For
the month
of
October ,
2006.
|
Group
Simec, Inc.
|
(Translation
of Registrant’s Name Into English)
|
Mexico
|
(Jurisdiction
of incorporation or organization)
|
Av.
Lazaro Cardenas 601, Colonia la Nogalera, Guadalajara, Jalisco, Mexico
44440
|
(Address
of principal executive office)
|
Form
20-F
|
x |
Form
40-F
|
o |
Yes
|
o |
No
|
x |
GRUPO
SIMEC, S.A. de C.V.
|
||||
(Registrant)
|
||||
Date:
|
October
25, 2006
|
By:
|
||
Name:
|
Luis
García Limón
|
|||
Title:
|
Chief
Executive Officer
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
S
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
||
AMOUNT
|
%
|
AMOUNT
|
%
|
||
s01
|
TOTAL
ASSETS
|
16,439,238
|
100
|
9,426,739
|
100
|
s02
|
CURRENT
ASSETS
|
8,388,849
|
51
|
3,526,821
|
37
|
s03
|
CASH
AND SHORT-TERM INVESTMENTS
|
948,625
|
6
|
1,165,103
|
12
|
s04
|
ACCOUNTS
AND NOTES RECEIVABLE (NET)
|
2,561,676
|
16
|
1,222,171
|
13
|
s05
|
OTHER
ACCOUNTS AND NOTES RECEIVABLE
|
290,070
|
1
|
40,550
|
0
|
s06
|
INVENTORIES
|
4,321,500
|
26
|
1,033,849
|
11
|
s07
|
OTHER
CURRENT ASSETS
|
266,978
|
2
|
65,148
|
1
|
s08
|
LONG-TERM
|
0
|
0
|
0
|
0
|
s09
|
ACCOUNTS
AND NOTES RECEIVABLE (NET)
|
0
|
0
|
0
|
0
|
s10
|
INVESTMENT
IN SHARES OF NON-CONSOLIDATED
SUBSIDIARIES
AND ASSOCIATES
|
0
|
0
|
0
|
0
|
s11
|
OTHER
INVESTMENTS
|
0
|
0
|
0
|
0
|
s12
|
PROPERTY,
PLANT AND EQUIPMENT (NET)
|
7,520,338
|
46
|
5,671,148
|
60
|
s13
|
LAND
AND BUILDINGS
|
2,401,402
|
15
|
2,273,373
|
24
|
s14
|
MACHINERY
AND INDUSTRIAL EQUIPMENT
|
7,615,242
|
46
|
5,592,744
|
59
|
s15
|
OTHER
EQUIPMENT
|
175,255
|
1
|
158,087
|
2
|
s16
|
ACCUMULATED
DEPRECIATION
|
2,878,670
|
18
|
2,363,433
|
25
|
s17
|
CONSTRUCTION
IN PROGRESS
|
207,109
|
1
|
10,377
|
0
|
s18
|
OTHER
INTANGIBLE ASSETS AND DEFERRED ASSETS (NET)
|
469,748
|
3
|
228,770
|
2
|
s19
|
OTHER
ASSETS
|
60,303
|
0
|
0
|
0
|
s20
|
TOTAL
LIABILITIES
|
4,537,561
|
100
|
2,205,026
|
100
|
s21
|
CURRENT
LIABILITIES
|
2,534,777
|
56
|
855,096
|
39
|
s22
|
SUPPLIERS
|
1,640,252
|
36
|
486,193
|
22
|
s23
|
BANK
LOANS
|
0
|
0
|
0
|
0
|
s24
|
STOCK
MARKET LOANS
|
3,442
|
0
|
3,379
|
0
|
s25
|
TAXES
PAYABLE
|
19,284
|
1
|
208,252
|
9
|
s26
|
OTHER
CURRENT LIABILITIES
|
871,799
|
19
|
157,272
|
7
|
s27
|
LONG-TERM
LIABILITIES
|
0
|
0
|
0
|
0
|
s28
|
BANK
LOANS
|
0
|
0
|
0
|
0
|
s29
|
STOCK
MARKET LOANS
|
0
|
0
|
0
|
0
|
s30
|
OTHER
LOANS
|
0
|
0
|
0
|
0
|
s31
|
DEFERRED
LIABILITIES
|
0
|
0
|
0
|
0
|
s32
|
OTHER
NON-CURRENT LIABILITIES
|
2,002,784
|
44
|
1,349,930
|
61
|
s33
|
CONSOLIDATED
STOCKHOLDERS’ EQUITY
|
11,901,677
|
100
|
7,221,713
|
100
|
s34
|
MINORITY
INTEREST
|
2,258,571
|
19
|
482
|
0
|
s35
|
MAJORITY
INTEREST
|
9,643,106
|
81
|
7,221,231
|
100
|
S36
|
CONTRIBUTED
CAPITAL
|
4,443,687
|
37
|
4,321,668
|
60
|
S79
|
CAPITAL
STOCK
|
3,512,577
|
30
|
3,476,606
|
48
|
s39
|
PREMIUM
ON ISSUANCE OF SHARES
|
931,110
|
8
|
845,062
|
12
|
s40
|
CONTRIBUTIONS
FOR FUTURE CAPITAL INCREASES
|
0
|
0
|
0
|
0
|
s41
|
EARNED
CAPITAL
|
5,199,419
|
44
|
2,899,563
|
40
|
s42
|
RETAINED
EARNINGS AND CAPITAL RESERVES
|
5,865,548
|
49
|
3,841,230
|
53
|
s44
|
OTHER
ACCUMULATED COMPREHENSIVE RESULT
|
(666,129)
|
(6)
|
(941,667)
|
(13)
|
s80
|
SHARES
REPURCHASED
|
0
|
0
|
0
|
0
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
S
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
||
AMOUNT
|
%
|
AMOUNT
|
%
|
||
s03
|
CASH
AND SHORT-TERM INVESTMENTS
|
948,625
|
100
|
1,165,103
|
100
|
s46
|
CASH
|
368,869
|
39
|
150,213
|
13
|
s47
|
SHORT-TERM
INVESTMENTS
|
579,756
|
61
|
1,014,890
|
87
|
s07
|
OTHER
CURRENT ASSETS
|
266,978
|
100
|
65,148
|
100
|
s81
|
DERIVATIVE
FINANCIAL INSTRUMENTS
|
20,831
|
8
|
18,288
|
28
|
s82
|
DISCONTINUED
OPERATIONS
|
0
|
0
|
0
|
0
|
s83
|
OTHER
|
246,147
|
92
|
46,860
|
72
|
s18
|
OTHER
INTANGIBLE ASSETS AND DEFERRED ASSETS (NET)
|
469,748
|
100
|
228,770
|
100
|
s48
|
DEFERRED
EXPENSES
|
396,960
|
85
|
223,170
|
98
|
s49
|
DEFERRED
CREDIT
|
0
|
0
|
0
|
0
|
s51
|
OTHER
|
72,788
|
15
|
5,600
|
2
|
s19
|
OTHER
ASSETS
|
60,303
|
100
|
0
|
0
|
s84
|
INTANGIBLE
ASSET FROM LABOR OBLIGATIONS
|
60,303
|
100
|
0
|
0
|
s85
|
DERIVATIVE
FINANCIAL INSTRUMENTS
|
0
|
0
|
0
|
0
|
s50
|
DEFERRED
TAXES
|
0
|
0
|
0
|
0
|
s86
|
DISCONTINUED
OPERATIONS
|
0
|
0
|
0
|
0
|
s87
|
OTHER
|
0
|
0
|
0
|
0
|
s21
|
CURRENT
LIABILITIES
|
2,534,777
|
100
|
855,096
|
100
|
s52
|
FOREIGN
CURRENCY LIABILITIES
|
1,853,202
|
73
|
142,394
|
17
|
s53
|
MEXICAN
PESOS LIABILITIES
|
681,575
|
27
|
712,702
|
83
|
s26
|
OTHER
CURRENT LIABILITIES
|
871,799
|
100
|
157,272
|
100
|
s88
|
DERIVATIVE
FINANCIAL INSTRUMENTS
|
0
|
0
|
0
|
0
|
s89
|
INTEREST
LIABILITIES
|
3,679
|
0
|
0
|
0
|
s68
|
PROVISIONS
|
236,314
|
27
|
0
|
0
|
s90
|
DISCONTINUED
OPERATIONS
|
0
|
0
|
0
|
0
|
s58
|
OTHER
CURRENT LIABILITIES
|
631,806
|
72
|
157,272
|
100
|
s27
|
LONG-TERM
LIABILITIES
|
0
|
0
|
0
|
0
|
s59
|
FOREIGN
CURRENCY LIABILITIES
|
0
|
0
|
0
|
0
|
s60
|
MEXICAN
PESOS LIABILITIES
|
0
|
0
|
0
|
0
|
s31
|
DEFERRED
LIABILITIES
|
0
|
0
|
0
|
0
|
s65
|
NEGATIVE
GOODWILL
|
0
|
0
|
0
|
0
|
s67
|
OTHER
|
0
|
0
|
0
|
0
|
s32
|
OTHER
NON CURRENT LIABILITIES
|
2,002,784
|
100
|
1,349,930
|
100
|
s66
|
DEFERRED
TAXES
|
1,885,490
|
94
|
1,326,510
|
98
|
s91
|
OTHER
LIABILITIES IN RESPECT OF SOCIAL INSURANCE
|
16,684
|
1
|
0
|
0
|
s92
|
DISCONTINUED
OPERATIONS
|
0
|
0
|
0
|
0
|
s69
|
OTHER
LIABILITIES
|
100,610
|
5
|
23,420
|
2
|
s79
|
CAPITAL
STOCK
|
3,512,577
|
100
|
3,476,606
|
100
|
s37
|
CAPITAL
STOCK (NOMINAL)
|
2,048,257
|
58
|
2,012,147
|
58
|
s69
|
RESTATEMENT
OF CAPITAL STOCK
|
1,464,320
|
42
|
1,464,459
|
42
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
S
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
||
AMOUNT
|
%
|
AMOUNT
|
%
|
||
s42
|
RETAINED
EARNINGS AND CAPITAL RESERVES
|
5,865,548
|
100
|
3,841,230
|
100
|
s93
|
LEGAL
RESERVE
|
0
|
0
|
0
|
0
|
s43
|
RESERVE
FOR REPURCHASE OF SHARES
|
87,600
|
1
|
87,600
|
2
|
s94
|
OTHER
RESERVES
|
0
|
0
|
0
|
0
|
s95
|
RETAINED
EARNINGS
|
4,432,077
|
76
|
3,152,417
|
82
|
s45
|
NET
INCOME FOR THE YEAR
|
1,345,871
|
23
|
601,213
|
16
|
s44
|
OTHER
ACCUMULATED COMPREHENSIVE RESULT
|
(666,129)
|
100
|
(941,667)
|
100
|
s70
|
ACCUMULATED
MONETARY RESULT
|
0
|
0
|
0
|
0
|
s71
|
RESULT
FROM HOLDING NON-MONETARY ASSETS
|
87,085
|
(13)
|
(48,182)
|
5
|
s96
|
CUMULATIVE
RESULT FROM FOREIGN CURRENCY TRANSLATION
|
138,270
|
(21)
|
0
|
0
|
s97
|
CUMULATIVE
RESULT FROM DERIVATIVE FINANCIAL INSTRUMENTS
|
14,344
|
(2)
|
12,349
|
(1)
|
s98
|
CUMULATIVE
EFFECT OF DEFERRED INCOME TAXES
|
(905,828)
|
136
|
(905,834)
|
96
|
s99
|
LABOR
OBLIGATION ADJUSTMENT
|
0
|
0
|
0
|
0
|
s100
|
OTHER
|
0
|
0
|
0
|
0
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
S
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
AMOUNT
|
AMOUNT
|
||
S72
|
WORKING
CAPITAL
|
5,854,072
|
2,671,725
|
S73
|
PENSIONS
FUND AND SENIORITY PREMIUMS
|
0
|
0
|
S74
|
EXECUTIVES
(*)
|
52
|
42
|
S75
|
EMPLOYERS
(*)
|
1,131
|
761
|
S76
|
WORKERS
(*)
|
3,157
|
1,172
|
S77
|
COMMON
SHARES (*)
|
421,214,706
|
137,929,599
|
S78
|
REPURCHASED
SHARES (*)
|
0
|
0
|
S101
|
RESTRICTED
CASH
|
0
|
0
|
S102
|
NET
DEBT OF NON CONSOLIDATED COMPANIES
|
0
|
0
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
R
|
CATEGORIES
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
||
AMOUNT
|
%
|
AMOUNT
|
%
|
||
r01
|
NET
SALES
|
11,912,466
|
100
|
3,573,182
|
100
|
r02
|
COST
OF SALES
|
9,681,900
|
81
|
2,326,363
|
65
|
r03
|
GROSS
PROFIT
|
2,230,566
|
19
|
1,246,819
|
35
|
r04
|
OPERATING
EXPENSES
|
664,093
|
6
|
374,630
|
10
|
r05
|
OPERATING
INCOME
|
1,566,473
|
13
|
872,189
|
24
|
r06
|
INTEGRAL
FINANCING COST
|
(45,014)
|
0
|
35,073
|
1
|
r07
|
INCOME
AFTER INTEGRAL FINANCING COST
|
1,611,487
|
13
|
837,116
|
23
|
r08
|
OTHER
EXPENSE AND INCOME (NET)
|
(32,748)
|
0
|
(7,633)
|
0
|
r44
|
SPECIAL
ITEMS
|
0
|
0
|
0
|
0
|
r09
|
INCOME
BEFORE INCOME TAXES AND EMPLOYEES’ PROFIT SHARING
|
1,644,235
|
14
|
844,749
|
24
|
r10
|
PROVISIONS
FOR INCOME TAXES AND EMPLOYEES’ PROFIT SHARING
|
104,939
|
1
|
243,536
|
7
|
r11
|
NET
INCOME AFTER TAXES AND EMPLOYEES’ PROFIT SHARING
|
1,539,296
|
13
|
601,213
|
17
|
r12
|
EQUITY
IN NET INCOME OF NON-CONSOLIDATED SUBSIDIARIES AND
ASSOCIATES
|
0
|
0
|
0
|
0
|
r13
|
CONSOLIDATED
NET INCOME FROM CONTINUING OPERATIONS
|
1,539,296
|
13
|
601,213
|
17
|
r14
|
INCOME
FROM DISCONTINUED OPERATIONS
|
0
|
0
|
0
|
0
|
r15
|
CONSOLIDATED
NET INCOME BEFORE EXTRAORDINARY ITEMS
|
1,539,296
|
13
|
601,213
|
17
|
r16
|
EXTRAORDINARY
ITEMS, NET EXPENSES (INCOME)
|
0
|
0
|
0
|
0
|
r17
|
CUMULATIVE
EFFECT FROM ACCOUNTING CHANGE, NET
|
0
|
0
|
0
|
0
|
r18
|
NET
CONSOLIDATED INCOME
|
1,539,296
|
13
|
601,213
|
17
|
r19
|
NET
INCOME OF MINORITY INTEREST
|
193,425
|
2
|
0
|
0
|
r20
|
NET
INCOME OF MAJORITY INTEREST
|
1,345,871
|
11
|
601,213
|
17
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
R
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
||
AMOUNT
|
%
|
AMOUNT
|
%
|
||
r01
|
NET
SALES
|
11,912,466
|
100
|
3,573,182
|
100
|
r21
|
DOMESTIC
|
3,184,772
|
27
|
3,124,770
|
87
|
r22
|
FOREIGN
|
8,727,694
|
73
|
448,412
|
13
|
r23
|
TRANSLATED
INTO DOLLARS (***)
|
758,798
|
39,355
|
||
r06
|
INTEGRAL
FINANCING COST
|
(45,014)
|
100
|
35,073
|
100
|
r24
|
INTEREST
EXPENSE
|
5,395
|
12
|
2,723
|
8
|
r42
|
LOSS
(GAIN) ON RESTATEMENT OF UDI’S
|
0
|
0
|
0
|
0
|
r45
|
OTHER
FINANCE COSTS
|
0
|
0
|
0
|
0
|
r26
|
INTEREST
INCOME
|
20,237
|
(45)
|
11,177
|
(32)
|
r46
|
OTHER
FINANCIAL INCOME
|
0
|
0
|
0
|
0
|
r25
|
FOREIGN
EXCHANGE LOSS (GAIN) (NET)
|
(18,598)
|
(41)
|
35,926
|
102
|
r28
|
RESULT
FROM MONETARY POSITION
|
(11,574)
|
(26)
|
7,601
|
22
|
r10
|
PROVISIONS
FOR INCOME TAXES AND EMPLOYEES’ PROFIT SHARING
|
104,939
|
100
|
243,536
|
100
|
r32
|
INCOME
TAX
|
168,228
|
160
|
308,837
|
127
|
r33
|
DEFERRED
INCOME TAX
|
(63,289)
|
(60)
|
(65,301)
|
(27)
|
r34
|
EMPLOYEES’
PROFIT SHARING EXPENSES
|
0
|
0
|
0
|
0
|
r35
|
DEFERRED
EMPLOYEES’ PROFIT SHARING
|
0
|
0
|
0
|
0
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
R
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
AMOUNT
|
AMOUNT
|
||
r36
|
TOTAL
SALES
|
12,392,825
|
3,850,204
|
r37
|
TAX
RESULT FOR THE YEAR
|
0
|
0
|
r38
|
NET
SALES (**)
|
21,305,690
|
7,128,885
|
r39
|
OPERATION
INCOME (**)
|
2,271,812
|
2,024,631
|
r40
|
NET
INCOME OF MAJORITY INTEREST (**)
|
2,024,519
|
1,396,734
|
r41
|
NET
CONSOLIDATED INCOME (**)
|
2,235,435
|
1,396,734
|
r47
|
OPERATIVE
DEPRECIATION AND AMORTIZATION
|
201,972
|
130,940
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
R
|
CATEGORIES
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
||
AMOUNT
|
%
|
AMOUNT
|
%
|
||
rt01
|
NET
SALES
|
6,312,312
|
100
|
1,752,457
|
100
|
rt02
|
COST
OF SALES
|
5,007,830
|
79
|
1,167,520
|
67
|
rt03
|
GROSS
PROFIT
|
1,304,482
|
21
|
584,937
|
33
|
rt04
|
OPERATING
EXPENSES
|
345,245
|
5
|
186,248
|
11
|
rt05
|
OPERATING
INCOME
|
959,237
|
15
|
398,689
|
23
|
rt06
|
INTEGRAL
FINANCING COST
|
(49,635)
|
(1)
|
35,585
|
2
|
rt07
|
INCOME
AFTER INTEGRAL FINANCING COST
|
1,008,872
|
16
|
363,104
|
21
|
rt08
|
OTHER
EXPENSE AND INCOME (NET)
|
(21,133)
|
0
|
(2,541)
|
0
|
rt44
|
SPECIAL
ITEMS
|
0
|
0
|
0
|
0
|
rt09
|
INCOME
BEFORE INCOME TAXES AND EMPLOYEES’ PROFIT SHARING
|
1,030,005
|
16
|
365,645
|
21
|
rt10
|
PROVISIONS
FOR INCOME TAXES AND EMPLOYEES’ PROFIT SHARING
|
10,777
|
0
|
95,661
|
5
|
rt11
|
NET
INCOME AFTER TAXES AND EMPLOYEES’ PROFIT SHARING
|
1,019,228
|
16
|
269,984
|
15
|
rt12
|
EQUITY
IN NET INCOME OF NON-CONSOLIDATED SUBSIDIARIES AND
ASSOCIATES
|
0
|
0
|
0
|
0
|
rt13
|
CONSOLIDATED
NET INCOME FROM CONTINUING OPERATIONS
|
1,019,228
|
16
|
269,984
|
15
|
rt14
|
INCOME
FROM DISCONTINUED OPERATIONS
|
0
|
0
|
0
|
0
|
rt15
|
CONSOLIDATED
NET INCOME BEFORE EXTRAORDINARY ITEMS
|
1,019,228
|
16
|
269,984
|
15
|
rt16
|
EXTRAORDINARY
ITEMS, NET EXPENSES (INCOME)
|
0
|
0
|
0
|
0
|
rt17
|
CUMULATIVE
EFFECT FROM ACCOUNTING CHANGE, NET
|
0
|
0
|
0
|
0
|
rt18
|
NET
CONSOLIDATED INCOME
|
1,019,228
|
16
|
269,984
|
15
|
rt19
|
NET
INCOME OF MINORITY INTEREST
|
114,370
|
2
|
0
|
0
|
rt20
|
NET
INCOME OF MAJORITY INTEREST
|
904,858
|
14
|
269,984
|
15
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
R
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
||
AMOUNT
|
%
|
AMOUNT
|
%
|
||
rt01
|
NET
SALES
|
6,312,312
|
100
|
1,752,457
|
100
|
rt21
|
DOMESTIC
|
1,839,080
|
29
|
1,543,630
|
88
|
rt22
|
FOREIGN
|
4,473,232
|
71
|
208,827
|
12
|
rt23
|
TRANSLATED
INTO DOLLARS (***)
|
369,578
|
18,688
|
||
rt06
|
INTEGRAL
FINANCING COST
|
(49,635)
|
100
|
35,585
|
100
|
rt24
|
INTEREST
EXPENSE
|
2,384
|
5
|
632
|
2
|
rt42
|
LOSS
(GAIN) ON RESTATEMENT OF UDI’S
|
0
|
0
|
0
|
0
|
rt45
|
OTHER
FINANCE COSTS
|
0
|
0
|
0
|
0
|
rt26
|
INTEREST
INCOME
|
16,246
|
(33)
|
7,045
|
(20)
|
rt46
|
OTHER
FINANCIAL INCOME
|
0
|
0
|
0
|
0
|
rt25
|
FOREIGN
EXCHANGE LOSS (GAIN) (NET)
|
(16,843)
|
(34)
|
42,040
|
118
|
rt28
|
RESULT
FROM MONETARY POSITION
|
(18,930)
|
(38)
|
(42)
|
0
|
rt10
|
PROVISIONS
FOR INCOME TAXES AND EMPLOYEES’ PROFIT SHARING
|
10,777
|
100
|
95,661
|
100
|
rt32
|
INCOME
TAX
|
52,128
|
384
|
116,938
|
122
|
rt33
|
DEFERRED
INCOME TAX
|
(41,351)
|
(484)
|
(21,277)
|
(22)
|
rt34
|
EMPLOYEES’
PROFIT SHARING EXPENSES
|
0
|
0
|
0
|
0
|
rt35
|
DEFERRED
EMPLOYEES’ PROFIT SHARING
|
0
|
0
|
0
|
0
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
R
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
C
|
AMOUNT
|
AMOUNT
|
|
rt47
|
OPERATIVE
DEPRECIATION AND AMORTIZATION
|
93,009
|
65,039
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
C
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
AMOUNT
|
AMOUNT
|
||
c01
|
CONSOLIDATED
NET INCOME
|
1,539,296
|
601,213
|
c02
|
+
(-) ITEMS ADDED TO INCOME WHICH DO NOT REQUIRE CASH
|
139,616
|
65,638
|
c03
|
RESOURCES
FROM NET INCOME FOR THE YEAR
|
1,678,912
|
666,851
|
c04
|
RESOURCES
PROVIDED OR USES IN OPERATION
|
(900,883)
|
94,394
|
c05
|
RESOURCES
PROVIDED BY (USED FOR) IN OPERATING ACTIVITIES
|
778,029
|
761,245
|
c06
|
RESOURCES
PROVIDED BY (USED FOR) EXTERNAL FINANCING ACTIVITIES
|
(409,142)
|
(158,067)
|
c07
|
RESOURCES
PROVIDED BY (USED FOR) INTERNAL FINANCING ACTIVITIES
|
122,170
|
0
|
c08
|
RESOURCES
PROVIDED BY (USED FOR) INTERNAL FINANCING ACTIVITIES
|
(286,972)
|
(158,067)
|
c09
|
RESOURCES
PROVIDED BY (USED FOR) INVESTMENT ACTIVITIES
|
248,152
|
35,163
|
c10
|
NET
INCREASE (DECREASE) IN CASH AND SHORT-TERM INVESTMENTS
|
739,209
|
638,341
|
c11
|
CASH
AND SHORT-TERM INVESTMENTS AT THE BEGINNING OF PERIOD
|
209,416
|
526,762
|
c12
|
CASH
AND SHORT-TERM INVESTMENTS AT THE END OF PERIOD
|
948,625
|
1,165,103
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
C
|
CONCEPTS
|
CURRENT
YEAR
|
PREVIOUS
YEAR
|
AMOUNT
|
AMOUNT
|
||
c02
|
+
(-) ITEMS ADDED TO INCOME WHICH DO NOT REQUIRE
CASH
|
139,616
|
65,638
|
c13
|
DEPRECIATION
AND AMORTIZATION FOR THE YEAR
|
201,972
|
130,940
|
c41
|
+
(-) OTHER ITEMS
|
(62,356)
|
(65,302)
|
c04
|
RESOURCES
PROVIDED OR USED IN OPERATION
|
(900,883)
|
94,394
|
c18
|
+
(-) DECREASE (INCREASE) IN ACCOUNT RECEIVABLES
|
(231,369)
|
(220,389)
|
c19
|
+
(-) DECREASE (INCREASE) IN INVENTORIES
|
(615,074)
|
141,269
|
c20
|
+
(-) DECREASE (INCREASE) IN OTHER ACCOUNT RECEIVABLES
|
(5,285)
|
104,777
|
c21
|
+
(-) DECREASE (INCREASE) IN SUPPLIERS
|
228,438
|
(126,278)
|
c22
|
+
(-) DECREASE (INCREASE) IN OTHER LIABILITIES
|
(277,593)
|
195,015
|
c06
|
RESOURCES
PROVIDED BY (USED FOR) EXTERNAL FINANCING
ACTIVITIES
|
(409,142)
|
(158,067)
|
c23
|
+
BANK FINANCING
|
0
|
(1,266)
|
c24
|
+
STOCK MARKET FINANCING
|
166
|
0
|
c25
|
+
DIVIDEND RECEIVED
|
0
|
0
|
c26
|
OTHER
FINANCING
|
0
|
1,349
|
c27
|
BANK
FINANCING AMORTIZATION
|
(409,308)
|
(158,150)
|
c28
|
(-)
STOCK MARKET FINANCING AMORTIZATION
|
0
|
0
|
c29
|
(-)
OTHER FINANCING AMORTIZATION
|
0
|
0
|
c42
|
+
(-) OTHER ITEMS
|
0
|
0
|
c07
|
RESOURCES
PROVIDED BY (USED FOR) INTERNAL FINANCING
ACTIVITIES
|
122,170
|
0
|
c30
|
+
(-) INCREASE (DECREASE) IN CAPITAL STOCK
|
36,078
|
0
|
c31
|
(-)
DIVIDENDS PAID
|
0
|
0
|
c32
|
+
PREMIUM ON ISSUANCE OF SHARES
|
86,092
|
0
|
c33
|
+
CONTRIBUTION FOR FUTURE CAPITAL INCREASES
|
0
|
0
|
c43
|
+
(-) OTHER ITEMS
|
0
|
0
|
c09
|
RESOURCES
PROVIDED BY (USED FOR) INVESTMENT ACTIVITIES
|
248,152
|
35,163
|
c34
|
+
(-) INCREASE (DECREASE) IN PERMANENT STOCK INVESTMENTS
|
0
|
0
|
c35
|
(-)
ACQUISITION OF PROPERTY, PLANT AND EQUIPMENT
|
(149,797)
|
(7,465)
|
c36
|
(-)
INCREASE IN CONSTRUCTION PROGRESS
|
0
|
0
|
c37
|
+
SALE OF OTHER PERMANENT INVESTMENTS
|
0
|
0
|
c38
|
+
SALE OF TANGIBLE FIXED ASSETS
|
0
|
0
|
c39
|
+
(-) OTHER ITEMS
|
397,949
|
42,628
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
D
|
CATEGORIES
|
QUARTER
OF PRESENT
FINANCIAL
YEAR
|
QUARTER
OF PREVIOUS
FINANCIAL
YEAR
|
d01
|
BASIC
PROFIT PER ORDINARY SHARE (**)
|
$
4.86
|
$
10.34
|
d02
|
BASIC
PROFIT PER PREFERRED SHARE (**)
|
$
0.00
|
$
0.00
|
d03
|
DILUTED
PROFIT PER ORDINARY SHARE (**)
|
$
0.00
|
$
0.00
|
d04
|
CONTINUING
OPERATING PROFIT PER COMMON SHARE (**)
|
$
4.86
|
$
10.34
|
d05
|
EFFECT
OF DISCONTINUED OPERATIONS ON CONTINUING OPERATING PROFIT PER SHARE
(**)
|
$
0.00
|
$
0.00
|
d06
|
EFFECT
OF EXTRAORDINARY PROFIT AND LOSS ON CONTINUING OPERATING PROFIT PER
SHARE
(**)
|
$
0.00
|
$
0.00
|
d07
|
EFFECT
BY CHANGES IN ACCOUNTING POLICIES ON CONTINUING OPERATING PROFIT
PER SHARE
(**)
|
$
0.00
|
$
0.00
|
d08
|
CARRYING
VALUE PER SHARE
|
$
22.89
|
$
52.35
|
d09
|
CASH
DIVIDEND ACCUMULATED PER SHARE
|
$
0.00
|
$
0.00
|
d10
|
DIVIDEND
IN SHARES PER SHARE
|
0.00
shares
|
0.00
shares
|
d11
|
MARKET
PRICE TO CARRYING VALUE
|
1.24
times
|
0.88
times
|
d12
|
MARKET
PRICE TO BASIC PROFIT PER ORDINARY SHARE
|
5.82
times
|
4.48
times
|
d13
|
MARKET
PRICE TO BASIC PROFIT PER PREFERRED SHARE (**)
|
0.00
times
|
0.00
times
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
REF
P
|
CATEGORIES
|
QUARTER
OF PRESENT
FINANCIAL
YEAR
|
QUARTER
OF PREVIOUS
FINANCIAL
YEAR
|
YIELD
|
|||
p01
|
NET
INCOME TO NET SALES
|
12.92%
|
16.82%
|
p02
|
NET
INCOME TO STOCKHOLDERS’ EQUITY (**)
|
20.99%
|
19.34%
|
p03
|
NET
INCOME TO TOTAL ASSETS (**)
|
13.59%
|
14.81%
|
p04
|
CASH
DIVIDENDS TO PREVIOUS YEAR NET INCOME
|
0.00%
|
0.00%
|
p05
|
INCOME
DUE TO MONETARY POSITION TO NET INCOME
|
0.75%
|
(1.26)%
|
ACTIVITY
|
|||
p06
|
NET
SALES TO NET ASSETS (**)
|
1.29
times
|
0.75
times
|
p07
|
NET
SALES TO FIXED ASSETS (**)
|
2.83
times
|
1.25
times
|
p08
|
INVENTORIES
TURNOVER (**)
|
4.10
times
|
4.19
times
|
p09
|
ACCOUNTS
RECEIVABLE IN DAYS OF SALES
|
33.65
days
|
53.53
days
|
p10
|
PAID
INTEREST TO TOTAL LIABILITIES WITH COST (**)
|
1,297.50%
|
127.33%
|
LEVERAGE
|
|||
p11
|
TOTAL
LIABILITIES TO TOTAL ASSETS
|
27.60%
|
23.39%
|
p12
|
TOTAL
LIABILITIES TO STOCKHOLDERS’ EQUITY
|
0.38
times
|
0.30
times
|
p13
|
FOREIGN
CURRENCY LIABILITIES TO TOTAL LIABILITIES
|
40.84%
|
6.45%
|
p14
|
LONG-TERM
LIABILITIES TO FIXED ASSETS
|
0.00%
|
0.00%
|
p15
|
OPERATING
INCOME TO INTEREST PAID
|
290.35
times
|
320.30
times
|
p16
|
NET
SALES TO TOTAL LIABILITIES (**)
|
4.69
times
|
3.23
times
|
LIQUIDITY
|
|||
p17
|
CURRENT
ASSETS TO CURRENT LIABILITIES
|
3.30
times
|
4.12
times
|
p18
|
CURRENT
ASSETS LESS INVENTORY TO CURRENT LIABILITIES
|
1.60
times
|
2.91
times
|
p19
|
CURRENT
ASSETS TO TOTAL LIABILITIES
|
1.84
times
|
1.59
times
|
p20
|
AVAILABLE
ASSETS TO CURRENT LIABILITIES
|
37.42%
|
136.25%
|
CASH
FLOW
|
|||
p21
|
RESOURCES
FROM NET INCOME TO NET SALES
|
14.09%
|
18.66%
|
p22
|
RESOURCES
FROM CHANGES IN WORKING CAPITAL TO NET SALES
|
(7.56)%
|
2.64%
|
p23
|
RESOURCES
GENERATED (USED) IN OPERATING TO INTEREST PAID
|
144.21
times
|
279.56
times
|
p24
|
EXTERNAL
FINANCING TO RESOURCES PROVIDED BY (USED FOR) FINANCING
|
142.57%
|
100.00%
|
p25
|
INTERNAL
FINANCING TO RESOURCES PROVIDED (USED FOR) FINANCING
|
(42.57)%
|
0.00%
|
p26
|
RESOURCES
PROVIDED BY (USED FOR) INVESTMENT ACTIVITIES
|
(60.36)%
|
(21.22)%
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
Years
|
|
Buildings
|
15
to 50
|
Machinery
and equipment
|
10
to 40
|
Buildings
and improvements (Republic)
|
10
to 25
|
Land
improvements (Republic)
|
5
to 25
|
Machinery
and equipment (Republic
|
5
to 20
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
COMPANY
NAME
|
MAIN
ACTIVITIES
|
NUMBER
OF
SHARES
|
OWNERSHIP
|
SUBSIDIARIES
|
|||
Cia.
Siderúrgica de
Guadalajara
|
Sub-Holding
|
99.99
|
|
Administradora
de Cartera de
Occidente
|
Administration
of accounts receivable
|
99.99
|
|
Simec
International
|
Production
and sales of steel products
|
99.99
|
|
Arrendadora
Simec
|
Production
and sales of steel products
|
100.00
|
|
Controladora
Simec
|
Sub-Holding
|
100.00
|
|
Pacific
Steel
|
Scrap
purchase
|
100.00
|
|
Cia.
Siderúrgica del Pacífico
|
Rent
of land
|
99.99
|
|
Coordinadora
de Servicios Siderúrgicos de Calidad
|
Administrative
services
|
100.00
|
|
Administradora
de Servicios de la Industria Siderúrgica
|
Administrative
services
|
99.99
|
|
Industrias
del Acero y del Alambre
|
Sales
of steel products
|
99.99
|
|
Procesadora
Mexicali
|
Scrap
purchase
|
99.99
|
|
Servicios
Simec
|
Administrative
services
|
100.00
|
|
Sistemas
de Transporte de Baja California
|
100.00
|
||
Operadora
de Metales
|
Administrative
services
|
100.00
|
|
Operadora
de Servicios Siderúrgicos de Tlaxcala
|
Administrative
services
|
100.00
|
|
Administradora
de Servicios Siderúrgicos de Tlaxcala
|
Administrative
services
|
100.00
|
|
Operadora
de Servicios de la Industria Siderúrgica
|
Administrative
services
|
100.00
|
|
SimRep
|
Sub-Holding
|
100.00
|
|
PAV
Republic
|
Production
and sales of steel products
|
100.00
|
|
TOTAL
INVESTMENT IN SUBSIDIARIES
|
|||
ASSOCIATES
|
0
|
0.00
|
|
TOTAL
INVESTMENT IN ASSOCIATES
|
0.00
|
||
OTHER
PERMANENT INVESTMENTS
|
0.00
|
||
TOTAL
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
||
|
Amortization
|
Rate
of
|
Denominated
in Pesos (Thousands of Pesos)
|
Denominated
in Fopreign Currency (Thousands of Pesos)
|
||||||||||
Credit
Type / Institution
|
Date
|
Interest
|
Time
Interval
|
Time
Interval
|
||||||||||
Current
|
Until
1
|
Until
2
|
Until
3
|
Until
4
|
Until
5
|
Current
|
Until
1
|
Until
2
|
Until
3
|
Until
4
|
Until
5
|
|||
Year
|
Year
|
Years
|
Years
|
Years
|
Years
or
|
Year
|
Year
|
Years
|
Years
|
Years
|
Years
or
|
|||
More
|
More
|
|||||||||||||
BANKS
|
||||||||||||||
With
Warranty
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
||
TOTAL
BANKS
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
||
LISTED
IN THE
STOCK
EXCHANGE
|
||||||||||||||
UNSECURED
DEBT
|
||||||||||||||
Medium
Term Notes
|
15/12/1998
|
9.33
|
0
|
0
|
0
|
0
|
0
|
0
|
3,442
|
0
|
0
|
0
|
0
|
0
|
TOTAL
STOCK EXCHANGE
|
0
|
0
|
0
|
0
|
0
|
0
|
3,442
|
0
|
0
|
0
|
0
|
0
|
||
SUPPLIERS
|
||||||||||||||
Various
|
363,367
|
0
|
0
|
0
|
0
|
0
|
0
|
1,276,885
|
0
|
0
|
0
|
0
|
||
TOTAL
SUPPLIERS
|
363,367
|
0
|
0
|
0
|
0
|
0
|
0
|
1,276,885
|
0
|
0
|
0
|
0
|
||
OTHER
CURRENT LIABILITIES AND OTHER CREDITS
|
||||||||||||||
Various
|
428,992
|
0
|
0
|
0
|
0
|
0
|
0
|
202,814
|
0
|
0
|
0
|
0
|
||
TOTAL
OTHER CURRENT LIABILITIES AND OTHER CREDITS
|
428,992
|
0
|
0
|
0
|
0
|
0
|
0
|
202,814
|
0
|
0
|
0
|
0
|
TOTAL
|
792,359
|
0
|
0
|
0
|
0
|
0
|
3,442
|
1,479,699
|
0
|
0
|
0
|
0
|
NOTES:
The exchange rate of the peso to the U.S. Dollar at June 30, 2006
was Ps.
11.3973
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
DOLLARS
|
OTHER
CURRENCIES
|
TOTAL
|
|||
FOREIGN
CURRENCY POSITION
|
THOUSANDS
OF DOLLARS
|
THOUSANDS
OF PESOS
|
THOUSANDS
OF DOLLARS
|
THOUSANDS
OF PESOS
|
THOUSANDS
OF PESOS
|
TOTAL
ASSETS
|
212,394
|
2,420,705
|
16
|
184
|
2,420,889
|
LIABILITIES
POSITION
|
162,410
|
1,851,033
|
190
|
2,169
|
1,853,202
|
SHORT
TERM LIABILITIES POSITION
|
162,410
|
1,851,033
|
190
|
2,169
|
1,853,202
|
LONG
TERM LIABILITIES POSITION
|
0
|
0
|
0
|
0
|
0
|
NET
BALANCE
|
49,984
|
569,672
|
(174)
|
(1,985)
|
567,687
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
MONTH
|
MONETARY
ASSETS
|
MONETARY
LIABILITIES
|
ASSET
(LIABILITY ) MONETARY POSITION
|
MONTHLY
INFLATION
|
MONTHLY
(PROFIT ) AND LOSS
|
JANUARY
|
1,913,974
|
912,170
|
1,001,804
|
0.59
|
5,875
|
FEBRUARY
|
1,762,423
|
862,009
|
900,414
|
0.15
|
1,378
|
MARCH
|
1,754,283
|
844,712
|
909,571
|
0.13
|
1,141
|
APRIL
|
1,767,088
|
1,342,592
|
424,496
|
0.15
|
622
|
MAY
|
1,952,871
|
1,725,270
|
227,601
|
(0.45)
|
(1,013)
|
JUNE
|
1,871,618
|
1,404,694
|
466,924
|
0.09
|
420
|
ACTUALIZATION
|
(3)
|
||||
CAPITALIZATION
|
0
|
||||
FOREIGN
CORPORATION
|
(19,994)
|
||||
OTHER
|
0
|
||||
TOTAL
|
(11,574)
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
PLANT
OR CENTER
|
ECONOMIC
ACTIVITY
|
PLANT
CAPACITY
|
UTILIZATION
(%)
|
GUADALAJARA
MINI MILL
|
PRODUCTION
AND SALES OF STEEL PRODUCTS
|
480
|
83.50
|
MEXICALI
MINI MILL
|
PRODUCTION
AND SALES OF STEEL PRODUCTS
|
250
|
83.83
|
INDUSTRIAS
DEL ACERO Y DEL ALAMBRE
|
SALE
OF STEEL PRODUCTS
|
0
|
0
|
APIZACO
AND CHOLULA PLANTS
|
PRODUCTION
AND SALES OF STEEL PRODUCTS
|
460
|
91.23
|
CANTON
CASTER FACILITY
|
PRODUCTION
OF BILLET
|
787
|
79.80
|
LORAIN
CASTER FACILITY
|
PRODUCTION
OF BILLET
|
1,169
|
90.20
|
LORAIN
HOT-ROLLING MILL
|
PRODUCTION
AND SALES OF STEEL PRODUCTS
|
838
|
88.20
|
LACKAWANNA
HOT-ROLLING MILL
|
PRODUCTION
AND SALES OF STEEL PRODUCTS
|
544
|
98.40
|
MASSILLON
COLD-FINISH FACILITY
|
PRODUCTION
AND SALES OF STEEL PRODUCTS
|
125
|
78.00
|
GARY
COLD-FINISH FACILITY
|
PRODUCTION
AND SALES OF STEEL PRODUCTS
|
71
|
66.50
|
ONTARIO
COLD-FINISH FACILITY
|
PRODUCTION
AND SALES OF STEEL PRODUCTS
|
59
|
63.80
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
DOMESTIC
|
MAIN
SUPPLIERS
|
FOREIGN
|
MAIN
SUPPLIERS
|
DOMESTIC
SUBSTITUTION
|
COST
PRODUCTION (%)
|
SCRAP
|
VARIOUS
|
SCRAP
|
VARIOUS
|
YES
|
23.74
|
ELECTRICITY
|
C.F.E
|
AEP,
OHIO EDISON
|
NO
|
5.89
|
|
FERROALLOYS
|
MINERA
AUTLAN
|
FERROALLOYS
|
GFM
TRADING
|
YES
|
10.33
|
ELECTRODES
|
UCAR
CARBON MEXICANA
|
ELECTRODES
|
SGL
CARBON GROUP
|
YES
|
1.53
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
MAIN
PRODUCTS
|
NET
SALES
|
MAIN
DESTINATION
|
||
VOLUME
|
AMOUNT
|
TRADEMARKS
|
COSTUMERS
|
|
STRUCTURAL
PROFILES
|
90
|
633,586
|
||
COMMERCIAL
PROFILES
|
69
|
451,280
|
||
REBAR
|
124
|
859,395
|
||
FLAT
BAR
|
75
|
481,367
|
||
STEEL
BARS
|
104
|
758,094
|
||
OTHER
|
0
|
661
|
||
BILLET
|
0
|
389
|
||
HOT-ROLLED
BARS
|
||||
COLD-FINISHED
BARS
|
||||
SEMI-FINISHED
SEAMLESS TUBE ROUNDS
|
||||
OTHER
SEMI-FINISHED TRADE PRODUCTS
|
||||
T
O T A L
|
3,184,772
|
|||
FOREIGN
SALES
|
8,727,694
|
|||
TOTAL
|
11,912,466
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
MAIN
PRODUCTS
|
NET
SELLS
|
MAIN
|
||
VOLUME
|
AMOUNT
|
TRADEMARKS
|
COSTUMERS
|
|
EXPORTS
|
||||
STRUCTURAL
PROFILES
|
16
|
101,920
|
||
COMMERCIAL
PROFILES
|
11
|
67,115
|
||
REBAR
|
12
|
64,598
|
||
STEEL
BARS
|
2
|
15,937
|
||
FLAT
BAR
|
14
|
105,002
|
||
BILLET
|
1
|
7,219
|
||
FOREIGN
SUBSIDIARIES
|
||||
HOT-ROLLED
BARS
|
516
|
5,387,125
|
||
COLD-FINISHED
BARS
|
77
|
1,111,715
|
||
SEMI-FINISHED
SEAMLESS TUBE ROUNDS
|
210
|
1,419,765
|
||
OTHER
SEMI-FINISHED TRADE PRODUCTS
|
49
|
447,298
|
||
T
O T A L
|
8,727,694
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
SERIES
|
NOMINAL
VALUE
|
VALID
COUPON
|
NUMBER
OF SHARES
|
CAPITAL
STOCK
(Thousands
of Pesos)
|
||||
FIXED
PORTION
|
VARIABLE
PORTION
|
MEXICAN
|
FREE
SUBSCRIPTION
|
FIXED
|
VARIABLE
|
|||
B
|
90,850,050
|
330,364,656
|
0
|
421,214,706
|
441,786
|
1,606,471
|
||
TOTAL
|
90,850,050
|
330,364,656
|
0
|
421,214,706
|
441,786
|
1,606,471
|
TOTAL NUMBER OF SHARES REPRESENTING THE PAID-IN CAPITAL STOCK ON THE DATE OF SENDING THE INFORMATION : 421,214,706 |
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
PROJECTS
IN PROGRESS
|
TOTAL
INVESTMENT
|
|||
CASTER
PROJECT IN CANTON AND
OTHER
PROJECTS IN REPUBLIC
|
81,581
|
|||
MEXICALI
|
41,190
|
|||
VARIOUS
PROJECTS IN TLAXCALA
|
36,068
|
|||
VARIOUS
PROJECTS IN GUADALAJARA AND MEXICALI
|
48,270
|
|||
TOTAL
INVESTMENT AT
JUNE
30, 2006
|
207,109
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
- |
Monetary
items at the exchange rate at the balance sheet
date.
|
- |
Non-monetary
items and stockholders’ equity at the exchange rate prevailing at the date
the transactions occurred.
|
- |
Income
and expense items at an appropriate average exchange
rate.
|
- |
The
resulting foreign currency translation differences are included in
the
financial income (expense) in the statement of income
(loss).
|
- |
All
resulting Mexican peso amounts are restated for the effects of inflation
in accordance with the dispositions of Bulletin B-10 using the NCPI,
where
such effects are considered
significant.
|
- |
Monetary
and non-monetary items at the exchange rate at the balance sheet
date.
|
- |
Income
and expense items at the exchange rate at the balance sheet
date.
|
- |
The
resulting foreign currency translation differences are included in
the
stockholders’ equity.
|
- |
All
resulting Mexican peso amounts are restated for the effects of inflation
in accordance with the dispositions of Bulletin B-10 using the NCPI,
where
such effects are considered
significant.
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
Simec
without Republic
|
Republic
|
Consolidated
Simec
Earning
Statement
|
|
Steel
Sales (Metric Tons)
|
517,600
|
851,752
|
1,369,352
|
Net
Sales
|
3,546,563
|
8,365,903
|
11,912,466
|
Cost
of Sales
|
2,216,099
|
7,465,801
|
9,681,900
|
Gross
Income
|
1,330,464
|
900,102
|
2,230,566
|
Operating
Expenses
|
360,309
|
303,784
|
664,093
|
Operating
Income
|
970,155
|
596,318
|
1,566,473
|
Total
Financing Cost
|
(21,193)
|
(23,821)
|
(45,014)
|
Other
Financial Operations
|
(20,712)
|
(12,036)
|
(32,748)
|
Income
Taxes
|
(138,678)
|
243,617
|
104,939
|
Net
Income Before Minority Interest
|
1,150,738
|
388,558
|
1,539,296
|
Minority
Interest
|
0
|
193,425
|
193,425
|
Net
Income
|
1,150,738
|
195,133
|
1,345,871
|
Simec
without Republic
|
Republic
|
Consolidated
Simec
Earning
Statement
|
|
Steel
Sales (Metric Tons)
|
523,501
|
876,627
|
1,400,128
|
Net
Sales
|
3,573,182
|
8,815,639
|
12,388,821
|
Cost
of Sales
|
2,326,363
|
7,660,786
|
9,987,149
|
Gross
Income
|
1,246,819
|
1,154,853
|
2,401,672
|
Operating
Expenses
|
374,630
|
476,560
|
851,190
|
Operating
Income
|
872,189
|
678,293
|
1,550,482
|
Total
Financing Cost
|
35,073
|
85,217
|
120,290
|
Other
Financial Operations
|
(7,633)
|
(26,583)
|
(34,216)
|
Income
Taxes
|
97,484
|
225,810
|
323,294
|
Net
Income Before Minority Interest
|
747,265
|
393,849
|
1,141,114
|
Minority
Interest
|
0
|
196,058
|
196,058
|
Net
Income
|
747,265
|
197,791
|
945,056
|
2006
|
Pro-forma
2005
|
|||
Consolidated
Simec
Balance Sheet
|
Simec
without
Republic
|
Adjustments
Republic
|
Consolidated
Simec Balance Sheet
|
|
Current
assets
|
8,388,849
|
3,526,821
|
4,906,493
|
8,433,314
|
Property,
Plant and Equipment
|
7,520,338
|
5,671,148
|
1,140,903
|
6,812,051
|
Other
Intangible Assets and Deferred Assets
|
530,051
|
228,770
|
410,855
|
639,625
|
Total
Assets
|
16,439,238
|
9,426,739
|
6,458,251
|
15,884,990
|
Current
Liabilities
|
2,534,777
|
855,096
|
1,726,013
|
2,581,109
|
Other
non Current Liabilities
|
2,002,784
|
1,349,930
|
2,216,500
|
3,566,430
|
Total
Stockholders’ Equity
|
11,901,677
|
7,221,713
|
2,515,738
|
9,737,451
|
Historical
|
Restated
|
|||||||||
Cost
|
Amount
|
Total
|
||||||||
Capital
stock
|
Ps.
2,048,257
|
Ps.
1,464,320
|
Ps.
3,512,577
|
|||||||
Additional
paid-in capital
|
788,394
|
142,716
|
931,110
|
|||||||
Premium
on Issuance of Shares
|
20,000
|
67,600
|
87,600
|
|||||||
Retained
earnings
|
5,175,453
|
690,095
|
5,865,548
|
|||||||
Effect
deferred income tax Bulletin D-4
|
(662,340
|
)
|
(243,488
|
)
|
(905,828
|
)
|
June
30, 2006
|
June
30, 2005
|
||||||
Net
loss (profit) in money exchange
|
Ps.
187
|
Ps.
(625
|
)
|
||||
Net
loss (profit) in liabilities actualization
|
(21
|
)
|
(1,292
|
)
|
STOCK EXCHANGE CODE:
SIMEC
GRUPO SIMEC, S.A. DE C.V.
|
QUARTER: 2 YEAR: 2006
|
ING
LUIS GARCIA LIMON
|
C.P.
JOSE FLORES FLORES
|
CHIEF
EXECUTIVE OFFICER
|
CHIEF
FINANCIAL OFFICER
|