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nasdaq-bwmx
/
Betterware de Mexico SAPI de CV
BWMX
13.100
USD
-0.050
-0.38%
Cierre 08/01, 16:00(ET)
Cotizaciones retrasadas 15 min
USD
0.000
Fuera de horario (ET)
488.85M
Cap. mercado
0.86
P/E TTM
Betterware de Mexico SAPI de CV
13.100
-0.050
-0.38%
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
Flujos de efectivo operativos (método indirecto)
Flujo de efectivo por actividades operativas continuas
-192.71%
-192.45M
-32.24%
416.64M
-6.33%
170.65M
-12.93%
421.15M
-40.81%
207.60M
-30.71%
614.87M
-24.07%
182.18M
965.74%
483.70M
357.95%
350.73M
208.28%
887.44M
4.23%
239.94M
-113.13%
-55.87M
-127.26%
-135.97M
644.36%
287.87M
-75.02%
230.22M
-17.46%
425.48M
--
498.79M
--
38.67M
--
921.77M
--
515.47M
Ingresos netos por operaciones continuas
-48.77%
150.73M
-42.87%
232.17M
-158.71%
-115.59M
19.53%
300.69M
56.32%
294.25M
17.73%
406.41M
3128.48%
196.87M
-0.05%
251.55M
-29.50%
188.23M
83.51%
345.21M
-98.81%
6.10M
-45.39%
251.69M
-58.19%
266.98M
271.25%
188.11M
506.90%
513.36M
71.73%
460.87M
--
638.54M
--
50.67M
--
-126.16M
--
268.38M
Pérdidas de ganancias operativas
6.30%
101.36M
174.47%
267.65M
6.77%
97.50M
6.16%
98.26M
1.72%
95.36M
22.54%
97.52M
-5.31%
91.31M
2.76%
92.56M
333.66%
93.74M
232.49%
79.58M
337.20%
96.43M
329.14%
90.07M
42.76%
21.62M
39.09%
23.93M
219.44%
22.06M
97.92%
20.99M
--
15.14M
--
17.21M
--
6.91M
--
10.61M
Otros artículos no monetarios
69.51%
-12.67M
57.69%
-29.75M
-25.29%
59.87M
-600.37%
-61.01M
-583.43%
-41.54M
-106.31%
-70.31M
104.47%
80.14M
79.68%
-8.71M
-236.16%
-6.08M
56.96%
-34.08M
-60.55%
39.20M
59.74%
-42.87M
-70.29%
4.46M
-331.90%
-79.19M
542.97%
99.36M
-325.59%
-106.49M
--
15.02M
--
34.15M
--
15.45M
--
47.20M
Cambio en el capital de trabajo
-569.54%
-270.41M
26.57%
170.06M
-80.88%
-312.77M
46.54%
143.50M
-188.92%
-40.39M
-75.61%
134.36M
-1017.47%
-172.92M
127.40%
97.93M
109.44%
45.42M
237.28%
550.91M
108.88%
18.85M
-644.23%
-357.47M
-274.64%
-481.24M
126.69%
163.34M
-159.80%
-212.35M
-64.22%
65.68M
--
-128.46M
--
-611.96M
--
355.08M
--
183.60M
-Cambio en cuentas por cobrar
66.11%
-42.81M
-65.98%
69.18M
-9.28%
-119.76M
143.26%
116.11M
46.96%
-126.31M
-24.99%
203.33M
-235.17%
-109.59M
30.65%
47.73M
-1184.01%
-238.17M
37.34%
271.08M
62.85%
-32.70M
-76.86%
36.53M
107.66%
21.97M
354.83%
197.38M
46.32%
-88.00M
188.50%
157.88M
--
-286.99M
--
-77.45M
--
-163.94M
--
-178.40M
-Cambio en el inventario
-114.71%
-23.96M
-100.49%
-723.00K
-182.59%
-441.64M
-7.58%
-191.46M
-41.29%
162.86M
-38.96%
147.48M
-227.22%
-156.28M
-229.10%
-177.97M
183.79%
277.39M
284.09%
241.63M
-52.98%
122.84M
157.75%
137.86M
-845.68%
-331.07M
18.33%
-131.26M
144.05%
261.26M
-18.89%
-238.71M
--
44.40M
--
-160.72M
--
-593.09M
--
-200.79M
-Cambio en gastos prepago
-282.81%
-26.36M
894.02%
292.66M
-4156.06%
-221.26M
129.16%
36.18M
122.92%
14.42M
-133.76%
-36.86M
137.76%
5.46M
10.44%
-124.08M
-1273.67%
-62.91M
33.75%
109.19M
73.73%
-14.45M
-233.11%
-138.55M
95.40%
-4.58M
-29.21%
81.64M
70.88%
-55.00M
380.78%
104.08M
--
-99.54M
--
115.33M
--
-188.86M
--
-37.07M
-Cambio en los gastos pagaderos y acumulados
-20.94%
-170.59M
-6.97%
-249.32M
88.22%
472.23M
-19.94%
337.17M
-2066.12%
-141.06M
-132.45%
-233.08M
331.49%
250.89M
178.19%
421.15M
96.62%
-6.51M
-518.38%
-100.27M
74.95%
-108.38M
-403.68%
-538.65M
-228.96%
-192.73M
105.17%
23.97M
-133.19%
-432.68M
-69.72%
177.38M
--
149.46M
--
-463.82M
--
1.30B
--
585.81M
-Cambio en otros pasivos corrientes
13.93%
38.58M
344.32%
30.47M
32.71%
45.55M
-38.58%
-112.83M
38.11%
33.86M
-130.45%
-12.47M
-10.91%
34.32M
-70.41%
-81.41M
98.34%
24.52M
10.11%
40.96M
188.08%
38.52M
-1009.78%
-47.78M
262.89%
12.36M
13627.27%
37.20M
322.10%
13.37M
-95.24%
-4.30M
--
3.41M
--
-275.00K
--
3.17M
--
-2.21M
Efectivo de actividades de inversión no recurrentes
Efectivo de actividades operativas
-192.71%
-192.45M
-32.24%
416.64M
-6.33%
170.65M
-12.93%
421.15M
-40.81%
207.60M
-30.71%
614.87M
-24.07%
182.18M
965.74%
483.70M
357.95%
350.73M
208.28%
887.44M
4.23%
239.94M
-113.13%
-55.87M
-127.26%
-135.97M
644.36%
287.87M
-75.02%
230.22M
-17.46%
425.48M
--
498.79M
--
38.67M
--
921.77M
--
515.47M
Flujo de efectivo por actividades de inversión
Efectivo neto de actividades de inversión continuadas
-47.32%
12.94M
-146.60%
-34.93M
-336.28%
-51.31M
612.26%
74.90M
429.25%
24.57M
137.43%
74.96M
28.70%
21.71M
-80.91%
10.52M
-90.57%
4.64M
-41.73%
31.57M
-71.39%
16.87M
-42.60%
55.08M
-71.94%
49.22M
-77.86%
54.19M
-65.53%
58.97M
-32.77%
95.97M
--
175.39M
--
244.73M
--
171.09M
--
142.75M
Gastos de capital
-50.42%
13.57M
-91.55%
6.51M
146.87%
68.46M
406.02%
79.15M
155.72%
27.38M
65.79%
76.98M
48.98%
27.73M
-71.60%
15.64M
-80.72%
10.71M
-14.30%
46.44M
-73.91%
18.61M
-42.60%
55.08M
-70.24%
55.52M
-78.81%
54.19M
-58.30%
71.34M
-36.55%
95.97M
--
186.56M
--
255.72M
--
171.09M
--
151.25M
Flujo de efectivo neto por disposición de activos fijos
-47.32%
12.94M
-146.60%
-34.93M
-336.28%
-51.31M
612.26%
74.90M
429.25%
24.57M
137.43%
74.96M
28.70%
21.71M
--
10.52M
-90.57%
4.64M
--
31.57M
-71.39%
16.87M
--
--
-71.94%
49.22M
--
--
-65.53%
58.97M
-32.77%
95.97M
--
175.39M
--
244.73M
--
171.09M
--
142.75M
Flujo de efectivo neto de transacciones comerciales
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-1.15M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Flujo de efectivo neto de otras actividades de inversión
--
--
--
-10.05M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-813.00K
--
--
189.05%
38.22M
--
--
--
--
--
--
--
-42.91M
--
--
--
--
Efectivo de actividades de inversión no corrientes
Flujo de efectivo neto de actividades de inversión
47.32%
-12.94M
133.18%
24.88M
336.28%
51.31M
-612.26%
-74.90M
-429.25%
-24.57M
-129.12%
-74.96M
74.77%
-21.71M
99.78%
-10.52M
90.76%
-4.64M
-421.30%
-32.72M
-41.18%
-86.08M
-5032.08%
-4.68B
75.39%
-50.25M
103.54%
10.18M
64.36%
-60.97M
36.05%
-91.29M
--
-204.18M
--
-287.65M
--
-171.09M
--
-142.75M
Flujo de efectivo de financiación
Flujo de efectivo de actividades de financiación continuadas
182.23%
252.91M
5.12%
-461.33M
16.39%
-328.82M
23.24%
-348.18M
47.15%
-307.58M
4.78%
-486.25M
-52.43%
-393.27M
-109.85%
-453.60M
-109.82%
-581.94M
-28.85%
-510.66M
-144.17%
-258.00M
1313.34%
4.60B
26.82%
-277.36M
-54.57%
-396.33M
602.40%
584.16M
-192.46%
-379.52M
--
-379.02M
--
-256.41M
--
-116.27M
--
-129.77M
Flujo de efectivo neto por emisión/amortización de deuda
965.22%
502.43M
26.01%
-211.82M
57.28%
-79.31M
67.53%
-98.66M
87.96%
-58.07M
37.77%
-286.28M
-293.66%
-185.65M
-106.04%
-303.89M
-592.45%
-482.14M
-4885.14%
-460.03M
-105.05%
-47.16M
17145.80%
5.03B
437.32%
97.91M
-134.69%
-9.23M
390.46%
934.16M
-0.57%
-29.52M
--
-29.02M
--
26.60M
--
-321.61M
--
-29.35M
Flujo de efectivo neto por emisión/recompra de acciones ordinarias
--
--
--
--
--
--
--
--
--
--
100.00%
0.00
--
0.00
--
0.00
--
--
--
-57.00K
--
0.00
--
0.00
--
-25.26M
--
--
--
--
--
--
--
--
--
--
--
-288.27M
--
--
Pagos de dividendos en efectivo
0.00%
249.51M
25.00%
249.51M
25.00%
249.51M
66.67%
249.51M
150.00%
249.51M
299.22%
199.61M
0.00%
199.61M
-57.23%
149.71M
-71.48%
99.81M
-85.71%
50.00M
-42.97%
199.61M
0.00%
350.00M
0.00%
350.00M
-34.37%
350.00M
--
350.00M
250.00%
350.00M
--
350.00M
--
533.31M
--
--
--
100.00M
Flujo de efectivo neto de otras actividades de financiación
--
--
100.00%
0.00
--
--
--
--
--
--
39.10%
-352.00K
28.76%
-8.00M
--
--
--
--
98.44%
-578.00K
--
-11.23M
--
-76.91M
--
--
-114.82%
-37.10M
--
--
100.00%
0.00
--
0.00
--
250.29M
--
493.61M
--
-415.00K
Efectivo neto de actividades de financiación no recurrentes
Efectivo neto de actividades de financiación
182.23%
252.91M
5.12%
-461.33M
16.39%
-328.82M
23.24%
-348.18M
47.15%
-307.58M
4.78%
-486.25M
-52.43%
-393.27M
-109.85%
-453.60M
-109.82%
-581.94M
-28.85%
-510.66M
-144.17%
-258.00M
1313.34%
4.60B
26.82%
-277.36M
-54.57%
-396.33M
602.40%
584.16M
-192.46%
-379.52M
--
-379.02M
--
-256.41M
--
-116.27M
--
-129.77M
Flujo de efectivo neto
Saldo de efectivo inicial
-46.05%
296.56M
-36.22%
316.38M
-41.93%
423.25M
-40.06%
425.18M
-32.60%
549.73M
5.19%
496.07M
26.60%
728.87M
-0.33%
709.29M
-30.60%
815.64M
-62.97%
471.58M
10.70%
575.73M
25.86%
711.63M
80.85%
1.18B
10.24%
1.27B
-0.14%
520.08M
103.49%
565.41M
--
649.82M
--
1.16B
--
520.80M
--
277.86M
Cambios en el flujo de efectivo del período actual
138.15%
47.52M
-136.93%
-19.82M
54.10%
-106.87M
-109.86%
-1.93M
47.19%
-124.55M
-84.40%
53.66M
-123.54%
-232.80M
114.41%
19.59M
49.12%
-235.86M
450.07%
344.06M
-113.82%
-104.14M
-199.82%
-135.90M
-449.18%
-463.57M
80.55%
-98.28M
18.76%
753.40M
-118.66%
-45.33M
--
-84.41M
--
-505.39M
--
634.40M
--
242.95M
Saldo de efectivo final
-19.08%
344.07M
-46.05%
296.56M
-36.22%
316.38M
-41.93%
423.25M
-26.67%
425.18M
-32.60%
549.73M
5.19%
496.07M
26.60%
728.87M
-18.53%
579.79M
-30.60%
815.64M
-62.97%
471.58M
10.70%
575.73M
25.86%
711.63M
80.85%
1.18B
10.24%
1.27B
-0.14%
520.08M
--
565.41M
--
649.82M
--
1.16B
--
520.80M
Flujo de caja libre
-214.32%
-206.03M
-23.75%
410.13M
-33.84%
102.18M
-26.93%
341.99M
-47.00%
180.22M
-36.04%
537.89M
-30.22%
154.45M
521.85%
468.06M
277.57%
340.02M
259.90%
841.01M
39.31%
221.33M
-133.67%
-110.95M
-161.33%
-191.49M
207.66%
233.68M
-78.84%
158.88M
-9.53%
329.51M
--
312.23M
--
-217.05M
--
750.67M
--
364.22M
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
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