v3.25.1
Right-of-use assets and liability related to right-of-use of assets (Tables)
12 Months Ended
Dec. 31, 2024
Right-of-use assets and liability related to right-of-use of assets [Abstract]  
Right-of-Use Assets and Lease Liabilities
In 2022, 2023 and 2024 the movement of right-of-use assets and lease liabilities are as follows:

    Right-of-use assets        
   
Towers & Sites
   
Property
   
Other
equipment
   
Total
   
Liability related
to right-of-use of
assets
 
As of January 1, 2022
  Ps. 76,557,028     Ps. 9,936,705     Ps. 3,878,660     Ps. 90,372,393     Ps. 98,654,225  
Additions and release(1)
   
42,958,221
     
574,801
     
5,463,706
     
48,996,728
     
44,134,101
 
Business combinations
   
4,247,042
     
318
     
5,413
     
4,252,773
     
9,129,255
 
Modifications
   
11,859,492
     
3,584,607
     
1,790,905
     
17,235,004
     
19,038,741
 
Depreciation
   
(22,858,868
)
   
(3,369,095
)
   
(2,756,898
)
   
(28,984,861
)
   
 
Interest expense
   
     
     
     
     
8,903,397
 
Payments
   
     
     
     
     
(33,823,287
)
Disposals(2)
   
(696,904
)
   
(88,303
)
   
(36,694
)
   
(821,901
)
   
(1,044,480
)
Transfers(3)
   
(165,779
)
   
(126,763
)
   
(112,301
)
   
(404,843
)
   
(438,571
)
Translation adjustment
   
(5,680,583
)
   
(1,289,832
)
   
(1,800,782
)
   
(8,771,197
)
   
(10,404,570
)
Balance at December 31, 2022
  Ps. 106,219,649     Ps. 9,222,438     Ps. 6,432,009     Ps. 121,874,096    
Ps.
134,148,811  
 
  (1)
The increase as compared to the previous year, was due to rights of use and their corresponding liability with Sitios Latam, resulting from the spin-off occurred in August 2022.
 

(2)
Disposals includes the Panama disposal. See Note 2Ac.
 

(3)
Transfers includes the Claro Chile, SpA joint venture. See Note 12b.
 
    Right-of-use assets        
   
Towers & Sites
   
Property
   
Other
equipment
   
Total
   
Liability related
to right-of-use of
assets
 
As of January 1, 2023
 
Ps.
106,219,649    
Ps.
9,222,438    
Ps.
6,432,009    
Ps.
121,874,096    
Ps.
134,148,811  
Additions and release
   
14,744,304
     
464,791
     
146,515
     
15,355,610
     
12,244,019
 
Modifications
   
25,773,865
     
1,430,795
     
(3,397,274
)
   
23,807,386
     
39,109,007
 
Depreciation
   
(26,763,563
)
   
(3,122,468
)
   
(1,953,019
)
   
(31,839,050
)
   
 
Interest expense
   
     
     
     
     
10,648,584
 
Payments
   
     
     
     
     
(39,498,197
)
Translation adjustment
   
(13,391,742
)
   
(1,358,124
)
   
(879,856
)
   
(15,629,722
)
   
(31,483,068
)
Balance at December 31, 2023
 
Ps.
106,582,513    
Ps.
6,637,432    
Ps.
348,375    
Ps.
113,568,320    
Ps.
125,169,156  

    Right-of-use assets        
   
Towers & Sites
   
Property
   
Other
equipment
   
Total
   
Liability related
to right-of-use
of assets
 
As of January 1, 2024
 
Ps.
106,582,513    
Ps.
6,637,432    
Ps.
348,375    
Ps.
113,568,320    
Ps.
125,169,156  
Additions and release
   
69,238,564
     
5,007,853
     
481,822
     
74,728,239
     
74,430,110
 
Business combination
   
4,166,641
     
401,760
     
943,145
     
5,511,546
     
5,285,522
 
Modifications
   
20,750,663
     
3,644,901
     
6,460,657
     
30,856,221
     
31,996,863
 
Depreciation
   
(26,991,438
)
   
(3,151,532
)
   
(2,258,796
)
   
(32,401,766
)
   
 
Interest expense
   
     
     
     
     
16,594,964
 
Payments
   
     
     
     
     
(45,285,610
)
Translation adjustment
   
6,050,342
     
900,839
     
246,637
     
7,197,818
     
4,912,223
 
Balance at December 31, 2024
 
Ps.
179,797,285    
Ps.
13,441,253    
Ps.
6,221,840    
Ps.
199,460,378    
Ps.
213,103,228  
Lease Debt
The lease debt of the Company is integrated according to its maturities as follows:

   
2023
   
2024
 
Short term
 
Ps.
24,375,010    
Ps.
35,436,851  
Long term
   
100,794,146
     
177,666,377
 
Total
 
Ps.
125,169,156    
Ps.
213,103,228  
Right of Use Liability Maturities
The Company’s right of use long-term liability maturities as of December 31, 2024 are as follows:

Year ended December 31,
     
       
2026          
 
Ps.
25,309,238  
2027          
   
27,034,007
 
2028          
   
24,127,674
 
2029          
   
60,141,767
 
2030
   
20,138,132
 
2031 and thereafter
   
20,915,559
 
Total          
 
Ps.
177,666,377  
Lease Expenses
During the years ended December 31, 2022, 2023 and 2024, the Company recognized expenses as follows:

   
2022
 
   
Others
   
Related parties
   
Total
 
Depreciation expense of right-of-use assets
 
Ps.
18,095,871    
Ps.
10,888,990    
Ps.
28,984,861  
Interest expense on lease liabilities
   
6,395,988
     
2,507,409
     
8,903,397
 
Expense relating to short-term leases
   
24,234
     
     
24,234
 
Expense relating to leases of low-value assets
   
886
     
     
886
 
Variable lease payments
   
65,520
     
     
65,520
 
Total
 
Ps.
24,582,499    
Ps.
13,396,399    
Ps.
37,978,898  

   
2023
 
   
Others
   
Related parties
   
Total
 
Depreciation expense of right-of-use assets
 
Ps.
15,530,686    
Ps.
16,308,364    
Ps.
31,839,050  
Interest expense on lease liabilities
   
5,316,141
     
5,332,443
     
10,648,584
 
Expense relating to short-term leases
   
23,295
     
     
23,295
 
Expense relating to leases of low-value assets
   
1,749
     
     
1,749
 
Variable lease payments
   
67,927
     
     
67,927
 
Total
 
Ps.
20,939,798    
Ps.
21,640,807    
Ps.
42,580,605  

   
2024
 
   
Others
   
Related parties
   
Total
 
Depreciation expense of right-of-use assets
 
Ps.
16,046,897    
Ps.
16,354,869    
Ps.
32,401,766  
Interest expense on lease liabilities
   
6,055,603
     
10,539,361
     
16,594,964
 
Expense relating to short-term leases
   
845
     
     
845
 
Expense relating to leases of low-value assets
   
2,288
     
     
2,288
 
Variable lease payments
   
94,352
     
     
94,352
 
Total
 
Ps.
22,199,985    
Ps.
26,894,230    
Ps.
49,094,215