Fomento Económico Mexicano, S.A.B. de C.V.
FMX
NYSE
103.39
USD+0.41(+0.40%)
As of today
Fomento Económico Mexicano, S.A.B. de C.V. fundamentals
Key ratios
Statements Highlights
Period Ending | Dec 31, 2020 | Dec 31, 2021 | Dec 31, 2022 | Dec 31, 2023 | Dec 31, 2024 | |
---|---|---|---|---|---|---|
Total Revenue | 492,966,000,000 | 556,261,000,000 | 673,202,000,000 | 702,692,000,000 | 781,585,000,000 | |
Gross Profit | 189,653,000,000 | 213,713,000,000 | 251,668,000,000 | 279,507,000,000 | 321,513,000,000 | |
Operating Income | 8,018,000,000 | 28,913,000,000 | 31,388,000,000 | 57,358,000,000 | 70,407,000,000 | |
Net Income | 4,117,000,000 | 28,495,000,000 | 23,909,000,000 | 65,689,000,000 | 26,735,000,000 | |
Total Assets | 684,638,000,000 | 737,500,000,000 | 798,621,000,000 | 805,856,000,000 | 851,536,000,000 | |
Total Current Liabilities | 118,308,000,000 | 136,723,000,000 | 173,866,000,000 | 182,381,000,000 | 202,930,000,000 | |
Total Equity | 376,631,000,000 | 407,333,000,000 | 413,853,000,000 | 378,369,000,000 | 381,131,000,000 | |
Free Cash Flow | 33,031,000,000 | 52,791,000,000 | 40,136,000,000 | 11,559,000,000 | 24,197,000,000 | |
Cash from Operations | 53,173,000,000 | 73,090,000,000 | 72,576,000,000 | 49,679,000,000 | 71,510,000,000 | |
Cash from Investing | -31,367,000,000 | -46,175,000,000 | -46,432,000,000 | 132,292,000,000 | -33,122,000,000 | |
Cash from Financing | 19,575,000,000 | -36,989,000,000 | -35,898,000,000 | -92,552,000,000 | -84,049,000,000 | |
Net Change in Cash | 42,062,000,000 | -10,217,000,000 | -13,968,000,000 | 81,673,000,000 | -25,278,000,000 |