AMERICA MOVIL SAB DE CV/ AMX Financial Statement Data


2025 Q2

Submissions

Field Row 1 Row 2
adsh 0001140361-25-018954 0001193125-25-077049
cik 1129137 1129137
name AMERICA MOVIL SAB DE CV/ AMERICA MOVIL SAB DE CV/
sic 4813 4813
countryba MX MX
stprba
cityba MEXICO DF MEXICO DF
zipba 11529 11529
bas1 LAGO ZURICH 245 LAGO ZURICH 245
bas2 COLONIA GRANADA AMPLIACION COLONIA GRANADA AMPLIACION
baph 5255-2581-4449 5255-2581-4449
countryma MX MX
stprma
cityma MEXICO DF MEXICO DF
zipma 11529 11529
mas1 LAGO ZURICH 245 LAGO ZURICH 245
mas2 COLONIA GRANADA AMPLIACION COLONIA GRANADA AMPLIACION
countryinc MX MX
stprinc
ein 000000000 000000000
former AMERICA MOVIL SA DE CV/ AMERICA MOVIL SA DE CV/
changed 20010119 20010119
afs 1-LAF 1-LAF
wksi 1 1
fye 1231 1231
form 20-F 20-F/A
period 20241231 20231231
fy 2024 2023
fp FY FY
filed 20250514 20250410
accepted 2025-05-14 16:29:00.0 2025-04-09 21:42:00.0
prevrpt 0 0
detail 1 1
instance ef20044005_20f_htm.xml d806660d20fa_htm.xml
nciks 1 1
aciks

Description
Field Name Field Description
adsh Accession Number. The 20-character string formed from the 18-digit number assigned by the SEC to each EDGAR submission.
cik Central Index Key (CIK). Ten digit number assigned by the SEC to each registrant that submits filings.
name Name of registrant. This corresponds to the name of the legal entity as recorded in EDGAR as of the filing date.
sic Standard Industrial Classification (SIC). Four digit code assigned by the SEC as of the filing date, indicating the registrant’s type of business.
countryba The ISO 3166-1 country of the registrant's business address.
stprba The state or province of the registrant’s business address, if field countryba is US or CA.
cityba The city of the registrant's business address.
zipba The zip code of the registrant’s business address.
bas1 The first line of the street of the registrant’s business address.
bas2 The second line of the street of the registrant’s business address.
baph The phone number of the registrant’s business address.
countryma The ISO 3166-1 country of the registrant's mailing address.
stprma The state or province of the registrant’s mailing address, if field countryma is US or CA.
cityma The city of the registrant's mailing address.
zipma The zip code of the registrant’s mailing address.
mas1 The first line of the street of the registrant’s mailing address.
mas2 The second line of the street of the registrant’s mailing address.
countryinc The ISO 3166-1 country of incorporation for the registrant.
stprinc The state or province of incorporation for the registrant, if countryinc is US or CA.
ein Employee Identification Number, 9 digit identification number assigned by the Internal Revenue Service to business entities operating in the United States.
former Most recent former name of the registrant, if any.
changed Date of change from the former name, if any.
afs Filer status with the SEC at the time of submission:
1-LAF=Large Accelerated, 2-ACC=Accelerated, 3-SRA=Smaller Reporting Accelerated, 4-NON=Non-Accelerated, 5-SML=Smaller Reporting Filer, NULL=not assigned.
wksi Well Known Seasoned Issuer (WKSI). An issuer that meets specific SEC requirements at some point during a 60-day period preceding the date the issuer satisfies its obligation to update its shelf registration statement.
fye Fiscal Year End Date, rounded to nearest month-end.
form The submission type of the registrant’s filing.
period Balance Sheet Date, rounded to nearest month-end.
fy Fiscal Year Focus (as defined in the EDGAR XBRL Guide Ch. 3.1.8).
fp Fiscal Period Focus (as defined in the EDGAR XBRL Guide Ch. 3.1.8) within Fiscal Year.
filed The date of the registrant’s filing with the Commission.
accepted The acceptance date and time of the registrant’s filing with the Commission.
prevrpt Previous Report – TRUE indicates that the submission information was subsequently amended.
detail TRUE indicates that the XBRL submission contains quantitative disclosures within the footnotes and schedules at the required detail level (e.g., each amount).
instance The name of the submitted XBRL Instance Document. The name often begins with the company ticker symbol.
nciks Number of Central Index Keys (CIK) of registrants (i.e., business units) included in the consolidating entity’s submitted filing.
aciks Additional CIKs of co-registrants included in a consolidating entity’s EDGAR submission, separated by spaces. If there are no other co-registrants (i.e., nciks=1), the value of aciks is NULL. For a very small number of filers, the entire list of co-registrants is too long to fit in the field. Where this is the case, users should refer to the complete submission file for all CIK information.

Numbers

adsh ddate tag value uom qtrs version segments coreg footnote
0001140361-25-018954 20241231 Deferred Tax Liabilities 27731694000.0000 MXN 0 ifrs/2024
0001193125-25-077049 20231231 Adjustments For Amortisation Expense 1064000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Decrease Increase In Other Assets -93000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20211231 Adjustments For Decrease Increase In Prepaid Expenses -872738000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Decrease Increase In Trade And Other Receivables -19201698000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Depreciation Expense 7921000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20221231 Adjustments For Increase Decrease In Employee Profit Sharing -2935880000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20231231 Adjustments For Increase Decrease In Employee Profit Sharing -3316540000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20231231 Adjustments For Interest Expense 2637000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20221231 Adjustments For Interest Income 4823579000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Asset Retirement Obligations 10799997000.0000 MXN 0 0001193125-25-077049
0001193125-25-077049 20211231 Assets 210944575000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20221231 Assets 101143182000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20221231 Assets 96321649000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001193125-25-077049 20221231 Assets 104769670000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001193125-25-077049 20221231 Assets 1042849460000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001193125-25-077049 20231231 Assets 98293206000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001193125-25-077049 20231231 Assets 115103155000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001193125-25-077049 20201231 Cash And Cash Equivalents 35917907000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20221231 Cash And Cash Equivalents 1995000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20231231 Cash And Cash Equivalents 1574000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20211231 Cash Flows From Used In Financing Activities -177366249000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Cash Flows From Used In Investing Activities -76520944000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Comprehensive Income 76926310000.0000 MXN 4 ifrs/2023 Components Of Equity= Retained Earnings;
0001193125-25-077049 20231231 Comprehensive Income 3621780000.0000 MXN 4 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20231231 Comprehensive Income Attributable To Noncontrolling Interests 47000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Current Borrowings And Current Portion Of Noncurrent Borrowings 9528000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20231231 Current Deferred Income Including Current Contract Liabilities 27494667000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20221231 Current Lease Liabilities 32902237000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Current Liabilities 34406225000.0000 MXN 0 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20221231 Current Payables On Social Security And Taxes Other Than Income Tax 33887645000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Current Tax Liabilities Current 1747000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20221231 Debt Instruments At Fair Value Through Other Comprehensive Income 6981149000.0000 MXN 0 0001193125-25-077049
0001193125-25-077049 20231231 Debt Instruments At Fair Value Through Other Comprehensive Income 883000000.0000 USD 0 0001193125-25-077049
0001193125-25-077049 20221231 Depreciation And Amortisation Expense 158633786000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Depreciation And Amortisation Expense 26640899000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001193125-25-077049 20231231 Dividends Paid 30912348000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Dividends Received 2628600000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents -5258787000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20201231 Equity -113607942000.0000 MXN 0 ifrs/2023 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001193125-25-077049 20211231 Equity 447331985000.0000 MXN 0 ifrs/2023 Components Of Equity= Retained Earnings;
0001193125-25-077049 20221231 Equity 64024569000.0000 MXN 0 ifrs/2023 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20221231 Equity 19389915000.0000 MXN 0 ifrs/2023 Components Of Equity= Revaluation Surplus;
0001193125-25-077049 20221231 Equity Attributable To Owners Of Parent 29173281000.0000 MXN 0 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20211231 Goodwill 4688154000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001193125-25-077049 20221231 Goodwill 14186723000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20221231 Goodwill 215381000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20231231 Goodwill 29437800000.0000 MXN 0 ifrs/2023 Geographical Areas= B R;
0001193125-25-077049 20231231 Goodwill 17463394000.0000 MXN 0 ifrs/2023 Geographical Areas= P R;
0001193125-25-077049 20231231 Impairment Of Joint Venture 4677782000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20211231 Income Tax Expense Continuing Operations 1951409000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001193125-25-077049 20211231 Income Tax Expense Continuing Operations -1168564000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001193125-25-077049 20220930 Income Tax Expense Continuing Operations -1805500000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Joint Ventures= Joint Ventures;
0001193125-25-077049 20221231 Income Tax Expense Continuing Operations -286202000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001193125-25-077049 20221231 Income Tax Expense Continuing Operations 2767673000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20231231 Income Tax Expense Continuing Operations 1674363000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20231231 Income Tax Expense Continuing Operations 2785214000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20211231 Increase Decrease In Cash And Cash Equivalents Before Effect Of Exchange Rate Changes 4294445000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Increase Decrease Other Acquisition Of Non Controlling Interests And Other -34626000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20221231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings -2165706000.0000 MXN 4 ifrs/2023 Components Of Equity= Revaluation Surplus;
0001193125-25-077049 20211231 Interest Expense 35738305000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Interest Expense 15875138000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001193125-25-077049 20211231 Interest Expense 2240707000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001193125-25-077049 20221231 Interest Expense -20007408000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20221231 Interest Expense 860572000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001193125-25-077049 20221231 Interest Expense 316945000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001193125-25-077049 20221231 Interest Expense 3342459000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20231231 Interest Expense 1735648000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20231231 Interest Expense 113909000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001193125-25-077049 20231231 Interest Expense 2637000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Interest Paid Classified As Financing Activities 1719000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20220630 Inventories 169851000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20221231 Inventories 23995133000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20211231 Liabilities 27977789000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment; Discontinued operations (ClaroVTR joint venture)
0001193125-25-077049 20221231 Liabilities -279596630000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20231231 Liabilities 628519912000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001193125-25-077049 20231231 Noncurrent Lease Liabilities 14118209000.0000 MXN 0 ifrs/2023 Maturity= Later Than Four Years And Not Later Than Five Years;
0001193125-25-077049 20231231 Noncurrent Liabilities 56285251000.0000 MXN 0 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20211231 Other Comprehensive Income 7859449000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -7134153000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity And Debtinvestment -4707276000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20221231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -4599407000.0000 MXN 4 ifrs/2023 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001193125-25-077049 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -107463000.0000 MXN 4 ifrs/2023 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -223000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation Net Off Deferred Tax 497628000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Revaluation Surplus;
0001193125-25-077049 20221231 Other Expense By Function 5010379000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Other Noncurrent Financial Assets 39581622000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Payments From Changes In Ownership Interests In Subsidiaries 371000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20211231 Profit Before Income Tax From Continuing Operations 104807649000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20211231 Profit Loss 196326114000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Profit Loss 5347004000.0000 MXN 4 ifrs/2023 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20231231 Profit Loss Attributable To Noncontrolling Interests 277000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Profit Loss Before Tax 6827000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Profit Loss Before Taxes 115333645000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20211231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 4746847000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001193125-25-077049 20221231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 10254969000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001193125-25-077049 20231231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 76110617000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Profit Loss From Discontinued Operations 124235942000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity -6719015000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Property Plant And Equipment 63324666000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Construction In Process And Advances Plant Suppliers;
0001193125-25-077049 20211231 Property Plant And Equipment 152140132000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Other Property Plant And Equipment;
0001193125-25-077049 20221231 Property Plant And Equipment 1026018942000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Network In Operation And Equipment;
0001193125-25-077049 20231231 Property Plant And Equipment 40399550000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Land And Buildings;
0001193125-25-077049 20231231 Property Plant And Equipment 37213000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20221231 Purchase Of Intangible Assets Classified As Investing Activities 11661530000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Purchase Of Property Plant And Equipment Classified As Investing Activities 146192426000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Purchase Of Treasury Shares 36761029000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Repayments Of Borrowings Classified As Financing Activities 145340377000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Revaluation Surplus Recycling Of Assets By Spinoff Net Of Deferred Tax -79806000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20231231 Revaluation Surplus Recycling Of Assets By Spinoff Net Of Deferred Tax 4911409000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Retained Earnings;
0001193125-25-077049 20221231 Revenue 34516687000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001193125-25-077049 20231231 Revenue 101832068000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20211231 Revenue From Interest 116031000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20221231 Revenue From Interest -20733209000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20221231 Revenue From Interest 624304000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001193125-25-077049 20231231 Revenue From Interest 4252205000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001193125-25-077049 20231231 Revenue From Interest 621068000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001193125-25-077049 20231231 Revenue From Interest 392951000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20211231 Revenue From Rendering Of Services 2667497000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20201231 Rightofuse Assets 12205435000.0000 MXN 0 ifrs/2023 Classes Of Assets= Property;
0001193125-25-077049 20211231 Rightofuse Assets 90372393000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20221231 Rightofuse Assets 6432009000.0000 MXN 0 ifrs/2023 Classes Of Assets= Office Equipment;
0001193125-25-077049 20231231 Rightofuse Assets 6637432000.0000 MXN 0 ifrs/2023 Classes Of Assets= Property;
0001193125-25-077049 20231231 Share Of Profit Loss Of Associates Accounted For Using Equity Method -5371824000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20220630 Trade And Other Current Payables To Related Parties 1159000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20231231 Valuation Of Derivatives Interest Cost From Labor Obligations And Other Financial Items Net -26814668000.0000 MXN 4 0001193125-25-077049
0001140361-25-018954 20221231 Adjustments For Decrease Increase In Financial Instruments And Other -2353920000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20231231 Adjustments For Decrease Increase In Inventories 2832978000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Adjustments For Decrease Increase In Prepaid Expenses 111000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Adjustments For Decrease Increase In Receivables From Related Parties 758301000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20241231 Adjustments For Decrease Increase In Trade And Other Receivables -206000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Adjustments For Employee Profit Sharing 3637813000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20231231 Adjustments For Employee Profit Sharing 3938274000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20231231 Adjustments For Gain Loss On Disposal Of Investments In Subsidiaries Joint Ventures And Associates 0.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Adjustments For Gain Loss On Disposal Of Investments In Subsidiaries Joint Ventures And Associates 0.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Adjustments For Gain Loss On Disposals Property Plant And Equipment -935644000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Adjustments For Gain Loss On Disposals Property Plant And Equipment -264769000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Adjustments For Gain Loss On Valuation Of Derivative Financial Instruments Capitalized Interest Expense And Other Net -17072520000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20241231 Adjustments For Gain Loss On Valuation Of Derivative Financial Instruments Capitalized Interest Expense And Other Net 3672093000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20241231 Adjustments For Increase Decrease In Deferred Income Including Contract Liabilities 135000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Adjustments For Interest Expense 41258803000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Adjustments For Unrealised Foreign Exchange Losses Gains -20008610000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Assets 102609435000.0000 MXN 0 ifrs/2024 Categories Of Related Parties= Sitios Latam;
0001140361-25-018954 20221231 Basic Earnings Loss Per Share From Continuing Operations 1.3000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Cash Flows From Used In Financing Activities -73348287000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Cash Flows From Used In Investing Activities -6376000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Cash Flows From Used In Operating Activities Discontinued Operations -1214025000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Cash Flows From Used In Operating Activities Discontinued Operations 0.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Cash Flows From Used In Operating Activities Discontinued Operations 0.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Comprehensive Income 1612938000.0000 MXN 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20221231 Comprehensive Income 78325097000.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20231231 Comprehensive Income 793615000.0000 MXN 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20231231 Comprehensive Income -36676031000.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20231231 Comprehensive Income Attributable To Noncontrolling Interests 1507424000.0000 MXN 4 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20241231 Comprehensive Income Attributable To Noncontrolling Interests 618000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Comprehensive Income From Continuing Operations 35372469000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Comprehensive Income From Discontinued Operations 0.0000 USD 4 ifrs/2024
0001140361-25-018954 20220630 Cost Of Sales 1403311000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20221231 Cost Of Sales 330532450000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Current Borrowings And Current Portion Of Noncurrent Borrowings 65141774000.0000 MXN 0 ifrs/2024 Borrowings By Name= Line Of Credit1;
0001140361-25-018954 20241231 Current Borrowings And Current Portion Of Noncurrent Borrowings 47179504000.0000 MXN 0 ifrs/2024 Borrowings By Name= Senior Notes One;
0001140361-25-018954 20231231 Current Lease Liabilities 24375010000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Current Lease Liabilities 35436851000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Current Liabilities 24393000000.0000 USD 0 ifrs/2024
0001140361-25-018954 20231231 Depreciation And Amortisation Expense -2159547000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20231231 Depreciation And Amortisation Expense 5677627000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20231231 Depreciation And Amortisation Expense 1319462000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001140361-25-018954 20231231 Depreciation And Amortisation Expense 14333486000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20241231 Depreciation And Amortisation Expense 7215207000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20241231 Diluted Earnings Loss Per Share From Continuing Operations 0.3700 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Diluted Earnings Loss Per Share From Discontinued Operations 0.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Dividends Paid 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20241231 Dividends Paid 2021059000.0000 MXN 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20241231 Dividends Paid 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20241231 Dividends Paid Classified As Financing Activities 31007121000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20211231 Equity 389634927000.0000 MXN 0 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20211231 Equity -102507107000.0000 MXN 0 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20221231 Equity 95365329000.0000 MXN 0 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Equity 421702382000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Equity 358440000.0000 MXN 0 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20231231 Equity And Liabilities 1564185960000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Equity Attributable To Owners Of Parent 369085350000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Gains Losses On Change In Fair Value Of Derivatives -26814668000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Gains Losses On Change In Fair Value Of Derivatives 277000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Gains Losses On Exchange Differences On Translation Recognised In Profit Or Loss 14653523000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Gains Losses On Net Monetary Position 9321480000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Goodwill 9304613000.0000 MXN 0 ifrs/2024 Geographical Areas= C O;
0001140361-25-018954 20231231 Goodwill 14186723000.0000 MXN 0 ifrs/2024 Geographical Areas= D O;
0001140361-25-018954 20231231 Goodwill 9186415000.0000 MXN 0 ifrs/2024 Geographical Areas= M X;
0001140361-25-018954 20231231 Goodwill 29437800000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20231231 Goodwill 55414076000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20241231 Goodwill 9677519000.0000 MXN 0 ifrs/2024 Geographical Areas= C O;
0001140361-25-018954 20241231 Goodwill 62374446000.0000 MXN 0 ifrs/2024 Geographical Areas= Europe;
0001140361-25-018954 20241231 Goodwill 2261495000.0000 MXN 0 ifrs/2024 Geographical Areas= G T;
0001140361-25-018954 20241231 Goodwill 27897869000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20241231 Goodwill 26497724000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20241231 Income Taxes Paid Classified As Operating Activities 2374000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Income Tax Expense Continuing Operations -109785000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20221231 Income Tax Expense Continuing Operations 1708728000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20221231 Income Tax Expense Continuing Operations 30642242000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20231231 Income Tax Expense Continuing Operations 34544003000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Income Tax Expense Continuing Operations 4141240000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20221231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests -34626000.0000 MXN 4 0001140361-25-018954 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20231231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 1598873000.0000 MXN 4 0001140361-25-018954 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20241231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests -2403512000.0000 MXN 4 0001140361-25-018954 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20231231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax -4911409000.0000 MXN 4 0001140361-25-018954 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20231231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20221231 Increase Decrease In Equity Through Spin Off Effects -2582887000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20221231 Increase Decrease In Equity Through Spin Off Effects -1581315000.0000 MXN 4 0001140361-25-018954 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20221231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20221231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20221231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 2165706000.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 0.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 815693000.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20241231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 0.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill -10437674000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Licences;
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill 15251136000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Licences;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill 24189692000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Customerrelated Intangible Assets;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill 1194236000.0000 MXN 0 ifrs/2024 Classes Of Intangible Assets Other Than Goodwill= Content Rights;
0001140361-25-018954 20231231 Intangible Assets Other Than Goodwill -17228725000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Customerrelated Intangible Assets;
0001140361-25-018954 20231231 Intangible Assets Other Than Goodwill 19356045000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Licences;
0001140361-25-018954 20241231 Intangible Assets Other Than Goodwill -13426503000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Content Rights;
0001140361-25-018954 20241231 Intangible Assets Other Than Goodwill 23404781000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Customerrelated Intangible Assets;
0001140361-25-018954 20241231 Intangible Assets Other Than Goodwill 30027561000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Licences;
0001140361-25-018954 20241231 Intangible Assets Other Than Goodwill 2879961000.0000 MXN 0 ifrs/2024 Classes Of Intangible Assets Other Than Goodwill= Brand Names;
0001140361-25-018954 20221231 Interest Expense 24909724000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20231231 Interest Expense 1325213000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20241231 Interest Expense 2329634000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20241231 Interest Expense 2160180000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20241231 Interest Received Classified As Operating Activities 3489600000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Inventories 23751457000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20230731 Liabilities 2543000000.0000 EUR 0 ifrs/2024 Categories Of Related Parties= Euro Tele Sites A G Group;
0001140361-25-018954 20231231 Liabilities 1142483578000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Liabilities 37051349000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20231231 Liabilities 236678379000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20241231 Liabilities 44392804000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20241231 Longterm Borrowings 25693358000.0000 MXN 0 ifrs/2024 Maturity= Later Than Two Years And Not Later Than Three Years;
0001140361-25-018954 20241231 Longterm Provision For Decommissioning Restoration And Rehabilitation Costs 11512779000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Noncurrent Provisions For Employee Benefits 8919884000.0000 MXN 0 ifrs/2024 Geographical Areas= Europe;
0001140361-25-018954 20241231 Noncurrent Provisions For Employee Benefits 8578927000.0000 MXN 0 ifrs/2024 Geographical Areas= Europe;
0001140361-25-018954 20221231 Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Discontinuing Operations 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Issued Capital;
0001140361-25-018954 20221231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -29222333000.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 62171364000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 2418074000.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20221231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments -967609000.0000 MXN 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans 0.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -27872099000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans 0.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20241231 Payables For Purchase Of Noncurrent Assets 17224845000.0000 MXN 0 ifrs/2024 Classes Of Intangible Assets Other Than Goodwill= Operating Licenses;
0001140361-25-018954 20241231 Payments To Acquire Or Redeem Entitys Shares 1122000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Profit Loss 76110617000.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20231231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20231231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20241231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20241231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20241231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20241231 Profit Loss Attributable To Noncontrolling Interests 4689441000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Profit Loss Before Tax 62829909000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Profit Loss Before Tax 3100000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Profit Loss Before Tax Excluding Discontinued Operations 125744983000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20221231 Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity 0.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20220930 Profit Loss From Operating Activities -1827616000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Joint Ventures= Joint Ventures;
0001140361-25-018954 20221231 Profit Loss From Operating Activities -6883123000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20231231 Profit Loss From Operating Activities -5815104000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20231231 Profit Loss From Operating Activities 25618154000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20231231 Profit Loss From Operating Activities 6956209000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20211231 Property Plant And Equipment 48019609000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Land And Buildings;
0001140361-25-018954 20211231 Property Plant And Equipment 33798046000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Spare Parts For Operation Of Network;
0001140361-25-018954 20231231 Property Plant And Equipment 628650904000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Property Plant And Equipment -87776641000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation And Amortisation; Classes Of Property Plant And Equipment= Other Property Plant And Equipment;
0001140361-25-018954 20241231 Purchase Of Interests In Associates 2306271000.0000 MXN 4 ifrs/2024 Business Combinations= Business Acquisition2024;
0001140361-25-018954 20221231 Purchase Of Treasury Shares 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20231231 Purchase Of Treasury Shares 14323067000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Purchase Of Treasury Shares 14323067000.0000 MXN 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20241231 Retained Earnings From Prior Periods 24390000000.0000 USD 0 0001140361-25-018954
0001140361-25-018954 20221231 Revenue -33983349000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20221231 Revenue 105956056000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20241231 Revenue -37051975000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20221231 Revenue From Interest 18336415000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20221231 Revenue From Interest 3463000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001140361-25-018954 20231231 Revenue From Interest -29675844000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20241231 Revenue From Interest 2457448000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20241231 Revenue From Interest 572336000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20231231 Revenue From Rendering Of Services 689154325000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Revenue From Sale Of Telecommunication Equipment 6284000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Rightofuse Assets 121874096000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20221231 Rightofuse Assets 106219649000.0000 MXN 0 ifrs/2024 Classes Of Assets= Towers And Sites;
0001140361-25-018954 20221231 Rightofuse Assets 3454148000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20221231 Rightofuse Assets 14089596000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20231231 Rightofuse Assets 106582513000.0000 MXN 0 ifrs/2024 Classes Of Assets= Towers And Sites;
0001140361-25-018954 20231231 Rightofuse Assets 7983658000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20241231 Rightofuse Assets 6221840000.0000 MXN 0 ifrs/2024 Classes Of Assets= Other Property Plant And Equipment;
0001140361-25-018954 20241231 Rightofuse Assets 179797285000.0000 MXN 0 ifrs/2024 Classes Of Assets= Towers And Sites;
0001140361-25-018954 20241231 Rightofuse Assets 35137224000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20241231 Rightofuse Assets 7973991000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay Paraguay And Chile Segment;
0001140361-25-018954 20221231 Share Of Profit Loss Of Associates Accounted For Using Equity Method -39490000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20221231 Share Of Profit Loss Of Associates Accounted For Using Equity Method 31000000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20231231 Share Of Profit Loss Of Associates Accounted For Using Equity Method 0.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20241231 Share Of Profit Loss Of Associates Accounted For Using Equity Method 0.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20241231 Share Of Profit Loss Of Associates Accounted For Using Equity Method -5294505000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20241231 Share Of Profit Loss Of Associates Accounted For Using Equity Method 49924000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20241231 Share Of Profit Loss Of Associates Accounted For Using Equity Method -256000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Trade And Other Current Payables To Related Parties 6766826000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Trade And Other Current Receivables 206802150000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Trade And Other Current Receivables 221122253000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Discontinuing Operations 0.0000 USD 4 0001140361-25-018954
0001140361-25-018954 20221231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -4027757000.0000 MXN 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 55098397000.0000 MXN 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 7072967000.0000 MXN 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20221231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments -4707276000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments -967609000.0000 MXN 4 ifrs/2024 Classes Of Assets= Investments Accounted For Using Equity Method In Koninklijke K P N;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments -967609000.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 3485814000.0000 MXN 4 ifrs/2024 Classes Of Assets= Investments Accounted For Using Equity Method In Koninklijke K P N;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 172000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans 0.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -3662102000.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 82000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Payables For Purchase Of Noncurrent Assets 0.0000 MXN 0 ifrs/2024
0001140361-25-018954 20221231 Payments From Changes In Ownership Interests In Subsidiaries 39596000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20231231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20231231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20231231 Profit Loss 10929263000.0000 MXN 4 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20241231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20241231 Profit Loss 11027066000.0000 MXN 4 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20231231 Profit Loss Attributable To Noncontrolling Interests 52485000.0000 MXN 4 ifrs/2024 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001140361-25-018954 20241231 Profit Loss Attributable To Noncontrolling Interests 4344664000.0000 MXN 4 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20220630 Profit Loss Before Tax 3378869000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20231231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 76110617000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Profit Loss From Discontinued Operations 0.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity 0.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20221231 Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity 0.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20221231 Profit Loss From Operating Activities 26665816000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20221231 Profit Loss From Operating Activities 7540132000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20221231 Profit Loss From Operating Activities 14170936000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20221231 Profit Loss From Operating Activities 16172472000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20231231 Profit Loss From Operating Activities 10638985000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20241231 Profit Loss From Operating Activities 5876774000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20241231 Profit Loss From Operating Activities 16346663000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20241231 Profit Loss From Operating Activities 89445892000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20221231 Share Of Profit Loss Of Associates Accounted For Using Equity Method -1811432000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20211231 Property Plant And Equipment 1408997290000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount;
0001140361-25-018954 20211231 Property Plant And Equipment 1111714837000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Communication And Network Equipment;
0001140361-25-018954 20211231 Property Plant And Equipment 63324666000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Construction In Progress; Construction in progress includes fixed and mobile network facilities as well as satellite developments and fiber optic which is in the process of being installed.
0001140361-25-018954 20221231 Property Plant And Equipment 657226210000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20221231 Property Plant And Equipment 145240123000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Other Property Plant And Equipment;
0001140361-25-018954 20231231 Property Plant And Equipment -512944456000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation And Amortisation; Classes Of Property Plant And Equipment= Communication And Network Equipment;
0001140361-25-018954 20231231 Property Plant And Equipment 1233363817000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount;
0001140361-25-018954 20231231 Property Plant And Equipment 959410692000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Communication And Network Equipment;
0001140361-25-018954 20231231 Property Plant And Equipment 40399550000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Land And Buildings;
0001140361-25-018954 20241231 Property Plant And Equipment 713784429000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Purchase Of Intangible Assets Classified As Investing Activities 876000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20241231 Purchase Of Interests In Associates 5313282000.0000 MXN 0 ifrs/2024 Significant Investments In Subsidiaries= Claro Chile S P A;
0001140361-25-018954 20241231 Purchase Of Interests In Associates 4000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20241231 Purchase Of Investments Other Than Investments Accounted For Using Equity Method 542000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20241231 Purchase Of Property Plant And Equipment Classified As Investing Activities 113083319000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Purchase Of Treasury Shares 26201317000.0000 MXN 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20221231 Purchase Of Treasury Shares -33469000.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20221231 Purchase Of Treasury Shares 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Purchase Of Treasury Shares 0.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20241231 Purchase Of Treasury Shares 22740293000.0000 MXN 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20241231 Repayments Of Borrowings Classified As Financing Activities 11483000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Revenue 844501397000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Revenue 34516687000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20231231 Revenue 166709782000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20231231 Revenue 38268430000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20231231 Revenue 18922703000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20241231 Revenue 869220584000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Revenue 51424424000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20221231 Revenue From Interest 906176000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20241231 Revenue From Interest 617545000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20241231 Revenue From Interest 412679000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20241231 Revenue From Interest 1412233000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20241231 Revenue From Rendering Of Services 741858822000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Revenue From Rendering Of Services 36602000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20220630 Revenue From Sale Of Telecommunication Equipment 206595000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20220930 Revenue From Sale Of Telecommunication Equipment 2626823000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Joint Ventures= Joint Ventures;
0001140361-25-018954 20211231 Rightofuse Assets 90372393000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20221231 Rightofuse Assets 41889175000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20231231 Rightofuse Assets 59820924000.0000 MXN 0 ifrs/2024 Categories Of Related Parties= Related Parties;
0001140361-25-018954 20231231 Rightofuse Assets -154768000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20231231 Rightofuse Assets 40606564000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20231231 Rightofuse Assets 16115920000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20241231 Rightofuse Assets 125960911000.0000 MXN 0 ifrs/2024 Categories Of Related Parties= Related Parties;
0001140361-25-018954 20241231 Rightofuse Assets 193632000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20221231 Selling General And Administrative Expense 179454030000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Share Of Profit Loss Of Associates Accounted For Using Equity Method 0.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20241231 Share Of Profit Loss Of Associates Accounted For Using Equity Method 0.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20241231 Trade And Other Current Payables 166924134000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Trade And Other Current Receivables Due From Related Parties 1071520000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Trade And Other Current Receivables Due From Related Parties 1395483000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Accumulated Other Comprehensive Income -274303207000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Accumulated Other Comprehensive Income -12016000000.0000 USD 0 ifrs/2024
0001140361-25-018954 20241231 Adjustments For Decrease Increase In Financial Instruments And Other 0.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20221231 Adjustments For Decrease Increase In Prepaid Expenses -2527168000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Adjustments For Depreciation Expense 7090000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20241231 Adjustments For Gain Loss On Disposal Of Investments In Subsidiaries Joint Ventures And Associates 0.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Assets 154774150000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20231231 Assets 383653519000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20241231 Assets 183512040000.0000 MXN 0 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20241231 Basic Earnings Loss Per Share From Continuing Operations 0.3700 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Cash Flows From Used In Financing Activities -5088000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20241231 Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities -24000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Comprehensive Income 42571962000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Comprehensive Income -4030338000.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20231231 Comprehensive Income 34578854000.0000 MXN 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20241231 Comprehensive Income 0.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Comprehensive Income Attributable To Noncontrolling Interests 793615000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Comprehensive Income From Continuing Operations Attributable To Owners Of Parent 40959024000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Comprehensive Income From Continuing Operations Attributable To Owners Of Parent 54502177000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Comprehensive Income From Discontinued Operations 0.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Cost Of Sales 16340000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Current Assets 27224829000.0000 MXN 0 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20241231 Current Assets 17451000000.0000 USD 0 ifrs/2024
0001140361-25-018954 20231231 Current Liabilities 34406225000.0000 MXN 0 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20241231 Current Payables On Social Security And Taxes Other Than Income Tax 51735433000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Current Tax Liabilities Current 24151790000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20221231 Depreciation And Amortisation Expense 13085226000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20221231 Depreciation And Amortisation Expense 26383113000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20221231 Depreciation And Amortisation Expense 13171616000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20231231 Depreciation And Amortisation Expense 10028603000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20231231 Depreciation And Amortisation Expense 13360622000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20231231 Diluted Earnings Loss Per Share From Discontinued Operations 0.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Dividends Paid 0.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20221231 Dividends Paid 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20221231 Dividends Paid 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Dividends Paid 0.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Dividends Paid 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20241231 Dividends Paid 0.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20241231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents 152000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20211231 Equity -6321120000.0000 MXN 0 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20221231 Equity 437829273000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20221231 Equity -11028396000.0000 MXN 0 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20221231 Equity -107106514000.0000 MXN 0 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Equity 366712545000.0000 MXN 0 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20231231 Equity -164975378000.0000 MXN 0 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20241231 Equity -138698497000.0000 MXN 0 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Equity Attributable To Owners Of Parent 366712545000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20221231 Expense By Nature 673630645000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Gains Losses On Change In Fair Value Of Derivatives -19116219000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Gains Losses On Exchange Differences On Translation Recognised In Profit Or Loss 20761622000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Goodwill 2212615000.0000 MXN 0 ifrs/2024 Geographical Areas= G T;
0001140361-25-018954 20231231 Goodwill 4603998000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20231231 Goodwill 215381000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20241231 Goodwill 1746522000.0000 MXN 0 ifrs/2024 Geographical Areas= Other Countries;
0001140361-25-018954 20221231 Income Tax Expense Continuing Operations 46044089000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Income Tax Expense Continuing Operations 1728005000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20241231 Income Tax Expense Continuing Operations 16661724000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20221231 Increase Decrease In Cash And Cash Equivalents Before Effect Of Exchange Rate Changes -420296000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests -4970000.0000 MXN 4 0001140361-25-018954 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20221231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20241231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 93428000.0000 MXN 4 0001140361-25-018954 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20221231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Issued Capital;
0001140361-25-018954 20221231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax -35289339000.0000 MXN 4 0001140361-25-018954 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20221231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 0.0000 MXN 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 0.0000 MXN 4 ifrs/2024
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill -11511090000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Content Rights;
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill 24570126000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Customerrelated Intangible Assets;
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill 266057690000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Licences And Franchises;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill -9515383000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Licences;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill 26467355000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Brand Names;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill 16217975000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Licences;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill 255549470000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Licences And Franchises;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill 3014557000.0000 MXN 0 ifrs/2024 Classes Of Intangible Assets Other Than Goodwill= Brand Names;
0001140361-25-018954 20231231 Intangible Assets Other Than Goodwill -22574252000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Brand Names;
0001140361-25-018954 20231231 Intangible Assets Other Than Goodwill 2767166000.0000 MXN 0 ifrs/2024 Classes Of Intangible Assets Other Than Goodwill= Brand Names;
0001140361-25-018954 20241231 Interest Expense 4034032000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20221231 Interest Paid Classified As Financing Activities 26882181000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20220630 Liabilities 1912886000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20231231 Liabilities 4512644000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001140361-25-018954 20231231 Liabilities 90691476000.0000 MXN 0 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20241231 Liabilities -293418627000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20241231 Liabilities 104786220000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20241231 Liabilities 99506456000.0000 MXN 0 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20241231 Longterm Borrowings 60514144000.0000 MXN 0 ifrs/2024 Maturity= Later Than Four Years And Not Later Than Five Years;
0001140361-25-018954 20241231 Longterm Borrowings 239467694000.0000 MXN 0 ifrs/2024 Maturity= Later Than Six Years And Thereafter;
0001140361-25-018954 20241231 Noncurrent Deferred Income Including Noncurrent Contract Liabilities 2672730000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Noncurrent Deferred Income Including Noncurrent Contract Liabilities 132000000.0000 USD 0 ifrs/2024
0001140361-25-018954 20231231 Noncurrent Lease Liabilities 100794146000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Noncurrent Lease Liabilities 20138132000.0000 MXN 0 ifrs/2024 Maturity= Later Than Five Years And Not Later Than Six Years;
0001140361-25-018954 20241231 Noncurrent Lease Liabilities 60141767000.0000 MXN 0 ifrs/2024 Maturity= Later Than Four Years And Not Later Than Five Years;
0001140361-25-018954 20241231 Noncurrent Liabilities 42793000000.0000 USD 0 ifrs/2024
0001140361-25-018954 20231231 Noncurrent Provisions For Employee Benefits 55295000.0000 MXN 0 ifrs/2024 Geographical Areas= H N;
0001140361-25-018954 20231231 Noncurrent Provisions For Employee Benefits 119265063000.0000 MXN 0 ifrs/2024 Geographical Areas= M X;
0001140361-25-018954 20231231 Noncurrent Provisions For Employee Benefits 53974000.0000 MXN 0 ifrs/2024 Geographical Areas= N I;
0001140361-25-018954 20231231 Noncurrent Provisions For Employee Benefits 7227422000.0000 MXN 0 ifrs/2024 Geographical Areas= P R;
0001140361-25-018954 20241231 Noncurrent Provisions For Employee Benefits 6954741000.0000 MXN 0 ifrs/2024 Geographical Areas= P R;
0001140361-25-018954 20241231 Noncurrent Provisions For Employee Benefits 165653000.0000 MXN 0 ifrs/2024 Geographical Areas= S V;
0001140361-25-018954 20231231 Other Comprehensive Income -45417173000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Other Comprehensive Income 39444416000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Discontinuing Operations 5193281000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20221231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20221231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -1864632000.0000 MXN 4 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 0.0000 MXN 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 3485814000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -4305716000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -27929881000.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20241231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -1375000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 868456000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 497628000.0000 MXN 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 370828000.0000 MXN 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20220630 Other Current Assets 4457000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20231231 Other Current Assets 11222259000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Other Expense By Function 360000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Other Noncurrent Financial Assets 37643712000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Payables For Purchase Of Noncurrent Assets 17224845000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Payments From Changes In Ownership Interests In Subsidiaries 3813000.0000 MXN 4 ifrs/2024 Business Combinations= Business Acquisition2024;
0001140361-25-018954 20241231 Payments From Changes In Ownership Interests In Subsidiaries 114000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Payments Of Lease Liabilities Classified As Financing Activities 33823287000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Payments Of Lease Liabilities Classified As Financing Activities 45285610000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Proceeds From Contractual Earnout From Business Combination Classified As Investing Activities 44000000.0000 USD 4 0001140361-25-018954
0001140361-25-018954 20221231 Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities 3795740000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities 7042757000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Profit Loss 0.0000 MXN 4 ifrs/2024 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Profit Loss Attributable To Noncontrolling Interests 4548878000.0000 MXN 4 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20241231 Profit Loss Attributable To Noncontrolling Interests 231000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Profit Loss Before Tax 134269499000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 5059038000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20221231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 11795662000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20221231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 63711537000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20241231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 22902025000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20220630 Profit Loss From Discontinued Operations 3378869000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20221231 Profit Loss From Discontinued Operations -6719015000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Profit Loss From Discontinued Operations 0.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity 0.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20231231 Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity 0.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity 0.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Profit Loss From Operating Activities 10284834000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20231231 Profit Loss From Operating Activities 15751978000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20231231 Profit Loss From Operating Activities 84816739000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20220630 Property Plant And Equipment 1102062000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20221231 Property Plant And Equipment 1317191454000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount;
0001140361-25-018954 20241231 Property Plant And Equipment -764979020000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation And Amortisation;
0001140361-25-018954 20241231 Property Plant And Equipment 1478763449000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount;
0001140361-25-018954 20231231 Purchase Of Intangible Assets Classified As Investing Activities 25237297000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Purchase Of Interests In Associates 1043954000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241031 Purchase Of Interests In Associates 16000000.0000 USD 0 ifrs/2024 Business Combinations= Business Acquisition2024; Significant Investments In Subsidiaries= Claro Chile S P A;
0001140361-25-018954 20241231 Purchase Of Investments Other Than Investments Accounted For Using Equity Method 10983052000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Purchase Of Treasury Shares 26201317000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Purchase Of Treasury Shares 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20220630 Revenue 1416704000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20220930 Revenue 13126910000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Joint Ventures= Joint Ventures;
0001140361-25-018954 20231231 Revenue 44064261000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20231231 Revenue 4005688000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001140361-25-018954 20241231 Revenue 8050995000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay Paraguay And Chile Segment;
0001140361-25-018954 20221231 Revenue From Interest 4823579000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Revenue From Interest 701794000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20231231 Revenue From Interest 2338242000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20231231 Revenue From Interest 543248000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20231231 Revenue From Interest 4231000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001140361-25-018954 20221231 Revenue From Sale Of Telecommunication Equipment 131515849000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20211231 Rightofuse Assets 76557028000.0000 MXN 0 ifrs/2024 Classes Of Assets= Towers And Sites;
0001140361-25-018954 20220630 Rightofuse Assets 975019000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20221231 Rightofuse Assets 10654759000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20221231 Rightofuse Assets 3904201000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20221231 Rightofuse Assets 10093774000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20231231 Rightofuse Assets 17107790000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20231231 Rightofuse Assets 5169432000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20241231 Rightofuse Assets 15072246000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20241231 Rightofuse Assets 18561879000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20241231 Rightofuse Assets 81713962000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20241231 Selling General And Administrative Expense 186515841000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Share Of Profit Loss Of Associates Accounted For Using Equity Method 22334000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20241231 Adjustments For Amortisation Expense 1008000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Adjustments For Decrease Increase In Receivables From Related Parties 1884945000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20241231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Trade And Other Receivables 227000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20241231 Adjustments For Increase Decrease In Employee Profit Sharing -174000000.0000 USD 4 0001140361-25-018954
0001140361-25-018954 20231231 Adjustments For Interest Expense 44545241000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Adjustments For Net Period Cost Of Labor Obligations 16971936000.0000 MXN 4 0001140361-25-018954
0001140361-25-018954 20221231 Assets 101143182000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20221231 Assets 104769670000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20230731 Assets 36599000000.0000 CLP 0 ifrs/2024 Categories Of Related Parties= Euro Tele Sites A G Group;
0001140361-25-018954 20231231 Assets 115103155000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20231231 Assets 1029618098000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20241231 Assets 67214434000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay Paraguay And Chile Segment;
0001140361-25-018954 20220630 Cash And Cash Equivalents 24202000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20241231 Cash And Cash Equivalents 1808000000.0000 USD 0 ifrs/2024
0001140361-25-018954 20241231 Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 0.0000 USD 4 ifrs/2024
0001140361-25-018954 20241231 Cash Flows From Used In Investing Activities -129235804000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Cash Flows From Used In Investing Activities Discontinued Operations -1944235000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Comprehensive Income -967609000.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20241231 Comprehensive Income -27929881000.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20241231 Comprehensive Income 23718835000.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20221231 Comprehensive Income Attributable To Noncontrolling Interests 1612938000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Comprehensive Income From Continuing Operations Attributable To Owners Of Parent 2689000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Current Borrowings And Current Portion Of Noncurrent Borrowings 160963603000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Depreciation And Amortisation Expense 10084882000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20231231 Depreciation And Amortisation Expense 44302136000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001140361-25-018954 20241231 Depreciation And Amortisation Expense 23409159000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001140361-25-018954 20221231 Diluted Earnings Loss Per Share From Continuing Operations 1.3000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Dividends Paid 1880736000.0000 MXN 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20231231 Dividends Paid 28946819000.0000 MXN 4 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20231231 Dividends Paid 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Dividends Paid 28946819000.0000 MXN 4 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20221231 Dividends Received Classified As Investing Activities 5426370000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Dividends Received Classified As Investing Activities 137000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20221231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents -4558646000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20211231 Equity 454041726000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20221231 Equity 373804704000.0000 MXN 0 ifrs/2024 Components Of Equity= Equity Attributable To Owners Of Parent;
0001140361-25-018954 20221231 Equity 64024569000.0000 MXN 0 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001140361-25-018954 20221231 Equity -128299347000.0000 MXN 0 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20221231 Equity 19389915000.0000 MXN 0 ifrs/2024 Components Of Equity= Revaluation Surplus;
0001140361-25-018954 20231231 Equity 545295288000.0000 MXN 0 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20241231 Equity 516890227000.0000 MXN 0 ifrs/2024 Components Of Equity= Retained Earrings Net Of Legal Reserves;
0001140361-25-018954 20221231 Gains Losses On Net Monetary Position 11538061000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20220630 Gains Losses Recognised When Control In Subsidiary Is Lost 3405014000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20221231 Goodwill 0.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20221231 Goodwill 199984000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20231231 Goodwill 1746495000.0000 MXN 0 ifrs/2024 Geographical Areas= Other Countries;
0001140361-25-018954 20231231 Goodwill 9304613000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20241231 Goodwill 156836369000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20241231 Goodwill 4735752000.0000 MXN 0 ifrs/2024 Geographical Areas= C L;
0001140361-25-018954 20241231 Goodwill 17463394000.0000 MXN 0 ifrs/2024 Geographical Areas= P R;
0001140361-25-018954 20241231 Goodwill 0.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20241231 Goodwill 14186723000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20221231 Income Tax Expense Continuing Operations 126003000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001140361-25-018954 20231231 Income Tax Expense Continuing Operations -473077000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20231231 Income Tax Expense Continuing Operations 1427740000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001140361-25-018954 20231231 Income Tax Expense Continuing Operations -625561000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20241231 Income Tax Expense Continuing Operations -173909000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001140361-25-018954 20241231 Income Tax Expense Continuing Operations 2496264000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20241231 Increase Decrease In Cash And Cash Equivalents Before Effect Of Exchange Rate Changes 6983496000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20231231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20241231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Issued Capital;
0001140361-25-018954 20241231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20241231 Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20221231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20221231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20231231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Issued Capital;
0001140361-25-018954 20231231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20231231 Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20221231 Increase Decrease In Equity Through Spin Off Effects 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001140361-25-018954 20221231 Increase Decrease In Equity Through Spin Off Effects 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001140361-25-018954 20241231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 0.0000 MXN 4 ifrs/2024 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20241231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 0.0000 MXN 4 ifrs/2024 Components Of Equity= Statutory Reserve;
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill 143225764000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill -21208962000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Customerrelated Intangible Assets;
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill 27675853000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Brand Names;
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill 13002320000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Intangible Assets Other Than Goodwill= Content Rights;
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill 3292163000.0000 MXN 0 ifrs/2024 Classes Of Intangible Assets Other Than Goodwill= Brand Names;
0001140361-25-018954 20211231 Intangible Assets Other Than Goodwill 4813462000.0000 MXN 0 ifrs/2024 Classes Of Intangible Assets Other Than Goodwill= Licences;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill -23452798000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Brand Names;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill -11589168000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Content Rights;
0001140361-25-018954 20221231 Intangible Assets Other Than Goodwill -142425106000.0000 MXN 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation Amortisation And Impairment; Classes Of Intangible Assets Other Than Goodwill= Licences And Franchises;
0001140361-25-018954 20231231 Intangible Assets Other Than Goodwill 121498519000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Intangible Assets Other Than Goodwill 9597885000.0000 MXN 0 ifrs/2024 Classes Of Intangible Assets Other Than Goodwill= Licences;
0001140361-25-018954 20241231 Intangible Assets Other Than Goodwill 866018000.0000 MXN 0 ifrs/2024 Classes Of Intangible Assets Other Than Goodwill= Content Rights;
0001140361-25-018954 20221231 Interest Expense 2258095000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20221231 Interest Expense 3342459000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20231231 Interest Expense 7176879000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20241231 Interest Expense 1374621000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001140361-25-018954 20241231 Interest Expense 37936534000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001140361-25-018954 20231231 Interest Received Classified As Operating Activities 4882509000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20221231 Liabilities 47430485000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20221231 Liabilities 204294033000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001140361-25-018954 20231231 Liabilities 46189708000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20231231 Liabilities 36668486000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001140361-25-018954 20241231 Liabilities 42458437000.0000 MXN 0 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001140361-25-018954 20241231 Liabilities 67186000000.0000 USD 0 ifrs/2024
0001140361-25-018954 20231231 Longterm Provision For Decommissioning Restoration And Rehabilitation Costs 10117928000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20220630 Noncurrent Deferred Income Including Noncurrent Contract Liabilities 129062000.0000 MXN 0 ifrs/2024 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001140361-25-018954 20241231 Noncurrent Liabilities 59851427000.0000 MXN 0 ifrs/2024 Significant Investments In Subsidiaries= Telekom Austria A G;
0001140361-25-018954 20231231 Noncurrent Provisions For Employee Benefits 143516143000.0000 MXN 0 ifrs/2024
0001140361-25-018954 20231231 Noncurrent Provisions For Employee Benefits 7401235000.0000 MXN 0 ifrs/2024 Geographical Areas= B R;
0001140361-25-018954 20231231 Noncurrent Provisions For Employee Benefits 113508000.0000 MXN 0 ifrs/2024 Geographical Areas= S V;
0001140361-25-018954 20241231 Noncurrent Provisions For Employee Benefits 145277743000.0000 MXN 0 ifrs/2024 Geographical Areas= M X;
0001140361-25-018954 20241231 Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Continuing Operations 3066000000.0000 USD 4 0001140361-25-018954
0001140361-25-018954 20221231 Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Discontinuing Operations 0.0000 MXN 4 0001140361-25-018954 Components Of Equity= Reserve Of Remeasurements Of Defined Benefit Plans;
0001140361-25-018954 20231231 Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Discontinuing Operations 0.0000 MXN 4 0001140361-25-018954
0001193125-25-077049 20231231 Accounts Receivable Subscribers Distributors And Contractual Assets Non Current 556000000.0000 USD 0 0001193125-25-077049
0001193125-25-077049 20231231 Adjustments For Decrease Increase In Financial Instruments And Other 0.0000 USD 4 0001193125-25-077049
0001193125-25-077049 20211231 Adjustments For Depreciation Expense 136987034000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Employee Profit Sharing 233000000.0000 USD 4 0001193125-25-077049
0001193125-25-077049 20221231 Adjustments For Gain Loss On Disposal Of Investments In Subsidiaries Joint Ventures And Associates -17072520000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Gain Loss On Disposals Property Plant And Equipment 5055264000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Accumulated Other Comprehensive Income -164975378000.0000 MXN 0 ifrs/2023 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001193125-25-077049 20231231 Adjustments For Decrease Increase In Financial Instruments And Other 0.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20231231 Adjustments For Decrease Increase In Receivables From Related Parties 758301000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20211231 Adjustments For Decrease Increase In Trade And Other Receivables 8609836000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Adjustments For Decrease Increase In Trade And Other Receivables -6803202000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Adjustments For Interest Expense 35738305000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Non Cash Transactions 479000000.0000 USD 4 0001193125-25-077049
0001193125-25-077049 20231231 Asset Retirement Obligations 10117928000.0000 MXN 0 0001193125-25-077049
0001193125-25-077049 20211231 Assets -694017446000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20211231 Assets 999502407000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001193125-25-077049 20221231 Assets -680429897000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20221231 Assets 79283120000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001193125-25-077049 20221231 Assets 215543807000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20231231 Assets 101862049000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20211231 Basic Earnings Loss Per Share From Discontinued Operations 1.8800 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Basic Earnings Loss Per Share From Discontinued Operations -0.1100 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Basic Earnings Loss Per Share From Discontinued Operations 0.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Capital Expenditures Incurred But Not Yet Paid1 18385498000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20211231 Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 75518886000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Cash Flows From Used In Investing Activities -152359040000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Cash Flows From Used In Investing Activities -164989416000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Cash Flows From Used In Operating Activities 225287031000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Cash Flows From Used In Operating Activities 14686000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20211231 Cash Flows From Used In Operating Activities Discontinued Operations 5601233000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 18525639000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Comprehensive Income 40959024000.0000 MXN 4 ifrs/2023 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20221231 Comprehensive Income -24029052000.0000 MXN 4 ifrs/2023 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001193125-25-077049 20221231 Comprehensive Income 78325097000.0000 MXN 4 ifrs/2023 Components Of Equity= Retained Earnings;
0001193125-25-077049 20221231 Comprehensive Income -4030338000.0000 MXN 4 ifrs/2023 Components Of Equity= Revaluation Surplus;
0001193125-25-077049 20231231 Comprehensive Income 2094000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20211231 Comprehensive Income Attributable To Noncontrolling Interests 1767061000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Comprehensive Income Attributable To Noncontrolling Interests 1507424000.0000 MXN 4 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20211231 Cost Of Sales 328510002000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Cost Of Sales 1403311000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20231231 Cost Of Sales 316476140000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211130 Current Assets 22700556000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Tracfone Wireless Inc Tracfone;
0001193125-25-077049 20220630 Current Assets 864624000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20231231 Current Assets 20136000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20221231 Current Borrowings And Current Portion Of Noncurrent Borrowings 65325561000.0000 MXN 0 ifrs/2023 Borrowings By Name= Line Of Credit1;
0001193125-25-077049 20221231 Current Borrowings And Current Portion Of Noncurrent Borrowings 102024414000.0000 MXN 0 ifrs/2023 Currency= Other Currencies;
0001193125-25-077049 20220630 Current Lease Liabilities 198289000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20221231 Current Liabilities 488876954000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20221231 Current Liabilities 50106617000.0000 MXN 0 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20211130 Current Tax Liabilities Current 3267585000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Tracfone Wireless Inc Tracfone;
0001193125-25-077049 20211231 Depreciation And Amortisation Expense -3735493000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20211231 Depreciation And Amortisation Expense 40342871000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001193125-25-077049 20211231 Depreciation And Amortisation Expense 7581101000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001193125-25-077049 20221231 Depreciation And Amortisation Expense 22761938000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20231231 Depreciation And Amortisation Expense 151786064000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Depreciation And Amortisation Expense 10084882000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001193125-25-077049 20231231 Depreciation And Amortisation Expense 7189119000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20231231 Depreciation And Amortisation Expense 10028603000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001193125-25-077049 20231231 Depreciation And Amortisation Expense 21008775000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20221231 Derivative Financial Assets 2602680000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20221231 Derivative Financial Assets 225933000.0000 MXN 0 ifrs/2023 Classes Of Financial Instruments= Forwards Brazilian Real U S Dollar;
0001193125-25-077049 20221231 Derivative Financial Assets 331401000.0000 MXN 0 ifrs/2023 Classes Of Financial Instruments= Forwards Euro U S Dollar;
0001193125-25-077049 20221231 Derivative Financial Assets 6636000.0000 MXN 0 ifrs/2023 Classes Of Financial Instruments= Forwards U S Dollar Mexican Peso;
0001193125-25-077049 20231231 Derivative Financial Assets 12009000.0000 MXN 0 ifrs/2023 Classes Of Financial Instruments= Forwards U S Dollar Mexican Peso;
0001193125-25-077049 20221231 Dividends Paid 1880736000.0000 MXN 4 ifrs/2023 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20221231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents -4558646000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Equity 96333432000.0000 MXN 0 ifrs/2023 Components Of Equity= Issued Capital;
0001193125-25-077049 20211231 Equity -6321120000.0000 MXN 0 ifrs/2023 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001193125-25-077049 20221231 Equity -11028396000.0000 MXN 0 ifrs/2023 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001193125-25-077049 20231231 Equity 13436792000.0000 MXN 0 ifrs/2023 Components Of Equity= Revaluation Surplus;
0001193125-25-077049 20231231 Equity 24962000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20221231 Equity Investments At Fair Value Through Other Comprehensive Income And Other Shortterm Investments 88428111000.0000 MXN 0 0001193125-25-077049
0001193125-25-077049 20211231 Gain On Sale Of Subsidiary -132821709000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20221231 Goodwill 2155384000.0000 MXN 0 ifrs/2023 Geographical Areas= E C;
0001193125-25-077049 20221231 Goodwill 4678851000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001193125-25-077049 20221231 Goodwill 6312511000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001193125-25-077049 20231231 Goodwill 2155384000.0000 MXN 0 ifrs/2023 Geographical Areas= E C;
0001193125-25-077049 20231231 Goodwill 1746495000.0000 MXN 0 ifrs/2023 Geographical Areas= Other Countries;
0001193125-25-077049 20231231 Goodwill 4603998000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001193125-25-077049 20211231 Income Tax Expense Continuing Operations -4578004000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Joint Ventures= Joint Ventures;
0001193125-25-077049 20221231 Income Tax Expense Continuing Operations 3151281000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20231231 Income Tax Expense Continuing Operations -473077000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20231231 Income Tax Expense Continuing Operations -625561000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20231231 Increase Decrease In Cash And Cash Equivalents Before Effect Of Exchange Rate Changes -110000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Increase Decrease Other Acquisition Of Non Controlling Interests And Other 1598873000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Retained Earnings;
0001193125-25-077049 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings -815693000.0000 MXN 4 ifrs/2023 Components Of Equity= Revaluation Surplus;
0001193125-25-077049 20221231 Interest Expense 1281857000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20231231 Interest Expense 3342195000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001193125-25-077049 20211231 Interest Received Classified As Operating Activities 2665854000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Interest Received Classified As Operating Activities 4882509000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211130 Inventories 9604658000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Tracfone Wireless Inc Tracfone;
0001193125-25-077049 20211231 Liabilities -308736552000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20221231 Liabilities 1180270071000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Longterm Borrowings 339713449000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20221231 Loss On Deconsolidation Of Subsidiary -9390641000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20221231 Noncontrolling Interests 64024569000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Noncurrent Deferred Income Including Noncurrent Contract Liabilities 158000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20231231 Noncurrent Lease Liabilities 100794146000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Noncurrent Lease Liabilities 20149439000.0000 MXN 0 ifrs/2023 Maturity= Later Than Three Years And Not Later Than Four Years;
0001193125-25-077049 20211231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -4837206000.0000 MXN 4 ifrs/2023 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20211231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -2514992000.0000 MXN 4 ifrs/2023 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001193125-25-077049 20231231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -37399680000.0000 MXN 4 ifrs/2023 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20211231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity And Debtinvestment 4560869000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20221231 Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans -4305716000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Other Current Assets 664000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20220630 Other Noncurrent Financial Assets 12291000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20231231 Proceeds From Contractual Earnout From Business Combination 205000000.0000 USD 4 0001193125-25-077049
0001193125-25-077049 20221231 Profit Loss 76159391000.0000 MXN 4 ifrs/2023 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20221231 Profit Loss 76159391000.0000 MXN 4 ifrs/2023 Components Of Equity= Retained Earnings;
0001193125-25-077049 20221231 Profit Loss 11795662000.0000 MXN 4 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20231231 Profit Loss 4679025000.0000 MXN 4 ifrs/2023 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20231231 Profit Loss 4782000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Profit Loss Attributable To Noncontrolling Interests 52485000.0000 MXN 4 ifrs/2023 Significant Investments In Subsidiaries= Eurotelesites;
0001193125-25-077049 20231231 Profit Loss Before Taxes 6827000000.0000 USD 4 0001193125-25-077049
0001193125-25-077049 20211231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 5151166000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20211231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 4594450000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20221231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity -25896201000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20231231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 4505000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20221231 Profit Loss From Discontinued Operations -6719015000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity 124235942000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Profit Loss From Operating Activities -1107026000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Joint Ventures= Joint Ventures;
0001193125-25-077049 20211231 Profit Loss From Operating Activities -316583000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20201231 Property Plant And Equipment 722929631000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20201231 Property Plant And Equipment 1057592243000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Network In Operation And Equipment;
0001193125-25-077049 20211231 Property Plant And Equipment 677800611000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation;
0001193125-25-077049 20211231 Property Plant And Equipment 93259679000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation; Classes Of Property Plant And Equipment= Other Property Plant And Equipment;
0001193125-25-077049 20211231 Property Plant And Equipment 1111714837000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Network In Operation And Equipment;
0001193125-25-077049 20221231 Property Plant And Equipment 565890076000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation; Classes Of Property Plant And Equipment= Network In Operation And Equipment;
0001193125-25-077049 20221231 Property Plant And Equipment 43754276000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Land And Buildings;
0001193125-25-077049 20231231 Purchase Of Financial Instruments Classified As Investing Activities 9420419000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Purchase Of Intangible Assets Classified As Investing Activities 1494000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Purchase Of Interests In Associates 27000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Purchase Of Property Plant And Equipment Classified As Investing Activities 131101509000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Purchase Of Treasury Shares -33469000.0000 MXN 4 ifrs/2023 Components Of Equity= Issued Capital;
0001193125-25-077049 20231231 Revaluation Surplus 69000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20221231 Revaluation Surplus Recycling Of Assets By Spinoff Net Of Deferred Tax 35289339000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Retained Earnings;
0001193125-25-077049 20211231 Revenue 21785389000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Joint Ventures= Joint Ventures;
0001193125-25-077049 20211231 Revenue 152252021000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Tracfone Wireless Inc Tracfone;
0001193125-25-077049 20220930 Revenue 13126910000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Joint Ventures= Joint Ventures;
0001193125-25-077049 20221231 Revenue 844501397000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Revenue 47214586000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001193125-25-077049 20231231 Revenue 48303000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20221231 Revenue From Interest 431741000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001193125-25-077049 20231231 Revenue From Interest 570000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Revenue From Rendering Of Services 40794000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20211231 Revenue From Sale Of Telecommunication Equipment 4508925000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Joint Ventures= Joint Ventures;
0001193125-25-077049 20231231 Revenue From Sale Of Telecommunication Equipment 126858519000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Revenue From Sale Of Telecommunication Equipment 7509000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20201231 Rightofuse Assets 85218875000.0000 MXN 0 ifrs/2023 Classes Of Assets= Tower Sites;
0001193125-25-077049 20211231 Rightofuse Assets 9936705000.0000 MXN 0 ifrs/2023 Classes Of Assets= Property;
0001193125-25-077049 20220630 Rightofuse Assets 975019000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20231231 Rightofuse Assets 59820924000.0000 MXN 0 ifrs/2023 Categories Of Related Parties= Related Party;
0001193125-25-077049 20231231 Selling General And Administrative Expense 173001297000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Shareholders Equity Effect Of Discontinued Operations -5193281000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20221231 Share Of Profit Loss Of Associates Accounted For Using Equity Method -1811432000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Trade And Other Current Payables 174472769000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Trade And Other Current Payables 9595000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20231231 Trade And Other Current Receivables 12242000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20231231 Trade And Other Current Receivables Due From Related Parties 63000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Increase Decrease In Deferred Income Including Contract Liabilities 3062445000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Increase Decrease In Employee Benefit Liabilities -13090945000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Increase Decrease In Employee Benefit Liabilities -775000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Adjustments For Increase Decrease In Trade And Other Payables 10098156000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Adjustments For Non Cash Transactions 18385498000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20211231 Assets 58312728000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Uruguay And Paraguay Segment;
0001193125-25-077049 20231231 Assets 159467244000.0000 MXN 0 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20221231 Capital Expenditures Incurred But Not Yet Paid1 1476834000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20231231 Capital Expenditures Incurred But Not Yet Paid1 6928514000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20231231 Capital Expenditures Incurred But Not Yet Paid1 410000000.0000 USD 4 0001193125-25-077049
0001193125-25-077049 20211231 Cash Flows From Used In Operating Activities 258181638000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Cash Flows From Used In Operating Activities 248092195000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Comprehensive Income 1767061000.0000 MXN 4 ifrs/2023 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20221231 Comprehensive Income 6127362000.0000 MXN 4 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20231231 Comprehensive Income 35372469000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Comprehensive Income Attributable To Noncontrolling Interests 793615000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Comprehensive Income From Continuing Operations 79949621000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Comprehensive Income From Discontinued Operations 124235942000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Cost Of Sales 3378614000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20211231 Cost Of Sales 134495316000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Tracfone Wireless Inc Tracfone;
0001193125-25-077049 20221231 Current Tax Liabilities Current 29174066000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Current Tax Liabilities Current 29516162000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20211130 Deferred Tax Assets 1094756000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Tracfone Wireless Inc Tracfone;
0001193125-25-077049 20231231 Deferred Tax Assets 137883622000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20221231 Deferred Tax Liabilities 30302060000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Deferred Tax Liabilities 1259000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20211231 Depreciation And Amortisation Expense 27469463000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20221231 Depreciation And Amortisation Expense 9002551000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001193125-25-077049 20231231 Depreciation And Amortisation Expense -2159547000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20211231 Dividends Paid 1919674000.0000 MXN 4 ifrs/2023 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20231231 Dividends Received 4590313000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20201231 Equity 315117618000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20201231 Equity 64638815000.0000 MXN 0 ifrs/2023 Components Of Equity= Noncontrolling Interests;
0001193125-25-077049 20221231 Equity 437829273000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20221231 Equity And Liabilities 1618099344000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Equity Attributable To Owners Of Parent 366712545000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20211231 Expense By Nature 98346896000.0000 MXN 4 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20221231 Expense By Nature 673630645000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Gains Losses On Exchange Differences On Translation Net Of Tax From Continuing Operations -2459000000.0000 USD 4 0001193125-25-077049
0001193125-25-077049 20211231 Goodwill 14186723000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20211231 Goodwill 26965618000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001193125-25-077049 20221231 Goodwill 31085202000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001193125-25-077049 20221231 Goodwill 26481707000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001193125-25-077049 20231231 Goodwill 9304613000.0000 MXN 0 ifrs/2023 Geographical Areas= C O;
0001193125-25-077049 20231231 Goodwill 29437800000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001193125-25-077049 20231231 Goodwill 6279966000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001193125-25-077049 20221231 Income Taxes Paid Classified As Operating Activities 62015057000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Income Tax Expense Continuing Operations 2496010000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20221231 Income Tax Expense Continuing Operations 2286809000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001193125-25-077049 20221231 Income Tax Expense Continuing Operations 30642242000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001193125-25-077049 20211231 Increase Decrease Other Acquisition Of Non Controlling Interests And Other 60045000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20221231 Increase Decrease Other Acquisition Of Non Controlling Interests And Other -39596000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20211231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 3803349000.0000 MXN 4 ifrs/2023 Components Of Equity= Retained Earnings;
0001193125-25-077049 20211231 Interest Expense 24586641000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001193125-25-077049 20211231 Interest Expense 1385103000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20221231 Interest Expense 1152370000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20231231 Interest Expense -28277736000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Elimination Of Intersegment Amounts;
0001193125-25-077049 20231231 Interest Expense 25691398000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001193125-25-077049 20231231 Interest Expense 968299000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Southern Cone Argentina Segment;
0001193125-25-077049 20231231 Interest Paid Classified As Financing Activities 29031855000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Issued Capital 5645000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20211231 Liabilities 1235608123000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20211231 Liabilities 273655967000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Brazil Segment;
0001193125-25-077049 20211231 Liabilities 134357142000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20220630 Liabilities 1912886000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20221231 Liabilities 36223727000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001193125-25-077049 20221231 Liabilities 48434551000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20231231 Liabilities 1142483578000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Liabilities 93944278000.0000 MXN 0 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20231231 Liabilities 90691476000.0000 MXN 0 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20231231 Liabilities 67629000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20221231 Longterm Borrowings 408565066000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Longterm Borrowings 40787112000.0000 MXN 0 ifrs/2023 Maturity= Later Than Five Years And Not Later Than Six Years;
0001193125-25-077049 20231231 Noncontrolling Interests 3255000000.0000 USD 0 ifrs/2023
0001193125-25-077049 20221231 Noncurrent Deferred Income Including Noncurrent Contract Liabilities 2556103000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Noncurrent Lease Liabilities 7511403000.0000 MXN 0 ifrs/2023 Maturity= Later Than One Year And Not Later Than Two Years;
0001193125-25-077049 20231231 Noncurrent Lease Liabilities 12110866000.0000 MXN 0 ifrs/2023 Maturity= Later Than Two Years And Not Later Than Three Years;
0001193125-25-077049 20231231 Other Comprehensive Income -2688000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20221231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -31086965000.0000 MXN 4 ifrs/2023 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20231231 Other Comprehensive Income Net Of Tax Exchange Differences On Translation -723649000.0000 MXN 4 ifrs/2023 Components Of Equity= Revaluation Surplus;
0001193125-25-077049 20211231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity And Debtinvestment 4560869000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Reserve Of Gains And Losses From Investments In Equity Instruments;
0001193125-25-077049 20231231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity And Debtinvestment -967609000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20211231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 4560869000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments 4560869000.0000 MXN 4 ifrs/2023 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation 868456000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Other Comprehensive Income Net Of Tax Gains Losses On Revaluation Net Off Deferred Tax 497628000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20231231 Other Expense By Function 412000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20231231 Other Noncurrent Financial Assets 37643712000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Payments From Changes In Ownership Interests In Subsidiaries 6263945000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Proceeds From Noncurrent Borrowings 93675127000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Proceeds From Sales Of Interests In Associates 6329000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Profit Before Income Tax From Continuing Operations 115333645000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20211231 Profit Loss 192423167000.0000 MXN 4 ifrs/2023 Components Of Equity= Equity Attributable To Owners Of Parent;
0001193125-25-077049 20211231 Profit Loss Attributable To Noncontrolling Interests 3902947000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211231 Profit Loss Attributable To Noncontrolling Interests 4475146000.0000 MXN 4 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20231231 Profit Loss From Continuing Operations 80789642000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Profit Loss From Continuing Operations 4782000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20211231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 5959563000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001193125-25-077049 20211231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 8313018000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20221231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 82878406000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 6486771000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Colombia Segment;
0001193125-25-077049 20221231 Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity 11795662000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Europe Segment;
0001193125-25-077049 20231231 Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity 0.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Profit Loss From Operating Activities 16155521000.0000 MXN 4 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20231231 Profit Loss From Operating Activities 15442813000.0000 MXN 4 ifrs/2023 Significant Investments In Subsidiaries= Subsidiaries With Material Noncontrolling Interests;
0001193125-25-077049 20201231 Property Plant And Equipment 67501913000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Construction In Process And Advances Plant Suppliers; Construction in progress includes fixed and mobile network facilities as well as satellite developments and fiber optic which is in the process of being installed.
0001193125-25-077049 20201231 Property Plant And Equipment 157022845000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Other Property Plant And Equipment;
0001193125-25-077049 20211231 Property Plant And Equipment 9849503000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation; Classes Of Property Plant And Equipment= Buildings;
0001193125-25-077049 20231231 Property Plant And Equipment 85175222000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Depreciation; Classes Of Property Plant And Equipment= Other Property Plant And Equipment;
0001193125-25-077049 20231231 Property Plant And Equipment 959410692000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Network In Operation And Equipment;
0001193125-25-077049 20231231 Property Plant And Equipment 31874754000.0000 MXN 0 ifrs/2023 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Spare Parts For Operation Of Network;
0001193125-25-077049 20231231 Purchase Of Interests In Associates 459750000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Purchase Of Property Plant And Equipment Classified As Investing Activities 7760000000.0000 USD 4 ifrs/2023
0001193125-25-077049 20221231 Purchase Of Treasury Shares 26234786000.0000 MXN 4 ifrs/2023 Components Of Equity= Retained Earnings;
0001193125-25-077049 20231231 Purchase Of Treasury Shares 14323067000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20231231 Purchase Of Treasury Shares 14319762000.0000 MXN 4 ifrs/2023 Components Of Equity= Retained Earnings;
0001193125-25-077049 20231231 Retained Earnings 545653728000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Revaluation Surplus Recycling Of Assets By Spinoff Net Of Deferred Tax -4911409000.0000 MXN 4 0001193125-25-077049 Components Of Equity= Revaluation Surplus;
0001193125-25-077049 20211231 Revenue 102427062000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20221231 Revenue 1416704000.0000 MXN 4 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Claro Panama;
0001193125-25-077049 20231231 Revenue 44064261000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Central America Segment;
0001193125-25-077049 20211231 Revenue From Interest 14864242000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Mexico Segment;
0001193125-25-077049 20211231 Revenue From Interest 758126000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Telmex Segment;
0001193125-25-077049 20221231 Revenue From Interest 4823579000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20221231 Revenue From Interest 701794000.0000 MXN 4 ifrs/2023 Segment Consolidation Items= Operating Segments; Segments= Caribbean Segment;
0001193125-25-077049 20221231 Revenue From Sale Of Telecommunication Equipment 131515849000.0000 MXN 4 ifrs/2023
0001193125-25-077049 20211130 Rightofuse Assets 1625000.0000 MXN 0 ifrs/2023 Continuing And Discontinued Operations= Discontinued Operations; Significant Investments In Subsidiaries= Tracfone Wireless Inc Tracfone;
0001193125-25-077049 20221231 Rightofuse Assets 9222438000.0000 MXN 0 ifrs/2023 Classes Of Assets= Property;
0001193125-25-077049 20221231 Rightofuse Assets 106219649000.0000 MXN 0 ifrs/2023 Classes Of Assets= Tower Sites;
0001193125-25-077049 20231231 Sale Of Short Term Investments 620000000.0000 USD 4 0001193125-25-077049
0001193125-25-077049 20211231 Shareholders Equity Effect Of Discontinued Operations 829163000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20221231 Spinoff Effects -2582887000.0000 MXN 4 0001193125-25-077049
0001193125-25-077049 20231231 Trade And Other Current Payables 162097416000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20221231 Trade And Other Current Receivables Due From Related Parties 2287213000.0000 MXN 0 ifrs/2023
0001193125-25-077049 20231231 Valuation Of Derivatives Interest Cost From Labor Obligations And Other Financial Items Net -1586000000.0000 USD 4 0001193125-25-077049
0001140361-25-018954 20231231 Interest Expense 2333600000.0000 MXN 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Andean Segment;
0001140361-25-018954 20241231 Adjustments For Decrease Increase In Financial Instruments And Other 0.0000 USD 4 0001140361-25-018954
0001140361-25-018954 20231231 Adjustments For Decrease Increase In Prepaid Expenses -6154082000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Adjustments For Decrease Increase In Receivables From Related Parties -167000000.0000 USD 4 0001140361-25-018954
0001140361-25-018954 20231231 Adjustments For Decrease Increase In Trade And Other Receivables -19201698000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20231231 Adjustments For Depreciation Expense 133818176000.0000 MXN 4 ifrs/2024
0001140361-25-018954 20241231 Adjustments For Gain Loss On Disposals Property Plant And Equipment -13000000.0000 USD 4 ifrs/2024
0001140361-25-018954 20231231 Adjustments For Gain Loss On Valuation Of Derivative Financial Instruments Capitalized Interest Expense And Other Net -4623029000.0000 MXN 4 0001140361-25-018954

Description
Field Name Field Description
adsh Accession Number. The 20-character string formed from the 18-digit number assigned by the SEC to each EDGAR submission.
tag The unique identifier (name) for a tag in a specific taxonomy release.
version For a standard tag, an identifier for the taxonomy; otherwise the accession number where the tag was defined.
ddate The end date for the data value, rounded to the nearest month end.
qtrs The count of the number of quarters represented by the data value, rounded to the nearest whole number. “0” indicates it is a point-in-time value.
uom The unit of measure for the value.
segments Tags used to represent axis and member reporting.
coreg If specified, indicates a specific co-registrant, the parent company, or other entity (e.g., guarantor). NULL indicates the consolidated entity.
value The value. This is not scaled, it is as found in the Interactive Data file, but is limited to four digits to the right of the decimal point.
footnote The text of any superscripted footnotes on the value, as shown on the statement page, truncated to 512 characters, or if there is no footnote, then this field will be blank.

Tags

tag version custom abstract datatype iord crdr tlabel doc
Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, gains (losses) from investments in equity instruments The amount of other comprehensive income, net of tax, related to gains (losses) from changes in the fair value of investments in equity instruments that the entity has designated at fair value through other comprehensive income applying paragraph 5.7.5 of IFRS 9. [Refer: Other comprehensive income]
Income Taxes Paid Classified As Operating Activities ifrs/2024 0 0 monetary D C Income taxes paid, classified as operating activities The cash outflow for income taxes paid, classified as operating activities.
Profit Loss From Operating Activities ifrs/2023 0 0 monetary D C Profit (loss) from operating activities The profit (loss) from operating activities of the entity. [Refer: Profit (loss)]
Debt Instruments At Fair Value Through Other Comprehensive Income 0001193125-25-077049 1 0 monetary I D Debt instruments at fair value through other comprehensive income Debt instruments at fair value through other comprehensive income.
Revenue From Interest ifrs/2024 0 0 monetary D C Interest income The amount of income arising from interest.
Adjustments For Depreciation Expense ifrs/2023 0 0 monetary D D Adjustments for depreciation expense Adjustments for depreciation expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss)]
Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2023 0 0 monetary D C Cash flows used in obtaining control of subsidiaries or other businesses, classified as investing activities The aggregate cash flows used in obtaining control of subsidiaries or other businesses, classified as investing activities. [Refer: Subsidiaries [member]]
Accumulated Other Comprehensive Income ifrs/2024 0 0 monetary I C Accumulated other comprehensive income The amount of accumulated items of income and expense (including reclassification adjustments) that are not recognised in profit or loss as required or permitted by other IFRSs. [Refer: IFRSs [member]; Other comprehensive income]
Adjustments For Decrease Increase In Inventories ifrs/2024 0 0 monetary D D Adjustments for decrease (increase) in inventories Adjustments for decrease (increase) in inventories to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Inventories; Profit (loss)]
Adjustments For Interest Expense ifrs/2023 0 0 monetary D D Adjustments for interest expense Adjustments for interest expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Interest expense; Profit (loss)]
Proceeds From Noncurrent Borrowings ifrs/2023 0 0 monetary D D Proceeds from non-current borrowings The cash inflow from non-current borrowings obtained. [Refer: Borrowings]
Current Borrowings And Current Portion Of Noncurrent Borrowings ifrs/2023 0 0 monetary I C Current borrowings and current portion of non-current borrowings The amount of current borrowings and current portion of non-current borrowings. [Refer: Borrowings]
Other Expense By Function ifrs/2024 0 0 monetary D D Other expense, by function The amount of expenses that the entity does not separately disclose in the same statement or note when the entity uses the 'function of expense' form for its analysis of expenses.
Adjustments For Depreciation Expense ifrs/2024 0 0 monetary D D Adjustments for depreciation expense Adjustments for depreciation expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss)]
Current Lease Liabilities ifrs/2024 0 0 monetary I C Current lease liabilities The amount of current lease liabilities. [Refer: Lease liabilities]
Depreciation And Amortisation Expense ifrs/2024 0 0 monetary D D Depreciation and amortisation expense The amount of depreciation and amortisation expense. Depreciation and amortisation are the systematic allocations of depreciable amounts of assets over their useful lives.
Profit Loss Before Tax ifrs/2024 0 0 monetary D C Profit (loss) before tax The profit (loss) before tax expense or income. [Refer: Profit (loss)]
Purchase Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 0 0 monetary D C Purchase of property, plant and equipment, classified as investing activities The cash outflow for the purchases of property, plant and equipment, classified as investing activities. [Refer: Property, plant and equipment]
Repayments Of Borrowings Classified As Financing Activities ifrs/2024 0 0 monetary D C Repayments of borrowings, classified as financing activities The cash outflow to settle borrowings, classified as financing activities. [Refer: Borrowings]
Gains Losses On Exchange Differences On Translation Recognised In Profit Or Loss ifrs/2024 0 0 monetary D C Foreign exchange gain (loss) The amount of exchange differences recognised in profit or loss that arise from foreign currency transactions, excluding those arising on financial instruments measured at fair value through profit or loss in accordance with IFRS 9. [Refer: At fair value [member]; Classes of financial instruments [domain]]
Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity And Debtinvestment 0001193125-25-077049 1 0 monetary D C Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity And DebtInvestment Other comprehensive income net of tax gains losses from investments in equity and debtInvestment.
Intangible Assets Other Than Goodwill ifrs/2024 0 0 monetary I D Intangible assets other than goodwill The amount of identifiable non-monetary assets without physical substance. This amount does not include goodwill. [Refer: Goodwill]
Adjustments For Increase Decrease In Employee Profit Sharing 0001140361-25-018954 1 0 monetary D D Adjustments for increase (decrease) in employee profit sharing Adjustments for increase (decrease) in employee profit sharing to reconcile profit (loss) to net cash flow from (used in) operating activities.
Deferred Tax Liabilities ifrs/2023 0 0 monetary I C Deferred tax liabilities The amounts of income taxes payable in future periods in respect of taxable temporary differences. [Refer: Temporary differences [member]]
Current Lease Liabilities ifrs/2023 0 0 monetary I C Current lease liabilities The amount of current lease liabilities. [Refer: Lease liabilities]
Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2023 0 0 monetary D D Cash flows from losing control of subsidiaries or other businesses, classified as investing activities The aggregate cash flows arising from losing control of subsidiaries or other businesses, classified as investing activities. [Refer: Subsidiaries [member]]
Interest Expense ifrs/2023 0 0 monetary D D Interest expense The amount of expense arising from interest.
Inventories ifrs/2023 0 0 monetary I D Current inventories The amount of current inventories. [Refer: Inventories]
Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments ifrs/2023 0 0 monetary D C Other comprehensive income, net of tax, gains (losses) from investments in equity instruments The amount of other comprehensive income, net of tax, related to gains (losses) from changes in the fair value of investments in equity instruments that the entity has designated at fair value through other comprehensive income applying paragraph 5.7.5 of IFRS 9. [Refer: Other comprehensive income]
Other Expense By Function ifrs/2023 0 0 monetary D D Other expense, by function The amount of expenses that the entity does not separately disclose in the same statement or note when the entity uses the 'function of expense' form for its analysis of expenses.
Other Noncurrent Financial Assets ifrs/2023 0 0 monetary I D Other non-current financial assets The amount of non-current financial assets that the entity does not separately disclose in the same statement or note. [Refer: Other financial assets]
Purchase Of Financial Instruments Classified As Investing Activities ifrs/2023 0 0 monetary D C Purchase of financial instruments, classified as investing activities The cash outflow for the purchase of financial instruments. [Refer: Financial instruments, class [member]]
Equity Investments At Fair Value Through Other Comprehensive Income And Other Shortterm Investments 0001193125-25-077049 1 0 monetary I D Equity investments at fair value through other comprehensive income and other short-term investments Equity investments at fair value through other comprehensive income and other short-term investments.
Repayments Of Borrowings Classified As Financing Activities ifrs/2023 0 0 monetary D C Repayments of borrowings, classified as financing activities The cash outflow to settle borrowings, classified as financing activities. [Refer: Borrowings]
Adjustments For Decrease Increase In Trade And Other Receivables ifrs/2024 0 0 monetary D D Adjustments for decrease (increase) in trade and other receivables Adjustments for decrease (increase) in trade and other receivables to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Trade and other receivables; Profit (loss)]
Dividends Paid ifrs/2024 0 0 monetary D D Dividends recognised as distributions to owners The amount of dividends recognised as distributions to owners.
Goodwill ifrs/2024 0 0 monetary I D Goodwill The amount of assets representing the future economic benefits arising from other assets acquired in a business combination that are not individually identified and separately recognised. [Refer: Total for all business combinations [member]]
Increase Decrease In Cash And Cash Equivalents Before Effect Of Exchange Rate Changes ifrs/2024 0 0 monetary D D Increase (decrease) in cash and cash equivalents before effect of exchange rate changes The increase (decrease) in cash and cash equivalents before the effect of exchange rate changes on cash and cash equivalents held in foreign currencies. [Refer: Cash and cash equivalents; Effect of exchange rate changes on cash and cash equivalents]
Longterm Borrowings ifrs/2024 0 0 monetary I C Non-current portion of non-current borrowings The non-current portion of non-current borrowings. [Refer: Borrowings]
Payments From Changes In Ownership Interests In Subsidiaries ifrs/2024 0 0 monetary D C Payments from changes in ownership interests in subsidiaries that do not result in loss of control The cash outflow for changes in ownership interests in subsidiaries that do not result in a loss of control. [Refer: Total for all subsidiaries [member]]
Share Of Profit Loss Of Associates Accounted For Using Equity Method ifrs/2024 0 0 monetary D C Share of profit (loss) of associates accounted for using equity method The entity's share of the profit (loss) of associates accounted for using the equity method. [Refer: Total for all associates [member]; Investments accounted for using equity method; Profit (loss)]
Assets ifrs/2023 0 0 monetary I D Assets The amount of a present economic resource controlled by the entity as a result of past events. Economic resource is a right that has the potential to produce economic benefits.
Comprehensive Income From Discontinued Operations ifrs/2023 0 0 monetary D C Comprehensive income from discontinued operations The comprehensive income from discontinued operations. [Refer: Discontinued operations [member]; Comprehensive income]
Cost Of Sales ifrs/2023 0 0 monetary D D Cost of sales The amount of all expenses directly or indirectly attributed to the goods or services sold. Attributed expenses include, but are not limited to, costs previously included in the measurement of inventory that has now been sold, such as depreciation and maintenance of factory buildings and equipment used in the production process, unallocated production overheads, and abnormal amounts of production costs of inventories.
Current Assets ifrs/2023 0 0 monetary I D Current assets The amount of assets that the entity (a) expects to realise or intends to sell or consume in its normal operating cycle; (b) holds primarily for the purpose of trading; (c) expects to realise within twelve months after the reporting period; or (d) classifies as cash or cash equivalents (as defined in IAS 7) unless the asset is restricted from being exchanged or used to settle a liability for at least twelve months after the reporting period. [Refer: Assets]
Deferred Tax Assets ifrs/2023 0 0 monetary I D Deferred tax assets The amounts of income taxes recoverable in future periods in respect of: (a) deductible temporary differences; (b) the carryforward of unused tax losses; and (c) the carryforward of unused tax credits. [Refer: Temporary differences [member]; Unused tax credits [member]; Unused tax losses [member]]
Noncurrent Lease Liabilities ifrs/2023 0 0 monetary I C Non-current lease liabilities The amount of non-current lease liabilities. [Refer: Lease liabilities]
Other Comprehensive Income Net Of Tax Exchange Differences On Translation ifrs/2023 0 0 monetary D C Other comprehensive income, net of tax, exchange differences on translation of foreign operations The amount of other comprehensive income, net of tax, after reclassification adjustments, related to exchange differences when financial statements of foreign operations are translated. [Refer: Other comprehensive income]
Profit Loss Attributable To Noncontrolling Interests ifrs/2023 0 0 monetary D C Profit (loss), attributable to non-controlling interests The profit (loss) from continuing and discontinued operations attributable to non-controlling interests. [Refer: Profit (loss); Non-controlling interests]
Dividends Received Classified As Investing Activities ifrs/2024 0 0 monetary D D Dividends received, classified as investing activities The cash inflow from dividends received, classified as investing activities. [Refer: Dividends received]
Equity And Liabilities ifrs/2024 0 0 monetary I C Equity and liabilities The amount of the entity's equity and liabilities. [Refer: Equity; Liabilities]
Inventories ifrs/2024 0 0 monetary I D Current inventories The amount of current inventories. [Refer: Inventories]
Adjustments For Unrealised Foreign Exchange Losses Gains ifrs/2024 0 0 monetary D D Adjustments for unrealised foreign exchange losses (gains) Adjustments for unrealised foreign exchange losses (gains) to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss)]
Basic Earnings Loss Per Share From Continuing Operations ifrs/2024 0 0 perShare D Basic earnings (loss) per share from continuing operations Basic earnings (loss) per share from continuing operations. [Refer: Basic earnings (loss) per share; Continuing operations, unless line item indicates otherwise [member]]
Comprehensive Income From Continuing Operations ifrs/2024 0 0 monetary D C Comprehensive income from continuing operations The comprehensive income from continuing operations. [Refer: Continuing operations, unless line item indicates otherwise [member]; Comprehensive income]
Other Noncurrent Financial Assets ifrs/2024 0 0 monetary I D Other non-current financial assets The amount of non-current financial assets that the entity does not separately disclose in the same statement or note. [Refer: Other financial assets]
Profit Loss From Operating Activities ifrs/2024 0 0 monetary D C Profit (loss) from operating activities The profit (loss) from operating activities of the entity. [Refer: Profit (loss)]
Trade And Other Current Payables ifrs/2024 0 0 monetary I C Trade and other current payables The amount of current trade payables and current other payables. [Refer: Current trade payables; Other current payables]
Adjustments For Employee Profit Sharing 0001193125-25-077049 1 0 monetary D D Adjustments for Employee Profit Sharing Adjustments for employee profit sharing.
Asset Retirement Obligations 0001193125-25-077049 1 0 monetary I C Asset Retirement Obligations Asset Retirement Obligations
Adjustments For Employee Profit Sharing 0001140361-25-018954 1 0 monetary D D Adjustments for employee profit sharing Adjustments for employee profit sharing to reconcile profit (loss) to net cash flow from (used in) operating activities.
Adjustments For Amortisation Expense ifrs/2023 0 0 monetary D D Adjustments for amortisation expense Adjustments for amortisation expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss); Depreciation and amortisation expense]
Adjustments For Increase Decrease In Employee Benefit Liabilities ifrs/2023 0 0 monetary D D Adjustments for increase (decrease) in employee benefit liabilities Adjustments for increase (decrease) in employee benefit liabilities to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss)]
Cash And Cash Equivalents ifrs/2023 0 0 monetary I D Cash and cash equivalents The amount of cash on hand and demand deposits, along with short-term, highly liquid investments that are readily convertible to known amounts of cash and that are subject to an insignificant risk of changes in value. [Refer: Cash; Cash equivalents]
Current Liabilities ifrs/2023 0 0 monetary I C Current liabilities The amount of liabilities that: (a) the entity expects to settle in its normal operating cycle; (b) the entity holds primarily for the purpose of trading; (c) are due to be settled within twelve months after the reporting period; or (d) the entity does not have the right at the end of the reporting period to defer settlement for at least twelve months after the reporting period.
Increase Decrease In Cash And Cash Equivalents Before Effect Of Exchange Rate Changes ifrs/2023 0 0 monetary D D Increase (decrease) in cash and cash equivalents before effect of exchange rate changes The increase (decrease) in cash and cash equivalents before the effect of exchange rate changes on cash and cash equivalents held in foreign currencies. [Refer: Cash and cash equivalents; Effect of exchange rate changes on cash and cash equivalents]
Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings ifrs/2023 0 0 monetary D C Increase (decrease) through transfer between revaluation surplus and retained earnings, equity The increase (decrease) in equity resulting from transfers between a revaluation surplus and retained earnings. [Refer: Retained earnings; Revaluation surplus]
Liabilities ifrs/2023 0 0 monetary I C Liabilities The amount of a present obligation of the entity to transfer an economic resource as a result of past events. Economic resource is a right that has the potential to produce economic benefits.
Longterm Borrowings ifrs/2023 0 0 monetary I C Non-current portion of non-current borrowings The non-current portion of non-current borrowings. [Refer: Borrowings]
Other Comprehensive Income ifrs/2023 0 0 monetary D C Other comprehensive income The amount of income and expense (including reclassification adjustments) that is not recognised in profit or loss as required or permitted by IFRSs. [Refer: IFRSs [member]]
Profit Loss ifrs/2023 0 0 monetary D C Profit (loss) The total of income less expenses from continuing and discontinued operations, excluding the components of other comprehensive income. [Refer: Other comprehensive income]
Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity ifrs/2023 0 0 monetary D C Profit (loss) from continuing operations attributable to ordinary equity holders of parent entity, used in calculating basic earnings per share The profit (loss) from continuing operations attributable to ordinary equity holders of the parent entity. [Refer: Continuing operations [member]; Profit (loss) from continuing operations]
Revenue ifrs/2023 0 0 monetary D C Revenue The income arising in the course of an entity's ordinary activities. Income is increases in assets, or decreases in liabilities, that result in increases in equity, other than those relating to contributions from holders of equity claims.
Selling General And Administrative Expense ifrs/2023 0 0 monetary D D Selling, general and administrative expense The amount of expense relating to selling, general and administrative activities of the entity.
Increase Decrease In Equity Through Spin Off Effects 0001140361-25-018954 1 0 monetary D C Increase (decrease) in equity through spin-off effects The increase (decrease) in equity resulting from spin-off effects.
Adjustments For Decrease Increase In Prepaid Expenses ifrs/2024 0 0 monetary D D Adjustments for decrease (increase) in prepaid expenses Adjustments for the decrease (increase) in prepaid expenses to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Current prepaid expenses; Profit (loss)]
Cash And Cash Equivalents ifrs/2024 0 0 monetary I D Cash and cash equivalents The amount of cash on hand and demand deposits, along with short-term, highly liquid investments that are readily convertible to known amounts of cash and that are subject to an insignificant risk of changes in value. [Refer: Cash; Cash equivalents]
Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2024 0 0 monetary D D Cash flows from losing control of subsidiaries or other businesses, classified as investing activities The aggregate cash flows arising from losing control of subsidiaries or other businesses, classified as investing activities. [Refer: Total for all subsidiaries [member]]
Cash Flows From Used In Operating Activities Discontinued Operations ifrs/2024 0 0 monetary D Cash flows from (used in) operating activities, discontinued operations The cash flows from (used in) the entity's operating activities, related to discontinued operations. [Refer: Discontinued operations [member]; Cash flows from (used in) operating activities]
Comprehensive Income ifrs/2024 0 0 monetary D C Comprehensive income The amount of change in equity resulting from transactions and other events, other than those changes resulting from transactions with owners in their capacity as owners.
Current Liabilities ifrs/2024 0 0 monetary I C Current liabilities The amount of liabilities that: (a) the entity expects to settle in its normal operating cycle; (b) the entity holds primarily for the purpose of trading; (c) are due to be settled within twelve months after the reporting period; or (d) the entity does not have the right at the end of the reporting period to defer settlement for at least twelve months after the reporting period.
Diluted Earnings Loss Per Share From Discontinued Operations ifrs/2024 0 0 perShare D Diluted earnings (loss) per share from discontinued operations Diluted earnings (loss) per share from discontinued operations. [Refer: Diluted earnings (loss) per share; Discontinued operations [member]]
Effect Of Exchange Rate Changes On Cash And Cash Equivalents ifrs/2024 0 0 monetary D D Effect of exchange rate changes on cash and cash equivalents The effect of exchange rate changes on cash and cash equivalents held or due in a foreign currency. [Refer: Cash and cash equivalents]
Income Tax Expense Continuing Operations ifrs/2024 0 0 monetary D D Tax expense (income) The aggregate amount included in the determination of profit (loss) for the period in respect of current tax and deferred tax. [Refer: Current tax expense (income); Deferred tax expense (income)]
Payments To Acquire Or Redeem Entitys Shares ifrs/2024 0 0 monetary D C Payments to acquire or redeem entity's shares The cash outflow to acquire or redeem entity's shares.
Profit Loss Attributable To Noncontrolling Interests ifrs/2024 0 0 monetary D C Profit (loss), attributable to non-controlling interests The profit (loss) from continuing and discontinued operations attributable to non-controlling interests. [Refer: Profit (loss); Non-controlling interests]
Purchase Of Intangible Assets Classified As Investing Activities ifrs/2024 0 0 monetary D C Purchase of intangible assets, classified as investing activities The cash outflow for the purchases of intangible assets, classified as investing activities. [Refer: Intangible assets other than goodwill]
Adjustments For Decrease Increase In Financial Instruments And Other 0001193125-25-077049 1 0 monetary D D Adjustments for decrease (increase) in financial instruments and other Adjustments for decrease (increase) in financial instruments and other.
Profit Before Income Tax From Continuing Operations 0001193125-25-077049 1 0 monetary D C Profit Before Income Tax from Continuing Operations Profit before income tax from continuing operations.
Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Discontinuing Operations 0001140361-25-018954 1 0 monetary D C Other comprehensive income (loss), net of tax, exchange differences on translation of foreign operations from discontinuing operations The amount of other comprehensive income (loss), net of tax, after reclassification adjustments, related to exchange differences from discontinuing operations when financial statements of foreign operations are translated.
Proceeds From Contractual Earnout From Business Combination Classified As Investing Activities 0001140361-25-018954 1 0 monetary D D Proceeds from contractual earnout from business combination, classified as investing activities The cash inflow from proceeds from contractual earnout from business combination, classified as investing activities.
Adjustments For Interest Income ifrs/2023 0 0 monetary D C Adjustments for interest income Adjustments for interest income expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Interest income; Profit (loss)]
Income Taxes Paid Classified As Operating Activities ifrs/2023 0 0 monetary D C Income taxes paid, classified as operating activities The cash outflow for income taxes paid, classified as operating activities.
Interest Received Classified As Operating Activities ifrs/2023 0 0 monetary D D Interest received, classified as operating activities The cash inflow from interest received, classified as operating activities.
Cash Flows From Used In Investing Activities ifrs/2023 0 0 monetary D D Cash flows from (used in) investing activities The cash flows from (used in) investing activities, which are the acquisition and disposal of long-term assets and other investments not included in cash equivalents.
Profit Loss Before Tax ifrs/2023 0 0 monetary D C Profit (loss) before tax The profit (loss) before tax expense or income. [Refer: Profit (loss)]
Current Payables On Social Security And Taxes Other Than Income Tax ifrs/2023 0 0 monetary I C Current payables on social security and taxes other than income tax The amount of current payables on social security and taxes other than incomes tax. [Refer: Payables on social security and taxes other than income tax]
Property Plant And Equipment ifrs/2023 0 0 monetary I D Property, plant and equipment The amount of tangible assets that: (a) are held for use in the production or supply of goods or services, for rental to others, or for administrative purposes; and (b) are expected to be used during more than one period. Note that right-of-use assets are not included. [Contrast: Property, plant and equipment including right-of-use assets]
Depreciation And Amortisation Expense ifrs/2023 0 0 monetary D D Depreciation and amortisation expense The amount of depreciation and amortisation expense. Depreciation and amortisation are the systematic allocations of depreciable amounts of assets over their useful lives.
Dividends Received ifrs/2023 0 0 monetary D D Dividends received The amount of dividends received.
Equity ifrs/2023 0 0 monetary I C Equity The amount of residual interest in the assets of the entity after deducting all its liabilities.
Assets ifrs/2024 0 0 monetary I D Assets The amount of a present economic resource controlled by the entity as a result of past events. Economic resource is a right that has the potential to produce economic benefits.
Other Comprehensive Income Net Of Tax Gains Losses On Revaluation ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, gains (losses) on revaluation of property, plant and equipment, right-of-use assets and intangible assets The amount of other comprehensive income, net of tax, related to gains (losses) in relation to changes in the revaluation surplus of property, plant and equipment, right-of-use assets and intangible assets. [Refer: Other comprehensive income; Revaluation surplus]
Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Trade And Other Receivables ifrs/2024 0 0 monetary D D Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss, trade and other receivables Adjustments for impairment loss (reversal of impairment loss) on trade and other receivables recognised in profit or loss to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Trade and other receivables; Impairment loss; Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss; Impairment loss (reversal of impairment loss) recognised in profit or loss]
Noncurrent Liabilities ifrs/2024 0 0 monetary I C Non-current liabilities The amount of liabilities that do not meet the definition of current liabilities. [Refer: Current liabilities]
Gains Losses Recognised When Control In Subsidiary Is Lost ifrs/2024 0 0 monetary D C Gains (losses) recognised when control of subsidiary is lost The gains (losses) recognised in association with the loss of control over a subsidiary, which are attributable to the former controlling interest.
Purchase Of Investments Other Than Investments Accounted For Using Equity Method ifrs/2024 0 0 monetary D C Purchase of investments other than investments accounted for using equity method The cash outflow for the purchase of investments other than investments accounted for using equity method. [Refer: Investments accounted for using equity method; Investments other than investments accounted for using equity method]
Payments Of Lease Liabilities Classified As Financing Activities ifrs/2024 0 0 monetary D C Payments of lease liabilities, classified as financing activities The cash outflow for payment of lease liabilities, classified as financing activities. [Refer: Lease liabilities]
Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 0 0 monetary D D Proceeds from sales of property, plant and equipment, classified as investing activities The cash inflow from sales of property, plant and equipment, classified as investing activities. [Refer: Property, plant and equipment]
Property Plant And Equipment ifrs/2024 0 0 monetary I D Property, plant and equipment The amount of tangible assets that: (a) are held for use in the production or supply of goods or services, for rental to others, or for administrative purposes; and (b) are expected to be used during more than one period. Note that right-of-use assets are not included. [Contrast: Property, plant and equipment including right-of-use assets]
Purchase Of Interests In Associates ifrs/2024 0 0 monetary D C Purchase of interests in associates The cash outflow for the purchase of interests in associates. [Refer: Total for all associates [member]]
Loss On Deconsolidation Of Subsidiary 0001193125-25-077049 1 0 monetary D C Loss On Deconsolidation Of Subsidiary Loss on deconsolidation of subsidiary.
Sale Of Short Term Investments 0001193125-25-077049 1 0 monetary D D Sale Of Short Term Investments Sale of short-term investments.
Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Continuing Operations 0001140361-25-018954 1 0 monetary D C Other comprehensive income (loss), net of tax, exchange differences on translation of foreign operations from continuing operations The amount of other comprehensive income (loss), net of tax, after reclassification adjustments, related to exchange differences from continuing operations when financial statements of foreign operations are translated.
Retained Earnings From Prior Periods 0001140361-25-018954 1 0 monetary I C Retained earnings from prior periods The amount of retained earnings from prior periods.
Goodwill ifrs/2023 0 0 monetary I D Goodwill The amount of assets representing the future economic benefits arising from other assets acquired in a business combination that are not individually identified and separately recognised. [Refer: Business combinations [member]]
Income Tax Expense Continuing Operations ifrs/2023 0 0 monetary D D Tax expense (income) The aggregate amount included in the determination of profit (loss) for the period in respect of current tax and deferred tax. [Refer: Current tax expense (income); Deferred tax expense (income)]
Noncontrolling Interests ifrs/2023 0 0 monetary I C Non-controlling interests The amount of equity in a subsidiary not attributable, directly or indirectly, to a parent. [Refer: Subsidiaries [member]]
Comprehensive Income Attributable To Noncontrolling Interests ifrs/2023 0 0 monetary D C Comprehensive income, attributable to non-controlling interests The amount of comprehensive income attributable to non-controlling interests. [Refer: Comprehensive income; Non-controlling interests]
Current Deferred Income Including Current Contract Liabilities ifrs/2023 0 0 monetary I C Current deferred income including current contract liabilities The amount of current deferred income including current contract liabilities. [Refer: Deferred income including contract liabilities]
Trade And Other Current Payables To Related Parties ifrs/2023 0 0 monetary I C Current payables to related parties The amount of current payables due to related parties. [Refer: Related parties [member]; Payables to related parties]
Noncurrent Deferred Income Including Noncurrent Contract Liabilities ifrs/2023 0 0 monetary I C Non-current deferred income including non-current contract liabilities The amount of non-current deferred income including non-current contract liabilities. [Refer: Deferred income including contract liabilities]
Purchase Of Intangible Assets Classified As Investing Activities ifrs/2023 0 0 monetary D C Purchase of intangible assets, classified as investing activities The cash outflow for the purchases of intangible assets, classified as investing activities. [Refer: Intangible assets other than goodwill]
Purchase Of Treasury Shares ifrs/2023 0 0 monetary D D Purchase of treasury shares The decrease in equity resulting from the purchase of treasury shares. [Refer: Treasury shares]
Revenue From Rendering Of Services ifrs/2023 0 0 monetary D C Revenue from rendering of services The amount of revenue arising from the rendering of services. [Refer: Revenue]
Revenue From Sale Of Telecommunication Equipment ifrs/2023 0 0 monetary D C Revenue from sale of telecommunication equipment The amount of revenue arising from the sale of telecommunication equipment. [Refer: Revenue]
Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2024 0 0 monetary D C Cash flows used in obtaining control of subsidiaries or other businesses, classified as investing activities The aggregate cash flows used in obtaining control of subsidiaries or other businesses, classified as investing activities. [Refer: Total for all subsidiaries [member]]
Adjustments For Gain Loss On Disposals Property Plant And Equipment ifrs/2024 0 0 monetary D C Adjustments for gain (loss) on disposals, property, plant and equipment Adjustments for gain (loss) on disposals of property, plant and equipment to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss); Property, plant and equipment; Disposals, property, plant and equipment]
Comprehensive Income From Discontinued Operations ifrs/2024 0 0 monetary D C Comprehensive income from discontinued operations The comprehensive income from discontinued operations. [Refer: Discontinued operations [member]; Comprehensive income]
Equity Attributable To Owners Of Parent ifrs/2024 0 0 monetary I C Equity attributable to owners of parent The amount of equity attributable to the owners of the parent. This specifically excludes non-controlling interest.
Interest Paid Classified As Financing Activities ifrs/2024 0 0 monetary D C Interest paid, classified as financing activities The cash outflow for interest paid, classified as financing activities.
Noncurrent Deferred Income Including Noncurrent Contract Liabilities ifrs/2024 0 0 monetary I C Non-current deferred income including non-current contract liabilities The amount of non-current deferred income including non-current contract liabilities. [Refer: Deferred income including contract liabilities]
Noncurrent Provisions For Employee Benefits ifrs/2024 0 0 monetary I C Non-current provisions for employee benefits The amount of non-current provisions for employee benefits. [Refer: Provisions for employee benefits]
Revenue From Rendering Of Services ifrs/2024 0 0 monetary D C Revenue from rendering of services The amount of revenue arising from the rendering of services. [Refer: Revenue]
Adjustments For Gain Loss On Valuation Of Derivative Financial Instruments Capitalized Interest Expense And Other Net 0001140361-25-018954 1 0 monetary D C Adjustments for gain (loss) on valuation of derivative financial instruments, capitalized interest expense and other, net The amount of adjustments for gain (loss) on valuation of derivative financial instruments, capitalized interest expense and other, net.
Other Comprehensive Income Net Of Tax Gains Losses On Revaluation Net Off Deferred Tax 0001193125-25-077049 1 0 monetary D C Other Comprehensive Income Net Of Tax Gains Losses On Revaluation Net Off Deferred Tax Other comprehensive income net of tax gains losses on revaluation net off deferred tax.
Profit Loss Before Taxes 0001193125-25-077049 1 0 monetary D C Profit Loss Before Taxes Profit loss before taxes.
Adjustments For Decrease Increase In Trade And Other Receivables ifrs/2023 0 0 monetary D D Adjustments for decrease (increase) in trade and other receivables Adjustments for decrease (increase) in trade and other receivables to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Trade and other receivables; Profit (loss)]
Adjustments For Increase Decrease In Deferred Income Including Contract Liabilities ifrs/2023 0 0 monetary D D Adjustments for increase (decrease) in deferred income including contract liabilities Adjustments for the increase (decrease) in deferred income including contract liabilities to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Deferred income including contract liabilities; Profit (loss)]
Cash Flows From Used In Financing Activities ifrs/2023 0 0 monetary D D Cash flows from (used in) financing activities The cash flows from (used in) financing activities, which are activities that result in changes in the size and composition of the contributed equity and borrowings of the entity.
Current Tax Liabilities Current ifrs/2023 0 0 monetary I C Current tax liabilities, current The current amount of current tax liabilities. [Refer: Current tax liabilities]
Dividends Paid ifrs/2023 0 0 monetary D D Dividends recognised as distributions to owners The amount of dividends recognised as distributions to owners.
Expense By Nature ifrs/2023 0 0 monetary D D Expenses, by nature The amount of expenses aggregated according to their nature (for example, depreciation, purchases of materials, transport costs, employee benefits and advertising costs), and not reallocated among functions within the entity.
Adjustments For Amortisation Expense ifrs/2024 0 0 monetary D D Adjustments for amortisation expense Adjustments for amortisation expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss); Depreciation and amortisation expense]
Interest Paid Classified As Financing Activities ifrs/2023 0 0 monetary D C Interest paid, classified as financing activities The cash outflow for interest paid, classified as financing activities.
Issued Capital ifrs/2023 0 0 monetary I C Issued capital The nominal value of capital issued.
Noncurrent Liabilities ifrs/2023 0 0 monetary I C Non-current liabilities The amount of liabilities that do not meet the definition of current liabilities. [Refer: Current liabilities]
Adjustments For Gain Loss On Disposal Of Investments In Subsidiaries Joint Ventures And Associates ifrs/2024 0 0 monetary D C Adjustments for gain (loss) on disposal of investments in subsidiaries, joint ventures and associates Adjustments for gain (loss) on disposals investments in subsidiaries, joint ventures and associates to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Total for all associates [member]; Total for all joint ventures [member]; Total for all subsidiaries [member]; Investments in subsidiaries, joint ventures and associates reported in separate financial statements; Profit (loss)]
Other Comprehensive Income Net Of Tax Exchange Differences On Translation ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, exchange differences on translation of foreign operations The amount of other comprehensive income, net of tax, after reclassification adjustments, related to exchange differences when financial statements of foreign operations are translated. [Refer: Other comprehensive income]
Cash Flows From Used In Financing Activities ifrs/2024 0 0 monetary D D Cash flows from (used in) financing activities The cash flows from (used in) financing activities, which are activities that result in changes in the size and composition of the contributed equity and borrowings of the entity, from continuing and discontinued operations.
Current Payables On Social Security And Taxes Other Than Income Tax ifrs/2024 0 0 monetary I C Current payables on social security and taxes other than income tax The amount of current payables on social security and taxes other than incomes tax. [Refer: Payables on social security and taxes other than income tax]
Dividends Paid Classified As Financing Activities ifrs/2024 0 0 monetary D C Dividends paid, classified as financing activities The cash outflow for dividends paid by the entity, classified as financing activities.
Profit Loss ifrs/2024 0 0 monetary D C Profit (loss) The total of income less expenses from continuing and discontinued operations, excluding the components of other comprehensive income. [Refer: Other comprehensive income]
Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings ifrs/2024 0 0 monetary D C Increase (decrease) through transfer between revaluation surplus and retained earnings, equity The increase (decrease) in equity resulting from transfers between a revaluation surplus and retained earnings. [Refer: Retained earnings; Revaluation surplus]
Liabilities ifrs/2024 0 0 monetary I C Liabilities The amount of a present obligation of the entity to transfer an economic resource as a result of past events. Economic resource is a right that has the potential to produce economic benefits.
Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity ifrs/2024 0 0 monetary D C Profit (loss) from continuing operations attributable to ordinary equity holders of parent entity, used in calculating basic earnings per share The profit (loss) from continuing operations attributable to ordinary equity holders of the parent entity. [Refer: Continuing operations, unless line item indicates otherwise [member]; Profit (loss) from continuing operations]
Profit Loss From Discontinued Operations ifrs/2024 0 0 monetary D C Profit (loss) from discontinued operations The profit (loss) from discontinued operations. [Refer: Discontinued operations [member]; Profit (loss)]
Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity ifrs/2024 0 0 monetary D C Profit (loss) from discontinued operations attributable to ordinary equity holders of parent entity, used in calculating basic earnings per share The profit (loss) from discontinued operations attributable to ordinary equity holders of the parent entity. [Refer: Profit (loss) from discontinued operations]
Adjustments For Increase Decrease In Trade And Other Payables ifrs/2023 0 0 monetary D D Adjustments for increase (decrease) in trade and other payables Adjustments for increase (decrease) in trade and other payables to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Trade and other payables; Profit (loss)]
Adjustments For Non Cash Transactions 0001193125-25-077049 1 0 monetary D D Adjustments for non cash transactions Adjustments for non cash transactions.
Capital Expenditures Incurred But Not Yet Paid1 0001193125-25-077049 1 0 monetary D C Capital expenditures incurred but not yet paid1 Capital expenditures incurred but not yet paid.
Gains Losses On Exchange Differences On Translation Net Of Tax From Continuing Operations 0001193125-25-077049 1 0 monetary D C Gains Losses on Exchange Differences on Translation Net of Tax from Continuing Operations Gains losses on exchange differences on translation net of tax from continuing operations.
Impairment Of Joint Venture 0001193125-25-077049 1 0 monetary D D Impairment Of Joint Venture Impairment of joint venture.
Revaluation Surplus Recycling Of Assets By Spinoff Net Of Deferred Tax 0001193125-25-077049 1 0 monetary D C Revaluation surplus recycling of assets by spinoff, net of deferred tax Revaluation surplus recycling of assets by spinoff, net of deferred tax.
Adjustments For Decrease Increase In Receivables From Related Parties 0001140361-25-018954 1 0 monetary D D Adjustments for decrease (increase) in receivables from related parties Adjustments for decrease (increase) in receivables from related parties to reconcile profit (loss) to net cash flow from (used in) operating activities.
Cash Flows From Used In Operating Activities ifrs/2023 0 0 monetary D Cash flows from (used in) operating activities The cash flows from (used in) operating activities, which are the principal revenue-producing activities of the entity and other activities that are not investing or financing activities. [Refer: Revenue]
Cash Flows From Used In Operating Activities Discontinued Operations ifrs/2023 0 0 monetary D Cash flows from (used in) operating activities, discontinued operations The cash flows from (used in) the entity's operating activities, related to discontinued operations. [Refer: Discontinued operations [member]; Cash flows from (used in) operating activities]
Interest Expense ifrs/2024 0 0 monetary D D Interest expense The amount of expense arising from interest.
Other Comprehensive Income Net Of Tax Gains Losses On Revaluation ifrs/2023 0 0 monetary D C Other comprehensive income, net of tax, gains (losses) on revaluation of property, plant and equipment, right-of-use assets and intangible assets The amount of other comprehensive income, net of tax, related to gains (losses) in relation to changes in the revaluation surplus of property, plant and equipment, right-of-use assets and intangible assets. [Refer: Other comprehensive income; Revaluation surplus]
Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity ifrs/2023 0 0 monetary D C Profit (loss) from discontinued operations attributable to ordinary equity holders of parent entity, used in calculating basic earnings per share The profit (loss) from discontinued operations attributable to ordinary equity holders of the parent entity. [Refer: Profit (loss) from discontinued operations]
Purchase Of Property Plant And Equipment Classified As Investing Activities ifrs/2023 0 0 monetary D C Purchase of property, plant and equipment, classified as investing activities The cash outflow for the purchases of property, plant and equipment, classified as investing activities. [Refer: Property, plant and equipment]
Revenue From Interest ifrs/2023 0 0 monetary D C Interest income The amount of income arising from interest.
Rightofuse Assets ifrs/2023 0 0 monetary I D Right-of-use assets The amount of assets that represent a lessee's right to use an underlying asset for the lease term that do not meet the definition of investment property. Underlying asset is an asset that is the subject of a lease, for which the right to use that asset has been provided by a lessor to a lessee.
Adjustments For Interest Expense ifrs/2024 0 0 monetary D D Adjustments for interest expense Adjustments for interest expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Interest expense; Profit (loss)]
Cash Flows From Used In Investing Activities ifrs/2024 0 0 monetary D D Cash flows from (used in) investing activities The cash flows from (used in) investing activities, which are the acquisition and disposal of long-term assets and other investments not included in cash equivalents, from continuing and discontinued operations.
Cost Of Sales ifrs/2024 0 0 monetary D D Cost of sales The amount of all expenses directly or indirectly attributed to the goods or services sold. Attributed expenses include, but are not limited to, costs previously included in the measurement of inventory that has now been sold, such as depreciation and maintenance of factory buildings and equipment used in the production process, unallocated production overheads, and abnormal amounts of production costs of inventories.
Equity ifrs/2024 0 0 monetary I C Equity The amount of residual interest in the assets of the entity after deducting all its liabilities.
Adjustments For Decrease Increase In Financial Instruments And Other 0001140361-25-018954 1 0 monetary D D Adjustments for decrease (increase) in financial instruments and other Adjustments for decrease (increase) in financial instruments and other to reconcile profit (loss) to net cash flow from (used in) operating activities.
Other Current Assets ifrs/2024 0 0 monetary I D Other current assets The amount of current assets that the entity does not separately disclose in the same statement or note. [Refer: Current assets]
Selling General And Administrative Expense ifrs/2024 0 0 monetary D D Selling, general and administrative expense The amount of expense relating to selling, general and administrative activities of the entity.
Gain On Sale Of Subsidiary 0001193125-25-077049 1 0 monetary D D Gain on sale of subsidiary Gain on sale of subsidiary.
Basic Earnings Loss Per Share From Discontinued Operations ifrs/2023 0 0 perShare D Basic earnings (loss) per share from discontinued operations Basic earnings (loss) per share from discontinued operations. [Refer: Basic earnings (loss) per share; Discontinued operations [member]]
Comprehensive Income From Continuing Operations ifrs/2023 0 0 monetary D C Comprehensive income from continuing operations The comprehensive income from continuing operations. [Refer: Continuing operations [member]; Comprehensive income]
Derivative Financial Assets ifrs/2023 0 0 monetary I D Derivative financial assets The amount of financial assets classified as derivative instruments. [Refer: Financial assets; Derivatives [member]]
Adjustments For Decrease Increase In Prepaid Expenses ifrs/2023 0 0 monetary D D Adjustments for decrease (increase) in prepaid expenses Adjustments for the decrease (increase) in prepaid expenses to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Current prepaid expenses; Profit (loss)]
Payments From Changes In Ownership Interests In Subsidiaries ifrs/2023 0 0 monetary D C Payments from changes in ownership interests in subsidiaries that do not result in loss of control The cash outflow for changes in ownership interests in subsidiaries that do not result in a loss of control. [Refer: Subsidiaries [member]]
Purchase Of Interests In Associates ifrs/2023 0 0 monetary D C Purchase of interests in associates The cash outflow for the purchase of interests in associates. [Refer: Associates [member]]
Share Of Profit Loss Of Associates Accounted For Using Equity Method ifrs/2023 0 0 monetary D C Share of profit (loss) of associates accounted for using equity method The entity's share of the profit (loss) of associates accounted for using the equity method. [Refer: Associates [member]; Investments accounted for using equity method; Profit (loss)]
Trade And Other Current Payables ifrs/2023 0 0 monetary I C Trade and other current payables The amount of current trade payables and current other payables. [Refer: Current trade payables; Other current payables]
Effect Of Exchange Rate Changes On Cash And Cash Equivalents ifrs/2023 0 0 monetary D D Effect of exchange rate changes on cash and cash equivalents The effect of exchange rate changes on cash and cash equivalents held or due in a foreign currency. [Refer: Cash and cash equivalents]
Equity And Liabilities ifrs/2023 0 0 monetary I C Equity and liabilities The amount of the entity's equity and liabilities. [Refer: Equity; Liabilities]
Equity Attributable To Owners Of Parent ifrs/2023 0 0 monetary I C Equity attributable to owners of parent The amount of equity attributable to the owners of the parent. This specifically excludes non-controlling interest.
Comprehensive Income Attributable To Noncontrolling Interests ifrs/2024 0 0 monetary D C Comprehensive income, attributable to non-controlling interests The amount of comprehensive income attributable to non-controlling interests. [Refer: Comprehensive income; Non-controlling interests]
Current Assets ifrs/2024 0 0 monetary I D Current assets The amount of assets that the entity (a) expects to realise or intends to sell or consume in its normal operating cycle; (b) holds primarily for the purpose of trading; (c) expects to realise within twelve months after the reporting period; or (d) classifies as cash or cash equivalents (as defined in IAS 7) unless the asset is restricted from being exchanged or used to settle a liability for at least twelve months after the reporting period. [Refer: Assets]
Noncurrent Lease Liabilities ifrs/2024 0 0 monetary I C Non-current lease liabilities The amount of non-current lease liabilities. [Refer: Lease liabilities]
Adjustments For Increase Decrease In Deferred Income Including Contract Liabilities ifrs/2024 0 0 monetary D D Adjustments for increase (decrease) in deferred income including contract liabilities Adjustments for the increase (decrease) in deferred income including contract liabilities to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Deferred income including contract liabilities; Profit (loss)]
Deferred Tax Liabilities ifrs/2024 0 0 monetary I C Deferred tax liabilities The amounts of income taxes payable in future periods in respect of taxable temporary differences. [Refer: Temporary differences [member]]
Revenue ifrs/2024 0 0 monetary D C Revenue The income arising in the course of an entity's ordinary activities. Income is increases in assets, or decreases in liabilities, that result in increases in equity, other than those relating to contributions from holders of equity claims.
Revenue From Sale Of Telecommunication Equipment ifrs/2024 0 0 monetary D C Revenue from sale of telecommunication equipment The amount of revenue arising from the sale of telecommunication equipment. [Refer: Revenue]
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans ifrs/2024 0 0 monetary D C Other comprehensive income, net of tax, gains (losses) on remeasurements of defined benefit plans The amount of other comprehensive income, net of tax, related to gains (losses) on remeasurements of defined benefit plans, which comprise actuarial gains and losses; the return on plan assets, excluding amounts included in net interest on the net defined benefit liability (asset); and any change in the effect of the asset ceiling, excluding amounts included in net interest on the net defined benefit liability (asset). [Refer: Other comprehensive income; Defined benefit plans [domain]; Plan assets [member]; Net defined benefit liability (asset)] [Contrast: Decrease (increase) in net defined benefit liability (asset) resulting from gain (loss) on remeasurement in other comprehensive income]
Trade And Other Current Receivables Due From Related Parties ifrs/2024 0 0 monetary I D Current receivables due from related parties The amount of current receivables due from related parties. [Refer: Total for all related parties [member]]
Accumulated Other Comprehensive Income ifrs/2023 0 0 monetary I C Accumulated other comprehensive income The amount of accumulated items of income and expense (including reclassification adjustments) that are not recognised in profit or loss as required or permitted by other IFRSs. [Refer: IFRSs [member]; Other comprehensive income]
Adjustments For Decrease Increase In Receivables From Related Parties 0001193125-25-077049 1 0 monetary D D Adjustments For Decrease Increase In Receivables From Related Parties Adjustments for decrease (increase) in receivables from related parties.
Proceeds From Contractual Earnout From Business Combination 0001193125-25-077049 1 0 monetary D D Proceeds From Contractual Earnout From Business Combination Proceeds from contractual earnout from business combination.
Spinoff Effects 0001193125-25-077049 1 0 monetary D C Spinoff effects Spin-off effects.
Adjustments For Net Period Cost Of Labor Obligations 0001140361-25-018954 1 0 monetary D D Adjustments for net period cost of labor obligations The adjustments for net period cost of labor obligations to reconcile profit (loss) to net cash flow from (used in) operating activities.
Adjustments For Decrease Increase In Other Assets ifrs/2023 0 0 monetary D D Adjustments for decrease (increase) in other assets Adjustments for decrease (increase) in other assets to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Other assets; Profit (loss)]
Adjustments For Gain Loss On Disposal Of Investments In Subsidiaries Joint Ventures And Associates ifrs/2023 0 0 monetary D C Adjustments for gain (loss) on disposal of investments in subsidiaries, joint ventures and associates Adjustments for gain (loss) on disposals investments in subsidiaries, joint ventures and associates to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Associates [member]; Joint ventures [member]; Subsidiaries [member]; Investments in subsidiaries, joint ventures and associates reported in separate financial statements; Profit (loss)]
Comprehensive Income ifrs/2023 0 0 monetary D C Comprehensive income The amount of change in equity resulting from transactions and other events, other than those changes resulting from transactions with owners in their capacity as owners.
Other Current Assets ifrs/2023 0 0 monetary I D Other current assets The amount of current assets that the entity does not separately disclose in the same statement or note. [Refer: Current assets]
Profit Loss From Continuing Operations ifrs/2023 0 0 monetary D C Profit (loss) from continuing operations The profit (loss) from continuing operations. [Refer: Continuing operations [member]; Profit (loss)]
Retained Earnings ifrs/2023 0 0 monetary I C Retained earnings A component of equity representing the entity's cumulative undistributed earnings or deficit.
Trade And Other Current Receivables ifrs/2023 0 0 monetary I D Trade and other current receivables The amount of current trade receivables and current other receivables. [Refer: Current trade receivables; Other current receivables]
Trade And Other Current Receivables Due From Related Parties ifrs/2023 0 0 monetary I D Current receivables due from related parties The amount of current receivables due from related parties. [Refer: Related parties [member]]
Gains Losses On Change In Fair Value Of Derivatives ifrs/2024 0 0 monetary D C Gains (losses) on change in fair value of derivatives The gains (losses) resulting from change in the fair value of derivatives recognised in profit or loss. [Refer: Derivatives [member]]
Cash Flows From Used In Investing Activities Discontinued Operations ifrs/2024 0 0 monetary D D Cash flows from (used in) investing activities, discontinued operations The cash flows from (used in) the entity's investing activities, related to discontinued operations. [Refer: Discontinued operations [member]; Cash flows from (used in) investing activities]
Comprehensive Income From Continuing Operations Attributable To Owners Of Parent ifrs/2024 0 0 monetary D C Comprehensive income from continuing operations, attributable to owners of parent The comprehensive income from continuing operations attributable to owners of the parent. [Refer: Comprehensive income from continuing operations]
Current Tax Liabilities Current ifrs/2024 0 0 monetary I C Current tax liabilities, current The current amount of current tax liabilities. [Refer: Current tax liabilities]
Interest Received Classified As Operating Activities ifrs/2024 0 0 monetary D D Interest received, classified as operating activities The cash inflow from interest received, classified as operating activities.
Longterm Provision For Decommissioning Restoration And Rehabilitation Costs ifrs/2024 0 0 monetary I C Non-current provision for decommissioning, restoration and rehabilitation costs The amount of non-current provision for decommissioning, restoration and rehabilitation costs. [Refer: Provision for decommissioning, restoration and rehabilitation costs]
Gains Losses On Net Monetary Position ifrs/2024 0 0 monetary D C Gains (losses) on net monetary position The gains (losses) representing the difference resulting from the restatement of non-monetary assets, owners' equity and items in the statement of comprehensive income and the adjustment of index linked assets and liabilities in hyperinflationary reporting.
Payables For Purchase Of Noncurrent Assets ifrs/2024 0 0 monetary I C Payables for purchase of non-current assets The amount of payables for the purchase of non-current assets. [Refer: Non-current assets]
Rightofuse Assets ifrs/2024 0 0 monetary I D Right-of-use assets The amount of assets that represent a lessee's right to use an underlying asset for the lease term that do not meet the definition of investment property. Underlying asset is an asset that is the subject of a lease, for which the right to use that asset has been provided by a lessor to a lessee.
Trade And Other Current Payables To Related Parties ifrs/2024 0 0 monetary I C Current payables to related parties The amount of current payables due to related parties. [Refer: Total for all related parties [member]; Payables to related parties]
Purchase Of Treasury Shares ifrs/2024 0 0 monetary D D Purchase of treasury shares The decrease in equity resulting from the purchase of treasury shares. [Refer: Treasury shares]
Trade And Other Current Receivables ifrs/2024 0 0 monetary I D Trade and other current receivables The amount of current trade receivables and current other receivables. [Refer: Current trade receivables; Other current receivables]
Adjustments For Gain Loss On Disposals Property Plant And Equipment ifrs/2023 0 0 monetary D C Adjustments for gain (loss) on disposals, property, plant and equipment Adjustments for gain (loss) on disposals of property, plant and equipment to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss); Property, plant and equipment; Disposals, property, plant and equipment]
Adjustments For Increase Decrease In Employee Profit Sharing 0001193125-25-077049 1 0 monetary D D Adjustments for increase (decrease) in Employee profit sharing Adjustments for increase (decrease) in employee profit sharing.
Shareholders Equity Effect Of Discontinued Operations 0001193125-25-077049 1 0 monetary D D Shareholders Equity Effect of Discontinued Operations Shareholders equity effect of discontinued operations.
Valuation Of Derivatives Interest Cost From Labor Obligations And Other Financial Items Net 0001193125-25-077049 1 0 monetary D C Valuation of Derivatives Interest Cost From Labor Obligations And Other Financial Items Net Valuation of derivatives, interest cost from labor obligations and other financial items, net.
Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 0001140361-25-018954 1 0 monetary D C Increase (decrease) in equity through other acquisitions of non-controlling interests The increase (decrease) in equity resulting from other acquisition of non-controlling interests.
Profit Loss Before Tax Excluding Discontinued Operations 0001140361-25-018954 1 0 monetary D C Profit Loss Before Tax Excluding Discontinued Operations The amount of profit loss before taxes and excluding discontinued operations.
Current Borrowings And Current Portion Of Noncurrent Borrowings ifrs/2024 0 0 monetary I C Current borrowings and current portion of non-current borrowings The amount of current borrowings and current portion of non-current borrowings. [Refer: Borrowings]
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans ifrs/2023 0 0 monetary D C Other comprehensive income, net of tax, gains (losses) on remeasurements of defined benefit plans The amount of other comprehensive income, net of tax, related to gains (losses) on remeasurements of defined benefit plans, which comprise actuarial gains and losses; the return on plan assets, excluding amounts included in net interest on the net defined benefit liability (asset); and any change in the effect of the asset ceiling, excluding amounts included in net interest on the net defined benefit liability (asset). [Refer: Other comprehensive income; Defined benefit plans [member]; Plan assets [member]; Net defined benefit liability (asset)] [Contrast: Decrease (increase) in net defined benefit liability (asset) resulting from gain (loss) on remeasurement in other comprehensive income]
Proceeds From Sales Of Interests In Associates ifrs/2023 0 0 monetary D D Proceeds from sales of interests in associates The cash inflow from sales of interests in associates. [Refer: Associates [member]]
Profit Loss From Discontinued Operations ifrs/2023 0 0 monetary D C Profit (loss) from discontinued operations The profit (loss) from discontinued operations. [Refer: Discontinued operations [member]; Profit (loss)]
Revaluation Surplus ifrs/2023 0 0 monetary I C Revaluation surplus A component of equity representing the accumulated revaluation surplus on the revaluation of assets recognised in other comprehensive income. [Refer: Other comprehensive income]
Diluted Earnings Loss Per Share From Continuing Operations ifrs/2024 0 0 perShare D Diluted earnings (loss) per share from continuing operations Diluted earnings (loss) per share from continuing operations. [Refer: Continuing operations, unless line item indicates otherwise [member]; Diluted earnings (loss) per share]
Expense By Nature ifrs/2024 0 0 monetary D D Expenses, by nature The amount of expenses aggregated according to their nature (for example, depreciation, purchases of materials, transport costs, employee benefits and advertising costs), and not reallocated among functions within the entity.
Other Comprehensive Income ifrs/2024 0 0 monetary D C Other comprehensive income The amount of income and expense (including reclassification adjustments) that is not recognised in profit or loss as required or permitted by IFRSs. [Refer: IFRSs [member]]
Accounts Receivable Subscribers Distributors And Contractual Assets Non Current 0001193125-25-077049 1 0 monetary I D Accounts Receivable Subscribers, Distributors and Contractual Assets Non Current Accounts receivable subscribers, distributors and contractual assets non current.
Increase Decrease Other Acquisition Of Non Controlling Interests And Other 0001193125-25-077049 1 0 monetary D C Increase decrease other acquisition of non controlling interests and other Increase decrease other acquisition of non controlling interests and other.
Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0001140361-25-018954 1 0 monetary D C Increase (decrease) in equity through revaluation surplus recycling of assets by spin-off, net of deferred tax The increase (decrease) in equity resulting from recycling of assets revaluation surplus by spin-off, net of deferred taxes.

Description
Field Name Field Description
tag The unique identifier (name) for a tag in a specific taxonomy release.
version For a standard tag, an identifier for the taxonomy; otherwise the accession number where the tag was defined.
custom 1 if tag is custom (version=adsh), 0 if it is standard. Note: This flag is technically redundant with the version and adsh columns.
abstract 1 if the tag is not used to represent a numeric fact.
datatype If abstract=1, then NULL, otherwise the data type (e.g., monetary) for the tag.
iord If abstract=1, then NULL; otherwise, “I” if the value is a point-in time, or “D” if the value is a duration.
crdr If datatype = monetary, then the tag’s natural accounting balance (debit or credit); if not defined, then NULL.
tlabel If a standard tag, then the label text provided by the taxonomy, otherwise the text provided by the filer. A tag which had neither would have a NULL value here.
doc The detailed definition for the tag. If a standard tag, then the text provided by the taxonomy, otherwise the text assigned by the filer. Some tags have neither, and this field is NULL.

Presentation of Statements

adsh report line stmt inpth rfile tag version plabel negating
0001140361-25-018954 2 3 BS 0 H Cash And Cash Equivalents ifrs/2024 Cash and cash equivalents 0
0001140361-25-018954 2 4 BS 0 H Current Investments In Equity Instruments Designated At Fair Value Through Other Comprehensive Income And Other Short Term Investments 0001140361-25-018954 Equity investments at fair value through other comprehensive income (OCI) and other short-term investments 0
0001140361-25-018954 2 6 BS 0 H Trade And Other Current Receivables ifrs/2024 Subscribers, distributors, recoverable taxes, contract assets and other, net 0
0001140361-25-018954 2 7 BS 0 H Trade And Other Current Receivables Due From Related Parties ifrs/2024 Related parties 0
0001140361-25-018954 2 8 BS 0 H Current Derivative Financial Assets ifrs/2024 Derivative financial instruments 0
0001140361-25-018954 2 9 BS 0 H Inventories ifrs/2024 Inventories, net 0
0001140361-25-018954 2 10 BS 0 H Other Current Assets ifrs/2024 Other current assets, net 0
0001140361-25-018954 2 11 BS 0 H Current Assets ifrs/2024 Total current assets 0
0001140361-25-018954 2 13 BS 0 H Property Plant And Equipment ifrs/2024 Property, plant and equipment, net 0
0001140361-25-018954 2 14 BS 0 H Intangible Assets Other Than Goodwill ifrs/2024 Intangibles, net 0
0001140361-25-018954 2 15 BS 0 H Goodwill ifrs/2024 Goodwill 0
0001140361-25-018954 2 16 BS 0 H Investments In Associates ifrs/2024 Investments in associated companies 0
0001140361-25-018954 2 17 BS 0 H Deferred Tax Assets ifrs/2024 Deferred income taxes 0
0001140361-25-018954 2 18 BS 0 H Noncurrent Receivables ifrs/2024 Accounts receivable, subscriber, distributors and contract assets, net 0
0001140361-25-018954 3 36 IS 0 H Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans ifrs/2024 Re-measurement of defined benefit plan, net of deferred taxes 0
0001140361-25-018954 3 37 IS 0 H Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments ifrs/2024 Unrealized (loss) gain on equity investments at fair value, net of deferred taxes 0
0001140361-25-018954 3 38 IS 0 H Other Comprehensive Income Net Of Tax Gains Losses On Revaluation ifrs/2024 Revaluation surplus, net of deferred taxes 0
0001140361-25-018954 3 39 IS 0 H Other Comprehensive Income ifrs/2024 Total other comprehensive (loss) income items for the year, net of deferred taxes 0
0001140361-25-018954 3 40 IS 0 H Comprehensive Income ifrs/2024 Total comprehensive income for the year 0
0001140361-25-018954 3 42 IS 0 H Comprehensive Income From Continuing Operations Attributable To Owners Of Parent ifrs/2024 Equity holders of the parent from continuing operations 0
0001140361-25-018954 3 43 IS 0 H Comprehensive Income Attributable To Noncontrolling Interests ifrs/2024 Non-controlling interests 0
0001140361-25-018954 3 44 IS 0 H Comprehensive Income ifrs/2024 Total comprehensive income for the year 0
0001140361-25-018954 3 46 IS 0 H Comprehensive Income From Continuing Operations ifrs/2024 Net comprehensive income from continuing operations 0
0001140361-25-018954 3 47 IS 0 H Comprehensive Income From Discontinued Operations ifrs/2024 Net comprehensive (loss) from discontinued operations 0
0001140361-25-018954 3 48 IS 0 H Comprehensive Income ifrs/2024 Total comprehensive income for the year 0
0001140361-25-018954 4 15 EQ 0 H Equity ifrs/2024 Beginning balance 0
0001140361-25-018954 4 16 EQ 0 H Profit Loss ifrs/2024 Net profit for the year 0
0001140361-25-018954 4 17 EQ 0 H Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments ifrs/2024 Unrealized loss on equity and debt investments at fair value, net of deferred taxes (Note 21) 0
0001140361-25-018954 4 18 EQ 0 H Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans ifrs/2024 Remeasurement of defined benefit plan, net of deferred taxes (Note 21) 0
0001140361-25-018954 4 19 EQ 0 H Other Comprehensive Income Net Of Tax Exchange Differences On Translation ifrs/2024 Effect of translation of foreign entities (Note 21) 0
0001140361-25-018954 4 20 EQ 0 H Other Comprehensive Income Net Of Tax Gains Losses On Revaluation ifrs/2024 Revaluation of assets, net of deferred taxes 0
0001140361-25-018954 4 21 EQ 0 H Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Discontinuing Operations 0001140361-25-018954 Discontinued operations (Note 21) 0
0001140361-25-018954 4 22 EQ 0 H Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings ifrs/2024 Transfer of assets' revaluation surplus (Note 21) 0
0001140361-25-018954 4 23 EQ 0 H Comprehensive Income ifrs/2024 Total comprehensive income for the year 0
0001140361-25-018954 4 24 EQ 0 H Dividends Paid ifrs/2024 Dividends declared 1
0001140361-25-018954 4 25 EQ 0 H Purchase Of Treasury Shares ifrs/2024 Repurchase of shares 1
0001140361-25-018954 4 26 EQ 0 H Increase Decrease In Equity Through Revaluation Surplus Recycling Of Assets By Spin Off Net Of Deferred Tax 0001140361-25-018954 Recycling of assets revaluation surplus by spin-off, net of deferred taxes 0
0001140361-25-018954 4 27 EQ 0 H Increase Decrease In Equity Through Spin Off Effects 0001140361-25-018954 Spin-off effects 0
0001140361-25-018954 4 28 EQ 0 H Increase Decrease In Equity Through Other Acquisitions Of Non Controlling Interests 0001140361-25-018954 Other acquisitions of non-controlling interests 0
0001140361-25-018954 4 29 EQ 0 H Equity ifrs/2024 Ending balance 0
0001140361-25-018954 5 2 CF 0 H Profit Loss Before Tax ifrs/2024 Profit before income tax from continuing operations 0
0001140361-25-018954 5 3 CF 0 H Profit Loss Before Income Taxes From Discontinued Operations 0001140361-25-018954 Loss before income tax from discontinued operations 0
0001140361-25-018954 5 4 CF 0 H Profit Loss Before Tax Excluding Discontinued Operations 0001140361-25-018954 Profit before income tax 0
0001140361-25-018954 5 6 CF 0 H Adjustments For Depreciation Expense ifrs/2024 Depreciation property, plant and equipment and right-of-use assets 0
0001140361-25-018954 5 7 CF 0 H Adjustments For Amortisation Expense ifrs/2024 Amortization of intangible and other assets 0
0001140361-25-018954 5 8 CF 0 H Share Of Profit Loss Of Associates Accounted For Using Equity Method ifrs/2024 Equity interest in net result of associated companies 1
0001140361-25-018954 5 9 CF 0 H Adjustments For Gain Loss On Disposals Property Plant And Equipment ifrs/2024 Loss (gain) on sale of property, plant and equipment 1
0001140361-25-018954 5 10 CF 0 H Adjustments For Net Period Cost Of Labor Obligations 0001140361-25-018954 Net period cost of labor obligations 0
0001140361-25-018954 5 11 CF 0 H Adjustments For Unrealised Foreign Exchange Losses Gains ifrs/2024 Foreign currency exchange loss (income), net 0
0001140361-25-018954 5 12 CF 0 H Adjustments For Interest Income ifrs/2024 Interest income 1
0001140361-25-018954 5 13 CF 0 H Adjustments For Interest Expense ifrs/2024 Interest expense 0
0001140361-25-018954 5 14 CF 0 H Adjustments For Employee Profit Sharing 0001140361-25-018954 Employee profit sharing 0
0001140361-25-018954 5 15 CF 0 H Adjustments For Gain Loss On Valuation Of Derivative Financial Instruments Capitalized Interest Expense And Other Net 0001140361-25-018954 Valuation of derivative financial instruments, capitalized interest expense and other, net 1
0001140361-25-018954 5 16 CF 0 H Gains Losses On Net Monetary Position ifrs/2024 Gain on net monetary positions 1
0001140361-25-018954 5 17 CF 0 H Adjustments For Gain Loss On Disposal Of Investments In Subsidiaries Joint Ventures And Associates ifrs/2024 Gain on sale of subsidiary 1
0001140361-25-018954 5 18 CF 0 H Gains Losses Recognised When Control In Subsidiary Is Lost ifrs/2024 Loss on deconsolidation of subsidiary 1
0001140361-25-018954 5 19 CF 0 H Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Trade And Other Receivables ifrs/2024 Impairment to notes receivable from joint venture 0
0001140361-25-018954 5 20 CF 0 H Adjustments For Impairment Of Joint Venture 0001140361-25-018954 Impairment of joint venture 0
0001140361-25-018954 5 22 CF 0 H Adjustments For Decrease Increase In Trade And Other Receivables ifrs/2024 Subscribers, distributors, recoverable taxes, contract assets and other 0
0001140361-25-018954 5 23 CF 0 H Adjustments For Decrease Increase In Prepaid Expenses ifrs/2024 Prepaid expenses 0
0001140361-25-018954 5 24 CF 0 H Adjustments For Decrease Increase In Receivables From Related Parties 0001140361-25-018954 Related parties 0
0001140361-25-018954 5 26 CF 0 H Adjustments For Decrease Increase In Other Assets ifrs/2024 Other assets 0
0001140361-25-018954 5 27 CF 0 H Adjustments For Increase Decrease In Employee Benefit Liabilities ifrs/2024 Employee benefits 0
0001140361-25-018954 5 28 CF 0 H Adjustments For Increase Decrease In Trade And Other Payables ifrs/2024 Accounts payable and accrued liabilities 0
0001140361-25-018954 5 29 CF 0 H Adjustments For Decrease Increase In Financial Instruments And Other 0001140361-25-018954 Financial instruments and other 0
0001140361-25-018954 5 30 CF 0 H Adjustments For Increase Decrease In Deferred Income Including Contract Liabilities ifrs/2024 Deferred revenues 0
0001140361-25-018954 5 31 CF 0 H Adjustments For Increase Decrease In Employee Profit Sharing 0001140361-25-018954 Employee profit sharing paid 0
0001140361-25-018954 5 32 CF 0 H Interest Received Classified As Operating Activities ifrs/2024 Interest received 0
0001140361-25-018954 5 33 CF 0 H Income Taxes Paid Classified As Operating Activities ifrs/2024 Income taxes paid 1
0001140361-25-018954 5 34 CF 0 H Cash Flows From Used In Operating Activities Discontinued Operations ifrs/2024 Cash flows from discontinued operating 0
0001140361-25-018954 5 35 CF 0 H Cash Flows From Used In Operating Activities ifrs/2024 Net cash flows provided by continuing operating activities 0
0001140361-25-018954 5 37 CF 0 H Purchase Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 Purchase of property, plant and equipment 1
0001140361-25-018954 5 38 CF 0 H Purchase Of Intangible Assets Classified As Investing Activities ifrs/2024 Acquisition of intangibles 1
0001140361-25-018954 5 39 CF 0 H Dividends Received Classified As Investing Activities ifrs/2024 Dividends received 0
0001140361-25-018954 5 40 CF 0 H Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 Proceeds from sale of property, plant and equipment 0
0001140361-25-018954 5 41 CF 0 H Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2024 Acquisition of business, net of cash acquired 1
0001140361-25-018954 5 42 CF 0 H Proceeds From Contractual Earnout From Business Combination Classified As Investing Activities 0001140361-25-018954 Contractual earn-out from business combination 0
0001140361-25-018954 5 43 CF 0 H Purchase Of Financial Instruments Classified As Investing Activities ifrs/2024 Financial instruments, net 1
0001140361-25-018954 5 44 CF 0 H Proceeds From Sales Of Interests In Associates ifrs/2024 Partial sale of shares of associated company 0
0001140361-25-018954 5 45 CF 0 H Purchase Of Interests In Associates ifrs/2024 Investments in associate companies 1
0001140361-25-018954 5 46 CF 0 H Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2024 Proceeds from the sale of businesses 0
0001140361-25-018954 5 47 CF 0 H Purchase Of Investments Other Than Investments Accounted For Using Equity Method ifrs/2024 Acquisition of short-term investments 1
0001140361-25-018954 5 48 CF 0 H Proceeds From Sale Of Short Term Investments Classified As Investing Activities 0001140361-25-018954 Sale of short-term investments 0
0001140361-25-018954 5 49 CF 0 H Payment For Acquisition Of Notes From Joint Venture Classified As Investing Activities 0001140361-25-018954 Acquisition of notes from joint venture 1
0001140361-25-018954 5 50 CF 0 H Cash Flows From Used In Investing Activities Discontinued Operations ifrs/2024 Cash flows from discontinued investing 0
0001140361-25-018954 5 51 CF 0 H Cash Flows From Used In Investing Activities ifrs/2024 Net cash flows used in investing activities 0
0001140361-25-018954 5 53 CF 0 H Proceeds From Borrowings Classified As Financing Activities ifrs/2024 Loans obtained 0
0001140361-25-018954 5 54 CF 0 H Repayments Of Borrowings Classified As Financing Activities ifrs/2024 Repayment of loans 1
0001140361-25-018954 5 55 CF 0 H Payments Of Lease Liabilities Classified As Financing Activities ifrs/2024 Payment of liability related to right-of-use of assets 1
0001140361-25-018954 5 56 CF 0 H Interest Paid Classified As Financing Activities ifrs/2024 Interest paid 1
0001140361-25-018954 5 57 CF 0 H Payments To Acquire Or Redeem Entitys Shares ifrs/2024 Repurchase of shares 1
0001140361-25-018954 5 58 CF 0 H Dividends Paid Classified As Financing Activities ifrs/2024 Dividends paid 1
0001140361-25-018954 5 59 CF 0 H Payments From Changes In Ownership Interests In Subsidiaries ifrs/2024 Acquisition of non-controlling interests 1
0001140361-25-018954 5 60 CF 0 H Cash Flows From Used In Financing Activities ifrs/2024 Net cash flows used in financing activities 0
0001140361-25-018954 5 61 CF 0 H Increase Decrease In Cash And Cash Equivalents Before Effect Of Exchange Rate Changes ifrs/2024 Net increase (decrease) in cash and cash equivalents 0
0001140361-25-018954 5 62 CF 0 H Effect Of Exchange Rate Changes On Cash And Cash Equivalents ifrs/2024 Adjustment to cash flows due to exchange rate fluctuations, net 0
0001140361-25-018954 5 63 CF 0 H Cash And Cash Equivalents ifrs/2024 Cash and cash equivalents at beginning of the year 0
0001140361-25-018954 5 64 CF 0 H Cash And Cash Equivalents ifrs/2024 Cash and cash equivalents at end of the year 0
0001140361-25-018954 2 19 BS 0 H Other Noncurrent Financial Assets ifrs/2024 Other assets, net 0
0001140361-25-018954 2 20 BS 0 H Debt Instruments Held Measured At Fair Value Through Other Comprehensive Income ifrs/2024 Debt instruments at fair value through OCI 0
0001140361-25-018954 2 21 BS 0 H Rightofuse Assets ifrs/2024 Right-of-use assets, net 0
0001140361-25-018954 2 22 BS 0 H Assets ifrs/2024 Total assets 0
0001140361-25-018954 2 25 BS 0 H Current Borrowings And Current Portion Of Noncurrent Borrowings ifrs/2024 Short-term debt and current portion of long-term debt 0
0001140361-25-018954 2 26 BS 0 H Current Lease Liabilities ifrs/2024 Short-term liability related to right-of-use of assets 0
0001140361-25-018954 2 27 BS 0 H Trade And Other Current Payables ifrs/2024 Accounts payable 0
0001140361-25-018954 2 28 BS 0 H Accruals Classified As Current ifrs/2024 Accrued liabilities 0
0001140361-25-018954 2 29 BS 0 H Current Tax Liabilities Current ifrs/2024 Income tax 0
0001140361-25-018954 2 30 BS 0 H Current Payables On Social Security And Taxes Other Than Income Tax ifrs/2024 Other taxes payable 0
0001140361-25-018954 2 31 BS 0 H Current Derivative Financial Liabilities ifrs/2024 Derivative financial instruments 0
0001140361-25-018954 2 32 BS 0 H Trade And Other Current Payables To Related Parties ifrs/2024 Related parties 0
0001140361-25-018954 2 33 BS 0 H Current Deferred Income Including Current Contract Liabilities ifrs/2024 Deferred revenues 0
0001140361-25-018954 2 34 BS 0 H Current Liabilities ifrs/2024 Total current liabilities 0
0001140361-25-018954 2 36 BS 0 H Longterm Borrowings ifrs/2024 Long-term debt 0
0001140361-25-018954 2 37 BS 0 H Noncurrent Lease Liabilities ifrs/2024 Long-term liability related to right-of-use of assets 0
0001140361-25-018954 2 38 BS 0 H Deferred Tax Liabilities ifrs/2024 Deferred income taxes 0
0001140361-25-018954 2 39 BS 0 H Payables For Purchase Of Noncurrent Assets ifrs/2024 Accounts payable 0
0001140361-25-018954 2 40 BS 0 H Noncurrent Deferred Income Including Noncurrent Contract Liabilities ifrs/2024 Deferred revenues 0
0001140361-25-018954 2 41 BS 0 H Longterm Provision For Decommissioning Restoration And Rehabilitation Costs ifrs/2024 Asset retirement obligations 0
0001140361-25-018954 2 42 BS 0 H Noncurrent Provisions For Employee Benefits ifrs/2024 Employee benefits 0
0001140361-25-018954 2 43 BS 0 H Noncurrent Liabilities ifrs/2024 Total non-current liabilities 0
0001140361-25-018954 2 44 BS 0 H Liabilities ifrs/2024 Total liabilities 0
0001140361-25-018954 2 46 BS 0 H Issued Capital ifrs/2024 Capital stock 0
0001140361-25-018954 2 48 BS 0 H Retained Earnings From Prior Periods 0001140361-25-018954 Prior years 0
0001140361-25-018954 2 49 BS 0 H Retained Earnings For Year 0001140361-25-018954 Profit for the year 0
0001140361-25-018954 2 50 BS 0 H Retained Earnings ifrs/2024 Total retained earnings 0
0001140361-25-018954 2 51 BS 0 H Accumulated Other Comprehensive Income ifrs/2024 Other comprehensive loss items 0
0001140361-25-018954 2 52 BS 0 H Equity Attributable To Owners Of Parent ifrs/2024 Equity attributable to equity holders of the parent 0
0001140361-25-018954 2 53 BS 0 H Noncontrolling Interests ifrs/2024 Non-controlling interests 0
0001140361-25-018954 2 54 BS 0 H Equity ifrs/2024 Total equity 0
0001140361-25-018954 2 55 BS 0 H Equity And Liabilities ifrs/2024 Total liabilities and equity 0
0001140361-25-018954 3 2 IS 0 H Revenue From Rendering Of Services ifrs/2024 Service revenues 0
0001140361-25-018954 3 3 IS 0 H Revenue From Sale Of Telecommunication Equipment ifrs/2024 Sales of equipment 0
0001140361-25-018954 3 4 IS 0 H Revenue ifrs/2024 Operating revenues 0
0001140361-25-018954 3 6 IS 0 H Cost Of Sales ifrs/2024 Cost of sales and services 0
0001140361-25-018954 3 7 IS 0 H Selling General And Administrative Expense ifrs/2024 Commercial, administrative and general expenses 0
0001140361-25-018954 3 8 IS 0 H Other Expense By Function ifrs/2024 Other expenses 0
0001140361-25-018954 3 9 IS 0 H Depreciation And Amortisation Expense ifrs/2024 Depreciation and amortization 0
0001140361-25-018954 3 10 IS 0 H Expense By Nature ifrs/2024 Operating costs and expenses 0
0001140361-25-018954 3 11 IS 0 H Profit Loss From Operating Activities ifrs/2024 Operating income 0
0001140361-25-018954 3 12 IS 0 H Revenue From Interest ifrs/2024 Interest income 0
0001140361-25-018954 3 13 IS 0 H Interest Expense ifrs/2024 Interest expense 1
0001140361-25-018954 3 14 IS 0 H Gains Losses On Exchange Differences On Translation Recognised In Profit Or Loss ifrs/2024 Foreign currency exchange gain (loss), net 0
0001140361-25-018954 3 15 IS 0 H Gains Losses On Change In Fair Value Of Derivatives ifrs/2024 Valuation of derivatives, interest cost from labor obligations and other financial items, net 0
0001140361-25-018954 3 16 IS 0 H Share Of Profit Loss Of Associates Accounted For Using Equity Method ifrs/2024 Equity interest in net result of associated companies 0
0001140361-25-018954 3 17 IS 0 H Profit Loss Before Tax ifrs/2024 Profit before income tax 0
0001140361-25-018954 3 18 IS 0 H Income Tax Expense Continuing Operations ifrs/2024 Income tax 0
0001140361-25-018954 3 19 IS 0 H Profit Loss From Continuing Operations ifrs/2024 Net profit for the year from continuing operations 0
0001140361-25-018954 3 20 IS 0 H Profit Loss From Discontinued Operations ifrs/2024 (Loss) after tax for the year from discontinued operations 0
0001140361-25-018954 3 21 IS 0 H Profit Loss ifrs/2024 Net profit for the year 0
0001140361-25-018954 3 23 IS 0 H Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity ifrs/2024 Equity holders of the parent from continuing operations 0
0001140361-25-018954 3 24 IS 0 H Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity ifrs/2024 Equity holders of the parent from discontinued operations 0
0001140361-25-018954 3 25 IS 0 H Profit Loss Attributable To Noncontrolling Interests ifrs/2024 Non-controlling interests 0
0001140361-25-018954 3 26 IS 0 H Profit Loss ifrs/2024 Net profit for the year 0
0001140361-25-018954 3 27 IS 0 H Basic Earnings Loss Per Share From Continuing Operations ifrs/2024 Basic earnings per share attributable to equity holders of the parent from continuing operations (in dollars per share) 0
0001140361-25-018954 3 28 IS 0 H Diluted Earnings Loss Per Share From Continuing Operations ifrs/2024 Diluted earnings per share attributable to equity holders of the parent from continuing operations (in dollars per share) 0
0001140361-25-018954 3 29 IS 0 H Basic Earnings Loss Per Share From Discontinued Operations ifrs/2024 Basic earnings per share attributable to equity holders of the parent from discontinued operations (in dollars per share) 0
0001140361-25-018954 3 30 IS 0 H Diluted Earnings Loss Per Share From Discontinued Operations ifrs/2024 Diluted earnings per share attributable to equity holders of the parent from discontinued operations (in dollars per share) 0
0001140361-25-018954 3 33 IS 0 H Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Continuing Operations 0001140361-25-018954 Effect of translation of foreign entities from continuing operations 0
0001140361-25-018954 3 34 IS 0 H Other Comprehensive Income Loss Net Of Tax Exchange Differences On Translation Of Foreign Operations From Discontinuing Operations 0001140361-25-018954 Effect of translation of foreign entities from discontinued operations 0
0001140361-25-018954 5 25 CF 0 H Adjustments For Decrease Increase In Inventories ifrs/2024 Inventories 0
0001193125-25-077049 2 14 BS 0 H Intangible Assets Other Than Goodwill ifrs/2023 Intangibles, net 0
0001193125-25-077049 2 3 BS 0 H Cash And Cash Equivalents ifrs/2023 Cash and cash equivalents 0
0001193125-25-077049 2 4 BS 0 H Equity Investments At Fair Value Through Other Comprehensive Income And Other Shortterm Investments 0001193125-25-077049 Equity investments at fair value through other comprehensive income (OCI) and other short-term investments 0
0001193125-25-077049 2 6 BS 0 H Trade And Other Current Receivables ifrs/2023 Subscribers, distributors, recoverable taxes, contract assets and other, net 0
0001193125-25-077049 2 7 BS 0 H Trade And Other Current Receivables Due From Related Parties ifrs/2023 Related parties 0
0001193125-25-077049 2 8 BS 0 H Derivative Financial Assets ifrs/2023 Derivative financial instruments 0
0001193125-25-077049 2 9 BS 0 H Inventories ifrs/2023 Inventories, net 0
0001193125-25-077049 2 10 BS 0 H Other Current Assets ifrs/2023 Other current assets, net 0
0001193125-25-077049 2 11 BS 0 H Current Assets ifrs/2023 Total current assets 0
0001193125-25-077049 2 13 BS 0 H Property Plant And Equipment ifrs/2023 Property, plant and equipment, net 0
0001193125-25-077049 2 15 BS 0 H Goodwill ifrs/2023 Goodwill 0
0001193125-25-077049 2 16 BS 0 H Investments In Associates ifrs/2023 Investments in associated companies 0
0001193125-25-077049 2 17 BS 0 H Deferred Tax Assets ifrs/2023 Deferred income taxes 0
0001193125-25-077049 2 18 BS 0 H Accounts Receivable Subscribers Distributors And Contractual Assets Non Current 0001193125-25-077049 Accounts receivable, subscriber, distributors and contract assets, net 0
0001193125-25-077049 2 19 BS 0 H Other Noncurrent Financial Assets ifrs/2023 Other assets, net 0
0001193125-25-077049 2 20 BS 0 H Debt Instruments At Fair Value Through Other Comprehensive Income 0001193125-25-077049 Debt instruments at fair value through OCI 0
0001193125-25-077049 2 21 BS 0 H Rightofuse Assets ifrs/2023 Right-of-use assets 0
0001193125-25-077049 2 22 BS 0 H Assets ifrs/2023 Total assets 0
0001193125-25-077049 2 25 BS 0 H Current Borrowings And Current Portion Of Noncurrent Borrowings ifrs/2023 Short-term debt and current portion of long-term debt 0
0001193125-25-077049 2 26 BS 0 H Current Lease Liabilities ifrs/2023 Short-term liability related to right-of-use of assets 0
0001193125-25-077049 2 27 BS 0 H Trade And Other Current Payables ifrs/2023 Accounts payable 0
0001193125-25-077049 2 28 BS 0 H Accruals Classified As Current ifrs/2023 Accrued liabilities 0
0001193125-25-077049 2 29 BS 0 H Current Tax Liabilities Current ifrs/2023 Income tax 0
0001193125-25-077049 2 30 BS 0 H Current Payables On Social Security And Taxes Other Than Income Tax ifrs/2023 Other taxes payable 0
0001193125-25-077049 2 31 BS 0 H Current Derivative Financial Liabilities ifrs/2023 Derivative financial instruments 0
0001193125-25-077049 2 32 BS 0 H Trade And Other Current Payables To Related Parties ifrs/2023 Related parties 0
0001193125-25-077049 2 33 BS 0 H Current Deferred Income Including Current Contract Liabilities ifrs/2023 Deferred revenues 0
0001193125-25-077049 2 34 BS 0 H Current Liabilities ifrs/2023 Total current liabilities 0
0001193125-25-077049 2 36 BS 0 H Longterm Borrowings ifrs/2023 Long-term debt 0
0001193125-25-077049 2 37 BS 0 H Noncurrent Lease Liabilities ifrs/2023 Long-term liability related to right-of-use of assets 0
0001193125-25-077049 2 38 BS 0 H Deferred Tax Liabilities ifrs/2023 Deferred income taxes 0
0001193125-25-077049 2 39 BS 0 H Noncurrent Deferred Income Including Noncurrent Contract Liabilities ifrs/2023 Deferred revenues 0
0001193125-25-077049 2 40 BS 0 H Asset Retirement Obligations 0001193125-25-077049 Asset retirement obligations 0
0001193125-25-077049 2 41 BS 0 H Noncurrent Provisions For Employee Benefits ifrs/2023 Employee benefits 0
0001193125-25-077049 2 42 BS 0 H Noncurrent Liabilities ifrs/2023 Total non-current liabilities 0
0001193125-25-077049 2 43 BS 0 H Liabilities ifrs/2023 Total liabilities 0
0001193125-25-077049 2 45 BS 0 H Issued Capital ifrs/2023 Capital stock 0
0001193125-25-077049 2 47 BS 0 H Retained Earnings From Prior Periods 0001193125-25-077049 Prior years 0
0001193125-25-077049 2 48 BS 0 H Retained Earnings Result For The Year 0001193125-25-077049 Profit for the year 0
0001193125-25-077049 2 49 BS 0 H Retained Earnings ifrs/2023 Total retained earnings 0
0001193125-25-077049 2 50 BS 0 H Accumulated Other Comprehensive Income ifrs/2023 Other comprehensive loss items 0
0001193125-25-077049 2 51 BS 0 H Equity Attributable To Owners Of Parent ifrs/2023 Equity attributable to equity holders of the parent 0
0001193125-25-077049 2 52 BS 0 H Noncontrolling Interests ifrs/2023 Non-controlling interests 0
0001193125-25-077049 2 53 BS 0 H Equity ifrs/2023 Total equity 0
0001193125-25-077049 2 54 BS 0 H Equity And Liabilities ifrs/2023 Total liabilities and equity 0
0001193125-25-077049 3 2 IS 0 H Revenue From Rendering Of Services ifrs/2023 Service revenues 0
0001193125-25-077049 3 3 IS 0 H Revenue From Sale Of Telecommunication Equipment ifrs/2023 Sales of equipment 0
0001193125-25-077049 3 4 IS 0 H Revenue ifrs/2023 Operating revenues 0
0001193125-25-077049 3 6 IS 0 H Cost Of Sales ifrs/2023 Cost of sales and services 0
0001193125-25-077049 3 7 IS 0 H Selling General And Administrative Expense ifrs/2023 Commercial, administrative and general expenses 0
0001193125-25-077049 3 8 IS 0 H Other Expense By Function ifrs/2023 Other expenses 0
0001193125-25-077049 3 9 IS 0 H Depreciation And Amortisation Expense ifrs/2023 Depreciation and amortization 0
0001193125-25-077049 3 10 IS 0 H Expense By Nature ifrs/2023 Operating costs and expenses 0
0001193125-25-077049 3 11 IS 0 H Profit Loss From Operating Activities ifrs/2023 Operating income (loss) 0
0001193125-25-077049 3 12 IS 0 H Revenue From Interest ifrs/2023 Interest income 0
0001193125-25-077049 3 13 IS 0 H Interest Expense ifrs/2023 Interest expense 1
0001193125-25-077049 3 14 IS 0 H Gains Losses On Exchange Differences On Translation Recognised In Profit Or Loss ifrs/2023 Foreign currency exchange (loss) gain, net 0
0001193125-25-077049 3 15 IS 0 H Valuation Of Derivatives Interest Cost From Labor Obligations And Other Financial Items Net 0001193125-25-077049 Valuation of derivatives, interest cost from labor obligations and other financial items, net 0
0001193125-25-077049 3 16 IS 0 H Share Of Profit Loss Of Associates Accounted For Using Equity Method ifrs/2023 Equity interest in net result of associated companies 0
0001193125-25-077049 3 17 IS 0 H Profit Loss Before Tax ifrs/2023 Profit (loss) before income tax 0
0001193125-25-077049 3 18 IS 0 H Income Tax Expense Continuing Operations ifrs/2023 Income tax 0
0001193125-25-077049 3 19 IS 0 H Profit Loss From Continuing Operations ifrs/2023 Net profit for the year from continuing operations 0
0001193125-25-077049 3 20 IS 0 H Profit Loss From Discontinued Operations ifrs/2023 Profit (loss) after tax for the year from discontinued operations 0
0001193125-25-077049 3 21 IS 0 H Profit Loss ifrs/2023 Net profit for the year 0
0001193125-25-077049 3 23 IS 0 H Profit Loss From Continuing Operations Attributable To Ordinary Equity Holders Of Parent Entity ifrs/2023 Equity holders of the parent from continuing operations 0
0001193125-25-077049 3 24 IS 0 H Profit Loss From Discontinued Operations Attributable To Ordinary Equity Holders Of Parent Entity ifrs/2023 Equity holders of the parent from discontinued operations 0
0001193125-25-077049 3 25 IS 0 H Profit Loss Attributable To Noncontrolling Interests ifrs/2023 Non-controlling interests 0
0001193125-25-077049 3 26 IS 0 H Profit Loss ifrs/2023 Net profit for the year 0
0001193125-25-077049 3 27 IS 0 H Basic Earnings Loss Per Share From Continuing Operations ifrs/2023 Basic earnings per share attributable to equity holders of the parent from continuing operations 0
0001193125-25-077049 3 28 IS 0 H Basic Earnings Loss Per Share From Discontinued Operations ifrs/2023 Basic earnings per share attributable to equity holders of the parent from discontinued operations 0
0001193125-25-077049 3 31 IS 0 H Gains Losses On Exchange Differences On Translation Net Of Tax From Continuing Operations 0001193125-25-077049 Effect of translation of foreign entities from continuing operations 0
0001193125-25-077049 3 32 IS 0 H Gains Losses On Exchange Differences On Translation Net Of Tax From Discontinuing Operations 0001193125-25-077049 Effect of translation of foreign entities from discontinued operations 0
0001193125-25-077049 3 34 IS 0 H Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans ifrs/2023 Re-measurement of defined benefit plan, net of deferred taxes 0
0001193125-25-077049 3 35 IS 0 H Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments ifrs/2023 Unrealized gain (loss) on equity investments at fair value, net of deferred taxes 0
0001193125-25-077049 3 36 IS 0 H Other Comprehensive Income Net Of Tax Gains Losses On Revaluation ifrs/2023 Revaluation surplus, net of deferred taxes 0
0001193125-25-077049 3 37 IS 0 H Other Comprehensive Income ifrs/2023 Total other comprehensive income (loss) items for the year, net of deferred taxes 0
0001193125-25-077049 3 38 IS 0 H Comprehensive Income ifrs/2023 Total comprehensive income for the year 0
0001193125-25-077049 3 40 IS 0 H Comprehensive Income From Continuing Operations Attributable To Owners Of Parent ifrs/2023 Equity holders of the parent from continuing operations 0
0001193125-25-077049 3 41 IS 0 H Comprehensive Income Attributable To Noncontrolling Interests ifrs/2023 Non-controlling interests 0
0001193125-25-077049 3 42 IS 0 H Comprehensive Income ifrs/2023 Total comprehensive income for the year 0
0001193125-25-077049 3 44 IS 0 H Comprehensive Income From Continuing Operations ifrs/2023 Net comprehensive income from continuing operations 0
0001193125-25-077049 3 45 IS 0 H Comprehensive Income From Discontinued Operations ifrs/2023 Net comprehensive income (loss) from discontinued operations 0
0001193125-25-077049 3 46 IS 0 H Comprehensive Income ifrs/2023 Total comprehensive income for the year 0
0001193125-25-077049 4 16 EQ 0 H Equity ifrs/2023 Beginning balance 0
0001193125-25-077049 4 17 EQ 0 H Profit Loss ifrs/2023 Net profit for the year 0
0001193125-25-077049 4 18 EQ 0 H Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity And Debtinvestment 0001193125-25-077049 Unrealized gain on equity and debt investments at fair value, net of deferred taxes 0
0001193125-25-077049 4 19 EQ 0 H Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans ifrs/2023 Remeasurement of defined benefit plan, net of deferred taxes 0
0001193125-25-077049 4 20 EQ 0 H Other Comprehensive Income Net Of Tax Exchange Differences On Translation ifrs/2023 Effect of translation of foreign entities 0
0001193125-25-077049 4 21 EQ 0 H Other Comprehensive Income Net Of Tax Gains Losses On Revaluation Net Off Deferred Tax 0001193125-25-077049 Revaluation surplus, net deferred taxes 0
0001193125-25-077049 4 22 EQ 0 H Shareholders Equity Effect Of Discontinued Operations 0001193125-25-077049 Discontinued operations 1
0001193125-25-077049 4 23 EQ 0 H Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings ifrs/2023 Transfer of assets' revaluation surplus 0
0001193125-25-077049 4 24 EQ 0 H Comprehensive Income ifrs/2023 Total comprehensive income for the year 0
0001193125-25-077049 4 25 EQ 0 H Dividends Paid ifrs/2023 Dividends declared 1
0001193125-25-077049 4 26 EQ 0 H Purchase Of Treasury Shares ifrs/2023 Repurchase of shares 1
0001193125-25-077049 4 27 EQ 0 H Revaluation Surplus Recycling Of Assets By Spinoff Net Of Deferred Tax 0001193125-25-077049 Recycling of assets revaluation surplus related to Peru and the Dominican Republic's sale of towers, net of deferred taxes 0
0001193125-25-077049 4 28 EQ 0 H Spinoff Effects 0001193125-25-077049 Spin-off effects 0
0001193125-25-077049 4 29 EQ 0 H Increase Decrease Other Acquisition Of Non Controlling Interests And Other 0001193125-25-077049 Other acquisitions of non-controlling interests 0
0001193125-25-077049 4 30 EQ 0 H Equity ifrs/2023 Ending balance 0
0001193125-25-077049 5 2 CF 0 H Profit Before Income Tax From Continuing Operations 0001193125-25-077049 Profit before income tax from continuing operations 0
0001193125-25-077049 5 3 CF 0 H Profit Loss Before Income Tax From Discontinued Operations 0001193125-25-077049 Profit (loss) before income tax from discontinued operations 0
0001193125-25-077049 5 4 CF 0 H Profit Loss Before Taxes 0001193125-25-077049 Profit before income tax 0
0001193125-25-077049 5 6 CF 0 H Adjustments For Depreciation Expense ifrs/2023 Depreciation property, plant and equipment and right-of-use assets 0
0001193125-25-077049 5 7 CF 0 H Adjustments For Amortisation Expense ifrs/2023 Amortization of intangible and other assets 0
0001193125-25-077049 5 8 CF 0 H Share Of Profit Loss Of Associates Accounted For Using Equity Method ifrs/2023 Equity interest in net result of associated companies 1
0001193125-25-077049 5 9 CF 0 H Adjustments For Gain Loss On Disposals Property Plant And Equipment ifrs/2023 (Gain) loss on sale of property, plant and equipment 1
0001193125-25-077049 5 10 CF 0 H Adjustments For Net Period Cost Of Labor Obligations 0001193125-25-077049 Net period cost of labor obligations 0
0001193125-25-077049 5 11 CF 0 H Adjustments For Unrealised Foreign Exchange Losses Gains ifrs/2023 Foreign currency exchange loss (income), net 0
0001193125-25-077049 5 12 CF 0 H Adjustments For Interest Income ifrs/2023 Interest income 1
0001193125-25-077049 5 13 CF 0 H Adjustments For Interest Expense ifrs/2023 Interest expense 0
0001193125-25-077049 5 14 CF 0 H Adjustments For Employee Profit Sharing 0001193125-25-077049 Employee profit sharing 0
0001193125-25-077049 5 15 CF 0 H Adjustments For Gain Loss On Disposal Of Investments In Subsidiaries Joint Ventures And Associates ifrs/2023 Loss in valuation of derivative financial instruments, capitalized interest expense and other, net 1
0001193125-25-077049 5 16 CF 0 H Gains Losses On Net Monetary Position ifrs/2023 Gain on net monetary positions 1
0001193125-25-077049 5 17 CF 0 H Gain On Sale Of Subsidiary 0001193125-25-077049 Gain on sale of subsidiary 0
0001193125-25-077049 5 18 CF 0 H Loss On Deconsolidation Of Subsidiary 0001193125-25-077049 Loss on deconsolidation of subsidiary 1
0001193125-25-077049 5 19 CF 0 H Impairment To Notes Receivable From Joint Venture 0001193125-25-077049 Impairment to notes receivable from joint venture 1
0001193125-25-077049 5 20 CF 0 H Impairment Of Joint Venture 0001193125-25-077049 Impairment of joint venture 0
0001193125-25-077049 5 22 CF 0 H Adjustments For Decrease Increase In Trade And Other Receivables ifrs/2023 Subscribers, distributors, recoverable taxes, contract assets and other, net 0
0001193125-25-077049 5 23 CF 0 H Adjustments For Decrease Increase In Prepaid Expenses ifrs/2023 Prepaid expenses 0
0001193125-25-077049 5 24 CF 0 H Adjustments For Decrease Increase In Receivables From Related Parties 0001193125-25-077049 Related parties 0
0001193125-25-077049 5 25 CF 0 H Adjustments For Decrease Increase In Inventories ifrs/2023 Inventories 0
0001193125-25-077049 5 26 CF 0 H Adjustments For Decrease Increase In Other Assets ifrs/2023 Other assets 0
0001193125-25-077049 5 27 CF 0 H Adjustments For Increase Decrease In Employee Benefit Liabilities ifrs/2023 Employee benefits 0
0001193125-25-077049 5 28 CF 0 H Adjustments For Increase Decrease In Trade And Other Payables ifrs/2023 Accounts payable and accrued liabilities 0
0001193125-25-077049 5 29 CF 0 H Adjustments For Increase Decrease In Employee Profit Sharing 0001193125-25-077049 Employee profit sharing paid 0
0001193125-25-077049 5 30 CF 0 H Adjustments For Decrease Increase In Financial Instruments And Other 0001193125-25-077049 Financial instruments and other 0
0001193125-25-077049 5 31 CF 0 H Adjustments For Increase Decrease In Deferred Income Including Contract Liabilities ifrs/2023 Deferred revenues 0
0001193125-25-077049 5 32 CF 0 H Interest Received Classified As Operating Activities ifrs/2023 Interest received 0
0001193125-25-077049 5 33 CF 0 H Income Taxes Paid Classified As Operating Activities ifrs/2023 Income taxes paid 1
0001193125-25-077049 5 34 CF 0 H Cash Flows From Used In Operating Activities Discontinued Operations ifrs/2023 Cash flows from discontinued operating 0
0001193125-25-077049 5 35 CF 0 H Cash Flows From Used In Operating Activities ifrs/2023 Net cash flows provided by continuing operating activities 0
0001193125-25-077049 5 37 CF 0 H Purchase Of Property Plant And Equipment Classified As Investing Activities ifrs/2023 Purchase of property, plant and equipment 1
0001193125-25-077049 5 38 CF 0 H Purchase Of Intangible Assets Classified As Investing Activities ifrs/2023 Acquisition of intangibles 1
0001193125-25-077049 5 39 CF 0 H Dividends Received ifrs/2023 Dividends received 0
0001193125-25-077049 5 40 CF 0 H Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities ifrs/2023 Proceeds from sale of property, plant and equipment 0
0001193125-25-077049 5 41 CF 0 H Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2023 Acquisition of business, net of cash acquired 1
0001193125-25-077049 5 42 CF 0 H Proceeds From Contractual Earnout From Business Combination 0001193125-25-077049 Contractual earn-out from business combination 0
0001193125-25-077049 5 43 CF 0 H Purchase Of Financial Instruments Classified As Investing Activities ifrs/2023 Financial instruments 1
0001193125-25-077049 5 44 CF 0 H Proceeds From Sales Of Interests In Associates ifrs/2023 Partial sale of shares of associated company 0
0001193125-25-077049 5 45 CF 0 H Purchase Of Interests In Associates ifrs/2023 Investments in associate companies 1
0001193125-25-077049 5 46 CF 0 H Cash Flows From Losing Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2023 Proceeds from the sale of businesses 0
0001193125-25-077049 5 47 CF 0 H Purchase Of Investments Other Than Investments Accounted For Using Equity Method ifrs/2023 Acquisition of short-term investments 1
0001193125-25-077049 5 48 CF 0 H Sale Of Short Term Investments 0001193125-25-077049 Sale of short-term investments 0
0001193125-25-077049 5 49 CF 0 H Acquisition Of Notes From Joint Venture 0001193125-25-077049 Acquisition of notes from joint venture 0
0001193125-25-077049 5 50 CF 0 H Cash Flows From Used In Investing Activities Discontinued Operations ifrs/2023 Cash flows from discontinued investing 0
0001193125-25-077049 5 51 CF 0 H Cash Flows From Used In Investing Activities ifrs/2023 Net cash flows used in investing activities 0
0001193125-25-077049 5 53 CF 0 H Proceeds From Noncurrent Borrowings ifrs/2023 Loans obtained 0
0001193125-25-077049 5 54 CF 0 H Repayments Of Borrowings Classified As Financing Activities ifrs/2023 Repayment of loans 1
0001193125-25-077049 5 55 CF 0 H Payments Of Lease Liabilities Classified As Financing Activities ifrs/2023 Payment of liability related to right-of-use of assets 1
0001193125-25-077049 5 56 CF 0 H Interest Paid Classified As Financing Activities ifrs/2023 Interest paid 1
0001193125-25-077049 5 57 CF 0 H Payments To Acquire Or Redeem Entitys Shares ifrs/2023 Repurchase of shares 1
0001193125-25-077049 5 58 CF 0 H Dividends Paid Classified As Financing Activities ifrs/2023 Dividends paid 1
0001193125-25-077049 5 59 CF 0 H Payments From Changes In Ownership Interests In Subsidiaries ifrs/2023 Acquisition of non-controlling interests 1
0001193125-25-077049 5 60 CF 0 H Cash Flows From Used In Financing Activities ifrs/2023 Net cash flows used in financing activities 0
0001193125-25-077049 5 61 CF 0 H Increase Decrease In Cash And Cash Equivalents Before Effect Of Exchange Rate Changes ifrs/2023 Net increase (decrease) in cash and cash equivalents 0
0001193125-25-077049 5 62 CF 0 H Effect Of Exchange Rate Changes On Cash And Cash Equivalents ifrs/2023 Adjustment to cash flows due to exchange rate fluctuations, net 0
0001193125-25-077049 5 63 CF 0 H Cash And Cash Equivalents ifrs/2023 Cash and cash equivalents at beginning of the year 0
0001193125-25-077049 5 64 CF 0 H Cash And Cash Equivalents ifrs/2023 Cash and cash equivalents at end of the year 0
0001193125-25-077049 5 66 CF 0 H Capital Expenditures Incurred But Not Yet Paid1 0001193125-25-077049 Acquisitions of property, plant and equipment in accounts payable at end year 0
0001193125-25-077049 5 67 CF 0 H Revaluation Surplus ifrs/2023 Revaluation surplus 0
0001193125-25-077049 5 68 CF 0 H Adjustments Of Spinoff Effects 0001193125-25-077049 Spin-off 0
0001193125-25-077049 5 69 CF 0 H Adjustments For Non Cash Transactions 0001193125-25-077049 Non-cash transactions 0

Description
Field Name Field Description
adsh Accession Number. The 20-character string formed from the 18-digit number assigned by the SEC to each EDGAR submission.
report Represents the report grouping. This field corresponds to the statement (stmt) field, which indicates the type of statement. The numeric value refers to the “R file” as posted on the EDGAR Web site.
line Represents the tag’s presentation line order for a given report. Together with the statement and report field, presentation location, order and grouping can be derived.
stmt The financial statement location to which the value of the “report” field pertains.
inpth Value was presented “parenthetically” instead of in columns within the financial statements. For example: Receivables (net of allowance for bad debts of $200 in 2012) $700.
rfile The type of interactive data file rendered on the EDGAR web site, H = .htm file, X = .xml file.
tag The tag chosen by the filer for this line item.
version The taxonomy identifier if the tag is a standard tag, otherwise adsh.
plabel The text presented on the line item, also known as a “preferred” label.
negating Flag to indicate whether the plabel is negating.