|
|
2017 |
|
2016 |
|
||
I. Revolving line of credit with Banco Santander México, S.A., Institución de Banca Múltiple, Grupo Financiero Santander (“Santander”) and Banco Nacional de Comercio Exterior, S.N.C. (“Bancomext”), in U.S. dollars, to finance pre-delivery payments, maturing on November 30, 2021, bearing annual interest rate at the three-month LIBOR plus a spread according to the contractual conditions of each disbursement in a range of 199 to 225 basis points. |
|
Ps. |
2,528,388 |
|
Ps. |
1,271,891 |
|
|
|
|
|
|
|
||
II. In December 2016, the Company entered into a short-term working capital facility with Banco Nacional de México S.A. (“Citibanamex”) in Mexican pesos, bearing annual interest rate at TIIE 28 days plus a spread according to the contractual conditions of each disbursement in a range of 20 to 80 basis points. |
|
948,354 |
|
406,330 |
|
||
|
|
|
|
|
|
||
III. In December 2016, the Company entered into a U.S. dollar denominated short-term working capital facility with Bank of America México S.A. Institución de Banca Múltiple (“Bank of America”) in U.S. dollars, bearing annual interest rate at the one-month LIBOR plus 160 basis points. |
|
— |
|
309,960 |
|
||
IV. Accrued interest |
|
5,972 |
|
6,102 |
|
||
|
|
|
|
|
|
||
|
|
3,482,714 |
|
1,994,283 |
|
||
Less: Short-term maturities |
|
2,403,562 |
|
1,051,237 |
|
||
|
|
|
|
|
|
||
Long-term |
|
Ps. |
1,079,152 |
|
Ps. |
943,046 |
|
|
|
|
|
|
|
|
|