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As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 4/30/21 Grupo Televisa, S.A.B. 20-F 12/31/20 200:52M Toppan Merrill/FA |
Document/Exhibit Description Pages Size 1: 20-F Annual or Annual-Transition Report by a Foreign HTML 2.59M Non-Canadian Issuer 2: EX-2.17 Plan of Acquisition, Reorganization, Arrangement, HTML 111K Liquidation or Succession 3: EX-4.11 Instrument Defining the Rights of Security Holders HTML 60K 4: EX-4.17 Instrument Defining the Rights of Security Holders HTML 489K 5: EX-4.18 Instrument Defining the Rights of Security Holders HTML 601K 6: EX-8.1 Opinion of Counsel re: Tax Matters HTML 94K 10: EX-13.1 Annual or Quarterly Report to Security Holders HTML 52K 11: EX-13.2 Annual or Quarterly Report to Security Holders HTML 52K 12: EX-13.3 Annual or Quarterly Report to Security Holders HTML 52K 13: EX-23.1 Consent of Expert or Counsel HTML 52K 7: EX-12.1 Statement re: the Computation of Ratios HTML 56K 8: EX-12.2 Statement re: the Computation of Ratios HTML 56K 9: EX-12.3 Statement re: the Computation of Ratios HTML 56K 20: R1 Document and Entity Information HTML 113K 21: R2 Consolidated Statements of Financial Position HTML 186K 22: R3 Consolidated Statements of Income HTML 104K 23: R4 Consolidated Statements of Comprehensive Income HTML 104K 24: R5 Consolidated Statements of Changes in Equity HTML 102K 25: R6 Consolidated Statements of Cash Flows HTML 211K 26: R7 Corporate Information HTML 56K 27: R8 Accounting Policies HTML 318K 28: R9 Acquisitions, Investments, Dispositions and Assets HTML 83K Held for Sale 29: R10 Financial Risk Management HTML 661K 30: R11 Critical Accounting Estimates and Assumptions HTML 68K 31: R12 Cash and Cash Equivalents HTML 68K 32: R13 Trade Notes and Accounts Receivable, Net HTML 118K 33: R14 Transmission Rights and Programming HTML 82K 34: R15 Investments in Financial Instruments HTML 168K 35: R16 Investments in Associates and Joint Ventures HTML 393K 36: R17 Property, Plant and Equipment, Net HTML 484K 37: R18 Right-of-use Assets, Net HTML 239K 38: R19 Intangible Assets and Goodwill, Net HTML 971K 39: R20 Debt, Lease Liabilities and Other Notes Payable HTML 637K 40: R21 Financial Instruments HTML 489K 41: R22 Post-employment Benefits HTML 452K 42: R23 Capital Stock and Long-term Retention Plan HTML 294K 43: R24 Retained Earnings and Accumulated Other HTML 292K Comprehensive Income 44: R25 Non-controlling Interests HTML 213K 45: R26 Transactions with Related Parties HTML 178K 46: R27 Cost of Sales, Selling Expenses and Administrative HTML 115K Expenses 47: R28 Other Income or Expense, Net HTML 120K 48: R29 Finance Expense, Net HTML 99K 49: R30 Income Taxes HTML 669K 50: R31 Earnings per CPO/Share HTML 151K 51: R32 Segment Information HTML 1.02M 52: R33 Commitments and Contingencies HTML 102K 53: R34 Changes in Accounting Policies Required by the HTML 455K Initial Application of IFRS 9, IFRS 15 and IFRS 16 54: R35 COVID-19 Impact HTML 60K 55: R36 Events after the Reporting Period HTML 60K 56: R37 Accounting Policies (Policies) HTML 372K 57: R38 Accounting Policies (Tables) HTML 208K 58: R39 Acquisitions, Investments, Dispositions and Assets HTML 76K Held for Sale (Tables) 59: R40 Financial Risk Management (Tables) HTML 651K 60: R41 Cash and Cash Equivalents (Tables) HTML 68K 61: R42 Trade Notes and Accounts Receivable, Net (Tables) HTML 122K 62: R43 Transmission Rights and Programming (Tables) HTML 80K 63: R44 Investments in Financial Instruments (Tables) HTML 168K 64: R45 Investments in Associates and Joint Ventures HTML 407K (Tables) 65: R46 Property, Plant and Equipment, Net (Tables) HTML 484K 66: R47 Right-of-use Assets, Net (Tables) HTML 238K 67: R48 Intangible Assets and Goodwill, Net (Tables) HTML 976K 68: R49 Debt, Lease Liabilities and Other Notes Payable HTML 646K (Tables) 69: R50 Financial Instruments (Tables) HTML 475K 70: R51 Post-employment Benefits (Tables) HTML 460K 71: R52 Capital Stock and Long-term Retention Plan HTML 290K (Tables) 72: R53 Retained Earnings and Accumulated Other HTML 288K Comprehensive Income (Tables) 73: R54 Non-controlling Interests (Tables) HTML 218K 74: R55 Transactions with Related Parties (Tables) HTML 168K 75: R56 Cost of Sales, Selling Expenses and Administrative HTML 116K Expenses (Tables) 76: R57 Other Income or Expense, Net (Tables) HTML 119K 77: R58 Finance Expense, Net (Tables) HTML 98K 78: R59 Income Taxes (Tables) HTML 668K 79: R60 Earnings per CPO/Share (Tables) HTML 157K 80: R61 Segment Information (Tables) HTML 1.01M 81: R62 Commitments and Contingencies (Tables) HTML 79K 82: R63 Changes in Accounting Policies Required by the HTML 440K Initial Application of IFRS 9, IFRS 15 and IFRS 16 (Tables) 83: R64 Corporate Information (Details) HTML 57K 84: R65 Accounting Policies - Subsidiaries (Details) HTML 127K 85: R66 Accounting Policies - Investments in Associates HTML 56K and Joint Ventures (Details) 86: R67 Accounting Policies - Translation of Foreign HTML 62K Operations (Details) 87: R68 Accounting Policies - Cash and Cash Equivalents HTML 57K (Details) 88: R69 Accounting Policies - Transmission Rights and HTML 55K Programming (Details) 89: R70 Accounting Policies - Property, Plant and HTML 78K Equipment (Details) 90: R71 Accounting Policies - Intangible Assets (Details) HTML 69K 91: R72 Accounting Policies - Share-based Payment HTML 56K Agreements (Details) 92: R73 Accounting Policies - Leases (Details) HTML 58K 93: R74 Acquisitions, Investments, Dispositions and Assets HTML 66K Held for Sale - Imagina Media Audiovisual, S.L. (Details) 94: R75 Acquisitions, Investments, Dispositions and Assets HTML 88K Held for Sale - Axtel (Details) 95: R76 Acquisitions, Investments, Dispositions and Assets HTML 63K Held for Sale - Ocen (Details) 96: R77 Acquisitions, Investments, Dispositions and Assets HTML 77K Held for Sale - Radiopolis (Details) 97: R78 Financial Risk Management (Details) HTML 114K 98: R79 Financial Risk Management - Net Monetary Position HTML 76K (Details) 99: R80 Financial Risk Management - Cash Flow Interest HTML 157K Rate Risk (Details) 100: R81 Financial Risk Management - Liquidity Risk HTML 87K (Details) 101: R82 Critical Accounting Estimates and Assumptions HTML 60K (Details) 102: R83 Cash and Cash Equivalents - Cash and Cash HTML 59K equivalents (Details) 103: R84 Trade Notes and Accounts Receivable, Net (Details) HTML 60K 104: R85 Trade Notes and Accounts Receivable, Net - Aging HTML 61K Analysis (Details) 105: R86 Trade Notes and Accounts Receivable, Net - HTML 61K Carrying Amount (Details) 106: R87 Trade Notes and Accounts Receivable, Net - HTML 60K Doubtful Accounts (Details) 107: R88 Transmission Rights and Programming (Details) HTML 66K 108: R89 Investments in Financial Instruments (Details) HTML 73K 109: R90 Investments in Financial Instruments - Additional HTML 90K Information (Details) 110: R91 Investments in Financial Instruments - HTML 85K Available-for-sale financial assets (Details) 111: R92 Investments in Associates and Joint Ventures - HTML 83K Equity method (Details) 112: R93 Investments in Associates and Joint Ventures - HTML 105K Associate Narrative (Details) 113: R94 Investments in Associates and Joint Ventures - HTML 77K Joint venture Narrative (Details) 114: R95 Investments in Associates and Joint Ventures - HTML 87K Roll forward (Details) 115: R96 Investments in Associates and Joint Ventures - HTML 101K Balance sheet information (Details) 116: R97 Investments in Associates and Joint Ventures - HTML 72K Reconcilies Summary of Financial Information of UHI Carrying Amount (Details) 117: R98 Investments in Associates and Joint Ventures - HTML 75K Reconciles of Summary of Financial Information (Details) 118: R99 Investments in Associates and Joint Ventures - HTML 98K Share of comprehensive (Loss) Income (Details) 119: R100 Property, Plant and Equipment, Net (Details) HTML 153K 120: R101 Property, Plant and Equipment, Net - Others HTML 64K (Details) 121: R102 Right-of-use Assets, Net (Details) HTML 97K 122: R103 Intangible Assets and Goodwill, Net - Summary of HTML 111K intangible assets and goodwill (Details) 123: R104 Intangible Assets and Goodwill, Net - Changes in HTML 85K intangible assets and goodwill with indefinite useful lives (Details) 124: R105 Intangible Assets and Goodwill, Net - Changes in HTML 134K intangible assets with definite useful lives (Details) 125: R106 Intangible Assets and Goodwill, Net - Net carrying HTML 95K amount of goodwill, indefinite-lived trademarks and concessions (Details) 126: R107 Intangible Assets and Goodwill, Net - Assumptions HTML 70K used in fair value calculations of goodwill and intangible assets (Details) 127: R108 Intangible Assets and Goodwill, Net - Future HTML 74K amortization expense of trademarks (Details) 128: R109 Debt, Lease Liabilities and Other Notes Payable HTML 135K (Details) 129: R110 Debt, Lease Liabilities and Other Notes Payable - HTML 214K Other notes payable (Details) 130: R111 Debt, Lease Liabilities and Other Notes Payable - HTML 140K Bank loans (Details) 131: R112 Debt, Lease Liabilities and Other Notes Payable - HTML 95K Finance leases and Other notes payable (Details) 132: R113 Debt, Lease Liabilities and Other Notes Payable - HTML 90K Hedged Items (Details) 133: R114 Debt, Lease Liabilities and Other Notes Payable - HTML 70K Maturities of Debt (Details) 134: R115 Debt, Lease Liabilities and Other Notes Payable - HTML 72K Maturities of Lease Liabilities (Details) 135: R116 Debt, Lease Liabilities and Other Notes Payable - HTML 100K Reconciliation of long-term debt and lease liabilities arising from financing activities (Details) 136: R117 Financial Instruments - Non-Derivative (Details) HTML 105K 137: R118 Financial Instruments - Derivative (Detail) HTML 177K 138: R119 Financial Instruments - Assets and Liabilities HTML 95K Measured at Fair Value on a Recurring Basis (Details) 139: R120 Financial Instruments - Significant Unobservable HTML 60K Inputs (Details) 140: R121 Financial Instruments (Details) HTML 82K 141: R122 Financial Instruments - Class of Assets and HTML 55K Liabilities Subject to Recurring Fair Value Measurements Categorized Within Level 3 (Details) 142: R123 Post-employment Benefits - Actuarial assumptions HTML 61K (Details) 143: R124 Post-employment Benefits - Sensitivity (Details) HTML 61K 144: R125 Post-employment Benefits - Reconciliation HTML 73K (Details) 145: R126 Post-employment Benefits - Net periodic (Details) HTML 63K 146: R127 Post-employment Benefits - Benefit obligation HTML 84K (Details) 147: R128 Post-employment Benefits - Fair value of plan HTML 79K assets (Details) 148: R129 Post-employment Benefits - Funded status (Details) HTML 59K 149: R130 Post-employment Benefits - Changes in net HTML 72K post-employment (Details) 150: R131 Post-employment Benefits - Post-employment HTML 67K benefits (Details) 151: R132 Post-employment Benefits - Plan assets (Details) HTML 72K 152: R133 Post-employment Benefits - Fair value plan assets HTML 76K (Details) 153: R134 Post-employment Benefits - Weighted average HTML 58K durations (Details) 154: R135 Capital Stock and Long-term Retention Plan - HTML 111K Capital Stock (Details) 155: R136 Capital Stock and Long-term Retention Plan - HTML 81K Reconciliation of shares (Details) 156: R137 Capital Stock and Long-term Retention Plan - Other HTML 71K (Details) 157: R138 Capital Stock and Long-term Retention Plan - HTML 117K Long-Term Retention Plan (Details) 158: R139 Capital Stock and Long-term Retention Plan - HTML 69K Weighted-average assumptions (Details) 159: R140 Capital Stock and Long-term Retention Plan - Stock HTML 87K awards (Details) 160: R141 Retained Earnings and Accumulated Other HTML 99K Comprehensive Income - Retained Earnings (Details) 161: R142 Retained Earnings and Accumulated Other HTML 61K Comprehensive Income - Legal Reserve (Details) 162: R143 Retained Earnings and Accumulated Other HTML 78K Comprehensive Income - Dividends (Details) 163: R144 Retained Earnings and Accumulated Other HTML 91K Comprehensive Income - Accumulated Other Comprehensive Income (Details) 164: R145 Non-controlling Interests (Details) HTML 89K 165: R146 Non-controlling Interests - Balance Sheets HTML 82K (Details) 166: R147 Non-controlling Interests - Income Statement HTML 72K (Details) 167: R148 Non-controlling Interests - Cash Flows (Details) HTML 69K 168: R149 Transactions with Related Parties - Principal HTML 90K transactions (Details) 169: R150 Transactions with Related Parties - Other HTML 67K transactions (Details) 170: R151 Transactions with Related Parties - Compensation HTML 76K (Details) 171: R152 Transactions with Related Parties - Receivables HTML 88K and payables (Details) 172: R153 Cost of Sales, Selling Expenses and Administrative HTML 82K Expenses (Details) 173: R154 Other Income or Expense, Net (Details) HTML 93K 174: R155 Finance Expense, Net (Details) HTML 74K 175: R156 Income Taxes (Details) HTML 73K 176: R157 Income Taxes - 2014 Tax Reform (Details) HTML 65K 177: R158 Income Taxes - Maturities of income tax payable HTML 61K (Details) 178: R159 Income Taxes - Reconciliation of Principal HTML 74K differences between income taxes computed at the statutory rate and the Group's provision for income taxes (Details) 179: R160 Income Taxes - Expiration of tax loss HTML 84K carryforwards (Details) 180: R161 Income Taxes - Temporary differences and tax loss HTML 92K carryforwards to arrive deferred income taxes (Details) 181: R162 Income Taxes - Gross rollforward of deferred HTML 62K income tax assets, net (Details) 182: R163 Income Taxes - Rollforward of deferred income tax HTML 101K assets and liabilities (Details) 183: R164 Income Taxes - Tax (Charge) Credit Relating to HTML 137K Components of Other Comprehensive Income (Details) 184: R165 Earnings per CPO/Share (Details) HTML 100K 185: R166 Segment Information - Revenue information by HTML 116K segment and a reconciliation to consolidated total (Details) 186: R167 Segment Information - Segment information about HTML 110K assets, liabilities, and additions to property, plant and equipment (Details) 187: R168 Segment Information - Geographical segment HTML 74K information (Details) 188: R169 Segment Information - Disaggregation of Total HTML 147K Revenues (Details) 189: R170 Segment Information - Net sales from external HTML 65K customers (Details) 190: R171 Commitments and Contingencies - Commitments HTML 98K (Details) 191: R172 Commitments and Contingencies - Reconciliation of HTML 65K the non-cancellable lease commitments (Details) 192: R173 Changes in Accounting Policies Required by the HTML 67K Initial Application of IFRS 9, IFRS 15 and IFRS 16 - Recognition of cumulative adjustments, IFRS 9 (Details) 193: R174 Changes in Accounting Policies Required by the HTML 111K Initial Application of IFRS 9, IFRS 15 and IFRS 16 - Classification and measurement of financial instruments (Details) 194: R175 Changes in Accounting Policies Required by the HTML 74K Initial Application of IFRS 9, IFRS 15 and IFRS 16 - Contract Costs (Details) 195: R176 Changes in Accounting Policies Required by the HTML 64K Initial Application of IFRS 9, IFRS 15 and IFRS 16 - Recognition of cumulative adjustments, IFRS 15 (Details) 196: R177 Changes in Accounting Policies Required by the HTML 72K Initial Application of IFRS 9, IFRS 15 and IFRS 16 - Operating Leases and Financial Leases (Details) 197: R178 Events after the Reporting Period (Details) HTML 82K 199: XML IDEA XML File -- Filing Summary XML 385K 198: EXCEL IDEA Workbook of Financial Reports XLSX 368K 14: EX-101.INS XBRL Instance -- tv-20201231 XML 21.15M 16: EX-101.CAL XBRL Calculations -- tv-20201231_cal XML 512K 17: EX-101.DEF XBRL Definitions -- tv-20201231_def XML 2.50M 18: EX-101.LAB XBRL Labels -- tv-20201231_lab XML 4.03M 19: EX-101.PRE XBRL Presentations -- tv-20201231_pre XML 3.46M 15: EX-101.SCH XBRL Schema -- tv-20201231 XSD 776K 200: ZIP XBRL Zipped Folder -- 0001104659-21-059010-xbrl Zip 856K
Exhibit 13.2
GRUPO TELEVISA, S.A.B.
SECTION 906 CERTIFICATION OF CO-CHIEF EXECUTIVE OFFICER
I, Bernardo Gómez Martínez, Co-Chief Executive Officer of Grupo Televisa, S.A.B. (the “Company”), hereby certify, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:
1. | The Company’s annual report on Form 20-F for the fiscal year ended December 31, 2020, to which this statement is filed as an exhibit (the “Report”), fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and |
2. | The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company. |
Date: April 30, 2021
By: | /s/ Bernardo Gómez Martínez | ||
Name: | Bernardo Gómez Martínez | ||
Title: | Co-Chief Executive Officer |
C:
This ‘20-F’ Filing | Date | Other Filings | ||
---|---|---|---|---|
Filed on: | 4/30/21 | 6-K | ||
For Period end: | 12/31/20 | |||
List all Filings |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 4/30/24 Grupo Televisa, S.A.B. 20-F 12/31/23 193:73M Toppan Merrill/FA 4/28/23 Grupo Televisa, S.A.B. 20-F 12/31/22 202:53M Toppan Merrill/FA 4/29/22 Grupo Televisa, S.A.B. 20-F 12/31/21 193:48M Toppan Merrill/FA |