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Betterware de Mexico SAPI de CV

BWMX

13.100USD

-0.050-0.38%
Close 08/01, 16:00ETQuotes delayed by 15 min
488.85MMarket Cap
0.86P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q3
Total equity
Cash, cash equivalents and short-term investments
-7.43%391.78M
-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
204.08%649.82M
95583.34%1.16B
437.36%520.80M
--213.70M
158.14%1.21M
--96.92M
--4.34M
--467.70K
- Cash and cash equivalents
-7.43%391.78M
-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
204.08%649.82M
95583.34%1.16B
437.36%520.80M
--213.70M
158.14%1.21M
--96.92M
--4.34M
--467.70K
Receivables
23.73%1.51B
21.09%1.61B
11.76%1.23B
-8.49%1.27B
-11.55%1.22B
-7.05%1.33B
-6.29%1.10B
13.76%1.39B
17.31%1.38B
88.67%1.43B
51.14%1.18B
25.16%1.22B
22.32%1.18B
-27.63%756.11M
2.68%778.08M
43.30%974.93M
86.25%961.79M
--1.04B
205.94%757.81M
--680.35M
73.59%516.41M
--247.70M
----
--297.49M
----
----
-Accounts and notes receivable
13.97%1.23B
8.13%1.30B
5.67%1.13B
-5.75%1.20B
-7.16%1.08B
-0.86%1.20B
10.45%1.07B
4.56%1.28B
-0.86%1.17B
59.94%1.21B
24.81%971.12M
25.16%1.22B
22.32%1.18B
-27.63%756.11M
2.68%778.08M
43.30%974.93M
86.25%961.79M
--1.04B
205.94%757.81M
--680.35M
73.97%516.41M
--247.70M
----
--296.83M
----
----
-Other receivables
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--652.00K
----
----
Inventory
14.61%2.36B
35.15%2.53B
23.37%2.51B
14.98%2.50B
2.03%2.06B
1.41%1.87B
-4.34%2.03B
-9.87%2.18B
-20.01%2.02B
10.47%1.85B
58.48%2.12B
100.19%2.42B
72.14%2.53B
35.85%1.67B
5.13%1.34B
8.42%1.21B
182.26%1.47B
--1.23B
268.69%1.27B
--1.11B
47.94%520.21M
--345.55M
----
--351.63M
----
----
Prepaid expenses
39.39%191.26M
26.28%169.06M
13.18%87.68M
-22.33%100.30M
8.16%137.21M
18.40%133.88M
47.38%77.47M
8.33%129.14M
-15.38%126.86M
12.23%113.08M
-24.07%52.56M
-42.67%119.21M
-41.12%149.91M
-50.25%100.75M
-26.75%69.22M
15.27%207.95M
542.57%254.60M
--202.53M
77.69%94.50M
18343.52%180.41M
5.22%39.62M
--53.18M
--978.15K
--37.66M
--2.23M
----
Other current assets
21.36%147.10M
-42.34%94.71M
55.60%358.95M
137.33%421.88M
-25.70%121.20M
-14.88%164.26M
22.53%230.69M
-67.81%177.76M
-67.53%163.13M
244.08%192.97M
129.63%188.27M
967.31%552.15M
1247.38%502.48M
-54.02%56.08M
-37.13%81.99M
-54.31%51.73M
-44.19%37.29M
--121.98M
533.89%130.42M
--113.22M
217.28%66.82M
--20.57M
----
--21.06M
----
----
Total current assets
16.47%4.64B
22.72%4.81B
16.00%4.63B
8.00%4.72B
-9.79%3.99B
-5.70%3.92B
-8.37%3.99B
-8.59%4.37B
-10.37%4.42B
26.18%4.16B
25.43%4.36B
26.67%4.78B
52.13%4.93B
4.13%3.30B
19.46%3.47B
15.25%3.77B
85.49%3.24B
--3.16B
230.03%2.91B
149706.43%3.27B
117.19%1.75B
--880.71M
367.28%2.19M
--804.76M
--6.57M
--467.70K
Non-current assets
Net Fixed Assets
-37.69%2.02B
-36.63%2.05B
-35.34%2.12B
-24.92%2.42B
-0.62%3.24B
0.54%3.23B
0.15%3.27B
64.79%3.22B
62.88%3.26B
189.59%3.22B
200.58%3.27B
82.01%1.95B
92.46%2.00B
12.01%1.11B
33.19%1.09B
90.88%1.07B
162.44%1.04B
--991.33M
253.00%816.01M
--561.99M
194.89%396.25M
--231.16M
----
--134.37M
----
----
-Fixed Assets
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--233.44M
----
----
-Accumulated depreciation
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--99.07M
----
----
Goodwill and other intangible assets
-2.51%3.13B
-2.43%3.15B
-2.45%3.17B
-2.47%3.19B
-2.46%3.21B
-2.64%3.23B
-2.81%3.25B
-14.45%3.27B
-12.35%3.29B
354.08%3.32B
351.33%3.34B
441.81%3.82B
439.16%3.76B
8.96%730.14M
10.94%740.84M
7.64%705.86M
5.93%696.51M
--670.10M
1.27%667.80M
--655.76M
0.20%657.50M
--659.41M
----
--656.20M
----
----
Other non-current assets
-7.05%539.53M
9.79%539.48M
-7.24%539.59M
22.14%537.96M
56.84%580.46M
35.16%491.35M
59.00%581.69M
4.99%440.45M
-12.79%370.09M
11158.28%363.53M
8459.48%365.83M
1907.59%419.53M
1884.95%424.38M
-86.15%3.23M
-81.72%4.27M
135.86%20.90M
119.48%21.38M
--23.32M
26.69%23.38M
--8.86M
-72.42%9.74M
--18.45M
----
--35.32M
----
--2.70M
Total non-current assets
-18.42%5.74B
-15.95%5.84B
-18.00%5.83B
-11.33%6.14B
1.56%7.03B
0.82%6.95B
1.80%7.10B
11.81%6.93B
11.97%6.92B
273.69%6.90B
280.77%6.98B
239.45%6.20B
246.40%6.18B
7.69%1.85B
21.58%1.83B
48.85%1.83B
67.82%1.78B
--1.71B
65.80%1.51B
9.27%1.23B
28.77%1.06B
--909.02M
41453.64%1.12B
--825.89M
--1.09B
--2.70M
Total assets
-5.79%10.38B
-2.01%10.65B
-5.77%10.45B
-3.86%10.86B
-2.87%11.02B
-1.64%10.87B
-2.11%11.09B
2.93%11.30B
2.06%11.34B
115.03%11.05B
113.64%11.33B
96.06%10.98B
121.10%11.11B
5.38%5.14B
20.18%5.30B
24.41%5.60B
78.81%5.03B
--4.88B
146.62%4.41B
300.16%4.50B
72.41%2.81B
--1.79B
35389.95%1.12B
--1.63B
--1.10B
--3.17M
Liabilities
Current liabilities
-Dividends payable
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
----
-Other payables
--67.12M
6.74%174.29M
4.82%139.25M
-17.00%86.89M
-100.00%0.00
0.27%163.28M
-1.81%132.85M
1.39%104.67M
5.51%77.49M
141.55%162.84M
144.64%135.30M
427.60%103.23M
1023.48%73.44M
527.47%67.42M
652.04%55.30M
-96.27%19.57M
56.13%6.54M
--10.74M
46.90%7.35M
--524.90M
71.04%4.19M
--5.01M
----
--2.45M
----
----
Accrued expenses
-5.84%424.54M
-5.73%404.02M
6.39%452.03M
2.57%454.87M
-7.93%450.89M
3.75%428.59M
7.63%424.86M
-5.80%443.48M
23.03%489.74M
94.32%413.08M
177.65%394.73M
103.81%470.76M
31.01%398.05M
-47.82%212.58M
-27.09%142.17M
-41.08%230.97M
67.47%303.82M
--407.37M
118.68%194.99M
--391.99M
121.58%181.42M
--89.17M
----
--81.88M
--3.30M
--269.49K
Current provisions
7.78%765.14M
-3.59%735.89M
-6.94%748.92M
-9.97%778.99M
-9.99%709.90M
-3.56%763.26M
1.43%804.75M
6.45%865.21M
0.99%788.70M
--791.44M
588.77%793.41M
--812.80M
1211.50%780.95M
----
-23.72%115.19M
----
-41.40%59.55M
--166.03M
223.43%151.01M
--116.96M
96.69%101.61M
--46.69M
----
--51.66M
----
----
Short-term debt and lease liabilities
164.33%1.86B
192.55%1.91B
21.31%766.34M
5.52%725.89M
-15.69%702.75M
-23.62%654.01M
100.03%631.73M
-7.77%687.94M
4.98%833.54M
644.74%856.31M
822.74%315.82M
12070.35%745.92M
645.97%794.01M
3.71%114.98M
-69.87%34.23M
-92.92%6.13M
26.35%106.44M
--110.87M
-30.00%113.60M
--86.56M
-55.95%84.25M
--162.30M
----
--191.23M
----
--2.50M
-Short-term debt
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--2.50M
-Short-term lease liabilities
-13.27%98.23M
-17.42%94.81M
-10.36%110.25M
22.54%107.61M
42.82%113.27M
20.99%114.81M
44.03%123.00M
-14.97%87.81M
-30.48%79.31M
1095.99%94.89M
1299.52%85.40M
1585.01%103.27M
1804.42%114.08M
26.18%7.93M
-20.66%6.10M
-32.66%6.13M
-45.11%5.99M
--6.29M
-45.94%7.69M
--9.10M
19.43%10.91M
--14.23M
----
--9.14M
----
----
Other current liabilities
17.24%832.26M
-1.76%910.18M
-5.27%888.17M
-10.72%865.88M
-18.04%709.90M
-2.91%926.54M
0.96%937.60M
5.88%969.89M
1.38%866.19M
1315.53%954.28M
444.71%928.71M
4581.54%916.04M
1192.90%854.39M
-61.86%67.42M
7.66%170.50M
-96.95%19.57M
-37.54%66.08M
--176.78M
206.34%158.36M
--641.86M
95.53%105.80M
--51.70M
----
--54.11M
----
----
Total current liabilities
28.82%4.97B
39.59%5.24B
11.28%4.26B
8.55%4.42B
-6.03%3.86B
-0.61%3.75B
22.70%3.83B
6.75%4.07B
7.29%4.11B
59.45%3.78B
29.03%3.12B
50.60%3.81B
25.94%3.83B
-22.70%2.37B
-15.59%2.42B
-28.26%2.53B
77.40%3.04B
--3.06B
226.45%2.87B
31255.88%3.53B
113.12%1.71B
--878.36M
306.61%11.26M
--804.07M
--3.30M
--2.77M
Non-current liabilities
Long-term provisions
2.62%137.12M
0.97%131.85M
0.91%128.31M
-13.74%139.70M
-13.69%133.63M
-13.45%130.59M
-17.39%127.15M
-28.94%161.95M
-31.03%154.82M
6339.44%150.88M
7253.42%153.91M
11660.73%227.92M
13963.53%224.45M
38.31%2.34M
24.73%2.09M
39.73%1.94M
37.47%1.60M
--1.69M
2.94%1.68M
--1.39M
8.00%1.16M
--1.63M
----
--1.07M
----
----
Long-term debt and lease liabilities
-23.66%3.40B
-22.39%3.52B
-9.82%4.17B
-8.63%4.33B
-4.90%4.46B
-7.87%4.54B
-21.89%4.62B
-19.73%4.74B
-20.66%4.69B
232.20%4.93B
299.27%5.92B
292.17%5.91B
1142.40%5.91B
197.72%1.48B
182.89%1.48B
188.42%1.51B
35.74%475.34M
--498.15M
-1.07%523.97M
--522.54M
-34.56%350.19M
--529.64M
--0.00
--535.09M
--0.00
--0.00
-Long-term debt
-23.66%3.40B
-22.39%3.52B
-9.82%4.17B
-8.63%4.33B
-4.90%4.46B
-7.87%4.54B
-21.89%4.62B
-19.73%4.74B
-20.66%4.69B
232.20%4.93B
299.27%5.92B
292.17%5.91B
1142.40%5.91B
197.72%1.48B
182.89%1.48B
188.42%1.51B
35.74%475.34M
--498.15M
-1.07%523.97M
--522.54M
-34.56%350.19M
--529.64M
----
--535.09M
----
----
Employee benefits
2.62%137.12M
0.97%131.85M
0.91%128.31M
-13.74%139.70M
-13.69%133.63M
-13.45%130.59M
-17.39%127.15M
-28.94%161.95M
-31.03%154.82M
6339.44%150.88M
7253.42%153.91M
11660.73%227.92M
13963.53%224.45M
38.31%2.34M
24.73%2.09M
39.73%1.94M
37.47%1.60M
--1.69M
2.94%1.68M
--1.39M
8.00%1.16M
--1.63M
----
--1.07M
----
----
Derivatives liabilities
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
----
-100.00%0.00
-56.35%14.30M
--20.82M
50.29%25.18M
--30.11M
110.34%32.77M
--16.75M
----
--15.58M
----
----
Other non-current liabilities
2.62%137.12M
0.97%131.85M
0.91%128.31M
-13.74%139.70M
-13.69%133.63M
-13.45%130.59M
-17.39%127.15M
-28.94%161.95M
-31.03%154.82M
6339.44%150.88M
7253.42%153.91M
11660.73%227.92M
13963.53%224.45M
38.31%2.34M
24.73%2.09M
39.73%1.94M
37.47%1.60M
--1.69M
2.94%1.68M
--1.39M
8.00%1.16M
--1.63M
----
--1.07M
----
----
Total non-current liabilities
-24.44%4.23B
-22.20%4.36B
-13.32%5.03B
-11.64%5.26B
-5.98%5.60B
-7.96%5.61B
-18.47%5.80B
-4.73%5.95B
-4.43%5.96B
286.50%6.09B
350.99%7.11B
295.69%6.25B
1009.89%6.24B
165.52%1.58B
152.54%1.58B
148.25%1.58B
19.39%561.80M
--593.88M
-1.95%624.47M
--636.17M
-26.41%470.56M
--636.89M
----
--639.45M
----
----
Total liabilities
-2.72%9.21B
2.57%9.60B
-3.53%9.29B
-3.44%9.68B
-6.00%9.46B
-5.15%9.36B
-5.91%9.63B
-0.38%10.02B
0.03%10.07B
150.19%9.87B
156.04%10.24B
144.75%10.06B
179.42%10.06B
7.86%3.95B
14.48%4.00B
-1.31%4.11B
64.90%3.60B
--3.66B
130.45%3.49B
36907.29%4.17B
51.31%2.18B
--1.52B
306.61%11.26M
--1.44B
--3.30M
--2.77M
Shareholders' equity
Common equity
0.00%296.05M
0.00%296.05M
-2.92%296.05M
--296.05M
--296.05M
-4.23%296.05M
-1.20%304.94M
----
----
--309.13M
2.31%308.64M
----
----
----
-74.68%301.66M
----
----
--270.40M
2027.62%1.19B
-70.57%328.53M
--164.73M
--55.98M
238542.63%1.12B
----
--1.09B
--467.70K
Retained earnings
-28.24%921.97M
-35.61%794.28M
-24.29%892.40M
--919.66M
--1.28B
42.09%1.23B
51.13%1.18B
----
----
--868.13M
-21.23%779.94M
----
----
----
468.70%990.10M
----
----
--949.52M
-222.97%-268.54M
324.94%6.07M
--461.23M
--218.38M
-3921.50%-2.70M
----
--5.54M
---67.07K
Capital reserves
0.00%-25.26M
0.00%-25.26M
-54.33%-25.26M
---25.26M
---25.26M
-107.39%-25.26M
-29.19%-16.37M
----
----
---12.18M
-290.28%-12.67M
----
----
----
-99.27%6.66M
----
----
----
--909.43M
----
----
----
----
----
----
----
Gains losses not affecting retained earnings
-68.58%-40.92M
-106.57%-37.49M
-25.44%-24.08M
---31.51M
---24.27M
-623.00%-18.15M
-355.41%-19.19M
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----
--3.47M
1189.02%7.51M
----
----
----
181.20%583.00K
----
----
----
-693.39%-718.00K
--168.00K
--168.00K
--121.00K
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Non-controlling interests
-92.09%-2.99M
-51.72%-2.39M
-5.45%-1.72M
23.59%-1.48M
12.44%-1.56M
-215.99%-1.57M
-238.04%-1.63M
-358.96%-1.94M
-247.14%-1.78M
-10.90%1.36M
-91.93%1.18M
--748.00K
--1.21M
--1.52M
--14.65M
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Total equity
-24.49%1.17B
-30.43%1.05B
-20.52%1.16B
-7.15%1.18B
21.87%1.56B
27.73%1.51B
33.32%1.46B
39.29%1.27B
21.47%1.28B
-1.06%1.18B
-16.05%1.10B
-38.52%914.50M
-26.29%1.05B
-2.06%1.19B
41.77%1.31B
344.35%1.49B
127.23%1.43B
--1.22B
235.87%921.89M
-69.93%334.76M
235.13%627.13M
--274.48M
277819.62%1.11B
--187.13M
--1.10B
--400.63K
Currency unit
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Audit opinions
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KeyAI