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Betterware de Mexico SAPI de CV

BWMX
13.050USD
+0.230+1.79%
Close 09/29, 16:00ETQuotes delayed by 15 min
486.98MMarket Cap
0.82P/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
-7.91%21.13M
-28.93%17.57M
-54.91%14.50M
-41.51%15.99M
-47.52%22.94M
-23.32%24.73M
-27.63%32.15M
14.90%27.33M
53.87%43.72M
-7.40%32.25M
-22.34%44.43M
-61.96%23.79M
8.78%28.41M
23.53%34.82M
75.72%57.21M
11.89%62.53M
11.68%26.12M
--28.19M
186.95%32.56M
88666.55%55.89M
369.20%23.38M
--11.35M
177.53%62.96K
--4.98M
--226.78K
--22.69K
- Cash and cash equivalents
-7.91%21.13M
-28.93%17.57M
-54.91%14.50M
-41.51%15.99M
-47.52%22.94M
-23.32%24.73M
-27.63%32.15M
14.90%27.33M
53.87%43.72M
-7.40%32.25M
-22.34%44.43M
-61.96%23.79M
8.78%28.41M
23.53%34.82M
75.72%57.21M
11.89%62.53M
11.68%26.12M
--28.19M
186.95%32.56M
88666.55%55.89M
369.20%23.38M
--11.35M
177.53%62.96K
--4.98M
--226.78K
--22.69K
Receivables
23.09%81.45M
6.34%82.00M
-6.59%60.20M
-16.08%64.18M
-20.06%66.17M
-2.81%77.11M
0.63%64.45M
24.26%76.48M
42.58%82.77M
114.44%79.34M
69.11%64.05M
28.57%61.55M
20.20%58.05M
-28.97%37.00M
-0.24%37.88M
45.44%47.87M
108.29%48.30M
--52.09M
188.70%37.97M
--32.91M
51.58%23.19M
--13.15M
----
--15.30M
----
----
-Accounts and notes receivable
13.38%66.55M
-5.04%66.21M
-11.68%55.40M
-13.57%60.76M
-16.09%58.69M
3.66%69.72M
18.60%62.73M
14.22%70.30M
20.49%69.95M
81.78%67.26M
39.65%52.89M
28.57%61.55M
20.20%58.05M
-28.97%37.00M
-0.24%37.88M
45.44%47.87M
108.29%48.30M
--52.09M
188.70%37.97M
--32.91M
51.91%23.19M
--13.15M
----
--15.26M
----
----
-Other receivables
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--33.53K
----
----
Inventory
14.02%127.50M
18.69%129.17M
3.11%122.46M
5.44%126.53M
-7.79%111.82M
6.04%108.83M
2.72%118.76M
-1.55%120.00M
-2.78%121.26M
25.56%102.63M
77.33%115.61M
105.65%121.89M
69.16%124.73M
33.34%81.74M
2.15%65.20M
10.05%59.27M
215.67%73.73M
--61.30M
247.92%63.83M
--53.86M
29.18%23.36M
--18.35M
----
--18.08M
----
----
Prepaid expenses
38.67%10.31M
10.90%8.63M
-5.40%4.29M
-28.77%5.07M
-2.24%7.44M
23.80%7.79M
58.26%4.53M
18.33%7.12M
2.85%7.61M
27.56%6.29M
-15.04%2.86M
-41.11%6.01M
-42.14%7.40M
-51.17%4.93M
-28.83%3.37M
17.00%10.21M
618.64%12.79M
--10.10M
67.67%4.73M
17010.26%8.73M
-8.12%1.78M
--2.82M
--51.01K
--1.94M
--116.34K
----
Other current assets
20.74%7.93M
-49.37%4.84M
30.05%17.55M
117.64%21.32M
-32.85%6.57M
-10.99%9.55M
31.58%13.49M
-64.83%9.79M
-60.54%9.78M
291.08%10.73M
156.93%10.25M
996.38%27.85M
1224.04%24.80M
-54.87%2.74M
-38.92%3.99M
-53.63%2.54M
-37.58%1.87M
--6.08M
498.17%6.53M
--5.48M
177.04%3.00M
--1.09M
----
--1.08M
----
----
Total current assets
15.87%250.48M
7.77%245.72M
-3.05%226.27M
-0.96%238.41M
-18.47%216.16M
-1.40%228.01M
-1.61%233.39M
-0.15%240.72M
8.94%265.14M
43.42%231.24M
40.35%237.21M
30.12%241.09M
49.49%243.38M
2.20%161.24M
16.07%169.01M
16.97%185.28M
107.45%162.81M
--157.76M
211.43%145.62M
138877.17%158.39M
89.65%78.48M
--46.76M
402.38%113.97K
--41.38M
--343.12K
--22.69K
Non-current assets
Net Fixed Assets
-38.01%108.85M
-44.35%104.64M
-45.96%103.41M
-31.15%122.04M
-10.18%175.61M
5.13%188.02M
7.54%191.36M
79.99%177.27M
97.97%195.52M
229.14%178.85M
236.32%177.94M
86.97%98.49M
89.13%98.76M
9.94%54.34M
29.41%52.91M
93.74%52.68M
193.50%52.22M
--49.42M
233.11%40.88M
--27.19M
157.49%17.79M
--12.27M
----
--6.91M
----
----
-Fixed Assets
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--12.00M
----
----
-Accumulated depreciation
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--5.09M
----
----
Goodwill and other intangible assets
-3.01%168.80M
-14.31%160.85M
-18.47%154.96M
-10.57%161.21M
-11.84%174.04M
1.80%187.71M
4.36%190.06M
-6.56%180.25M
6.53%197.41M
416.11%184.39M
404.99%182.11M
456.56%192.91M
429.83%185.31M
6.94%35.73M
7.79%36.06M
9.25%34.66M
18.47%34.98M
--33.41M
-4.43%33.46M
--31.73M
-12.51%29.52M
--35.01M
----
--33.74M
----
----
Other non-current assets
-7.53%29.10M
-3.58%27.55M
-22.47%26.38M
12.00%27.18M
41.75%31.47M
41.33%28.58M
70.74%34.02M
14.68%24.27M
5.99%22.20M
12696.12%20.22M
9477.20%19.93M
1962.27%21.16M
1850.57%20.94M
-86.41%158.01K
-82.24%208.05K
139.39%1.03M
145.47%1.07M
--1.16M
19.56%1.17M
--428.64K
-75.92%437.38K
--979.70K
----
--1.82M
----
--131.03K
Total non-current assets
-18.84%309.32M
-26.19%298.43M
-31.46%284.75M
-18.69%310.43M
-8.21%381.11M
5.42%404.31M
9.31%415.44M
22.13%381.79M
36.10%415.20M
324.74%383.53M
326.05%380.04M
248.69%312.62M
240.40%305.08M
5.70%90.30M
18.13%89.20M
51.08%89.65M
87.69%89.62M
--85.43M
56.46%75.51M
1.38%59.34M
12.44%47.75M
--48.26M
44574.53%58.54M
--42.47M
--57.04M
--131.03K
Total assets
-6.28%559.80M
-13.94%544.14M
-21.24%511.01M
-11.83%548.84M
-12.21%597.28M
2.86%632.32M
5.12%648.83M
12.43%622.51M
24.05%680.34M
144.41%614.77M
139.04%617.25M
101.40%553.71M
117.27%548.46M
3.43%251.53M
16.77%258.22M
26.27%274.93M
99.97%252.43M
--243.19M
132.72%221.13M
271.24%217.74M
50.54%126.23M
--95.02M
38055.42%58.65M
--83.85M
--57.38M
--153.72K
Liabilities
Current liabilities
-Dividends payable
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
----
-Other payables
--3.62M
-6.26%8.90M
-12.39%6.81M
-23.88%4.39M
-100.00%0.00
4.84%9.50M
5.44%7.77M
10.75%5.77M
28.24%4.65M
174.55%9.06M
173.73%7.37M
441.97%5.21M
1004.02%3.62M
515.86%3.30M
630.70%2.69M
-96.22%960.82K
74.61%328.26K
--535.65K
38.63%368.44K
--25.39M
49.35%188.00K
--265.78K
----
--125.88K
----
----
Accrued expenses
-6.33%22.89M
-17.22%20.63M
-11.08%22.10M
-5.94%22.98M
-16.79%24.44M
8.49%24.93M
15.58%24.85M
2.90%24.43M
49.54%29.37M
120.86%22.97M
210.66%21.50M
109.36%23.75M
28.74%19.64M
-48.78%10.40M
-29.16%6.92M
-40.19%11.34M
87.29%15.26M
--20.31M
106.36%9.77M
--18.96M
93.48%8.15M
--4.73M
----
--4.21M
--172.51K
--13.07K
Current provisions
7.23%41.26M
-15.33%37.58M
-22.22%36.61M
-17.44%39.36M
-18.65%38.48M
0.84%44.39M
8.92%47.07M
16.27%47.67M
22.75%47.30M
--44.02M
670.67%43.21M
--41.00M
1188.78%38.54M
----
-25.88%5.61M
----
-34.46%2.99M
--8.28M
205.21%7.57M
--5.66M
71.74%4.56M
--2.48M
----
--2.66M
----
----
Short-term debt and lease liabilities
162.97%100.18M
156.91%97.72M
1.39%37.46M
-3.24%36.68M
-23.80%38.09M
-20.14%38.03M
114.79%36.95M
0.74%37.90M
27.60%49.99M
746.47%47.63M
932.46%17.20M
12401.85%37.63M
633.05%39.18M
1.79%5.63M
-70.73%1.67M
-92.81%300.96K
41.30%5.34M
--5.53M
-33.95%5.69M
--4.19M
-61.53%3.78M
--8.62M
----
--9.83M
----
--121.21K
-Short-term debt
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--121.21K
-Short-term lease liabilities
-13.72%5.30M
-27.48%4.84M
-25.08%5.39M
12.37%5.44M
29.08%6.14M
26.52%6.68M
54.66%7.19M
-7.12%4.84M
-15.50%4.76M
1259.36%5.28M
1465.93%4.65M
1630.90%5.21M
1771.44%5.63M
23.84%388.24K
-22.91%297.04K
-31.65%300.96K
-38.61%300.79K
--313.49K
-48.98%385.32K
--440.30K
4.28%489.96K
--755.28K
----
--469.85K
----
----
Other current liabilities
16.63%44.88M
-13.73%46.49M
-20.83%43.42M
-18.13%43.75M
-25.93%38.48M
1.53%53.88M
8.41%54.84M
15.65%53.44M
23.22%51.95M
1508.89%53.07M
509.47%50.58M
4709.06%46.21M
1170.51%42.16M
-62.57%3.30M
4.61%8.30M
-96.91%960.82K
-30.14%3.32M
--8.81M
189.08%7.93M
--31.05M
70.73%4.75M
--2.74M
----
--2.78M
----
----
Total current liabilities
28.16%268.17M
22.59%267.61M
-6.99%208.46M
-0.46%223.28M
-15.07%209.25M
3.93%218.30M
31.75%224.13M
16.61%224.30M
30.41%246.39M
81.23%210.05M
44.37%170.11M
54.71%192.36M
23.76%188.93M
-24.13%115.90M
-17.98%117.83M
-27.19%124.34M
98.40%152.66M
--152.76M
208.06%143.66M
28989.22%170.76M
86.09%76.94M
--46.63M
337.15%587.03K
--41.35M
--172.51K
--134.28K
Non-current liabilities
Long-term provisions
2.09%7.39M
-11.33%6.73M
-15.66%6.27M
-20.90%7.06M
-21.99%7.24M
-9.50%7.59M
-11.29%7.44M
-22.39%8.92M
-16.17%9.29M
7219.04%8.39M
8127.74%8.38M
11981.08%11.50M
13719.95%11.08M
35.75%114.65K
21.19%101.88K
41.82%95.16K
53.74%80.14K
--84.46K
-2.86%84.07K
--67.10K
-5.70%52.13K
--86.54K
----
--55.28K
----
----
Long-term debt and lease liabilities
-24.05%183.44M
-31.84%179.92M
-24.63%203.79M
-16.21%219.01M
-14.05%241.53M
-3.66%263.98M
-16.13%270.36M
-12.33%261.38M
-3.57%281.02M
277.58%274.02M
346.75%322.35M
302.86%298.13M
1120.88%291.42M
192.21%72.57M
174.86%72.15M
192.74%74.00M
51.81%23.87M
--24.84M
-6.65%26.25M
--25.28M
-42.86%15.72M
--28.12M
--0.00
--27.52M
--0.00
--0.00
-Long-term debt
-24.05%183.44M
-31.84%179.92M
-24.63%203.79M
-16.21%219.01M
-14.05%241.53M
-3.66%263.98M
-16.13%270.36M
-12.33%261.38M
-3.57%281.02M
277.58%274.02M
346.75%322.35M
302.86%298.13M
1120.88%291.42M
192.21%72.57M
174.86%72.15M
192.74%74.00M
51.81%23.87M
--24.84M
-6.65%26.25M
--25.28M
-42.86%15.72M
--28.12M
----
--27.52M
----
----
Employee benefits
2.09%7.39M
-11.33%6.73M
-15.66%6.27M
-20.90%7.06M
-21.99%7.24M
-9.50%7.59M
-11.29%7.44M
-22.39%8.92M
-16.17%9.29M
7219.04%8.39M
8127.74%8.38M
11981.08%11.50M
13719.95%11.08M
35.75%114.65K
21.19%101.88K
41.82%95.16K
53.74%80.14K
--84.46K
-2.86%84.07K
--67.10K
-5.70%52.13K
--86.54K
----
--55.28K
----
----
Derivatives liabilities
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
----
-100.00%0.00
-51.19%718.34K
--1.04M
41.82%1.26M
--1.46M
83.66%1.47M
--889.50K
----
--801.26K
----
----
Other non-current liabilities
2.09%7.39M
-11.33%6.73M
-15.66%6.27M
-20.90%7.06M
-21.99%7.24M
-9.50%7.59M
-11.29%7.44M
-22.39%8.92M
-16.17%9.29M
7219.04%8.39M
8127.74%8.38M
11981.08%11.50M
13719.95%11.08M
35.75%114.65K
21.19%101.88K
41.82%95.16K
53.74%80.14K
--84.46K
-2.86%84.07K
--67.10K
-5.70%52.13K
--86.54K
----
--55.28K
----
----
Total non-current liabilities
-24.83%228.31M
-31.67%222.89M
-27.55%245.72M
-18.97%265.81M
-15.02%303.74M
-3.76%326.21M
-12.45%339.15M
4.06%328.03M
16.16%357.43M
339.29%338.97M
404.61%387.38M
306.47%315.22M
990.66%307.69M
160.61%77.16M
145.37%76.77M
151.97%77.55M
33.52%28.21M
--29.61M
-7.47%31.29M
--30.78M
-35.74%21.13M
--33.81M
----
--32.88M
----
----
Total liabilities
-3.22%496.48M
-9.92%490.50M
-19.37%454.18M
-11.45%489.08M
-15.04%512.98M
-0.82%544.51M
1.04%563.27M
8.82%552.33M
21.58%603.81M
184.37%549.02M
186.49%557.49M
151.42%507.58M
174.58%496.62M
5.87%193.07M
11.23%194.59M
0.17%201.89M
84.42%180.87M
--182.37M
117.46%174.94M
34232.10%201.54M
32.12%98.07M
--80.45M
337.15%587.03K
--74.23M
--172.51K
--134.28K
Shareholders' equity
Common equity
-0.52%15.97M
-12.18%15.12M
-18.86%14.47M
--14.96M
--16.05M
0.14%17.22M
6.09%17.83M
----
----
--17.19M
14.48%16.81M
----
----
----
-75.39%14.68M
----
----
--13.48M
1907.74%59.68M
-72.69%15.89M
--7.40M
--2.97M
256465.91%58.21M
----
--56.92M
--22.69K
Retained earnings
-28.61%49.72M
-43.45%40.57M
-36.72%43.62M
--46.47M
--69.65M
48.58%71.74M
62.28%68.94M
----
----
--48.28M
-11.86%42.48M
----
----
----
458.24%48.20M
----
----
--47.34M
-216.04%-13.45M
308.68%293.52K
--20.71M
--11.59M
-4223.53%-140.65K
----
--289.35K
---3.25K
Capital reserves
0.52%-1.36M
12.18%-1.29M
-28.99%-1.23M
---1.28M
---1.37M
-116.86%-1.47M
-38.73%-957.42K
----
----
---677.53K
-312.91%-690.14K
----
----
----
-99.29%324.15K
----
----
----
--45.56M
----
----
----
----
----
----
----
Gains losses not affecting retained earnings
-67.71%-2.21M
-81.41%-1.91M
-4.84%-1.18M
---1.59M
---1.32M
-646.87%-1.06M
-374.26%-1.12M
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--192.99K
1342.29%409.31K
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178.89%28.38K
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----
-659.95%-35.97K
--8.13K
--7.54K
--6.42K
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Non-controlling interests
-91.10%-161.09K
-33.24%-121.96K
11.86%-84.18K
29.93%-74.78K
20.87%-84.29K
-221.29%-91.54K
-248.23%-95.51K
-382.86%-106.72K
-278.84%-106.52K
1.27%75.47K
-90.97%64.43K
--37.73K
--59.56K
--74.53K
--713.38K
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Total equity
-24.88%63.32M
-38.90%53.65M
-33.57%56.83M
-14.85%59.76M
10.14%84.29M
33.56%87.81M
43.15%85.56M
52.14%70.18M
47.64%76.53M
12.45%65.74M
-6.06%59.76M
-36.85%46.13M
-27.56%51.84M
-3.87%58.47M
37.75%63.62M
351.01%73.04M
154.13%71.56M
--60.82M
216.94%46.19M
-72.11%16.20M
192.63%28.16M
--14.57M
298692.80%58.06M
--9.62M
--57.21M
--19.43K
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Audit opinions
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KeyAI