术改造、成本优化和客户多样化的战略,为客户提供综合的运输、物流、仓储和分销服务。“

THIRD-QUARTER 2021 OPERATING AND FINANCIAL RESULTS

2021年第三季度经营和财务业绩

Consolidated revenue in the third quarter of 2021 was $371.3 million, compared to $271.3 million in the same period of the previous year. Consolidated revenue for the first nine months of 2021 was $940.3 million compared to $906.6 million for the same period of the previous year. The Company continues its recovery trend quarter by quarter, thanks to at the start of operation of the specialized vessels recently hired by one of our main clients, also its diversification and customer service strategy, and the gradual reactivation of the economy, as well as of the energy industry.

2021年第三季度的合并收入为3.713亿美元,而去年同期为2.713亿美元。2021年前9个月的合并收入为9.403亿美元,而去年同期为9.066亿美元。公司继续保持其逐季复苏的趋势,这要归功于我们的一个主要客户最近租用的专用船舶在开始运营时,其多元化和客户服务战略,以及经济和能源行业的逐步复苏,这都要归功于我们的一个主要客户最近租用的专用船舶开始运营时,公司的多元化和客户服务战略,以及经济和能源行业的逐步复苏。

The consolidated operating result in the third quarter of 2021 resulted in a loss of $11.2 million, $11.0 million of which was from non-recurring operations. The consolidated operating result in the first nine months of 2021 resulted in a loss of $142.9 million, of which $69.6 million was from non-recurring operations, representing 48.7 percent, mainly due to the sale of the chemical tanker "Olmeca" during the first quarter of the year.

2021年第三季度的综合运营结果导致1,120万美元的亏损,其中1,100万美元来自非经常性运营。2021年前9个月的综合经营业绩导致亏损1.429亿美元,其中6960万美元来自非经常性业务,占48.7%,主要原因是今年第一季度出售了化学品油轮“Olmeca”。

Maritime revenue in the third quarter 2021 was $287.5 million compared to $171.4 million in the same period of the previous year, mainly due to the start of operations of the three specialized vessels called Mud-Vessels, a greater number of calls in the bulk carrier segment, and a greater number of jobs in the shipyard derived from the gradual recovery of the industry, partially offset by the decrease in volume transported in parcel tankers. Maritime revenue in the first nine months of the year was $670.3 million, compared to $553.7 million for the same period of the previous year.

2021年第三季度的海运收入为2.875亿美元,而去年同期为1.714亿美元,这主要是由于三艘名为Mud-Ships的专业船只开始运营,散货船部门的停靠次数增加,以及造船厂因该行业的逐步复苏而产生的更多工作岗位,但部分被包裹油轮运输量的减少所抵消。今年前9个月的海运收入为6.703亿美元,而去年同期为5.537亿美元。

Maritime operating income in the third quarter of 2021 was $40.5 million compared to $15.2 million in the same period of the previous year. During the first nine months of 2021, Maritime operating income was $60.2 million compared with $37.8 of the same period last year.

2021年第三季度海上运营收入为4050万美元,而去年同期为1520万美元。2021年前9个月,海运运营收入为6020万美元,而去年同期为3780万美元。

Maritime EBITDA in the third quarter of 2021 was $44.2 million and EBITDA margin was 15.4 percent. For the first nine months 2021, Maritime EBITDA was $72.6 million and accumulated EBITDA margin was 10.8 percent.

2021年第三季度海运EBITDA为4420万美元,EBITDA利润率为15.4%。2021年前9个月,海运EBITDA为7260万美元,累计EBITDA利润率为10.8%。

Ports and Terminals revenues in the third quarter of 2021 was $51.2 million, compared to $69.1 million for the same period of the previous year. During the first nine months of 2021, Ports and Terminals revenue was $177.4 million, still being affected by the prolonged impact of the COVID-19 pandemic.

2021年第三季度港口和码头收入为5120万美元,而去年同期为6910万美元。2021年前9个月,港口和码头收入为1.774亿美元,仍受到新冠肺炎疫情长期影响的影响。

Ports and Terminals operations results in the quarter resulted in a loss of $5.6 million, compared to a loss of $14.4 million reported in the same period of the previous year. During the first nine months of 2021, the operating result of the Ports and Terminals registered a loss of $14.7 million.

港口和码头公司本季度的运营业绩导致亏损560万美元,而去年同期报告的亏损为1440万美元。在2021年首9个月,港口及货柜码头的经营业绩录得1,470万元亏损。

Ports and Terminals EBITDA in the third quarter of 2021 was $1.3 million. For the first nine months 2021, Ports and Terminals EBITDA was $11.2 million and accumulated EBITDA margin was 6.3 percent.

2021年第三季度港口和码头EBITDA为130万美元。2021年前9个月,港口和码头EBITDA为1120万美元,累计EBITDA利润率为6.3%。

Warehousing Services revenue was $32.6 million in the third quarter of 2021. During the first nine months of 2021, Warehousing Services revenue was $92.5 million.

2021年第三季度仓储服务收入为3260万美元。2021年前9个月,仓储服务收入为9250万美元。

DEBT

债务

As of September 30, 2021, Grupo TMM's net debt was $178.4 million, and our cash position was $76.2 million. Additionally, the cost of debt decreased 29.8 percent.

截至2021年9月30日,Grupo TMM的净债务为1.784亿美元,我们的现金头寸为7620万美元。此外,债务成本下降了29.8%。

                    Total Debt* 
-- Millions of Mexican Pesos --
As of 9/30/21 As of 12/31/20
--------------------- ------------- --------------
Short-Term Debt $180.8 $129.1
--------------------- ------------- --------------
Long-Term Debt 73.8 53.6
--------------------- ------------- --------------
Total Debt $254.6 $182.7
--------------------- ------------- --------------
Cash 76.2 143.0
--------------------- ------------- --------------
Net Debt $178.4 $39.7
--------------------- ------------- --------------
Short-Term Leases $64.1 $58.2
--------------------- ------------- --------------
Long-Term Leases 253.6 297.3
--------------------- ------------- --------------
Leases IFRS 16 $317.7 $355.5
--------------------- ------------- --------------
Stockholders' Equity $2,084.5 $2,247.4
--------------------- ------------- --------------
Book value per share $20.4 $22.0
--------------------- ------------- --------------
总债务*
--数百万墨西哥比索--
截至21年9月30日,截至20年12月31日
--------------------- ------------- --------------
短期债务180.8美元129.1美元
--------------------- ------------- --------------
长期债务73.8 53.6
--------------------- ------------- --------------
债务总额254.6美元182.7美元
--------------------- ------------- --------------
现金76.2 143.0
--------------------- ------------- --------------
净债务178.4美元39.7亿美元
--------------------- ------------- --------------
短期租约$64.1$58.2
--------------------- ------------- --------------
长期租约253.6 297.3
--------------------- ------------- --------------
租赁国际财务报告准则16$317.7$355.5
--------------------- ------------- --------------
股东权益$2,084.5$2,247.4
--------------------- ------------- --------------
每股账面价值20.4美元22.0美元
--------------------- ------------- --------------

*Book Value

*账面价值

Headquartered in Mexico City, Grupo TMM is a Mexican Maritime-management transportation and logistics Company. Through its branch offices and network of subsidiary companies, Grupo TMM provides a dynamic combination of Maritime services port management and logistics. For more information on Grupo TMM, please visit the company's web site at www.grupotmm.com. The site offers Spanish/English language options.

Grupo TMM总部设在墨西哥城,是一家墨西哥海运管理运输和物流公司。通过其分支机构和子公司网络,Grupo TMM提供海运服务、港口管理和物流的动态组合。欲了解有关Grupo TMM的更多信息,请访问该公司的网站:www.grupotmm.com。该网站提供西班牙语/英语语言选项。

Included in this press release are certain forward-looking 
statements within the meaning of Section27A of the
Securities Act of 1933, as amended, and Section 21E
of the Securities Exchange Act of 1934, as amended.
Such forward-looking statements speak only as of the
date they are made and are based on the beliefs of
the Company's management as well as on assumptions
made. Actual results could differ materially from
those included in such forward-looking statements.
Readers are cautioned that all forward-looking statements
involve risks and uncertainty. The following factors
could cause actual results to differ materially from
such forward-looking statements: global, US and Mexican
economic and social conditions; the effect of the
North American Free Trade Agreement on the level of
US-Mexico trade; the condition of the world shipping
market; the success of the Company's investment in
new businesses; risks associated with the Company's
reorganization and restructuring; the ability of the
Company to reduce corporate overhead costs; the ability
of management to manage growth and successfully compete
in new businesses; and the ability of the Company
to restructure or refinance its indebtedness. These
risk factors and additional information are included
in the Company's reports on Form 6-K and 20-F on file
with the United States Securities and Exchange Commission.
-----------------------------------------------------------
本新闻稿中包含了一些前瞻性的内容
本条例第27A条所指的陈述
修订后的1933年证券法和第21E条
经修订的1934年证券交易法。
此类前瞻性陈述仅针对
它们的制作日期是基于
公司的管理层以及假设
制造。实际结果可能与
这些前瞻性陈述中包含的信息。
敬请读者注意,所有前瞻性声明
涉及风险和不确定性。以下因素
可能导致实际结果与
这样的前瞻性声明:全球、美国和墨西哥
经济和社会状况;
北美自由贸易协定
美墨贸易;世界航运状况
市场;公司在中国投资的成功
新业务;与公司业务相关的风险
重组和重组;重组和重组的能力
公司降低企业管理费用的能力
管理人员管理增长和成功竞争的能力
在新的业务中;以及公司的能力
对其债务进行重组或再融资。这些
包括风险因素和其他信息。
在公司存档的表格6-K和20-F报告中
与美国证券交易委员会合作。
-----------------------------------------------------------

Financial tables follow

财务表格如下

                     Grupo TMM, S.A.B. and Subsidiaries 
Balance Sheet*
- Millions of Pesos -
September 30, December 31,
2021 2020
Current assets:
----------------------------------------------- ------------- ------------
Cash and cash equivalents
----------------------------------------------- ------------- ------------
Cash in cash and banks 33.5 50.1
----------------------------------------------- ------------- ------------
Cash and temporary investments 0.9 53.1
----------------------------------------------- ------------- ------------
Restricted cash 41.9 39.7
----------------------------------------------- ------------- ------------
Total cash and cash equivalents 76.2 143.0
----------------------------------------------- ------------- ------------
Accounts receivable
----------------------------------------------- ------------- ------------
Accounts receivable -- Net 379.9 228.6
----------------------------------------------- ------------- ------------
Other accounts receivable 78.7 60.8
----------------------------------------------- ------------- ------------
Taxes to be recovered 254.7 203.5
----------------------------------------------- ------------- ------------
Prepaid expenses and others current
assets 101.4 86.3
----------------------------------------------- ------------- ------------
Total current assets 891.0 722.2
Grupo TMM、S.A.B.及其子公司
资产负债表**
-数百万比索-
九月三十日,十二月三十一日,
2021 2020
流动资产:
----------------------------------------------- ------------- ------------
现金和现金等价物
----------------------------------------------- ------------- ------------
现金和银行33.5 50.1
----------------------------------------------- ------------- ------------
现金和临时投资0.9 53.1
----------------------------------------------- ------------- ------------
受限现金41.9 39.7
----------------------------------------------- ------------- ------------
现金和现金等价物合计76.2 143.0
----------------------------------------------- ------------- ------------
应收账款
----------------------------------------------- ------------- ------------
应收账款--净额379.9 228.6
----------------------------------------------- ------------- ------------
其他应收账款78.7 60.8
----------------------------------------------- ------------- ------------
须追讨的税款254.7 203.5
----------------------------------------------- ------------- ------------
预付费用和其他流动费用
资产101.4 86.3
----------------------------------------------- ------------- ------------
流动资产总额891.0 722.2
声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
    抢沙发