Q2 2021 Financial Results slide image

Q2 2021 Financial Results

Debt Maturity Totalplay® (Ps. in millions as of June 30, 2021) DEBT MATURITY Weighted Avg. Life: 5.7 yr 4,191 3,035 3,406 1,576 - July Dec 2021 2022 2023 Note: Maturity schedule as of June 30, 2021, includes amortized costs, but excludes building leases. Assumes FX rate of 19.91 MXN$/US. 12,689 584 584 8,190 2024 2025 2026 2027 2033 Secured Unsecured 24 224
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