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    SEC Form SC 13D/A filed by America Movil S.A.B. de C.V. (Amendment)

    3/23/23 8:25:44 PM ET
    $AMX
    Telecommunications Equipment
    Telecommunications
    Get the next $AMX alert in real time by email
    SC 13D/A 1 brhc10050221_sc13da.htm SC 13D/A

    UNITED STATES
    SECURITIES AND EXCHANGE COMMISSION
    Washington, DC  20549

    SCHEDULE 13D
     
    Under the Securities Exchange Act of 1934
     
    (Amendment No. 45)*

    América Móvil, S.A.B. de C.V. (the “Issuer”)
    (Name of Issuer)
     
    American Depositary Shares (“B Share ADSs”), each representing twenty (20) Series B Shares (“B Shares”)
    (Title of Class of Securities)
     
    02390A101 for B Share ADSs1
    (CUSIP Number)
     
    March 16, 2023
    (Date of Event Which Requires Filing of this Statement)

    If the filing person has previously filed a statement on Schedule 13G to report the acquisition which is the subject of this Schedule 13D, and is filing this schedule because of Rule 13d-1(e), 1(f) or 1(g), check the following box. ☐
    Note: Schedules filed in paper format shall include a signed original and five copies of the schedule, including all exhibits. See Rule 13d-7 for other parties to whom copies are to be sent.

    * The remainder of this cover page shall be filled out for a reporting person’s initial filing on this form with respect to the subject class of securities, and for any subsequent amendment containing information which would alter the disclosures provided in a prior cover page.

    The information required in the remainder of this cover page shall not be deemed to be “filed” for the purpose of Section 18 of the Securities Exchange Act of 1934 (“Act”) or otherwise subject to the liabilities of that section of the Act but shall be subject to all other provisions of the Act (however, see the Notes).



    1 CUSIP number is for the B Share ADSs only. No CUSIP number exists for the underlying B Shares since such shares are not traded in the United States.



    CUSIP No. 02390A101 B Share ADSs
     
    Page 2 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Carlos Slim Helú
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    AF (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    5,200,354,685 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    10,922,562,494 B Shares (See Item 5)
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    5,200,354,685 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    10,922,562,494 B Shares (See Item 5)
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    16,122,917,179 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☒

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    25.5% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    IN
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 3 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Carlos Slim Domit
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    AF (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    2,325,617,791 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    2,325,617,791 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    30,990,695,807 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☒

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    49.0% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    IN
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 4 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Marco Antonio Slim Domit
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    AF (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    2,320,745,270 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    2,320,745,270 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    30,985,823,286 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☒

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    49.0% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    IN
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 5 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Patrick Slim Domit
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    AF (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    1,242,622,344 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    1,242,622,344 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    29,907,700,360 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☒

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    47.3% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    IN
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 6 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    María Soumaya Slim Domit
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    AF (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    795,937,730 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    795,937,730 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    29,461,015,746 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☒

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    46.6% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    IN
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 7 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Vanessa Paola Slim Domit
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    AF (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    936,683,303 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    936,683,303 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    29,601,761,319 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☒

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    46.8% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    IN
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 8 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Johanna Monique Slim Domit
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    AF (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    961,117,898 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    961,117,898 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    28,665,078,016 B Shares (See Item 5)
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    29,626,195,914 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☒

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    46.9% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    IN
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 9 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Grupo Financiero Inbursa, S.A.B. de C.V. (“GFI”)
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    WC (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    - 0 -
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    998,061,282 B Shares (See Item 5)
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    - 0 -
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    998,061,282 B Shares (See Item 5)
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    998,061,282 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☐

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    1.6% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    HC
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 10 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Control Empresarial de Capitales S.A. de C.V, formerly known as Inversora Carso, S.A. de C.V. (“Control Empresarial”)
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    WC (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    - 0 -
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    10,699,582,873 B Shares (See Item 5)
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    - 0 -
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    10,699,582,873 B Shares (See Item 5)
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    10,699,582,873 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☐

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    16.9% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    CO
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 11 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Trust No. F/0008 (the “Telmex Trust”)
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    WC (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    1,248,411,351 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    - 0 -
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    1,248,411,351 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    - 0 -
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    1,248,411,351 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☐

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    2.0% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    EP
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 12 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Trust No. F/0395 (the “Telnor Trust”)
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    WC (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    37,035,877 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    - 0 -
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    37,035,877 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    - 0 -
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    37,035,877 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☐

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    0.1% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    EP
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 13 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Fundación Telmex, A.C. (“Fundación Telmex”)
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    WC (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    147,107,312 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    - 0 -
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    147,107,312 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    - 0 -
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    147,107,312 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☐

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    0.2% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    PN
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 14 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Fundación Carlos Slim, A.C. (“Fundación Carlos Slim”)
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    WC (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    356,412,110 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    - 0 -
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    356,412,110 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    - 0 -
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    356,412,110 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☐

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    0.6% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    PN
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 15 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Instituto Carlos Slim de la Salud, A.C. (“Instituto Carlos Slim de la Salud”)
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    WC (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    27,637,607 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    - 0 -
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    27,637,607 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    - 0 -
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    27,637,607 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☐

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    0.0% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    PN
     
     
     
     



    CUSIP No. 02390A101 B Share ADSs
     
    Page 16 of 75
    1
    NAMES OF REPORTING PERSONS
    I.R.S. IDENTIFICATION NO. OF ABOVE PERSON (ENTITIES ONLY)
     
     
    Trust No. F/0126 (the “Control Trust”)
     
     
     
     
    2
    CHECK THE APPROPRIATE BOX IF A MEMBER OF A GROUP
    (a)
    ☐

    (b)
    ☒
     
     
    3
    SEC USE ONLY
     
     

     
     
     
     
    4
    SOURCE OF FUNDS (SEE INSTRUCTIONS)
     
     
    WC (See Item 3)
     
     
     
     
    5
    CHECK BOX IF DISCLOSURE OF LEGAL PROCEEDINGS IS REQUIRED PURSUANT TO ITEM 2(D) OR 2(E)
     
    ☐

     
     
     
     
    6
    CITIZENSHIP OR PLACE OF ORGANIZATION
     
     
    México
     
     
     
     
    NUMBER OF SHARES BENEFICIALLY OWNED BY EACH REPORTING PERSON WITH
    7
    SOLE VOTING POWER
     
     
    17,742,515,522 B Shares (See Item 5)
     
     
     
     
    8
    SHARED VOTING POWER
     
     
    - 0 -
     
     
     
     
    9
    SOLE DISPOSITIVE POWER
     
     
    17,742,515,522 B Shares (See Item 5)
     
     
     
     
    10
    SHARED DISPOSITIVE POWER
     
     
    - 0 -
     
     
     
     
    11
    AGGREGATE AMOUNT BENEFICIALLY OWNED BY EACH REPORTING PERSON
     
     
    17,742,515,522 B Shares (See Item 5)
     
     
     
     
    12
    CHECK BOX IF THE AGGREGATE AMOUNT IN ROW (11) EXCLUDES CERTAIN SHARES (SEE INSTRUCTIONS)
     
    ☐

     
     
     
     
    13
    PERCENT OF CLASS REPRESENTED BY AMOUNT IN ROW (11)
     
     
    28.1% of B Shares (See Item 5)
     
     
     
     
    14
    TYPE OF REPORTING PERSON (SEE INSTRUCTIONS)
     
     
    OO
     
     
     
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 17 of 75
    Item 1.
    Security and Issuer.

    This Amendment No. 45 (the “Forty-Fifth Amendment”) amends the Schedule 13D filed with the Securities and Exchange Commission (the “Commission”) on March 8, 2001, as subsequently amended (the “Schedule 13D”), by the Reporting Persons (as defined below), with respect to the American Depositary Shares (“B Share ADSs”), each representing 20 Series B Shares (“B Shares”), of América Móvil, S.A.B. de C.V. (the “Issuer” or “AMX”). Capitalized terms used but not otherwise defined in this Forty-Fifth Amendment have the meanings ascribed to such terms in the Schedule 13D, as amended.
     
    Item 2.
    Identity and Background.
     
    This Statement is filed pursuant to Rule 13d-2(a) under the Securities Exchange Act of 1934, as amended (the “Exchange Act”), by the persons listed below (the “Reporting Persons”).
     
    (1) Carlos Slim Helú, Carlos Slim Domit, Marco Antonio Slim Domit, Patrick Slim Domit, Maria Soumaya Slim Domit, Vanessa Paola Slim Domit and Johanna Monique Slim Domit (collectively, the “Slim Family”), each of whom is a Mexican citizen, beneficially own, directly and indirectly, a majority of the outstanding voting equity securities of GFI and Control Empresarial that, directly or indirectly, hold B Shares. As a result, ownership of all B Shares owned or controlled by these entities is deemed to be shared among such members of the Slim Family. In addition, as described below, certain members of the Slim Family may be deemed to control the Control Trust, a Mexican trust that directly holds B Shares of the Issuer. As a result, ownership of all B Shares owned or controlled by the Control Trust is deemed to be shared among such members of the Slim Family. Additionally, the Slim Family owns important minority positions in mutual funds managed by subsidiaries of GFI (the “Mutual Funds”).
     
    (2) GFI is a sociedad anonima bursátil de capital variable organized under the laws of Mexico. GFI is a financial services holding company. GFI owns all of the outstanding voting equity securities of several financial institutions organized in Mexico, including a broker-dealer, a bank, an insurance company and a surety bonding company. GFI, through Banco Inbursa S.A., Institución de Banca Multiple, Grupo Financiero Inbursa, División Fiduciaria which is one of its subsidiaries, also controls various trusts for the benefit of its employees, employees of its subsidiaries and employees of other entities that may be deemed to be controlled by the Slim Family. In addition, GFI may be deemed to beneficially own the following B Shares as to which it has the power to dispose of and vote, although it disclaims ownership of such B Shares: (i) B Shares in accounts managed by its subsidiary Afore Inbursa, S.A. de C.V. (“Afore Inbursa”), and (ii) B Shares held in mutual funds managed by GFI through its subsidiary Operadora Inbursa de Fondos de Inversión, S.A. de C.V.
     
    (3) Control Empresarial de Capitales S.A. de C.V. (“Control Empresarial”), formerly known as Inversora Carso, S.A. de C.V., is a sociedad anónima de capital variable organized under the laws of Mexico. Control Empresarial is a holding company with portfolio investments in various companies and is controlled indirectly by the Slim Family.
     

    CUSIP No. 02390A101 B Share ADSs
     
    Page 18 of 75
    (4) The Telmex Trust is a trust organized under the laws of Mexico as the pension plan for employees of the Teléfonos de México, S.A.B. de C.V. (“Telmex”). Banco Inbursa S.A., Institución de Banca Multiple, Grupo Financiero Inbursa, División Fiduciaria, is the trustee of the Telmex Trust and a subsidiary of GFI. A technical committee, each of whose members is an employee of Telmex or of a subsidiary of Telmex, is responsible for making investment decisions for the Telmex Trust. Thus, the Telmex Trust may be deemed to be controlled by Telmex, which may be deemed to be controlled by AMX, and AMX and the Slim Family may be deemed to share beneficial ownership of all B Shares beneficially owned by the Telmex Trust. AMX and the Slim Family expressly disclaim such beneficial ownership. The Telmex Trust owns a major stake in the Mutual Funds.
     
    (5) The Telnor Trust is a trust organized under the laws of Mexico as the pension plan for employees of Telefonos del Noroeste, S.A. de C.V. (“Telnor”). Telnor is a wholly-owned subsidiary of Telmex. Banco Inbursa, S.A., Institucion de Banca Multiple, Grupo Financiero Inbursa, Division Fiduciaria, is a trustee of the Telnor Trust and a subsidiary of GFI. A technical committee, each of whose members is an employee of Telmex or of a subsidiary of Telmex, makes investment decisions for the Telnor Trust. Thus, the Telnor Trust may be deemed to be controlled by Telmex, which may be deemed to be controlled by AMX, and AMX and the Slim Family may be deemed to share beneficial ownership of all B Shares beneficially owned by the Telnor Trust. AMX and the Slim Family expressly disclaim such beneficial ownership.
     
    (6) Fundación Telmex is a not-for-profit partnership organized under the laws of Mexico. A board, a majority of whose members are members of the Slim Family, makes investment decisions for Fundacion Telmex. Thus, Fundación Telmex may be deemed to be controlled by the Slim Family, which may be deemed to share beneficial ownership of all B Shares beneficially owned by Fundación Telmex. AMX and the Slim Family expressly disclaim such beneficial ownership.
     
    (7) Fundación Carlos Slim is a not-for-profit partnership organized under the laws of Mexico. A board, the majority of whose members are members of the Slim Family, makes investment decisions for Fundación Carlos Slim. Thus, Fundación Carlos Slim may be deemed to be controlled by the Slim Family, and the Slim Family may be deemed to share beneficial ownership of all B Shares beneficially owned by Fundación Carlos Slim. The Slim Family expressly disclaims such beneficial ownership.
     
    (8) Instituto Carlos Slim de la Salud is a not-for-profit partnership organized under the laws of Mexico. A board, certain of whose members are members of the Slim Family, makes investment decisions for Instituto Carlos Slim de la Salud. Thus, Instituto Carlos Slim de la Salud may be deemed to be controlled by the Slim Family, and the Slim Family may be deemed to share beneficial ownership of all B Shares beneficially owned by Instituto Carlos Slim de la Salud. The Slim Family expressly disclaims such beneficial ownership.
     
    (9) The Control Trust is a trust organized under the laws of Mexico that holds shares of AMX. The beneficiaries of the Control Trust are members of the Slim Family and their heirs. Banco Inbursa S.A., Institucion de Banca Multiple, Grupo Financiero Inbursa, Division Fiduciaria, which is a subsidiary of GFI, is the trustee of the Control Trust. A technical committee, composed of representatives of Carlos Slim Domit, Marco Antonio Slim Domit, Patrick Slim Domit, Maria Soumaya Slim Domit, Vanessa Paola Slim Domit and Johanna Monique Slim Domit, makes investment decisions for the Control Trust. Thus, the Control Trust may be deemed to be controlled by such members of the Slim Family, and such members may be deemed to share beneficial ownership of all B Shares beneficially owned by the Control Trust.


    CUSIP No. 02390A101 B Share ADSs
     
    Page 19 of 75
    Item 3.
    Source and Amount of Funds or Other Considerations.

    Following the filing of Amendment No. 44 to the Schedule 13D filed with the Commission on October 12, 2022, GFI purchased, through the Mutual Funds, 505,519 L Shares for an aggregate purchase price of US$405,041 and 65,931 A Shares for an aggregate purchase price of US$57,960. The funds were obtained from the working capital of GFI. This Forty-Fifth Amendment includes shares deemed beneficially owned by GFI through Afore Inbursa, the ownership of which GFI disclaims.

    Item 4.
    Purpose of Transaction

    This filing is made as a result of the reclassification of the Issuer’s shares pursuant to which all preexisting series of shares representing the Issuer’s capital stock were converted into a single series of ordinary shares with full voting rights (the “Series B Shares”) on a one for one basis. As part of the reclassification (i) the Issuer’s series “A”, “AA”, and “L” shares (the “Old Series Shares”) were cancelled, and the applicable holders of Old Series Shares received the same number of Series B Shares; and (ii) the Issuer’s A Share ADSs and L Share ADSs were cancelled, and the applicable holders of A Share ADSs and the L Share ADSs received the same number of American Depositary Shares representing Series B Shares (the “B Share ADSs”), each representing twenty (20) Series B Shares. The Series B Shares started trading on the Mexican Stock Exchange (Bolsa Mexicana de Valores, S.A.B. de C.V.), and the B Share ADSs started trading on the New York Stock Exchange, each on March 16, 2023.

    For more information, refer to the Issuer’s (i) reclassification proposal, dated November 22, 2022, which was furnished to the Securities and Exchange Commission (the “Commission”) on November 22, 2022 under cover of Form 6-K (File No. 1-16269), (ii) registration statement for the B Share ADSs and Series B Shares, dated March 13, 2023, filed with the Commission under cover of Form 8-A (File No. 1-16269) and (iii) the notice dated March 16, 2023, which was furnished to the Commission under cover of Form 6-K (File No. 1-16269).


    CUSIP No. 02390A101 B Share ADSs
     
    Page 20 of 75
    Item 5.
    Interest in Securities of the Issuer.
     
    (a)
    The Reporting Persons have the following interests in B Shares:
     
       
    B Shares(1)
       
    Number
    % of Class
     
    Carlos Slim Helú(2)
    16,122,917,179
    25.5%
     
    Carlos Slim Domit(3)
    30,990,695,807
    49.0%
     
    Marco Antonio Slim Domit(4)
    30,985,823,286
    49.0%
     
    Patrick Slim Domit(5)
    29,907,700,360
    47.3%
     
    María Soumaya Slim Domit(6)
    29,461,015,746
    46.6%
     
    Vanessa Paola Slim Domit(7)
    29,601,761,319
    46.8%
     
    Johanna Monique Slim Domit(8)
    29,626,195,914
    46.9%
     
    GFI(9)
    998,061,282
    1.6%
     
    Control Empresarial(10)
    10,699,582,873
    16.9%
     
    Telmex Trust(11)
    1,248,411,351
    2.0%
     
    Telnor Trust(11)
    37,035,877
    0.1%
     
    Fundación Telmex(11)
    147,107,312
    0.2%
     
    Fundación Carlos Slim(11)
    356,412,110
    0.6%
     
    Instituto Carlos Slim de la Salud(11)
    27,637,607
    0.0%
     
    Control Trust(12)
    17,742,515,522
    28.1%

    (1)
    Based upon 63,230,000,000 B Shares outstanding as of March 16, 2023 as reported by the Mexican Stock Exchange (Bolsa Mexicana de Valores S.A.B. de C.V.).

    (2)
    Includes 5,200,354,685 B Shares owned directly by Carlos Slim Helú and shares owned by the GFI and Control Empresarial.

    (3)
    Includes 2,325,617,791 B Shares owned directly by Carlos Slim Domit and shares owned by the Control Trust, GFI and Control Empresarial.

    (4)
    Includes 2,320,745,270 B Shares owned directly by Marco Antonio Slim Domit and shares owned by the Control Trust, GFI and Control Empresarial.

    (5)
    Includes 1,242,622,344 B Shares owned directly by Patrick Slim Domit and shares owned by the Control Trust, GFI and Control Empresarial.

    (6)
    Includes 795,937,730 B Shares owned directly by María Soumaya Slim Domit and shares owned by the Control Trust, GFI and Control Empresarial.

    (7)
    Includes 936,683,303 B Shares owned directly by Vanessa Paola Slim Domit and jointly with her spouse, and shares owned by the Control Trust, GFI and Control Empresarial.

    (8)
    Includes 961,117,898 B Shares owned directly by Johanna Monique Slim Domit and jointly with her spouse, and shares owned by the Control Trust, GFI and Control Empresarial.

    (9)
    Includes shares owned by trusts managed by GFI for the benefit of employees of entities controlled by the Slim Family (79,094,165 B Shares). Also includes shares in accounts managed by Afore Inbursa (165,849,450 B Shares) and shares in the Mutual Funds (530,138,046 B Shares), the ownership of which GFI disclaims.

    (10)
    Includes shares owned by subsidiaries of Control Empresarial. Control Empresarial was formerly known as Inversora Carso, S.A. de C.V.

    (11)
    Shares disclaimed by the Slim Family.

    (12)
    Shares held for the benefit of the Slim Family.

     
    (b)
    Because members of the Slim Family beneficially own a majority of the outstanding voting equity securities of AMX, GFI and Control Empresarial, members of the Slim Family may be deemed to share the power to vote or dispose of, or to direct the voting or disposition of any B Shares owned by such persons (including those beneficially owned by the Telmex Trust, the Telnor Trust, Fundación Telmex, Fundación Carlos Slim, Instituto Carlos Slim de la Salud and funds managed by GFI but that GFI holds no economic interest in). Because a board, or in the case of the trusts, a technical committee, the majority of whose members are members or designees of members of the Slim Family or employees of one of the Reporting Persons that may be deemed to be controlled by the Slim Family, makes investment decisions for each of Fundación Telmex, Fundación Carlos Slim, Instituto Carlos Slim de la Salud, the Telmex Trust, the Telnor Trust and the Control Trust, members of the Slim Family may be deemed to share the power to vote or dispose of, or to direct the voting or disposition of, any B Shares owned by Fundación Telmex, Fundación Carlos Slim, Instituto Carlos Slim de la Salud, the Telmex Trust, the Telnor Trust and the Control Trust. Except as otherwise disclosed herein, none of the Reporting Persons shares voting or disposition power with respect to any B Shares owned by the Reporting Persons.


    CUSIP No. 02390A101 B Share ADSs
     
    Page 21 of 75
     
    (c)
    All transactions in A Shares and L Shares effected by the Reporting Persons during the period beginning 60 days prior to the event which requires the filing of this statement are listed in Schedule 2 hereto and incorporated herein by reference.
     
     
    (d)
    Because members of the Slim Family beneficially own a majority of the outstanding voting equity securities of GFI and Control Empresarial, such members of the Slim Family may be deemed to have the right to receive or the power to direct the receipt of dividends from, or the proceeds of the sale of any B Shares owned by such persons. Because a board, or in the case of the trusts, a technical committee, the majority of whose members are members or designees of members of the Slim Family or employees of one of the Reporting Persons that may be deemed to be controlled by the Slim Family, makes investment decisions for each of Fundación Telmex, Fundación Carlos Slim, Instituto Carlos Slim de la Salud, the Telmex Trust, the Telnor Trust and the Control Trust, members of the Slim Family may be deemed to have the right to receive or the power to direct the receipt of dividends from, or the proceeds of the sale of any B Shares owned by Fundación Telmex, Fundación Carlos Slim, Instituto Carlos Slim de la Salud, the Telmex Trust, the Telnor Trust and the Control Trust. Except as otherwise disclosed herein, no person other than the Reporting Persons has or will have any right to receive or the power to direct the receipt of dividends from, or the proceeds of the sale of any B Shares owned by the Reporting Persons.
     
     
    (e)
    Not applicable.
     
    Item 6.
    Contracts, Arrangements, Understandings or Relationships With Respect to Securities of the Issuer.
     
    On November 17, 2021. Caixabank, S.A. entered into a secured credit agreement with Soinmob Sociedad Inmobiliaria Española SAU, a subsidiary of Control Empresarial, for €170,000,000. Under the terms of this agreement, Control Empresarial has agreed to pledge and grant a security interest in certain collateral. As of March 16, 2023, there were 331,583,000 B Shares pledged as collateral.
     
    Other than as set forth above, there are no other contracts, arrangements, understandings or relationships (legal or otherwise) among the Reporting Persons and between such persons and any person with respect to B Shares.
     
    Item 7.
    Material to be Filed as Exhibits.
     
    The Powers of Attorney for the members of the Slim Family, GFI, Control Empresarial (f/k/a Inversora Carso, S.A. de C.V.), the Telmex Trust, the Telnor Trust, Fundación Telmex, Fundación Carlos Slim, Instituto Carlos Slim de la Salud and the Control Trust each filed as an exhibit to Amendment No. 43 are all hereby incorporated herein by reference.
     

    CUSIP No. 02390A101 B Share ADSs
     
    Page 22 of 75
    SIGNATURE
     
    After reasonable inquiry and to the best of my knowledge and belief, I certify that the information set forth in this statement is true, complete and correct.

     
    Carlos Slim Helú
     
     
       
     
     
     
    Carlos Slim Domit
    By:
    /s/ Javier Foncerrada Izquierdo
     
     
    Javier Foncerrada Izquierdo
           
     
    Marco Antonio Slim Domit

    Attorney-in-Fact
     
     
    March 23, 2023
     
    Patrick Slim Domit
     
     
       
         
     
    María Soumaya Slim Domit
     
     
       
         
     
    Vanessa Paola Slim Domit
     
     
       
         
     
    Johanna Monique Slim Domit
     
     
       
         
     
    CONTROL EMPRESARIAL DE CAPITALES S.A. DE C.V. (f/k/a INVERSORA CARSO, S.A. DE C.V.)
     
     
       
         
     
    By: Armando Ibañez Vazquez
    Title: Attorney-in-Fact
     
     
     
     
    GRUPO FINANCIERO
    INBURSA, S.A.B. DE C.V.
     
     
       
         
     
    By: Guillermo René Caballero Padilla
    Title: Attorney-in-Fact
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 23 of 75
     
    BANCO INBURSA S.A.,
    INSTITUCION DE BANCA
    MULTIPLE, GRUPO FINANCIERO
    INBURSA, DIVISION
    FIDUCIARIA, AS TRUSTEE
    OF TRUST NO. F/0008
     
     
       
     
    By: Guillermo René Caballero Padilla
    Title: Attorney-in-Fact
     
     
     
     
    BANCO INBURSA S.A.,
    INSTITUCION DE BANCA
    MULTIPLE, GRUPO FINANCIERO
    INBURSA, DIVISION
    FIDUCIARIA, AS TRUSTEE
    OF TRUST NO. F/0395
       
     
       
     
    By: Guillermo René Caballero Padilla
    Title: Attorney-in-Fact
     
     
     
     
    FUNDACIÓN TELMEX, A.C.
     
     
       
     
    By: Arturo Elias Ayub
    Title: Attorney-in-Fact
     
     
     
     
    FUNDACIÓN CARLOS SLIM, A.C
     
     
       
     
    By: Armando Ibañez Vazquez
    Title: Attorney-in-Fact
     
     
     
     
    INSTITUTO CARLOS SLIM DE LA SALUD, A.C.
     
     
       
     
    By: Armando Ibañez Vazquez
    Title: Attorney-in-Fact
     
     
     
     
    BANCO INBURSA S.A.,
    INSTITUCION DE BANCA
    MULTIPLE, GRUPO FINANCIERO
    INBURSA, DIVISION
    FIDUCIARIA, AS TRUSTEE
    OF TRUST NO. F/0126
     
     
       
     
    By: Guillermo René Caballero Padilla
    Title: Attorney-in-Fact
     


    CUSIP No. 02390A101 B Share ADSs
     
    Page 24 of 75
    Schedule 2

    For the period beginning 60 days prior to the event which requires the filing of this statement, the Reporting Persons set forth below effected the following transactions in A Shares and L Shares on the Mexican Stock Exchange. The prices below reflect the price paid (in US$ based upon the Exchange Rate published by the Banco de México on the trade date) by the purchasers per A Share and L Share, as the case may be, on the relevant trade date.

    L Shares

    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/16/2023
    6,158
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    9,000
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    42
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,600
    1.05
    Telmex Trust
    Sale
    01/16/2023
    400
    1.03
    Telmex Trust
    Sale
    01/16/2023
    14,900
    1.03
    Telmex Trust
    Sale
    01/16/2023
    2,100
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,000
    1.03
    Telmex Trust
    Sale
    01/16/2023
    2,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,600
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,600
    1.03
    Telmex Trust
    Sale
    01/16/2023
    3,500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,000
    1.03
    Telmex Trust
    Sale
    01/16/2023
    2,400
    1.03
    Telmex Trust
    Sale
    01/16/2023
    98,200
    1.05
    Telmex Trust
    Sale
    01/16/2023
    6,800
    1.05
    Telmex Trust
    Sale
    01/16/2023
    6,200
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    600
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,600
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    45,900
    1.05
    Telmex Trust
    Sale
    01/16/2023
    800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    200
    1.03
    Telmex Trust
    Sale
    01/16/2023
    700
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,400
    1.03


    CUSIP No. 02390A101 B Share ADSs
     
    Page 25 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/16/2023
    1,600
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,300
    1.03
    Telmex Trust
    Sale
    01/16/2023
    2,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,400
    1.03
    Telmex Trust
    Sale
    01/16/2023
    200
    1.03
    Telmex Trust
    Sale
    01/16/2023
    2,400
    1.03
    Telmex Trust
    Sale
    01/16/2023
    400
    1.03
    Telmex Trust
    Sale
    01/16/2023
    2,011
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,900
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    100
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,200
    1.05
    Telmex Trust
    Sale
    01/16/2023
    600
    1.05
    Telmex Trust
    Sale
    01/16/2023
    500
    1.05
    Telmex Trust
    Sale
    01/16/2023
    13,400
    1.05
    Telmex Trust
    Sale
    01/16/2023
    8,900
    1.05
    Telmex Trust
    Sale
    01/16/2023
    4,400
    1.05
    Telmex Trust
    Sale
    01/16/2023
    13,400
    1.05
    Telmex Trust
    Sale
    01/16/2023
    6,200
    1.05
    Telmex Trust
    Sale
    01/16/2023
    1,300
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    1,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    300
    1.03
    Telmex Trust
    Sale
    01/16/2023
    700
    1.03
    Telmex Trust
    Sale
    01/16/2023
    700
    1.03
    Telmex Trust
    Sale
    01/16/2023
    2,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    2,200
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03


    CUSIP No. 02390A101 B Share ADSs
     
    Page 26 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    400
    1.03
    Telmex Trust
    Sale
    01/16/2023
    10
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,900
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    400
    1.03


    CUSIP No. 02390A101 B Share ADSs
     
    Page 27 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/16/2023
    200
    1.03
    Telmex Trust
    Sale
    01/16/2023
    100
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,400
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,300
    1.03
    Telmex Trust
    Sale
    01/16/2023
    200
    1.03
    Telmex Trust
    Sale
    01/16/2023
    700
    1.03
    Telmex Trust
    Sale
    01/16/2023
    600
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    100
    1.05
    Telmex Trust
    Sale
    01/16/2023
    2,400
    1.03
    Telmex Trust
    Sale
    01/16/2023
    200
    1.03
    Telmex Trust
    Sale
    01/16/2023
    900
    1.03
    Telmex Trust
    Sale
    01/16/2023
    4,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    700
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,000
    1.03
    Telmex Trust
    Sale
    01/16/2023
    2,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    900
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    500
    1.03
    Telmex Trust
    Sale
    01/16/2023
    100
    1.03
    Telmex Trust
    Sale
    01/16/2023
    14,400
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,300
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,800
    1.03
    Telmex Trust
    Sale
    01/16/2023
    100
    1.03
    Telmex Trust
    Sale
    01/16/2023
    1,000
    1.03
    Telmex Trust
    Sale
    01/16/2023
    300
    1.03
    Telmex Trust
    Sale
    01/16/2023
    600
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    1,300
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    2,400
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,100
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    300
    1.03


    CUSIP No. 02390A101 B Share ADSs
     
    Page 28 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/16/2023
    700
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    2,100
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    1,300
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    900
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    2,800
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,500
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    1,000
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    900
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    300
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,200
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    9,200
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,700
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,000
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    1,300
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    300
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,600
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,300
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,400
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    900
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    3,000
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    700
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    2,400
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    18,300
    1.03
    GFI Mutual Funds
    Sale
    01/16/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    3,200
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,500
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    3,000
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    300
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    500
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    2,900
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    1,800
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    23,400
    1.05
    GFI Mutual Funds
    Sale
    01/16/2023
    400
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,376
    1.05
    Telmex Trust
    Sale
    01/17/2023
    100
    1.05
    Telmex Trust
    Sale
    01/17/2023
    100
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,366
    1.05
    Telmex Trust
    Sale
    01/17/2023
    100
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,369
    1.05
    Telmex Trust
    Sale
    01/17/2023
    200
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,371
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,370
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,370
    1.05


    CUSIP No. 02390A101 B Share ADSs
     
    Page 29 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/17/2023
    100
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,372
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,368
    1.05
    Telmex Trust
    Sale
    01/17/2023
    119
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,372
    1.05
    Telmex Trust
    Sale
    01/17/2023
    100
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,374
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,373
    1.05
    Telmex Trust
    Sale
    01/17/2023
    15
    1.05
    Telmex Trust
    Sale
    01/17/2023
    202
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,189
    1.05
    Telmex Trust
    Sale
    01/17/2023
    250
    1.05
    Telmex Trust
    Sale
    01/17/2023
    17
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,370
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,370
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,369
    1.05
    Telmex Trust
    Sale
    01/17/2023
    100
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,369
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,370
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,372
    1.05
    Telmex Trust
    Sale
    01/17/2023
    410
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,100
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,372
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,371
    1.05
    Telmex Trust
    Sale
    01/17/2023
    200
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,371
    1.05
    Telmex Trust
    Sale
    01/17/2023
    100
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,371
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,368
    1.05
    Telmex Trust
    Sale
    01/17/2023
    1,369
    1.05
    Telmex Trust
    Sale
    01/17/2023
    440
    1.05
    GFI Mutual Funds
    Sale
    01/18/2023
    19,775
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    10,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    12,375
    1.03
    GFI Mutual Funds
    Sale
    01/18/2023
    1,332
    1.03
    GFI Mutual Funds
    Sale
    01/18/2023
    63
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    18,682
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    1,293
    1.03
    GFI Mutual Funds
    Sale
    01/18/2023
    1,255
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    15,000
    1.03
    GFI Mutual Funds
    Sale
    01/18/2023
    225
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    15,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    96,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    50,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    20,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    6,071
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    3,770
    1.04


    CUSIP No. 02390A101 B Share ADSs
     
    Page 30 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/18/2023
    10,159
    1.04
    Telmex Trust
    Sale
    01/18/2023
    87
    1.04
    Telmex Trust
    Sale
    01/18/2023
    318
    1.04
    Telmex Trust
    Sale
    01/18/2023
    15,325
    1.04
    Telmex Trust
    Sale
    01/18/2023
    100
    1.04
    Telmex Trust
    Sale
    01/18/2023
    150,000
    1.03
    Telmex Trust
    Sale
    01/18/2023
    100,000
    1.04
    Telmex Trust
    Sale
    01/18/2023
    800
    1.04
    Telmex Trust
    Sale
    01/18/2023
    106
    1.04
    Telmex Trust
    Sale
    01/18/2023
    3,867
    1.04
    Telmex Trust
    Sale
    01/18/2023
    800
    1.04
    Telmex Trust
    Sale
    01/18/2023
    103
    1.04
    Telmex Trust
    Sale
    01/18/2023
    75
    1.04
    Telmex Trust
    Sale
    01/18/2023
    569,533
    1.04
    Telmex Trust
    Sale
    01/18/2023
    150,467
    1.04
    Telmex Trust
    Sale
    01/18/2023
    300,000
    1.04
    Telmex Trust
    Sale
    01/18/2023
    99,925
    1.04
    Telmex Trust
    Sale
    01/18/2023
    2,400
    1.04
    Telmex Trust
    Sale
    01/18/2023
    389
    1.04
    Telmex Trust
    Sale
    01/18/2023
    116
    1.04
    Telmex Trust
    Sale
    01/18/2023
    410
    1.04
    Telmex Trust
    Sale
    01/18/2023
    164
    1.04
    Telmex Trust
    Sale
    01/18/2023
    3
    1.04
    Telmex Trust
    Sale
    01/18/2023
    112
    1.04
    Telmex Trust
    Sale
    01/18/2023
    91
    1.04
    Telmex Trust
    Sale
    01/18/2023
    334
    1.04
    Telmex Trust
    Sale
    01/18/2023
    5,692
    1.04
    Telmex Trust
    Sale
    01/18/2023
    1,600
    1.04
    Telmex Trust
    Sale
    01/18/2023
    1,300
    1.04
    Telmex Trust
    Sale
    01/18/2023
    100
    1.04
    Telmex Trust
    Sale
    01/18/2023
    2,000
    1.04
    Telmex Trust
    Sale
    01/18/2023
    18,000
    1.04
    Telmex Trust
    Sale
    01/18/2023
    100
    1.04
    Telmex Trust
    Sale
    01/18/2023
    1,500
    1.04
    Telmex Trust
    Sale
    01/18/2023
    104
    1.04
    Telmex Trust
    Sale
    01/18/2023
    100
    1.04
    Telmex Trust
    Sale
    01/18/2023
    7,962
    1.04
    Telmex Trust
    Sale
    01/18/2023
    413
    1.04
    Telmex Trust
    Sale
    01/18/2023
    100
    1.04
    Telmex Trust
    Sale
    01/18/2023
    100
    1.04
    Telmex Trust
    Sale
    01/18/2023
    43
    1.04
    Telmex Trust
    Sale
    01/18/2023
    800
    1.04
    Telmex Trust
    Sale
    01/18/2023
    1,600
    1.04
    Telmex Trust
    Sale
    01/18/2023
    167
    1.04
    Telmex Trust
    Sale
    01/18/2023
    30,000
    1.04
    Telmex Trust
    Sale
    01/18/2023
    19,367
    1.04
    Telmex Trust
    Sale
    01/18/2023
    338
    1.04


    CUSIP No. 02390A101 B Share ADSs
     
    Page 31 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/18/2023
    91
    1.04
    Telmex Trust
    Sale
    01/18/2023
    347
    1.04
    Telmex Trust
    Sale
    01/18/2023
    45
    1.04
    Telmex Trust
    Sale
    01/18/2023
    99
    1.04
    Telmex Trust
    Sale
    01/18/2023
    127
    1.04
    Telmex Trust
    Sale
    01/18/2023
    362
    1.04
    Telmex Trust
    Sale
    01/18/2023
    3,100
    1.04
    Telmex Trust
    Sale
    01/18/2023
    15,900
    1.04
    Telmex Trust
    Sale
    01/18/2023
    11,800
    1.04
    Telmex Trust
    Sale
    01/18/2023
    8,700
    1.04
    Telmex Trust
    Sale
    01/18/2023
    466
    1.04
    Telmex Trust
    Sale
    01/18/2023
    700
    1.04
    Telmex Trust
    Sale
    01/18/2023
    300
    1.04
    Telmex Trust
    Sale
    01/18/2023
    600
    1.04
    Telmex Trust
    Sale
    01/18/2023
    399
    1.04
    Telmex Trust
    Sale
    01/18/2023
    100
    1.04
    Telmex Trust
    Sale
    01/18/2023
    1,800
    1.04
    Telmex Trust
    Sale
    01/18/2023
    6,000
    1.04
    Telmex Trust
    Sale
    01/18/2023
    52,109
    1.04
    Telmex Trust
    Sale
    01/18/2023
    75,000
    1.04
    Telmex Trust
    Sale
    01/18/2023
    118
    1.04
    Telmex Trust
    Sale
    01/18/2023
    57
    1.04
    Telmex Trust
    Sale
    01/18/2023
    10,300
    1.04
    Telmex Trust
    Sale
    01/18/2023
    4,000
    1.04
    Telmex Trust
    Sale
    01/18/2023
    82
    1.04
    Telmex Trust
    Sale
    01/18/2023
    116
    1.04
    Telmex Trust
    Sale
    01/18/2023
    369
    1.04
    Telmex Trust
    Sale
    01/18/2023
    14,300
    1.04
    Telmex Trust
    Sale
    01/18/2023
    345
    1.04
    Telmex Trust
    Sale
    01/18/2023
    357
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    47,891
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    17,779
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    3,900
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    389
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    7,733
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    15,120
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    106
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    92
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    30,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    9,790
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    1,909
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    80,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    254,852
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    129,148
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    608
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    500
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    392
    1.04


    CUSIP No. 02390A101 B Share ADSs
     
    Page 32 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/18/2023
    800
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    132
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    98
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    109
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    900
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    401
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    14,500
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    161
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    60,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    99
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    354
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    94
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    61
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    108
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    1,317
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    111
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    97
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    93
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    150,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    285
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    95
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    104
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    25,530
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    100
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    324
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    60
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    372
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    60,000
    1.03
    GFI Mutual Funds
    Sale
    01/18/2023
    80,000
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    388
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    2,267
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    132
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    4,283
    1.04
    GFI Mutual Funds
    Sale
    01/18/2023
    60,000
    1.03
    GFI Mutual Funds
    Sale
    01/18/2023
    10,416
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    36,000
    1.04
    Telmex Trust
    Sale
    01/19/2023
    1,105
    1.04
    Telmex Trust
    Sale
    01/19/2023
    77
    1.04
    Telmex Trust
    Sale
    01/19/2023
    1,047
    1.04
    Telmex Trust
    Sale
    01/19/2023
    100
    1.04
    Telmex Trust
    Sale
    01/19/2023
    95
    1.04
    Telmex Trust
    Sale
    01/19/2023
    898
    1.04
    Telmex Trust
    Sale
    01/19/2023
    88
    1.04
    Telmex Trust
    Sale
    01/19/2023
    1,100
    1.04
    Telmex Trust
    Sale
    01/19/2023
    600
    1.04
    Telmex Trust
    Sale
    01/19/2023
    300
    1.04
    Telmex Trust
    Sale
    01/19/2023
    79
    1.04


    CUSIP No. 02390A101 B Share ADSs
     
    Page 33 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/19/2023
    31,848
    1.04
    Telmex Trust
    Sale
    01/19/2023
    3,951
    1.04
    Telmex Trust
    Sale
    01/19/2023
    2,300
    1.04
    Telmex Trust
    Sale
    01/19/2023
    800
    1.04
    Telmex Trust
    Sale
    01/19/2023
    800
    1.04
    Telmex Trust
    Sale
    01/19/2023
    700
    1.04
    Telmex Trust
    Sale
    01/19/2023
    2,900
    1.04
    Telmex Trust
    Sale
    01/19/2023
    4,000
    1.04
    Telmex Trust
    Sale
    01/19/2023
    800
    1.04
    Telmex Trust
    Sale
    01/19/2023
    97
    1.04
    Telmex Trust
    Sale
    01/19/2023
    6,400
    1.04
    Telmex Trust
    Sale
    01/19/2023
    97
    1.04
    Telmex Trust
    Sale
    01/19/2023
    270,000
    1.04
    Telmex Trust
    Sale
    01/19/2023
    30,000
    1.04
    Telmex Trust
    Sale
    01/19/2023
    14,821
    1.04
    Telmex Trust
    Sale
    01/19/2023
    27,400
    1.04
    Telmex Trust
    Sale
    01/19/2023
    6,000
    1.04
    Telmex Trust
    Sale
    01/19/2023
    1,104
    1.04
    Telmex Trust
    Sale
    01/19/2023
    93
    1.04
    Telmex Trust
    Sale
    01/19/2023
    955
    1.04
    Telmex Trust
    Sale
    01/19/2023
    3,100
    1.04
    Telmex Trust
    Sale
    01/19/2023
    989
    1.04
    Telmex Trust
    Sale
    01/19/2023
    85
    1.04
    Telmex Trust
    Sale
    01/19/2023
    11,551
    1.04
    Telmex Trust
    Sale
    01/19/2023
    1,054
    1.04
    Telmex Trust
    Sale
    01/19/2023
    1,800
    1.04
    Telmex Trust
    Sale
    01/19/2023
    900
    1.04
    Telmex Trust
    Sale
    01/19/2023
    966
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    200
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    144,000
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    20,297
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    1,700
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    3,300
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    82
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    1,126
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    400
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    200
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    400
    1.04
    GFI Mutual Funds
    Sale
    01/19/2023
    800
    1.04
    GFI Mutual Funds
    Sale
    01/20/2023
    12,294
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    3,613
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,093
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,900
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,900
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    10,300
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,315
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    200
    1.05


    CUSIP No. 02390A101 B Share ADSs
     
    Page 34 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/20/2023
    1,082
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,800
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    24,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,153
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    943
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,214
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    3,632
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    500
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    3,674
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    700
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    700
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,500
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,128
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,241
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    987
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    12
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    25,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    3,200
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    8,800
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    15,400
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    16,800
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    10,100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,273
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    700
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,025
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    9,027
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    3,826
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    12,000
    1.05
    Telmex Trust
    Sale
    01/20/2023
    673
    1.05
    Telmex Trust
    Sale
    01/20/2023
    100
    1.05
    Telmex Trust
    Sale
    01/20/2023
    807
    1.05
    Telmex Trust
    Sale
    01/20/2023
    7,855
    1.05
    Telmex Trust
    Sale
    01/20/2023
    700
    1.05
    Telmex Trust
    Sale
    01/20/2023
    780
    1.05
    Telmex Trust
    Sale
    01/20/2023
    100
    1.05
    Telmex Trust
    Sale
    01/20/2023
    87,735
    1.05
    Telmex Trust
    Sale
    01/20/2023
    501
    1.05
    Telmex Trust
    Sale
    01/20/2023
    257
    1.05


    CUSIP No. 02390A101 B Share ADSs
     
    Page 35 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/20/2023
    1,390
    1.05
    Telmex Trust
    Sale
    01/20/2023
    100
    1.05
    Telmex Trust
    Sale
    01/20/2023
    282
    1.05
    Telmex Trust
    Sale
    01/20/2023
    31,848
    1.05
    Telmex Trust
    Sale
    01/20/2023
    990
    1.05
    Telmex Trust
    Sale
    01/20/2023
    8,000
    1.05
    Telmex Trust
    Sale
    01/20/2023
    4,000
    1.05
    Telmex Trust
    Sale
    01/20/2023
    1,600
    1.05
    Telmex Trust
    Sale
    01/20/2023
    2,300
    1.05
    Telmex Trust
    Sale
    01/20/2023
    1,000
    1.05
    Telmex Trust
    Sale
    01/20/2023
    1,209
    1.05
    Telmex Trust
    Sale
    01/20/2023
    800
    1.05
    Telmex Trust
    Sale
    01/20/2023
    4,000
    1.05
    Telmex Trust
    Sale
    01/20/2023
    1,190
    1.05
    Telmex Trust
    Sale
    01/20/2023
    28,952
    1.05
    Telmex Trust
    Sale
    01/20/2023
    2,400
    1.05
    Telmex Trust
    Sale
    01/20/2023
    1,500
    1.05
    Telmex Trust
    Sale
    01/20/2023
    13,808
    1.05
    Telmex Trust
    Sale
    01/20/2023
    252
    1.05
    Telmex Trust
    Sale
    01/20/2023
    133,088
    1.05
    Telmex Trust
    Sale
    01/20/2023
    150,000
    1.05
    Telmex Trust
    Sale
    01/20/2023
    50,000
    1.05
    Telmex Trust
    Sale
    01/20/2023
    200,000
    1.05
    Telmex Trust
    Sale
    01/20/2023
    900,000
    1.05
    Telmex Trust
    Sale
    01/20/2023
    82,264
    1.05
    Telmex Trust
    Sale
    01/20/2023
    317,736
    1.05
    Telmex Trust
    Sale
    01/20/2023
    800
    1.05
    Telmex Trust
    Sale
    01/20/2023
    3,315
    1.05
    Telmex Trust
    Sale
    01/20/2023
    2,270
    1.05
    Telmex Trust
    Sale
    01/20/2023
    2,300
    1.05
    Telmex Trust
    Sale
    01/20/2023
    31,848
    1.05
    Telmex Trust
    Sale
    01/20/2023
    1,250
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    518
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,131
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,620
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    70,537
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    942
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,080
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,007
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,101
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    800
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    700
    1.05


    CUSIP No. 02390A101 B Share ADSs
     
    Page 36 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,800
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    120
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    8,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,300
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,558
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    48,615
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    16,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,093
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    39,500
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    33,771
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    391
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    30,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    18,615
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    3,433
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    856
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    12,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    400
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,500
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    18,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    18,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    12,289
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,109
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    3,355
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    948
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,087
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,632
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    754
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,403
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,310
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    25,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    3,066
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,084
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    5,600
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    976
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    16,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    137
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    137
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    815
    1.05


    CUSIP No. 02390A101 B Share ADSs
     
    Page 37 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    8,760
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    500
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    120
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,200
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    865
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    300
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    955
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,500
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    41,385
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    23,208
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    11,838
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    37,142
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    861
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,080
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    807
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,800
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    12,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    10,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    10,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    994
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    30,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    30,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,136
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,540
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    351
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,380
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,220
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,800
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    912
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05


    CUSIP No. 02390A101 B Share ADSs
     
    Page 38 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/20/2023
    864
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,160
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    5,500
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    840
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    42,500
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    8,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    20,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    12,500
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    300
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,220
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    348
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    820
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    19,180
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,840
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    18,160
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    8,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,800
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,800
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    776
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    12,676
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    978
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    648
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,400
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,685
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    16,192
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    400
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    8,830
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    5,585
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    20,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    45,585
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,900
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,010
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05


    CUSIP No. 02390A101 B Share ADSs
     
    Page 39 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    364
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    6,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    818
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    976
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    2,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    18,000
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,020
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    308
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    4,769
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,430
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    300
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    789
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    876
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,220
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    300
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    964
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    1,210
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    100
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    200
    1.05
    GFI Mutual Funds
    Sale
    01/20/2023
    96,000
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    4,800
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    5,600
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,104
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    226
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05


    CUSIP No. 02390A101 B Share ADSs
     
    Page 40 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    4,800
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,300
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,200
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    155
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    3,799
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    4,800
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    2,034
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    2,034
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    248
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    77,400
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    20
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    31,848
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    260
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    283
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,090
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    225
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    248
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    900
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    21,126
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    31,848
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    250
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,070
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    225
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    249
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,104
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    267
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    250
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    31,748
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    223
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    1,024
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    948
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    207
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    22,342
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    10,245
    1.05
    GFI Pension Trusts
    Sale
    01/20/2023
    26,000
    1.05
    GFI Mutual Funds
    Sale
    01/23/2023
    5,900
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    600
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    800
    1.06


    CUSIP No. 02390A101 B Share ADSs
     
    Page 41 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/23/2023
    2,731
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    1,883
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    8,700
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    4,000
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    800
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    50,000
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    15,900
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    4,000
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    4,300
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    386
    1.06
    Telmex Trust
    Sale
    01/23/2023
    1,848
    1.07
    Telmex Trust
    Sale
    01/23/2023
    118
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,619
    1.07
    Telmex Trust
    Sale
    01/23/2023
    800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,066
    1.06
    Telmex Trust
    Sale
    01/23/2023
    3,900
    1.06
    Telmex Trust
    Sale
    01/23/2023
    1,413
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,600
    1.07
    Telmex Trust
    Sale
    01/23/2023
    6,300
    1.07
    Telmex Trust
    Sale
    01/23/2023
    800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/23/2023
    8,200
    1.07
    Telmex Trust
    Sale
    01/23/2023
    15,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    3,200
    1.07
    Telmex Trust
    Sale
    01/23/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/23/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/23/2023
    6,400
    1.06
    Telmex Trust
    Sale
    01/23/2023
    1,500
    1.06
    Telmex Trust
    Sale
    01/23/2023
    7,027
    1.06
    Telmex Trust
    Sale
    01/23/2023
    12,000
    1.06
    Telmex Trust
    Sale
    01/23/2023
    27,700
    1.06
    Telmex Trust
    Sale
    01/23/2023
    1,600
    1.06
    Telmex Trust
    Sale
    01/23/2023
    800
    1.06
    Telmex Trust
    Sale
    01/23/2023
    800
    1.06
    Telmex Trust
    Sale
    01/23/2023
    450
    1.06
    Telmex Trust
    Sale
    01/23/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/23/2023
    800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    171
    1.06
    Telmex Trust
    Sale
    01/23/2023
    800
    1.06
    Telmex Trust
    Sale
    01/23/2023
    1,600
    1.06
    Telmex Trust
    Sale
    01/23/2023
    800
    1.06
    Telmex Trust
    Sale
    01/23/2023
    1,600
    1.06


    CUSIP No. 02390A101 B Share ADSs
     
    Page 42 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/23/2023
    35,700
    1.06
    Telmex Trust
    Sale
    01/23/2023
    1,500
    1.06
    Telmex Trust
    Sale
    01/23/2023
    39,600
    1.06
    Telmex Trust
    Sale
    01/23/2023
    2,017
    1.06
    Telmex Trust
    Sale
    01/23/2023
    163
    1.07
    Telmex Trust
    Sale
    01/23/2023
    5,200
    1.07
    Telmex Trust
    Sale
    01/23/2023
    49,326
    1.07
    Telmex Trust
    Sale
    01/23/2023
    67,109
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    27,100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    3,200
    1.07
    Telmex Trust
    Sale
    01/23/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/23/2023
    7,500
    1.07
    Telmex Trust
    Sale
    01/23/2023
    9,700
    1.07
    Telmex Trust
    Sale
    01/23/2023
    8,700
    1.07
    Telmex Trust
    Sale
    01/23/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/23/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/23/2023
    7,900
    1.07
    Telmex Trust
    Sale
    01/23/2023
    2,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    39
    1.07
    Telmex Trust
    Sale
    01/23/2023
    9,500
    1.07
    Telmex Trust
    Sale
    01/23/2023
    13,889
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,600
    1.07
    Telmex Trust
    Sale
    01/23/2023
    11,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/23/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,310
    1.07
    Telmex Trust
    Sale
    01/23/2023
    190
    1.07
    Telmex Trust
    Sale
    01/23/2023
    200
    1.07
    Telmex Trust
    Sale
    01/23/2023
    151
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,370
    1.07
    Telmex Trust
    Sale
    01/23/2023
    185
    1.07
    Telmex Trust
    Sale
    01/23/2023
    145
    1.07

    CUSIP No. 02390A101 B Share ADSs
     
    Page 43 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/23/2023
    169
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    500
    1.07
    Telmex Trust
    Sale
    01/23/2023
    282
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    5,400
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    419
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,381
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    48,034
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.06
    Telmex Trust
    Sale
    01/23/2023
    1,100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    200
    1.07
    Telmex Trust
    Sale
    01/23/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/23/2023
    32,100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    3,700
    1.07
    Telmex Trust
    Sale
    01/23/2023
    800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    22,591
    1.07
    Telmex Trust
    Sale
    01/23/2023
    29
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 44 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/23/2023
    1,800
    1.07
    Telmex Trust
    Sale
    01/23/2023
    100
    1.07
    Telmex Trust
    Sale
    01/23/2023
    600
    1.07
    Telmex Trust
    Sale
    01/23/2023
    68,119
    1.07
    Telmex Trust
    Sale
    01/23/2023
    1,169
    1.06
    GFI Mutual Funds
    Sale
    01/23/2023
    19,208
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    38
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    173
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    63,992
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    144,694
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    5,306
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    32,100
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    30,000
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    30,000
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    24,011
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    4,800
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    188
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    4,000
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    6,000
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    11,900
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    297
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    2,400
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    3,809
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    1,800
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    4,000
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    181
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    4,800
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    2,088
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    98,034
    1.07
    GFI Mutual Funds
    Sale
    01/23/2023
    3,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    30,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    57,418
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    30,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    117,184
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    16,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    28,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    104,569
    1.06
    GFI Mutual Funds
    Sale
    01/24/2023
    5,398
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    270,431
    1.06


    CUSIP No. 02390A101 B Share ADSs
     
    Page 45 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    7,964
    1.07
    Telmex Trust
    Sale
    01/24/2023
    1,980
    1.07
    Telmex Trust
    Sale
    01/24/2023
    3,212
    1.07
    Telmex Trust
    Sale
    01/24/2023
    20,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    20,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    716
    1.07
    Telmex Trust
    Sale
    01/24/2023
    6,417
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    113,054
    1.07
    Telmex Trust
    Sale
    01/24/2023
    4
    1.07
    Telmex Trust
    Sale
    01/24/2023
    630,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    100
    1.07
    Telmex Trust
    Sale
    01/24/2023
    237,435
    1.07
    Telmex Trust
    Sale
    01/24/2023
    452
    1.07
    Telmex Trust
    Sale
    01/24/2023
    55,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    9,113
    1.07
    Telmex Trust
    Sale
    01/24/2023
    50,048
    1.07
    Telmex Trust
    Sale
    01/24/2023
    4,952
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    14,180
    1.07
    Telmex Trust
    Sale
    01/24/2023
    314
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    20,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    20,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    350
    1.07
    Telmex Trust
    Sale
    01/24/2023
    80
    1.07
    Telmex Trust
    Sale
    01/24/2023
    1,161
    1.07
    Telmex Trust
    Sale
    01/24/2023
    720
    1.07
    Telmex Trust
    Sale
    01/24/2023
    380
    1.07
    Telmex Trust
    Sale
    01/24/2023
    19,754
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    3,617
    1.07
    Telmex Trust
    Sale
    01/24/2023
    631
    1.07
    Telmex Trust
    Sale
    01/24/2023
    105
    1.07
    Telmex Trust
    Sale
    01/24/2023
    5,760
    1.07
    Telmex Trust
    Sale
    01/24/2023
    14,240
    1.07
    Telmex Trust
    Sale
    01/24/2023
    1,539
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    363
    1.07
    Telmex Trust
    Sale
    01/24/2023
    925
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    1,491
    1.07
    Telmex Trust
    Sale
    01/24/2023
    18,000
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 46 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/24/2023
    80
    1.07
    Telmex Trust
    Sale
    01/24/2023
    8,164
    1.07
    Telmex Trust
    Sale
    01/24/2023
    19,955
    1.07
    Telmex Trust
    Sale
    01/24/2023
    20,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    18,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    18,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    18,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    3,689
    1.07
    Telmex Trust
    Sale
    01/24/2023
    33,300
    1.07
    Telmex Trust
    Sale
    01/24/2023
    54,800
    1.07
    Telmex Trust
    Sale
    01/24/2023
    8,969
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    18,000
    1.07
    Telmex Trust
    Sale
    01/24/2023
    13,991
    1.07
    Telmex Trust
    Sale
    01/24/2023
    31,848
    1.07
    Telmex Trust
    Sale
    01/24/2023
    194,161
    1.07
    Telmex Trust
    Sale
    01/24/2023
    59,048
    1.07
    Telmex Trust
    Sale
    01/24/2023
    5,387
    1.07
    Telmex Trust
    Sale
    01/24/2023
    800
    1.07
    Telmex Trust
    Sale
    01/24/2023
    12,124
    1.07
    Telmex Trust
    Sale
    01/24/2023
    1,520,096
    1.07
    Telmex Trust
    Sale
    01/24/2023
    100
    1.07
    Telmex Trust
    Sale
    01/24/2023
    39,351
    1.07
    Telmex Trust
    Sale
    01/24/2023
    2,918
    1.07
    Telmex Trust
    Sale
    01/24/2023
    11,162
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    15,521
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    489,055
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    414
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    29,300
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    1,500
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,500
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    1,200
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,400
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    10,800
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    3,100
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    3,020
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    182,816
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    5,839
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    33,426
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 47 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/24/2023
    1,600
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    19,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    19,828
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    1,300
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,400
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    160
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    5,920
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    12,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    3
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    87
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    740
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    1,600
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    28,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    1,700
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    30,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,500
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    10,300
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    7,131
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    15,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    1,900
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    57,700
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    10,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    30,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    30,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    53,035
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    400,000
    1.06
    GFI Mutual Funds
    Sale
    01/24/2023
    5,876
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,980
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    86,946
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    1,600
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    203
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/24/2023
    15,100
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 48 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/25/2023
    16,000
    1.06
    Telmex Trust
    Sale
    01/25/2023
    1,369
    1.06
    Telmex Trust
    Sale
    01/25/2023
    6,500
    1.06
    Telmex Trust
    Sale
    01/25/2023
    980
    1.06
    Telmex Trust
    Sale
    01/25/2023
    6,217
    1.06
    Telmex Trust
    Sale
    01/25/2023
    200
    1.06
    Telmex Trust
    Sale
    01/25/2023
    8,666
    1.06
    Telmex Trust
    Sale
    01/25/2023
    1,300
    1.06
    Telmex Trust
    Sale
    01/25/2023
    2,400
    1.06
    Telmex Trust
    Sale
    01/25/2023
    2,300
    1.06
    Telmex Trust
    Sale
    01/25/2023
    800
    1.06
    Telmex Trust
    Sale
    01/25/2023
    2,600
    1.06
    Telmex Trust
    Sale
    01/25/2023
    2,400
    1.06
    Telmex Trust
    Sale
    01/25/2023
    1,081
    1.06
    Telmex Trust
    Sale
    01/25/2023
    100
    1.06
    Telmex Trust
    Sale
    01/25/2023
    4,400
    1.06
    Telmex Trust
    Sale
    01/25/2023
    9,718
    1.06
    Telmex Trust
    Sale
    01/25/2023
    400
    1.06
    Telmex Trust
    Sale
    01/25/2023
    237
    1.06
    Telmex Trust
    Sale
    01/25/2023
    1,700
    1.06
    Telmex Trust
    Sale
    01/25/2023
    192
    1.06
    Telmex Trust
    Sale
    01/25/2023
    500
    1.06
    Telmex Trust
    Sale
    01/25/2023
    6,971
    1.06
    Telmex Trust
    Sale
    01/25/2023
    3,932
    1.06
    Telmex Trust
    Sale
    01/25/2023
    11,100
    1.06
    Telmex Trust
    Sale
    01/25/2023
    73,089
    1.06
    Telmex Trust
    Sale
    01/25/2023
    1,356
    1.06
    Telmex Trust
    Sale
    01/25/2023
    600
    1.06
    GFI Mutual Funds
    Sale
    01/25/2023
    64,000
    1.06
    GFI Mutual Funds
    Sale
    01/26/2023
    1,411
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,413
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,409
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,323
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,403
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,412
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,354
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    318
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,504
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,509
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,509
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    24,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    26,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    80,576
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 49 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    15,124
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,515
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,508
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,504
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,519
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,501
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,510
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,188
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,414
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,417
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    787
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    993
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,503
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,513
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,191
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,425
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,038
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    848
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,414
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,411
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,426
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,402
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,415
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    869
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,415
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    537
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,494
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,509
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,509
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    278
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,517
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,510
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,518
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,503
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,511
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,510
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,312
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 50 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    884
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,417
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,680
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,485
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,436
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,494
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,397
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,496
    1.07
    Telmex Trust
    Sale
    01/26/2023
    700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,493
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,506
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,481
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,502
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,484
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,494
    1.07
    Telmex Trust
    Sale
    01/26/2023
    400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,383
    1.07
    Telmex Trust
    Sale
    01/26/2023
    19,600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    721
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,407
    1.07
    Telmex Trust
    Sale
    01/26/2023
    449
    1.07
    Telmex Trust
    Sale
    01/26/2023
    929
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    756
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,269
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 51 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/26/2023
    1,483
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,874
    1.07
    Telmex Trust
    Sale
    01/26/2023
    300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    525
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,496
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,491
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,054
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,495
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,402
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,487
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,495
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,496
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,497
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,490
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,496
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,497
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,491
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,498
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,498
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,490
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,502
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,488
    1.07
    Telmex Trust
    Sale
    01/26/2023
    270
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,503
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,499
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,498
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,492
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,391
    1.07
    Telmex Trust
    Sale
    01/26/2023
    358
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,407
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 52 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/26/2023
    1,410
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,431
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,457
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,470
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    21,800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    10,387
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    7,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,212
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,417
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,427
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,406
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,417
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,420
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,494
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,487
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,492
    1.07
    Telmex Trust
    Sale
    01/26/2023
    700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,490
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,494
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,491
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,495
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,494
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,481
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,482
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,496
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,497
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,203
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 53 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/26/2023
    1,484
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,507
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,421
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,420
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    26,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,467
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,450
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,464
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,465
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    20,192
    1.07
    Telmex Trust
    Sale
    01/26/2023
    225
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    337
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,097
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,101
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    78
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,422
    1.07
    Telmex Trust
    Sale
    01/26/2023
    224
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,267
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,415
    1.07
    Telmex Trust
    Sale
    01/26/2023
    400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,420
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,423
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,428
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,409
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,025
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,424
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,197
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,421
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    254
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,260
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,900
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 54 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/26/2023
    1,484
    1.07
    Telmex Trust
    Sale
    01/26/2023
    602
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    8,233
    1.07
    Telmex Trust
    Sale
    01/26/2023
    981
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,074
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,413
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,084
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,426
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,417
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,420
    1.07
    Telmex Trust
    Sale
    01/26/2023
    545
    1.07
    Telmex Trust
    Sale
    01/26/2023
    400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,871
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,361
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,452
    1.07
    Telmex Trust
    Sale
    01/26/2023
    923
    1.07
    Telmex Trust
    Sale
    01/26/2023
    814
    1.07
    Telmex Trust
    Sale
    01/26/2023
    400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    23,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,448
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,454
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,455
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,457
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,738
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,252
    1.07
    Telmex Trust
    Sale
    01/26/2023
    932
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 55 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,465
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    237
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,456
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,470
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,456
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,456
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,466
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,466
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,464
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,456
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,465
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,743
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    15,800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    160,399
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 56 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    15,800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    12,100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    88
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    180,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,662
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,416
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,480
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,431
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,404
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,421
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,416
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,419
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,418
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,428
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,419
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,472
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,465
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    73
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    61
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 57 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    48,290
    1.07
    Telmex Trust
    Sale
    01/26/2023
    60
    1.07
    Telmex Trust
    Sale
    01/26/2023
    126,450
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    11,800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    72,700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    11,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    731
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,460
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,460
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,429
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,406
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,461
    1.07
    Telmex Trust
    Sale
    01/26/2023
    10,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    64,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    7,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,600
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 58 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/26/2023
    11,100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    78,700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    50
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,250
    1.07
    Telmex Trust
    Sale
    01/26/2023
    583
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    500
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    8,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    700
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 59 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/26/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,400
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    600
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,465
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,466
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,466
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,466
    1.07
    Telmex Trust
    Sale
    01/26/2023
    100
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,462
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    2,300
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    Telmex Trust
    Sale
    01/26/2023
    655
    1.07
    Telmex Trust
    Sale
    01/26/2023
    3,900
    1.07
    Telmex Trust
    Sale
    01/26/2023
    4,000
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,464
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,458
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,465
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,460
    1.07
    Telmex Trust
    Sale
    01/26/2023
    1,463
    1.07
    Telmex Trust
    Sale
    01/26/2023
    200
    1.07
    Telmex Trust
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,503
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,489
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,397
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,503
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,498
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,492
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    158,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,712
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 60 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    2,780
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    734
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,454
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    275
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,506
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,501
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,355
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 61 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    4,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,142
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,503
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,485
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,501
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,496
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,496
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,505
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,498
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,495
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,497
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    947
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,497
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,501
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,502
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    102,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,303
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,504
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    760
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 62 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,505
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,502
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    776
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,392
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,499
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,505
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,498
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,493
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    307
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,504
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,501
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,507
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,508
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,508
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,507
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 63 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    7,300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    78
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,855
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    28,800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    62,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    96,100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,117
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,502
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,501
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,507
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    288
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 64 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,494
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,511
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,503
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,511
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,506
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,269
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,501
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,414
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,508
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,507
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,513
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,060
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,413
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,409
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,412
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,502
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    186
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,412
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,410
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    4,000
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 65 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    3,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,308
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    10,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,502
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    974
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    996
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,502
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,494
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    894
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,207
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 66 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    1,504
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,504
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,512
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    700
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,508
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,198
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,508
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,502
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    546
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,514
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    11,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,093
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 67 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    1,600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    4,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    4,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    15,800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    3,200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,398
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,419
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    883
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,408
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,414
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,399
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,410
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,410
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,417
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,411
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,748
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,410
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,413
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,406
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,409
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 68 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/26/2023
    1,410
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,124
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,303
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,425
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    418
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,456
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,495
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,211
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,511
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,498
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,506
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,492
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,408
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,227
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,498
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,383
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    900
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    1,600
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    782
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,300
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,400
    1.07
    GFI Mutual Funds
    Sale
    01/26/2023
    2,000
    1.07
    GFI Mutual Funds
    Sale
    01/27/2023
    10,880
    1.07
    GFI Mutual Funds
    Sale
    01/27/2023
    20,000
    1.06
    GFI Mutual Funds
    Sale
    01/27/2023
    17,620
    1.07
    GFI Mutual Funds
    Sale
    01/27/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    01/27/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/27/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/27/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    01/27/2023
    50,000
    1.06
    GFI Mutual Funds
    Sale
    01/27/2023
    400
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 69 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    01/27/2023
    1,371
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,479
    1.07
    Telmex Trust
    Sale
    01/27/2023
    4,800
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,324
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,362
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,200
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,655
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,343
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,391
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,420
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,563
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,515
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,516
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,432
    1.07
    Telmex Trust
    Sale
    01/27/2023
    100
    1.07
    Telmex Trust
    Sale
    01/27/2023
    6,160
    1.07
    Telmex Trust
    Sale
    01/27/2023
    700
    1.07
    Telmex Trust
    Sale
    01/27/2023
    400
    1.07
    Telmex Trust
    Sale
    01/27/2023
    100
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,643
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,314
    1.07
    Telmex Trust
    Sale
    01/27/2023
    30,000
    1.07
    Telmex Trust
    Sale
    01/27/2023
    71,825
    1.06
    Telmex Trust
    Sale
    01/27/2023
    28,175
    1.06
    Telmex Trust
    Sale
    01/27/2023
    250,000
    1.06
    Telmex Trust
    Sale
    01/27/2023
    100
    1.07
    Telmex Trust
    Sale
    01/27/2023
    3,400
    1.07
    Telmex Trust
    Sale
    01/27/2023
    5,300
    1.07
    Telmex Trust
    Sale
    01/27/2023
    5
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,900
    1.07
    Telmex Trust
    Sale
    01/27/2023
    2,000
    1.07
    Telmex Trust
    Sale
    01/27/2023
    80,200
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,475
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,285
    1.07
    Telmex Trust
    Sale
    01/27/2023
    200
    1.07
    Telmex Trust
    Sale
    01/27/2023
    11
    1.07
    Telmex Trust
    Sale
    01/27/2023
    100
    1.07
    Telmex Trust
    Sale
    01/27/2023
    100
    1.07
    Telmex Trust
    Sale
    01/27/2023
    100
    1.07
    Telmex Trust
    Sale
    01/27/2023
    100
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,296
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,632
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/27/2023
    600
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,300
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,440
    1.07
    Telmex Trust
    Sale
    01/27/2023
    1,600
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 70 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    01/27/2023
    80,000
    1.06
    GFI Mutual Funds
    Sale
    01/27/2023
    80,200
    1.07
    GFI Mutual Funds
    Sale
    01/27/2023
    25,630
    1.07
    GFI Mutual Funds
    Sale
    01/27/2023
    200,000
    1.06
    GFI Mutual Funds
    Sale
    01/27/2023
    14,170
    1.07
    Telmex Trust
    Sale
    03/06/2023
    100
    1.07
    Telmex Trust
    Sale
    03/06/2023
    13,900
    1.07
    Telmex Trust
    Sale
    03/06/2023
    1,804
    1.07
    Telmex Trust
    Sale
    03/06/2023
    200
    1.07
    Telmex Trust
    Sale
    03/06/2023
    3,900
    1.07
    Telmex Trust
    Sale
    03/06/2023
    10,096
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    149
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    1,200
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    14,405
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    11,000
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    5,000
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    6,851
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    4,695
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    300
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    3,400
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    2,939
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    3,061
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    1,025
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    2,875
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    7,000
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    12,000
    1.07
    Telmex Trust
    Sale
    03/09/2023
    10,800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    4,500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    5,658
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    2,305
    1.07
    Telmex Trust
    Sale
    03/09/2023
    9,022
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,205
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,205
    1.07
    Telmex Trust
    Sale
    03/09/2023
    1,600
    1.07
    Telmex Trust
    Sale
    03/09/2023
    929
    1.07
    Telmex Trust
    Sale
    03/09/2023
    2,861
    1.07
    Telmex Trust
    Sale
    03/09/2023
    971
    1.07
    Telmex Trust
    Sale
    03/09/2023
    7
    1.07
    Telmex Trust
    Sale
    03/09/2023
    2
    1.07
    Telmex Trust
    Sale
    03/09/2023
    2,862
    1.07
    Telmex Trust
    Sale
    03/09/2023
    1,804
    1.07
    Telmex Trust
    Sale
    03/09/2023
    318
    1.07
    Telmex Trust
    Sale
    03/09/2023
    28,541
    1.07
    Telmex Trust
    Sale
    03/09/2023
    6,020
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 71 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    03/09/2023
    3,555
    1.07
    Telmex Trust
    Sale
    03/09/2023
    2,400
    1.07
    Telmex Trust
    Sale
    03/09/2023
    15,419
    1.07
    Telmex Trust
    Sale
    03/09/2023
    20,866
    1.07
    Telmex Trust
    Sale
    03/09/2023
    6,593
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    12,307
    1.07
    Telmex Trust
    Sale
    03/09/2023
    874
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,116
    1.07
    Telmex Trust
    Sale
    03/09/2023
    8,968
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    2,392
    1.07
    Telmex Trust
    Sale
    03/09/2023
    1,900
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,670
    1.07
    Telmex Trust
    Sale
    03/09/2023
    700
    1.07
    Telmex Trust
    Sale
    03/09/2023
    5,400
    1.07
    Telmex Trust
    Sale
    03/09/2023
    300
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    232
    1.07
    Telmex Trust
    Sale
    03/09/2023
    600
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    1,000
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    1,400
    1.07
    Telmex Trust
    Sale
    03/09/2023
    1,400
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.06
    Telmex Trust
    Sale
    03/09/2023
    28,551
    1.06
    Telmex Trust
    Sale
    03/09/2023
    6,149
    1.06
    Telmex Trust
    Sale
    03/09/2023
    100
    1.06
    Telmex Trust
    Sale
    03/09/2023
    100
    1.06
    Telmex Trust
    Sale
    03/09/2023
    300
    1.07
    Telmex Trust
    Sale
    03/09/2023
    200
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    300
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    7,886
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,205
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 72 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,205
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    1,600
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    4,572
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    10,000
    1.07
    Telmex Trust
    Sale
    03/09/2023
    97
    1.07
    Telmex Trust
    Sale
    03/09/2023
    4,141
    1.07
    Telmex Trust
    Sale
    03/09/2023
    12,981
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    1,200
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    35,000
    1.06
    Telmex Trust
    Sale
    03/09/2023
    875
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,205
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,205
    1.07
    Telmex Trust
    Sale
    03/09/2023
    8,014
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    82
    1.07
    Telmex Trust
    Sale
    03/09/2023
    17
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,012
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,018
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,022
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,017
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,013
    1.07
    Telmex Trust
    Sale
    03/09/2023
    28,107
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,205
    1.07
    Telmex Trust
    Sale
    03/09/2023
    3,049
    1.07
    Telmex Trust
    Sale
    03/09/2023
    2,626
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    500
    1.07
    Telmex Trust
    Sale
    03/09/2023
    100
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/09/2023
    2,300
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    10,595
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06


    CUSIP No. 02390A101 B Share ADSs
     
    Page 73 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    18,612
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    3,400
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    12,206
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    48,000
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    9,088
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    6,472
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    805
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    1,600
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    3,200
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    13,805
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    6,195
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    500
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    200
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    36
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    13,249
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    12,851
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    283
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    10,740
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    4,564
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    3,241
    1.07


    CUSIP No. 02390A101 B Share ADSs
     
    Page 74 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    03/09/2023
    1,400
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    100
    1.06
    GFI Mutual Funds
    Sale
    03/09/2023
    600
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    2,400
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    4,100
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    13,794
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    548
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    8,524
    1.07
    GFI Mutual Funds
    Sale
    03/09/2023
    800
    1.07
    Telmex Trust
    Sale
    03/10/2023
    50,000
    1.06
    GFI Mutual Funds
    Sale
    03/10/2023
    12,738
    1.06
    GFI Mutual Funds
    Sale
    03/13/2023
    7,958
    1.05
    GFI Mutual Funds
    Sale
    03/13/2023
    7,000
    1.05
    GFI Mutual Funds
    Sale
    03/13/2023
    7,000
    1.04
    GFI Mutual Funds
    Sale
    03/13/2023
    5,042
    1.05
    GFI Mutual Funds
    Sale
    03/13/2023
    7,000
    1.04
    Telmex Trust
    Sale
    03/13/2023
    11,906
    1.05
    Telmex Trust
    Sale
    03/13/2023
    6,559
    1.05
    Telmex Trust
    Sale
    03/13/2023
    50,000
    1.05
    Telmex Trust
    Sale
    03/13/2023
    5,938
    1.05
    Telmex Trust
    Sale
    03/13/2023
    15,180
    1.05
    Telmex Trust
    Sale
    03/13/2023
    12,300
    1.05
    Telmex Trust
    Sale
    03/13/2023
    13,700
    1.05
    Telmex Trust
    Sale
    03/13/2023
    130
    1.05
    Telmex Trust
    Sale
    03/13/2023
    11,193
    1.05
    Telmex Trust
    Sale
    03/13/2023
    10,300
    1.04
    Telmex Trust
    Sale
    03/13/2023
    12,100
    1.04
    Telmex Trust
    Sale
    03/13/2023
    12,600
    1.04
    Telmex Trust
    Sale
    03/13/2023
    18,225
    1.05
    Telmex Trust
    Sale
    03/13/2023
    9,708
    1.05
    Telmex Trust
    Sale
    03/13/2023
    263
    1.05
    Telmex Trust
    Sale
    03/13/2023
    15,000
    1.04
    Telmex Trust
    Sale
    03/13/2023
    246
    1.05
    Telmex Trust
    Sale
    03/13/2023
    9,890
    1.05
    Telmex Trust
    Sale
    03/13/2023
    2,987
    1.05
    GFI Mutual Funds
    Sale
    03/13/2023
    28,000
    1.04
    GFI Mutual Funds
    Sale
    03/13/2023
    28,000
    1.05
    GFI Mutual Funds
    Sale
    03/13/2023
    1,417
    1.05
    GFI Mutual Funds
    Sale
    03/13/2023
    28,000
    1.04
    GFI Mutual Funds
    Sale
    03/13/2023
    4,641
    1.05
    GFI Mutual Funds
    Sale
    03/13/2023
    32,042
    1.05


    CUSIP No. 02390A101 B Share ADSs
     
    Page 75 of 75
    Reporting Person
    Type of
    Transaction
    Trade Date
    Number of L
    Shares
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Sale
    03/13/2023
    13,900
    1.05
    Telmex Trust
    Sale
    03/14/2023
    40,000
    1.06
    GFI Mutual Funds
    Sale
    03/14/2023
    14,467
    1.06
    GFI Mutual Funds
    Sale
    03/15/2023
    17,000
    1.04
    GFI Mutual Funds
    Sale
    03/15/2023
    13,000
    1.04
    GFI Mutual Funds
    Sale
    03/15/2023
    12,000
    1.04
    Telmex Trust
    Sale
    03/15/2023
    5
    1.04
    Telmex Trust
    Sale
    03/15/2023
    61,338
    1.04
    Telmex Trust
    Sale
    03/15/2023
    1,300
    1.04
    Telmex Trust
    Sale
    03/15/2023
    729
    1.04
    Telmex Trust
    Sale
    03/15/2023
    59,271
    1.04
    Telmex Trust
    Sale
    03/15/2023
    100
    1.04
    Telmex Trust
    Sale
    03/15/2023
    8,297
    1.04
    Telmex Trust
    Sale
    03/15/2023
    50,000
    1.04
    Telmex Trust
    Sale
    03/15/2023
    20,203
    1.04
    Telmex Trust
    Sale
    03/15/2023
    4
    1.04
    Telmex Trust
    Sale
    03/15/2023
    4
    1.04
    Telmex Trust
    Sale
    03/15/2023
    4
    1.04
    Telmex Trust
    Sale
    03/15/2023
    5
    1.04
    Telmex Trust
    Sale
    03/15/2023
    3,540
    1.04
    Telmex Trust
    Sale
    03/15/2023
    5,200
    1.04
    GFI Mutual Funds
    Sale
    03/15/2023
    38,203
    1.04
    GFI Mutual Funds
    Sale
    03/15/2023
    29,862
    1.04
    GFI Mutual Funds
    Sale
    03/15/2023
    22,138
    1.04
    GFI Mutual Funds
    Sale
    03/15/2023
    29,797
    1.04
    GFI Mutual Funds
    Sale
    03/15/2023
    48,000
    1.04

    A Shares

    Reporting Person
    Type of Transaction
    Trade Date
    Number of A Shares
     
    Price per Share
    US. Dollars
    GFI Mutual Funds
    Purchase
    03/15/2023
    100
    1.03



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