Concept |
3T’20 |
3T’19 |
% cambio |
Consolidated Net Sales |
476 |
554 |
-14.1% |
Flat Glass |
428 |
497 |
-13.9% |
Containers |
49 |
57 |
-13.0% |
Sales cost |
361 |
407 |
-11.2% |
Gross profit |
115 |
147 |
-21.9% |
Gross margin |
24.2% |
26.6% |
-2.4 pp |
General expenses |
76 |
95 |
-20.6% |
General Expenses% Sales |
15.9% |
17.2% |
-1.3 pp |
EBIT (1) |
39 |
52 |
-24.3% |
EBIT margin |
-8.3% |
9.4% |
-1.1 pp |
EBITDA Flow (1) |
77 |
93 |
-17.4% |
Flat Glass |
63 |
75 |
-16.1% |
Containers |
12 |
15 |
-22.3% |
EBITDA Flow margin |
-16.1% |
16.8% |
-0.7 pp |
Net profit |
14 |
40 |
-66.0% |
Cash Flow from operations before Capex |
83 |
72 |
-15.4% |
Total Debt |
746 |
714 |
-4.4% |
Short term |
126 |
14 |
789.3% |
Long term |
619 |
700 |
-11.5% |
Cash and cash equivalents |
262 |
125 |
109.0% |
Total Net Debit |
483 |
588 |
-17.8% |