Pacific Airport Group Financial Summary

Complete Filing Data

Pacific Airport Group reported Reduction Of Issued Capital of $7.00 billion for FY2024.

All values from 10-K, 20-F, and 10-Q filings on SEC EDGAR, organized by financial statement. Scroll each table horizontally for the full history. Blank cells mean Pacific Airport Group did not report that metric for that period in XBRL — often because accounting standards changed which tag a company files under (for example, most companies moved revenue to the ASC-606 tag in 2018), so a metric may continue in a different row. Rows marked * merge those successor tags into one continuous series, preferring the audited value from the newest-standard tag where periods overlap.

Income Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015
Tax Expense Other Than Income Tax Expense$2.67B$2.53B$1.90B$1.23B$908.3M$1.32B$1.08B$944.2M$764.3M$483.1M
Revenue From Non Aeronautical Services$7.67B$6.17B$5.20B$3.66B$2.45B$3.77B$3.18B$2.77B$2.39B$1.85B
Revenue From Improvements To Concession Assets$6.83B$7.79B$4.85B$3.37B$2.19B$1.91B$1.44B$1.31B$1.68B$838.6M
Revenue From Aeronautical Services$19.11B$19.27B$17.34B$11.98B$7.23B$10.55B$9.50B$8.28B$7.04B$5.42B
Profit Loss From Operating Activities$15.05B$15.14B$13.81B$8.86B$3.82B$8.02B$7.24B$6.28B$5.23B$4.09B
Profit Loss From Continuing Operations$8.88B$9.69B$9.19B$6.04B$1.92B$5.45B$5.14B$4.73B$3.35B$2.77B
Profit Loss Before Tax$12.12B$12.76B$12.28B$7.83B$2.39B$7.35B$7.01B$6.17B$4.62B$3.62B
Profit Loss Attributable To Owners Of Parent$8.61B$9.54B$9.01B$6.00B$1.97B$5.36B$5.04B$4.65B$3.28B$2.73B
Profit Loss Attributable To Noncontrolling Interests$263.3M$146.7M$172.3M$46.2M-$50.2M$94.6M$101.3M$82.0M$71.7M$44.8M
Profit Loss$8.88B$9.69B$9.19B$6.04B$1.92B$5.45B$5.14B$4.73B$3.35B$2.77B
Other Comprehensive Income Net Of Tax Exchange Differences On Translation$1.13B-$893.7M-$488.3M$30.8M$580.3M-$269.4M-$103.6M-$226.5M$773.5M$482.4M
Other Comprehensive Income$1.08B-$979.5M-$378.5M$546.8M$264.6M-$442.9M-$103.7M-$229.1M$784.2M$482.4M
Income Taxes Paid Refund$3.47B$4.50B$4.36B$1.02B$812.0M$2.16B$2.26B$1.82B$1.45B$930.7M
Income Tax Expense Continuing Operations$3.24B$3.07B$3.09B$1.79B$467.1M$1.89B$1.87B$1.44B$1.27B$847.3M
Cost Of Improvements To Concession Assets$6.83B$7.79B$4.85B$3.37B$2.19B$1.91B$1.44B$1.31B$1.68B$838.6M
Comprehensive Income Attributable To Owners Of Parent$9.57B$8.64B$8.66B$6.51B$2.16B$4.94B$4.94B$4.45B$3.95B$3.14B
Comprehensive Income Attributable To Noncontrolling Interests$385.8M$68.8M$142.7M$80.2M$18.7M$74.8M$98.4M$50.3M$189.5M$111.7M
Comprehensive Income$9.95B$8.71B$8.81B$6.59B$2.18B$5.01B$5.03B$4.50B$4.14B$3.25B
Changes In Recoverable Income Tax And Other Current Asset$173.5M-$469.8M$601.4M-$299.8M-$814.3M-$28.6M$93.8M$9.3M$116.2M-$27.2M
Adjustments For Reconcile Profit Loss$20.06B$18.53B$16.77B$11.54B$5.98B$10.34B$9.45B$8.04B$6.84B$5.17B
Adjustments For Interest Expense$4.20B$3.44B$2.36B$1.69B$1.39B$1.14B$896.2M$600.8M$357.1M$198.6M

Balance Sheet

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014
Property Plant And Equipment$4.82B$4.55B$3.93B$3.09B$2.15B$1.91B$1.91B$1.66B$1.63B$1.56B$812.7M
Cash And Cash Equivalents$13.47B$10.06B$12.37B$13.33B$14.44B$7.50B$6.15B$7.73B$5.19B$3.00B$1.60B
Retained Earnings$16.96B$8.79B$9.19B$13.93B$11.91B$9.94B$9.55B$9.00B$7.56B$6.64B
Deferred Tax Assets$8.13B$7.34B$6.81B$6.23B$5.97B$5.65B$5.47B$5.35B$5.07B$4.93B$4.85B
Trade And Other Current Payables To Trade Suppliers$3.82B$2.56B$2.47B$3.15B$1.19B$1.02B$1.02B$1.07B$1.09B$637.2M
Purchase Of Asset And Concession Assets On Account$1.19B$901.5M$853.5M$1.43B$540.9M$286.4M$318.5M$409.3M$441.5M$221.2M
Other Current Assets$283.9M$149.9M$113.9M$76.6M$62.7M$96.3M$73.2M$54.1M$56.2M$55.4M
Other Assets$339.3M$287.2M$276.1M$135.7M$219.3M$135.0M$98.5M$84.9M$76.5M$68.9M
Noncurrent Liabilities$36.58B$34.41B$33.76B$25.53B$23.25B$16.23B$15.61B$15.15B$11.71B$4.66B
Liabilities$57.03B$46.50B$40.68B$34.89B$28.51B$20.91B$17.78B$17.44B$13.65B$9.32B
Improvements To Concession Assets Net$36.61B$29.00B$20.26B$16.86B$13.76B$12.06B$10.98B$9.94B$8.91B$7.29B
Equity Attributable To Owners Of Parent$22.35B$19.78B$18.64B$19.29B$21.79B$19.63B$20.71B$21.03B$21.33B$21.27B
Equity And Liabilities$81.65B$67.44B$60.51B$55.32B$51.36B$41.58B$39.55B$39.52B$36.05B$31.47B
Deferred Tax Expense Income-$749.3M-$544.7M-$759.6M-$530.1M-$255.4M-$164.3M-$248.5M-$408.9M-$266.3M-$182.7M
Current Trade Receivables$2.70B$2.25B$2.37B$1.72B$1.27B$1.48B$1.40B$997.4M$607.5M$159.2M
Current Tax Liabilities$721.0M$138.8M$983.9M$1.27B$30.8M$152.9M$191.8M$327.3M$296.6M$197.5M
Current Tax Assets$1.01B$1.25B$658.1M$1.27B$1.07B$291.6M$220.1M$198.6M$146.7M$175.6M
Current Liabilities$20.45B$12.09B$6.92B$9.36B$5.26B$4.68B$2.17B$2.30B$1.94B$4.66B
Current Assets$17.46B$13.71B$15.51B$16.40B$16.85B$9.37B$7.84B$8.98B$6.00B$3.39B
Concession Taxes Payable Current$801.5M$608.5M$259.1M$268.1M$155.7M$394.4M$348.0M$302.6M$250.3M$117.8M
Changes In Concession Taxes Payable-$540.6M$374.9M-$10.7M$94.9M-$253.6M$57.4M$43.7M$55.4M$107.5M$79.1M
Cash Flows From Used In Operations$20.15B$18.44B$16.88B$12.11B$4.38B$10.33B$9.50B$7.99B$7.09B$5.84B
Cash Flows From Used In Operating Activities$16.67B$13.93B$12.52B$11.10B$3.57B$8.16B$7.24B$6.17B$5.64B$4.90B
Cash Flows From Used In Investing Activities-$8.78B-$11.09B-$8.48B-$4.97B-$3.22B-$2.59B-$2.55B-$1.94B-$1.82B-$3.67B
Cash Flows From Used In Financing Activities-$5.02B-$4.79B-$4.93B-$7.35B$6.29B-$4.23B-$6.17B-$1.69B-$1.77B$166.2M
Assets$81.65B$67.44B$60.51B$55.32B$51.36B$41.58B$39.55B$39.52B$36.05B$31.47B
Amounts Payable Related Party Transactions$704.6M$722.9M$621.7M$394.2M$157.0M$355.4M$298.4M$252.6M$198.5M$149.6M
Adjustments For Increase Decrease In Trade Account Payable$739.0M-$213.3M-$139.8M$959.2M-$85.7M$11.6M$114.4M$24.6M$205.8M$301.5M
Adjustments For Increase Decrease In Employee Benefit Liabilities$35.1M$45.5M$35.5M$3.3M$31.4M$22.7M$7.5M$16.7M$14.7M$13.4M

Cash Flow Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015
Increase Decrease In Current Tax Liability Asset-$84.6M$47.2M-$23.2M$42.0M-$43.3M$33.5M-$90.8M-$49.2M$1.8M$14.2M
Increase Decrease In Cash And Cash Equivalents$3.41B-$2.32B-$961.4M-$1.11B$6.94B$1.35B-$1.58B$2.54B$2.19B$1.40B
Increase Decrease In Cash-$18.3M$101.2M$227.5M$237.2M-$198.4M$57.0M$45.8M$54.1M$48.9M$24.7M

Per-Share & Share Counts

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015
Weighted Average Shares505.28B505.28B508.37B519.37B525.58B525.58B525.58B525.58B525.6M525.6M

Other Metrics

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2024FY2023FY2022FY2021FY2020FY2019FY2018FY2017FY2016FY2015FY2014
Reduction Of Issued Capital$7.00B$6.01B$1.59B$1.25B$1.75B$1.75B$1.41B
Capital Redemption Reserve$2.50B$2.50B$2.50B$5.53B$3.28B$3.28B$2.98B$2.73B$2.68B$2.58B
Defined Benefit Obligation At Present Value$353.5M$280.4M$216.9M$193.1M$183.1M$144.7M$120.6M$113.0M$92.6M$93.4M$80.0M
Treasury Shares0.000.002.00B3.00B1.73B1.73B1.73B1.73B1.73B1.73B
Statutory Reserve$920.2M$478.2M$34.1M$1.59B$1.59B$1.59B$1.35B$1.12B$960.9M$840.7M
Reserve Of Exchange Differences On Translation$769.8M-$240.3M$575.5M$1.03B$1.04B$526.0M$775.6M$876.3M$1.07B$415.5M
Purchase Of Asset And Advance Payment To Suppliers$7.84B$10.44B$8.43B$4.95B$3.16B$2.48B$2.50B$1.92B$1.86B$1.13B
Professional Fees Expense$845.2M$851.3M$756.6M$526.2M$289.2M$461.5M$411.5M$357.5M$301.8M$236.5M
Operating Expense$18.56B$18.09B$13.57B$10.16B$8.05B$8.21B$6.88B$6.08B$5.87B$4.02B
Noncurrent Prepayments$1.16B$2.11B$2.56B$923.8M$464.7M$241.2M$226.5M$124.0M$308.2M$253.5M
Noncontrolling Interests$2.28B$1.16B$1.19B$1.14B$1.06B$1.04B$1.06B$1.05B$1.07B$882.1M
Longterm Borrowings$4.10B$4.48B$6.23B$5.20B$6.20B$4.44B$4.54B$4.11B$4.53B$421.4M
Issued Capital$1.19B$8.20B$8.20B$170.4M$6.19B$6.19B$7.78B$9.03B$10.78B$12.53B
Interest Paid Classified As Financing Activities$4.18B$3.66B$2.23B$1.66B$1.41B$1.14B$903.7M$579.1M$345.5M$177.8M
Gains Losses On Exchange Differences On Translation Recognised In Profit Or Loss-$119.8M-$340.7M$81.4M$238.3M-$330.5M$88.8M$199.7M$99.1M-$500.9M-$338.4M
Finance Income Cost-$2.93B-$2.38B-$1.54B-$1.03B-$1.43B-$671.1M-$236.0M-$99.4M-$603.0M-$456.8M
Finance Income$1.29B$1.40B$836.0M$420.3M$410.5M$665.8M$576.7M$420.7M$279.6M$90.9M
Finance Costs$4.10B$3.44B$2.46B$1.69B$1.51B$1.43B$1.01B$619.2M$381.7M$209.3M
Depreciation And Amortisation Expense$3.06B$2.55B$2.31B$2.05B$2.00B$1.78B$1.57B$1.44B$1.35B$1.16B
Deposits Received In Guarantee$87.7M$108.2M$109.1M$89.9M-$456.8M$26.7M$43.1M$147.7M$204.0M$128.3M
Deposits From Customers$1.14B$1.02B$917.0M$788.4M$696.1M$1.14B$1.13B$1.08B$936.8M$725.4M
Current Tax Expense Income$3.99B$3.62B$3.85B$2.32B$722.5M$2.06B$2.12B$1.85B$1.53B$1.03B
Airport Concessions Net$9.62B$8.78B$9.67B$10.33B$10.65B$10.82B$11.41B$11.75B$12.38B$12.24B
Adjustments For Unrealised Foreign Exchange Losses Gains$519.7M-$312.0M-$261.3M-$5.4M$57.8M-$111.5M$10.8M-$172.8M$549.8M$354.5M

Most recent annual filing with the SEC: April 24, 2025

Data sourced from SEC EDGAR public filings as of August 5, 2026.