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Fomento Economico Mexicano SAB de CV

FMX
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118.270USD
+1.660+1.42%
Close 08-14 16:00ETQuotes delayed by 15 min
13.84BMarket Cap
25.75P/E TTM

FMX Financials

See Fomento Economico Mexicano SAB de CV's financials through an all-in-one data dashboard designed for smart investors. This provides you with financial analysis by organizing complex financial statements into customizable views. Access the latest annual financial report or break down performance quarter-by-quarter using the income statement, balance sheet, and cash flow statement. With real-time financial indicators at your fingertips, monitoring a company's market health over time has never been easier.

Fomento Economico Mexicano SAB de CV Earnings Date

Latest Release
--
EPS / Forecast
--/--
Revenue / Forecast
--/--
Period
FY2025 Earnings
Revenue(YoY)
43.80B
2.56%
EPS(YoY)
2.92
-28.55%
Analyst Rating
BUY
2026/08/15
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
Financial Indicators
EPS
132.65%0.93
211.00%2.47
79.25%1.34
-57.09%0.37
-80.37%0.40
64.48%0.79
172.23%0.75
-45.42%0.87
109.51%2.04
-93.29%0.48
-50.76%0.27
--1.60
--0.97
--7.20
--0.56
----
----
----
----
----
Revenue
22.53%13.28B
23.23%11.82B
15.61%12.03B
10.90%11.53B
-6.02%10.84B
-8.74%9.59B
11.53%10.41B
-5.71%10.40B
15.08%11.54B
22.54%10.51B
26.08%9.33B
41.37%11.03B
19.72%10.02B
19.01%8.58B
1.23%7.40B
9.58%7.80B
22.32%8.37B
17.63%7.21B
15.20%7.31B
24.20%7.12B
Net Profit
128.83%318.30M
196.61%843.34M
73.79%465.25M
-58.39%129.69M
-80.97%139.10M
64.50%284.33M
172.28%267.70M
-45.42%311.71M
109.51%730.77M
-93.29%172.85M
-50.76%98.32M
7.42%571.13M
33.94%348.80M
1223.33%2.58B
-38.38%199.69M
-24.63%531.70M
69.20%260.41M
-13.40%194.59M
634.51%324.07M
383.04%705.46M
Net Margin
46.73%3.99%
157.57%8.49%
57.73%4.68%
-36.63%4.19%
-64.56%2.72%
0.65%3.30%
-38.66%2.97%
-10.86%6.60%
9.91%7.68%
-49.43%3.27%
-49.80%4.84%
--7.41%
--6.98%
--6.48%
--9.64%
----
----
----
----
----
Gross Margin
-1.38%40.09%
0.42%40.47%
-4.88%41.54%
-1.00%39.93%
-2.00%40.65%
4.23%40.30%
-3.04%43.67%
5.25%40.34%
6.19%41.48%
-2.25%38.66%
-8.68%45.04%
--38.32%
--39.06%
--39.55%
--49.32%
----
----
----
----
----
Debt to assets ratio
-1.32%31.52%
-2.56%32.17%
7.52%32.36%
-5.85%31.87%
-7.19%31.95%
-5.71%33.01%
4.14%30.10%
-7.26%29.87%
4.29%34.42%
-0.84%35.01%
-19.01%28.90%
--32.21%
--33.00%
--35.31%
--35.69%
----
----
----
----
----
Revenue
22.53%13.28B
23.23%11.82B
15.61%12.03B
10.90%11.53B
-6.02%10.84B
-8.74%9.59B
11.53%10.41B
-5.71%10.40B
15.08%11.54B
22.54%10.51B
26.08%9.33B
41.37%11.03B
19.72%10.02B
19.01%8.58B
1.23%7.40B
9.58%7.80B
22.32%8.37B
17.63%7.21B
15.20%7.31B
24.20%7.12B
Operating profit
17.93%1.06B
139.89%1.49B
13.15%1.23B
3.45%945.25M
-10.86%900.79M
-14.52%619.87M
49.26%1.09B
-3.26%913.72M
-27.64%1.01B
6.96%725.15M
-38.89%728.00M
35.79%944.48M
85.85%1.40B
15.74%677.96M
63.03%1.19B
-6.78%695.54M
3.69%751.44M
19.24%585.75M
-1.57%730.76M
86.48%746.10M
Net Profit
128.83%318.30M
196.61%843.34M
73.79%465.25M
-58.39%129.69M
-80.97%139.10M
64.50%284.33M
172.28%267.70M
-45.42%311.71M
109.51%730.77M
-93.29%172.85M
-50.76%98.32M
7.42%571.13M
33.94%348.80M
1223.33%2.58B
-38.38%199.69M
-24.63%531.70M
69.20%260.41M
-13.40%194.59M
634.51%324.07M
383.04%705.46M
Current assets
-9.78%15.56B
-7.85%15.03B
-4.36%15.72B
-6.20%16.19B
-9.98%17.25B
-22.42%16.30B
-21.73%16.44B
-20.65%17.26B
4.41%19.16B
13.29%21.02B
80.66%21.01B
89.83%21.75B
59.74%18.35B
60.10%18.55B
3.26%11.63B
5.46%11.46B
8.28%11.49B
15.51%11.59B
11.19%11.26B
5.57%10.87B
Total current liabilities
6.34%13.70B
30.73%13.00B
18.31%11.66B
13.42%12.07B
15.50%12.88B
-20.50%9.94B
-8.35%9.86B
-4.06%10.64B
9.14%11.15B
18.38%12.51B
18.41%10.76B
33.25%11.09B
25.23%10.22B
46.63%10.56B
36.13%9.09B
29.40%8.32B
28.09%8.16B
15.49%7.20B
11.99%6.67B
5.21%6.43B
Total assets
3.51%45.91B
6.86%44.70B
7.99%44.20B
2.18%44.13B
-0.92%44.35B
-13.29%41.84B
-13.88%40.93B
-8.16%43.19B
-1.92%44.76B
7.18%48.25B
15.88%47.53B
27.60%47.03B
24.96%45.64B
19.99%45.01B
13.95%41.02B
5.30%36.86B
4.92%36.52B
11.18%37.51B
4.45%36.00B
6.09%35.00B
Total liabilities
6.26%28.69B
24.69%28.29B
14.87%25.91B
9.28%26.25B
8.74%27.00B
-16.70%22.69B
-10.54%22.56B
-5.52%24.02B
1.35%24.83B
9.10%27.23B
6.51%25.21B
24.32%25.42B
19.23%24.50B
20.86%24.96B
20.44%23.67B
6.28%20.45B
5.56%20.55B
8.37%20.65B
3.42%19.66B
3.76%19.24B
Total equity
-0.77%17.21B
-14.26%16.42B
-0.45%18.29B
-6.71%17.89B
-12.95%17.35B
-8.87%19.15B
-17.66%18.38B
-11.27%19.17B
-5.72%19.93B
4.80%21.01B
28.66%22.32B
31.68%21.61B
32.34%21.14B
18.93%20.05B
6.14%17.35B
4.11%16.41B
4.12%15.97B
14.84%16.86B
5.72%16.34B
9.07%15.76B
Net operating income
76.93%2.32B
396.99%1.23B
24.91%1.13B
65.44%995.14M
15.95%1.31B
-66.47%248.27M
24.49%906.41M
-56.32%601.51M
15.87%1.13B
160.88%740.53M
-35.16%728.11M
70.46%1.38B
-15.15%977.23M
-33.15%283.85M
14.00%1.12B
-4.48%807.79M
8.84%1.15B
-23.29%424.63M
2.26%984.97M
47.68%845.71M
Net investment
-239.29%-1.23B
128.41%348.44M
74.79%-411.77M
-77.21%315.88M
196.95%879.73M
9.17%-1.23B
-1385.05%-1.63B
241.36%1.39B
-122.23%-907.38M
-163.21%-1.35B
106.02%127.10M
-82.58%-980.36M
767.64%4.08B
526.22%2.14B
-61.60%-2.11B
-45.55%-536.96M
163.03%470.44M
-242.25%-501.25M
-49.01%-1.31B
-39.40%-368.93M
Net financing
-36.87%-1.10B
-166.25%-1.73B
-224.24%-1.45B
-92.27%-1.49B
52.61%-803.62M
27.74%-650.92M
21.89%-447.15M
-148.96%-775.01M
-30.20%-1.70B
23.20%-900.84M
-476.93%-572.46M
47.60%-311.30M
-83.68%-1.30B
-490.64%-1.17B
129.78%151.87M
-176.51%-594.10M
-50.32%-708.98M
-25.82%-198.60M
43.97%-509.98M
57.00%-214.86M

FAQs

What is the total revenue of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its total revenue reached 43.80B, with a year-on-year change of 42.71B.

What are the current assets of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its current assets were 15.72B, with a year-on-year change of -4.36.

What are the total assets of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its total assets of Fomento Economico Mexicano SAB de CV were 44.20B, with a year-on-year change of 8.08.

What are the total liabilities of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its total liabilities of Fomento Economico Mexicano SAB de CV were 25.91B, with a year-on-year change of 14.68.

What is the total equity of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its total equity of Fomento Economico Mexicano SAB de CV was 18.29B, with a year-on-year change of -0.07.

What is the net operating income of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its net operating income of Fomento Economico Mexicano SAB de CV was 3.72B, with a year-on-year change of -1.17.

What is the net investment of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its net investment of Fomento Economico Mexicano SAB de CV was -497.48M, with a year-on-year change of 79.76.

What is the net financing of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its net financing of Fomento Economico Mexicano SAB de CV was -3.90B, with a year-on-year change of -5.22.

What is the Earnings Per Share (EPS) of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its Earnings Per Share (EPS) was 2.92, with a year-on-year change of -28.55.

What is the net income of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its net income was 1.01B, with a year-on-year change of -30.72.

What is the net margin of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its net profit margin was 3.74, with a year-on-year change of -27.08.

What is the gross margin of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its gross margin was 40.62, with a year-on-year change of -1.26.

What is the debt-to-asset ratio of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its debt-to-asset ratio was 32.36, with a year-on-year change of 7.52.

What is the Return on Equity (ROE) of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its Return on Equity (ROE) was 6.67, with a year-on-year change of -26.17.

What is the Return on Assets (ROA) of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its Return on Assets (ROA) was 3.85, with a year-on-year change of -22.29.

What is the operating profit of Fomento Economico Mexicano SAB de CV?

According to Fomento Economico Mexicano SAB de CV's FY2025 earnings report, its operating profit was 3.72B, with a year-on-year change of -1.17.
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