Controladora Vuela Compañía de Aviación, S.A.B. de C.V (VLRS) Financial Statements

Price: $5.63
Market Cap: $666.32M
Avg Volume: 729.99K
Country: MX
Industry: Airlines, Airports & Air Services
Sector: Industrials
Beta: 1.908
52W Range: $5.15-9.57
Website: Controladora Vuela Compañía de Aviación, S.A.B. de C.V

Overview of Financial Statements

Financial statements are records that provide an overview of a company's financial performance and position. There are three main types of financial statements:

  • Income Statement: Shows the company's revenue, expenses, and profit over a specific period.
  • Balance Sheet: Provides a snapshot of the company's assets, liabilities, and equity at a specific point in time.
  • Cash Flow Statement: Details the cash inflows and outflows from operating, investing, and financing activities over a period.

This page presents both annual and quarterly data for these financial statements. The charts below provide a visual representation of the key metrics from each statement, helping you to quickly understand the financial health of Controladora Vuela Compañía de Aviación, S.A.B. de C.V.


Income Statement

Revenue
Cost of Revenue
Revenue and Costs$4.00B$4.00B$3.20B$3.20B$2.40B$2.40B$1.60B$1.60B$800.00M$800.00M$0.00$0.0020162016201720172018201820192019202020202021202120222022202320232024202420252025
Operating Expenses
Operating Income
Operating Expenses & Income$2.00B$2.00B$1.60B$1.60B$1.20B$1.20B$800.00M$800.00M$400.00M$400.00M$0.00$0.00-$400.00M-$400.00M20162016201720172018201820192019202020202021202120222022202320232024202420252025
Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020 December 31, 2019 December 31, 2018 December 31, 2017 December 31, 2016 December 31, 2015
Revenue $3.14B $3.26B $2.85B $2.18B $1.11B $1.83B $1.39B $1.27B $1.13B $1.05B
Cost of Revenue $2.03B $2.75B $2.60B $1.64B $1.10B $- $1.34B $1.13B $916.22M $817.90M
Gross Profit $1.11B $505.20M $246.00M $544.61M $12.77M $1.83B $51.99M $133.00M $218.64M $234.79M
Gross Profit Ratio 35.30% 15.50% 8.64% 25.00% 1.15% 100.00% 3.74% 10.51% 19.27% 22.30%
Research and Development Expenses $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $- $145.94M $81.71M $61.51M $53.74M $54.75M $51.75M $49.06M $41.76M $917.69M
Selling and Marketing Expenses $169.00M $167.34M $124.00M $95.87M $92.52M $76.44M $76.38M $86.13M $68.22M $63.05M
Selling General and Administrative Expenses $169.00M $313.28M $124.00M $95.87M $92.52M $76.44M $76.38M $86.13M $68.22M $917.69M
Other Expenses $527.00M $-30.78M $78.00M $54.68M $1.18B $1.53B $-468.72K $215.02K $-192.73K $1.46M
Operating Expenses $696.00M $282.50M $202.00M $150.54M $1.28B $1.61B $1.43B $1.26B $1.00B $907.33M
Cost and Expenses $2.73B $3.04B $2.80B $1.79B $1.28B $1.61B $1.43B $1.26B $1.00B $907.33M
Interest Income $- $33.61M $13.00M $3.52M $36.73M $87.03M $7.76M $5.39M $109.67M $2.72M
Interest Expense $294.00M $217.26M $193.00M $138.38M $159.69M $119.85M $5.81M $44.82M $1.69M $1.26M
Depreciation and Amortization $593.00M $496.31M $417.93M $326.40M $278.51M $286.67M $25.47M $27.94M $25.90M $26.45M
EBITDA $1.01B $722.52M $477.05M $600.99M $143.59M $600.47M $260.61M $306.09M $265.54M $174.53M
EBITDA Ratio 32.02% 22.17% 2.00% 18.22% 15.45% 32.90% -1.27% 2.71% 23.60% 16.58%
Operating Income $413.00M $222.71M $34.00M $74.03M $-126.80M $317.00M $-44.80M $949.18K $132.23M $145.36M
Operating Income Ratio 13.14% 6.83% 1.19% 3.39% -11.38% 17.28% -3.22% 0.08% 11.65% 13.81%
Total Other Income Expenses Net $-231.00M $-215.27M $-176.05M $62.99M $-119.94M $-119.85M $-92.99M $-36.99M $107.97M $57.43M
Income Before Tax $182.00M $7.44M $-126.00M $132.61M $-286.49M $197.15M $-46.85M $-38.48M $240.21M $202.79M
Income Before Tax Ratio 5.79% 0.23% -4.43% 6.08% -25.72% 10.74% -3.37% -3.04% 21.17% 19.26%
Income Tax Expense $56.00M $-377.00K $-96.00M $29.02M $-70.68M $57.81M $-11.87M $-8.21M $70.33M $60.13M
Net Income $126.00M $7.82M $-30.00M $106.45M $-215.81M $139.35M $-34.98M $-30.27M $169.87M $142.67M
Net Income Ratio 4.01% 0.24% -1.05% 4.88% -19.38% 7.59% -2.52% -2.39% 14.97% 13.55%
EPS $0.11 $0.07 $-0.03 $0.09 $-0.21 $0.14 $-0.03 $-0.03 $0.17 $0.14
EPS Diluted $0.11 $0.07 $-0.03 $0.09 $-0.21 $0.14 $-0.03 $-0.03 $0.17 $0.14
Weighted Average Shares Outstanding 1.15B 115.26M 1.16B 1.17B 1.00B 1.01B 1.01B 1.01B 1.01B 1.01B
Weighted Average Shares Outstanding Diluted 1.15B 116.55M 1.17B 1.17B 1.02B 1.01B 1.01B 1.01B 1.01B 1.01B
SEC Filing Source Source Source Source Source Source Source Source Source Source

Balance Sheet

Total Assets
Total Liabilities
Total Assets and Liabilities$6.00B$6.00B$5.00B$5.00B$4.00B$4.00B$3.00B$3.00B$2.00B$2.00B$1.00B$1.00B$0.00$0.0020162016201720172018201820192019202020202021202120222022202320232024202420252025
Equity$600.00M$600.00M$500.00M$500.00M$400.00M$400.00M$300.00M$300.00M$200.00M$200.00M$100.00M$100.00M$0.00$0.0020162016201720172018201820192019202020202021202120222022202320232024202420252025
Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020 December 31, 2019 December 31, 2018 December 31, 2017 December 31, 2016 December 31, 2015
Cash and Cash Equivalents $908.00M $761.22M $704.98M $745.38M $507.81M $421.35M $298.32M $353.91M $341.30M $298.63M
Short Term Investments $46.00M $15.27M $- $- $10.35K $7.05M $3.18M $25.33M $26.23M $586.17K
Cash and Short Term Investments $954.00M $776.48M $704.98M $745.38M $507.82M $428.40M $301.50M $379.24M $367.54M $298.63M
Net Receivables $139.00M $250.60M $240.13M $106.08M $101.63M $122.52M $74.63M $73.79M $46.47M $25.19M
Inventory $17.00M $16.12M $15.76M $14.46M $14.02M $15.94M $15.13M $15.01M $11.77M $9.44M
Other Current Assets $272.00M $204.45M $105.21M $124.54M $99.89M $84.80M $65.94M $119.71M $131.75M $84.44M
Total Current Assets $1.38B $1.25B $1.07B $986.22M $725.46M $639.80M $471.87M $576.02M $581.11M $419.31M
Property Plant Equipment Net $3.54B $3.14B $2.66B $2.39B $2.09B $2.20B $294.21M $222.80M $121.87M $147.64M
Goodwill $- $- $- $- $- $- $- $- $- $-
Intangible Assets $26.00M $16.22M $13.00M $12.70M $9.63M $8.84M $9.11M $9.70M $5.50M $5.48M
Goodwill and Intangible Assets $26.00M $16.22M $13.00M $12.70M $9.63M $8.84M $9.11M $9.70M $5.50M $5.48M
Long Term Investments $- $1.68M $- $459.40M $16.39K $142.30K $0 $0 $15.65M $3.97M
Tax Assets $- $236.03M $257.00M $142.09M $157.25M $77.22M $30.19M $28.64M $26.98M $31.53M
Other Non-Current Assets $755.35M $503.08M $521.00M $25.85M $445.77M $419.83M $330.34M $316.94M $324.47M $275.74M
Total Non-Current Assets $4.32B $3.90B $3.45B $3.03B $2.70B $2.70B $663.85M $578.07M $494.48M $464.37M
Other Assets $- $- $- $- $1 $1 $1 $- $1 $-
Total Assets $5.70B $5.15B $4.52B $4.01B $3.43B $3.34B $1.14B $1.15B $1.08B $883.68M
Account Payables $164.00M $233.86M $194.86M $108.16M $112.28M $84.33M $55.23M $54.86M $41.60M $45.23M
Short Term Debt $675.00M $592.99M $447.77M $480.74M $403.18M $359.39M $61.68M $122.38M $50.74M $81.10M
Tax Payables $- $270.00M $224.00M $136.13M $112.59M $7.42M $98.35M $5.67M $33.74M $83.66M
Deferred Revenue $- $347.11M $346.00M $305.73M $294.08M $196.18M $124.08M $113.95M $105.53M $113.33M
Other Current Liabilities $931.00M $177.63M $202.89M $218.85M $150.51M $268.74M $377.23M $173.59M $169.72M $89.67M
Total Current Liabilities $1.77B $1.62B $1.42B $1.26B $1.07B $916.06M $470.32M $477.18M $404.98M $411.29M
Long Term Debt $3.20B $2.95B $2.53B $2.24B $2.08B $2.04B $117.59M $1.55B $45.52M $12.73M
Deferred Revenue Non-Current $- $- $- $5.47M $136.63M $79.61M $17.61M $12.02M $8.84M $3.43M
Deferred Tax Liabilities Non-Current $- $15.71M $17.00M $11.24M $10.04M $8.24M $56.01M $82.30M $88.66M $51.27M
Other Non-Current Liabilities $372.00M $314.56M $274.55M $186.27M $129.02M $86.35M $6.98M $1.51B $6.59M $9.77M
Total Non-Current Liabilities $3.57B $3.28B $2.82B $2.43B $2.22B $2.14B $198.19M $159.43M $149.62M $77.20M
Other Liabilities $- $- $- $1 $- $- $1 $- $1 $-
Total Liabilities $5.34B $4.90B $4.24B $3.69B $3.29B $3.05B $668.51M $636.61M $554.60M $488.49M
Preferred Stock $- $- $- $1 $1 $1 $800.32K $2 $2 $1
Common Stock $248.28M $248.28M $248.00M $167.40M $172.22M $157.01M $151.30M $151.40M $143.52M $172.18M
Retained Earnings $-5.00M $-148.08M $-106.00M $-84.77M $-193.78M $18.92M $216.80M $258.66M $286.10M $139.44M
Accumulated Other Comprehensive Income Loss $-148.00M $-128.09M $-135.00M $15.10M $-63.90M $21.51M $11.08M $19.86M $8.48M $-14.85M
Other Total Stockholders Equity $269.72M $270.49M $312.57M $368.39M $362.55M $94.53M $416.81M $410.25M $86.48M $115.49M
Total Stockholders Equity $365.00M $242.59M $277.00M $319.16M $140.54M $287.74M $467.22M $517.47M $520.99M $395.19M
Total Equity $365.00M $242.59M $277.00M $319.16M $140.54M $287.74M $467.22M $517.47M $520.99M $395.19M
Total Liabilities and Stockholders Equity $5.70B $5.15B $4.52B $4.01B $3.43B $3.34B $1.14B $1.15B $1.08B $883.68M
Minority Interest $- $- $- $- $- $- $- $- $- $-
Total Liabilities and Total Equity $5.70B $5.15B $4.52B $4.01B $3.43B $3.34B $1.14B $1.15B $1.08B $883.68M
Total Investments $46.00M $15.27M $- $459.40M $26.74K $7.19M $3.18M $25.33M $26.23M $586.17K
Total Debt $3.87B $3.54B $2.98B $2.73B $2.49B $2.25B $185.52M $177.33M $96.94M $91.70M
Net Debt $2.96B $2.78B $2.28B $1.99B $1.98B $1.83B $-112.79M $-176.59M $-244.36M $-206.93M

Cash Flow Statement

Operating Cash Flow
Investing Cash Flow
Operating and Investing Cash Flow$1.20B$1.20B$800.00M$800.00M$400.00M$400.00M$0.00$0.00-$400.00M-$400.00M-$800.00M-$800.00M20162016201720172018201820192019202020202021202120222022202320232024202420252025
Financing Cash Flow$100.00M$100.00M$0.00$0.00-$100.00M-$100.00M-$200.00M-$200.00M-$300.00M-$300.00M-$400.00M-$400.00M-$500.00M-$500.00M-$600.00M-$600.00M20162016201720172018201820192019202020202021202120222022202320232024202420252025
Breakdown December 31, 2024 December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020 December 31, 2019 December 31, 2018 December 31, 2017 December 31, 2016 December 31, 2015
Net Income $126.00M $7.82M $-132.36M $132.63M $-215.81M $139.35M $-34.98M $-30.27M $169.87M $202.79M
Depreciation and Amortization $600.85M $496.31M $417.93M $323.55M $298.93M $286.67M $25.47M $27.94M $25.90M $26.45M
Deferred Income Tax $- $-377.00K $-52.14M $72.60M $-70.68M $57.81M $-11.87M $-8.21M $70.33M $-26.66M
Stock Based Compensation $- $5.93M $709.00K $-1.27M $2.29M $1.70M $657.34K $447.20K $232.93K $246.09K
Change in Working Capital $- $21.16M $205.89M $113.71M $67.66M $-7.08M $28.45M $8.90M $5.35M $-23.65M
Accounts Receivables $- $69.61M $49.67M $-15.64M $19.78M $-16.07M $937.60K $650.20K $-5.58M $-83.78M
Inventory $- $-359.00K $-1.36M $-849.51K $1.15M $-244.84K $-123.19K $-2.60M $-3.90M $-1.35M
Accounts Payables $- $36.62M $86.63M $6.11M $46.43M $27.36M $713.47K $9.98M $6.57M $17.40M
Other Working Capital $- $-84.70M $70.95M $124.09M $297.05K $-18.13M $26.93M $863.59K $8.26M $44.09M
Other Non Cash Items $363.15M $198.98M $121.84M $134.29M $160.73M $21.55M $21.05M $51.39M $-224.45M $-1.44M
Net Cash Provided by Operating Activities $1.09B $729.83M $614.00M $775.38M $243.28M $500.00M $28.79M $50.20M $47.24M $177.74M
Investments in Property Plant and Equipment $- $-480.75M $-353.94M $-194.41M $-175.98M $-188.01M $-143.19M $-135.06M $-109.06M $-84.31M
Acquisitions Net $- $- $- $-78.03K $- $- $- $- $- $-
Purchases of Investments $- $-17.01M $- $- $- $- $- $- $- $-
Sales Maturities of Investments $- $- $- $- $- $- $- $- $- $-
Other Investing Activities $-472.00M $35.72M $222.94M $61.05M $172.58M $88.78M $72.49M $19.97M $107.71M $49.50M
Net Cash Used for Investing Activities $-472.00M $-462.04M $-131.00M $-133.44M $-3.41M $-99.23M $-70.70M $-115.09M $-1.35M $-34.82M
Debt Repayment $- $-170.18M $-490.21M $-421.20M $-275.84M $-258.75M $-289.81M $-179.21M $8.92M $7.14M
Common Stock Issued $- $1.02M $- $- $164.40M $- $- $- $- $1.36M
Common Stock Repurchased $- $-4.02M $-5.24M $-4.37M $-4.51M $-3.98M $-2.92M $-514.66K $-821.73K $-
Dividends Paid $- $- $- $- $- $- $- $- $- $-
Other Financing Activities $-472.00M $-41.21M $-17.55M $-9.62M $-13.61M $-11.77M $-9.82M $-5.33M $-7.58M $-3.37M
Net Cash Used Provided by Financing Activities $-472.00M $-214.39M $-513.00M $-431.35M $-177.00M $-274.49M $-11.97M $71.20M $519.59K $3.77M
Effect of Forex Changes on Cash $-12.00M $8.91M $1.00M $41.14M $43.86M $-14.49M $-1.49M $-12.43M $45.97M $20.79M
Net Change in Cash $133.85M $62.30M $-29.00M $251.73M $106.73M $111.78M $-55.36M $-6.13M $92.38M $167.49M
Cash at End of Period $908.00M $774.15M $712.00M $745.38M $507.81M $421.35M $298.32M $353.91M $341.30M $298.63M
Cash at Beginning of Period $774.15M $711.85M $741.00M $493.65M $401.09M $309.57M $353.67M $360.04M $248.92M $131.15M
Operating Cash Flow $1.09B $729.83M $614.00M $775.38M $243.28M $500.00M $28.79M $50.20M $47.24M $177.74M
Capital Expenditure $- $-491.14M $-353.94M $-194.41M $-175.98M $-188.01M $-143.19M $-135.06M $-109.06M $-84.31M
Free Cash Flow $1.09B $238.69M $260.06M $580.97M $67.30M $311.99M $-114.40M $-84.87M $-61.82M $93.43M