v3.26.1
Consolidated Statements of Financial Position
$ in Thousands, $ in Thousands
Dec. 31, 2025
USD ($)
Dec. 31, 2025
MXN ($)
Dec. 31, 2024
MXN ($)
Current assets:      
Cash and cash equivalents $ 9,052,931 $ 162,651,289 $ 88,841,826
Customers, net 6,233,447 111,994,478 126,733,175
Other financing receivables 1,320,257 23,720,662 32,330,944
Other non-financing receivables 3,588,296 64,469,829 74,532,913
Inventories 5,504,681 98,900,960 88,569,989
Government Bonds 1,193,093 21,435,936 14,740,032
Derivative financial instruments 808,967 14,534,464 9,203,958
Other current assets 252,045 4,528,422 4,601,883
Total current assets 27,953,717 502,236,040 439,554,720
Non-current assets:      
Investments in associates 155,532 2,794,404 2,692,938
Wells, pipelines, properties, plant and equipment, net 90,106,477 1,618,916,044 1,650,532,712
Rights of use assets 2,106,191 37,841,299 41,964,533
Long-term notes receivable, net of current portion 49,712 893,152 1,021,778
Government Bonds 0 0 21,135,321
Deferred income taxes and duties 415,458 7,464,412 7,033,529
Intangible assets, net 612,181 10,998,869 17,088,277
Other assets 2,132,990 38,322,791 27,728,775
Total non-current assets 95,578,541 1,717,230,971 1,769,197,863
Total assets 123,532,258 2,219,467,011 2,208,752,583
Current liabilities:      
Short-term debt and current portion of long-term debt 19,214,879 345,227,971 425,218,517
Short-term leases 524,787 9,428,699 8,628,404
Suppliers 24,306,311 436,704,206 505,989,382
Income taxes and duties payable 5,311,213 95,424,966 85,941,389
Accounts and accrued expenses payable 3,778,373 67,884,889 72,773,222
Derivative financial instruments 4,347,283 78,106,329 108,972,467
Total current liabilities 57,482,846 1,032,777,060 1,207,523,381
Long-term liabilities:      
Long-term debt, net of current portion 66,014,912 1,186,070,119 1,553,553,738
Long-term leases, net of current portion 1,767,469 31,755,581 38,196,862
Long-term contractual liabilities 10,743,935 193,033,065 0
Employee benefits 81,821,345 1,470,059,563 1,232,589,895
Provisions for sundry creditors 8,505,551 152,816,682 137,835,561
Other liabilities 3,043,301 54,678,031 17,692,458
Deferred income taxes 227,258 4,083,080 5,136,424
Total long-term liabilities 172,123,771 3,092,496,121 2,985,004,938
Total liabilities 229,606,617 4,125,273,181 4,192,528,319
Controlling interest:      
Certificates of Contribution “A” 97,292,750 1,748,029,657 1,352,716,466
Mexican Government contributions 3,714,126 66,730,591 66,730,591
Legal reserve 55,777 1,002,130 1,002,130
Accumulated other comprehensive result 2,798,658 50,282,658 285,954,621
Accumulated deficit:      
From prior years (205,374,674) (3,689,905,157) (2,909,489,303)
Net (loss) for the year (4,545,734) (81,671,843) (780,415,854)
Total controlling interest (106,059,097) (1,905,531,964) (1,983,501,349)
Total non-controlling interest (15,262) (274,206) (274,387)
Total equity (deficit) (106,074,359) (1,905,806,170) (1,983,775,736)
Total liabilities and equity (deficit) $ 123,532,258 $ 2,219,467,011 $ 2,208,752,583