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MEXICAN ECONOMIC DEVELOPMENT INC

Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total revenue 46.65 37.49 702.69 597.01 505.46 492.97 506.71 469.74 439.93 399.51 311.59 263.45 258.10 238.31 203.04 169.70 197.03 168.02 147.56 126.43
Cost of revenue 27.70 22.07 423.19 355.49 299.28 303.31 315.23 294.57 277.84 251.30 188.41 153.28 148.44 137.01 118.01 98.73 106.20 90.40 79.80 67.94
Gross profit 18.95 15.42 279.51 241.52 206.18 189.65 191.48 175.17 162.09 148.20 123.18 110.17 109.65 101.30 85.04 70.97 90.84 77.62 67.76 58.49
Total operating expenses + 14.94 12.07 221.63 177.78 152.47 146.85 142.18 132.26 121.42 110.48 88.20 79.60 79.70 72.07 58.13 48.44 63.83 54.94 48.19 41.10
Operating income 4.00 3.35 57.88 63.74 53.72 42.80 49.30 42.91 40.67 37.73 34.98 30.57 29.95 28.37 26.90 22.53 21.13 22.68 19.57 17.39
Non-operating income (net) -1.15 -0.21 -0.47 -17.15 -10.74 -24.23 -10.77 -3.03 3.02 -2.66 -3.77 -1.69 -0.04 7.63 4.47 1.10 -4.37 -9.20 -2.68 -2.92
Income before tax 2.85 3.14 57.41 46.60 42.98 18.58 38.52 39.88 43.69 35.06 31.21 28.88 29.91 36.00 31.37 23.63 16.76 13.49 16.89 14.47
Income tax expense 1.10 1.22 12.97 13.28 13.57 14.82 10.48 10.17 10.21 7.89 7.93 6.25 7.76 7.95 8.38 5.55 3.78 4.21 4.95 4.61
Net income 1.08 1.28 65.69 23.91 28.50 -1.93 20.70 23.99 42.41 21.14 17.68 16.70 15.92 20.71 15.33 40.25 9.91 6.71 8.51 7.13
Show Quarterly Income Statement
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total revenue 11.62 12.21 11.66 11.34 9.48 10.01 196.77 198.74 176.76 182.88 181.68 178.70 159.42 145.57 157.69 145.98 147.77 151.99 142.44 137.34 124.50 129.81 126.50 114.45 122.20 132.52 130.47 127.56 116.16 126.71 118.37 114.92 109.75 113.40 109.75 107.56 109.22 117.54 100.32 96.17 85.47 91.59 78.76 75.91 65.32 54.67 72.39 70.89 65.51 73.48 63.98 62.05 57.24 63.44 59.68 59.59 53.75 58.52 50.81 48.39 42.89 46.05 42.78 41.90 38.97 54.12 41.04 38.75 43.45 48.83 41.72 40.49 36.18 41.47 37.66 36.01 31.58 33.90 34.27 31.87 29.04
Cost of revenue 6.92 7.14 7.01 6.73 5.66 5.64 117.40 116.31 108.42 105.54 110.88 109.40 97.37 73.78 98.68 89.80 93.24 91.88 89.35 83.36 77.96 78.01 77.97 70.94 76.40 80.42 81.59 79.96 73.26 76.97 75.07 72.45 70.08 68.70 70.14 68.68 70.32 72.92 63.69 60.24 54.45 54.83 47.90 46.11 39.57 32.04 41.74 41.15 38.35 41.64 36.94 36.39 33.47 35.41 34.26 34.59 31.81 33.25 29.58 28.30 25.54 26.42 24.77 24.36 25.68 28.83 27.19 25.68 24.14 26.16 22.45 21.45 19.90 22.09 19.79 19.25 17.62 17.90 17.52 16.91 14.93
Gross profit 4.70 5.07 4.66 4.61 3.82 4.37 79.37 82.44 68.34 77.34 70.80 69.30 62.05 71.79 59.02 56.18 54.53 60.10 53.09 53.97 46.54 51.80 48.54 43.52 45.80 52.10 48.88 47.60 42.90 49.74 43.31 42.47 39.66 44.70 39.61 38.88 38.90 44.62 36.63 35.93 31.02 36.76 30.86 29.80 25.75 22.63 30.65 29.73 27.16 31.84 27.04 27.00 23.77 28.03 25.42 24.99 21.94 25.27 21.22 20.09 17.36 19.63 18.01 17.54 20.45 25.29 23.45 22.50 19.30 22.67 19.28 19.03 16.28 19.39 16.94 16.75 13.96 16.00 14.63 14.96 12.60
Total operating expenses + 3.90 3.81 3.67 3.67 3.21 6.63 62.08 65.03 55.91 128.82 55.45 44.48 50.76 111.94 44.96 42.11 42.51 99.52 38.17 39.46 36.56 70.74 39.71 43.19 36.01 85.06 36.64 35.65 34.13 77.25 33.62 32.79 31.51 99.16 2.20 32.52 28.21 67.59 28.34 27.68 24.60 59.01 22.49 21.82 19.87 45.20 22.07 21.88 21.02 51.62 19.77 -9.49 17.80 18.29 18.03 18.21 16.80 16.16 14.76 13.82 12.59 12.46 12.45 12.21 15.18 17.11 16.24 15.71 14.52 15.56 13.60 13.19 12.30 13.30 11.86 11.65 10.84 11.30 10.18 10.11 9.33
Operating income 0.80 1.26 0.98 0.94 0.61 -2.26 17.29 17.41 12.43 -51.47 15.35 24.83 11.29 -40.15 14.06 14.07 12.02 -39.42 14.93 14.51 9.98 -18.94 8.83 0.32 9.79 -32.97 12.25 11.96 8.76 -27.51 9.69 9.68 8.15 -54.46 37.41 47.03 10.69 -22.97 8.29 8.26 6.42 -22.24 8.38 7.98 5.88 -22.57 8.59 7.85 6.14 -19.77 7.27 7.30 35.16 10.35 7.38 6.69 5.21 9.10 6.46 6.28 4.77 7.17 5.57 5.33 4.47 8.19 7.22 6.79 4.78 7.11 5.68 5.92 3.98 6.08 5.08 5.11 3.33 4.70 4.45 4.85 3.27
Non-operating income (net) 0.39 -0.30 -0.29 -0.40 -0.06 3.02 1.64 4.40 -3.38 57.80 4.32 -6.61 1.90 56.33 -1.21 -2.97 -5.56 53.63 5.32 -5.94 -1.06 22.85 -2.94 -5.37 4.04 42.04 0.76 -1.30 -2.97 42.88 -1.71 4.94 -6.22 44.25 2.42 -41.27 -2.38 34.85 1.11 -0.31 -0.59 32.20 -0.51 -0.37 -0.11 31.36 -0.59 -1.14 -0.74 28.80 1.02 -0.18 -29.68 -0.63 1.40 0.21 -0.02 0.63 -0.15 -0.83 -0.65 0.42 1.64 -0.31 -0.66 -2.38 -2.80 -2.60 -2.43 -5.32 -1.85 -1.05 -0.99 -0.56 -0.39 -0.89 -0.79 -0.79 -0.13 -1.53 -0.73
Income before tax 1.19 0.96 0.69 0.54 0.54 0.76 18.93 21.81 9.05 6.33 19.67 18.22 13.19 16.19 12.85 11.10 6.46 14.21 20.25 8.57 8.92 3.91 5.89 -5.05 13.83 9.07 13.00 10.66 5.79 15.37 7.97 14.61 1.93 -10.20 39.83 5.76 8.31 11.88 9.40 7.95 5.84 9.95 7.87 7.61 5.78 8.79 7.99 6.71 5.40 9.02 8.29 7.11 5.49 9.73 8.78 6.89 5.20 9.73 6.31 5.44 4.12 7.59 7.21 5.03 3.81 5.80 4.42 4.19 2.35 1.79 3.83 4.87 2.99 5.53 4.69 4.22 2.54 3.91 4.33 3.32 2.54
Income tax expense 0.20 0.39 0.21 0.23 0.23 0.46 5.94 6.56 3.38 -3.03 6.40 5.52 4.08 2.15 4.48 4.61 2.03 4.10 4.21 3.31 2.66 3.17 1.20 5.73 4.72 2.98 3.39 2.17 1.94 3.67 1.78 4.21 0.51 1.31 6.13 1.35 1.43 3.06 1.47 1.87 1.49 2.45 1.81 2.26 1.42 1.19 1.27 2.25 1.54 2.09 2.18 1.94 1.48 2.84 2.13 1.46 1.45 2.51 2.02 1.89 1.17 1.15 2.15 1.23 1.16 -0.32 1.38 1.26 0.88 0.66 1.27 1.33 0.95 1.74 1.31 1.14 0.79 1.41 1.29 1.00 0.80
Net income 0.83 0.47 0.13 0.15 0.28 0.26 5.90 12.59 2.87 1.72 9.74 6.15 48.07 3.93 10.75 5.23 4.00 6.73 14.11 3.09 4.57 -1.24 3.22 -11.70 7.78 4.80 7.27 6.38 2.24 10.76 4.69 8.54 0.00 3.04 32.45 3.33 3.59 6.66 6.69 4.80 2.99 5.64 4.97 3.93 3.14 6.31 4.81 3.01 2.57 5.17 4.48 3.57 2.61 9.74 4.73 3.90 2.32 5.48 4.64 2.84 2.18 5.06 3.94 29.37 1.99 4.09 2.52 2.50 0.78 0.85 2.02 2.50 1.29 2.78 2.40 2.24 1.14 1.72 2.12 1.88 1.19
about 2 months ago
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 7.10 183.05 191.84 39.65 56.56 45.33 77.93 92.97 99.10 43.76 29.42 35.64 27.39 38.12 27.66 27.16 17.64 9.15 11.14 7.96
Accounts receivable, net 4.38 43.19 38.86 37.09 28.61 23.85 29.63 45.01 43.62 35.46 27.75 22.87 22.72 18.04 14.81 11.95 15.12 13.71 11.03 8.18
Inventories 3.85 67.46 58.22 62.22 50.90 44.03 41.02 35.69 34.84 31.93 24.68 17.21 18.29 16.35 14.39 11.45 14.86 12.77 9.80 8.13
Other current assets 0.37 48.61 67.29 11.69 2.73 2.92 24.00 3.94 3.63 6.80 4.88 3.39 5.18 2.95 2.11 0.91 1.77 3.43 1.51 1.17
Total current assets 15.70 342.31 356.22 226.45 230.72 201.27 172.58 177.61 181.19 117.95 86.72 79.11 73.57 75.46 58.97 51.46 49.38 39.02 33.49 25.41
Total non-current assets + 28.44 509.90 449.62 572.16 506.78 483.61 464.96 398.77 407.35 427.67 322.61 297.06 285.62 220.49 215.74 172.12 161.71 146.02 132.31 119.98
Total assets 44.15 852.21 805.84 798.82 737.50 684.85 637.54 576.38 588.54 545.62 409.33 376.17 359.19 295.94 274.70 223.58 211.09 185.04 165.80 145.39
Total current liabilities + 11.65 205.26 186.29 176.92 136.72 118.41 136.53 101.46 105.02 86.29 65.35 49.32 48.87 48.52 38.63 30.52 45.77 44.09 33.40 25.34
Total non-current liabilities + 14.23 264.36 240.42 286.10 265.96 259.14 175.26 139.38 146.61 173.16 102.13 96.73 87.77 37.27 44.96 40.05 49.50 44.05 42.74 45.83
Total liabilities 25.88 469.62 426.71 536.21 474.90 447.11 311.79 240.84 251.63 259.45 167.48 146.05 136.64 85.78 83.59 70.57 95.26 88.15 76.14 71.16
Total stockholders' equity + 13.59 382.58 379.13 262.60 262.60 237.74 325.75 335.54 336.91 286.17 241.86 230.12 222.55 210.16 191.11 153.01 115.83 96.90 89.65 74.23
Common shares outstanding 335 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 2,015 1,789 1,789 1,789 1,789 1,789 1,789 1,789
Show Quarterly Balance Sheet
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 6.41 7.10 8.09 8.71 8.23 183.05 180.14 169.42 205.30 191.84 234.01 164.82 83.44 51.02 54.77 105.92 116.96 121.82 125.05 117.89 113.54 108.29 135.17 140.94 147.75 77.93 112.51 91.81 93.27 92.97 76.55 78.50 94.16 99.10 103.46 53.36 43.72 43.76 57.91 49.96 52.84 29.42 43.42 36.71 34.67 35.64 41.87 36.91 33.12 27.39 50.45 46.69 30.45 38.12 30.03 27.49 28.58 27.66 35.39 31.18 27.58 27.16 25.84 22.83 23.74 17.64 16.80 17.70 12.51 9.15 5.75 9.44 12.17 11.14 10.88 8.82 9.95 7.96 10.82 8.68 7.92
Accounts receivable, net 2.45 4.38 2.42 2.26 2.03 43.19 41.49 39.74 38.68 38.86 45.30 47.38 32.46 37.09 29.75 37.49 34.09 52.15 30.16 26.89 25.91 45.39 25.95 25.85 26.76 48.71 25.17 26.22 24.18 45.01 25.49 27.10 25.99 43.62 24.67 22.14 22.58 35.46 20.71 20.23 18.59 27.75 18.49 11.45 10.80 22.87 13.01 12.27 11.32 22.72 10.07 8.84 9.15 18.04 9.69 8.93 8.60 14.81 7.87 6.69 6.72 11.95 6.20 5.59 9.92 15.12 9.56 8.91 9.12 13.71 9.04 8.87 8.33 11.03 7.08 6.65 6.32 8.18 5.81 5.82 5.29
Inventories 3.78 3.85 3.45 3.57 3.23 67.46 63.17 57.77 54.57 58.22 55.78 58.56 61.31 62.22 55.24 54.85 52.79 50.90 47.62 44.39 43.47 44.03 40.45 41.73 40.94 41.02 36.14 37.44 34.21 35.69 32.54 34.61 34.32 34.84 30.75 30.94 33.11 31.93 28.20 26.65 24.59 24.68 22.26 16.89 16.67 17.21 16.46 17.11 16.04 18.29 16.09 15.50 14.56 16.35 14.80 14.54 14.16 14.39 11.82 11.22 10.80 11.45 9.96 9.84 14.19 14.86 13.65 13.40 12.78 12.77 11.73 11.53 10.30 9.80 9.15 9.02 8.41 8.13 7.13 7.13 6.60
Other current assets 2.28 0.37 2.15 2.80 2.69 48.61 54.86 84.34 48.87 67.29 43.35 43.34 93.92 4.48 5.78 32.54 26.12 24.10 21.33 22.32 21.94 3.56 25.88 25.04 34.94 4.92 23.11 21.88 21.31 3.94 48.47 18.41 18.78 3.63 18.63 17.55 18.07 6.80 14.26 14.15 14.67 4.88 10.91 10.41 11.26 3.39 12.79 13.31 13.56 5.18 12.39 12.52 10.23 2.95 7.79 8.13 6.77 2.11 5.23 5.52 5.89 0.91 4.33 4.69 5.58 1.77 5.71 6.35 7.03 3.43 4.37 5.59 5.21 1.51 3.35 3.71 3.44 1.17 2.22 2.61 2.17
Total current assets 14.93 15.70 16.11 17.34 16.18 342.31 339.67 351.27 347.43 356.22 378.44 314.09 334.12 226.45 230.79 230.81 229.96 230.72 224.16 211.48 204.87 201.27 227.44 233.56 250.39 172.58 196.94 177.36 172.97 177.61 183.06 158.62 173.25 181.19 175.19 121.88 114.93 117.95 121.08 110.99 108.26 86.72 95.04 75.43 73.25 79.11 84.01 79.47 73.92 73.57 88.87 83.42 62.79 75.46 62.31 59.10 56.79 58.97 60.31 54.61 50.93 51.46 46.33 42.95 51.31 49.38 45.73 46.37 41.44 39.02 30.88 35.44 35.33 33.49 30.45 28.20 28.12 25.41 25.98 24.24 21.98
Total non-current assets + 29.49 28.44 27.80 27.24 25.33 509.90 510.23 469.15 450.13 449.62 439.72 466.91 476.58 572.16 511.51 502.83 514.50 506.78 497.92 482.25 484.17 483.58 501.67 511.09 510.84 464.96 442.60 454.66 444.15 398.77 397.73 426.12 397.82 407.35 391.53 401.98 418.59 427.67 371.77 362.53 336.27 322.61 325.70 298.51 288.74 297.06 285.48 285.52 283.70 285.62 254.04 239.56 222.59 220.49 209.73 207.51 199.01 215.74 186.69 176.67 175.83 172.12 175.61 162.51 155.78 161.71 155.66 150.08 148.43 146.02 137.89 136.51 132.02 132.31 127.40 124.29 122.48 119.98 115.52 113.06 110.71
Total assets 44.42 44.15 43.90 43.99 41.50 852.21 849.90 820.42 797.56 805.84 818.16 781.00 810.69 798.82 742.31 733.65 744.46 737.50 722.08 693.73 689.04 684.85 729.11 744.65 761.23 637.54 639.54 632.01 617.12 576.38 580.79 584.73 571.07 588.54 566.72 523.86 533.52 545.62 492.85 473.51 444.52 409.33 420.74 373.94 361.99 376.17 369.49 364.99 357.61 359.19 342.91 322.98 285.38 295.94 272.03 266.61 255.80 274.70 247.01 231.28 226.75 223.58 221.94 205.46 207.09 211.09 201.39 196.44 189.87 185.04 168.77 171.95 167.34 165.80 157.85 152.49 150.60 145.39 141.50 137.30 132.69
Total current liabilities + 12.91 11.65 12.01 12.95 9.86 205.26 209.40 204.43 206.74 186.29 196.42 178.05 190.26 176.92 167.64 163.92 142.98 136.72 132.70 126.97 127.40 118.41 135.11 158.21 156.04 136.53 129.56 126.83 124.39 101.46 112.11 106.35 119.01 105.02 93.22 86.94 96.40 86.29 80.08 73.34 76.68 65.35 76.55 52.58 53.25 49.32 53.81 51.92 49.88 48.87 58.43 55.52 54.75 48.52 40.54 40.01 43.43 38.63 36.29 35.25 39.06 30.52 29.25 28.03 37.07 45.77 42.79 44.64 47.40 44.09 33.54 31.67 32.97 33.40 29.67 25.55 25.97 25.34 28.30 26.13 22.63
Total non-current liabilities + 15.19 14.23 14.10 14.20 12.64 264.36 263.24 250.73 243.44 240.42 245.83 241.25 260.92 286.10 246.48 248.88 266.89 265.96 264.22 261.03 261.82 259.25 274.66 262.92 257.36 175.26 173.03 173.46 171.09 139.38 145.78 153.67 139.55 146.61 160.30 162.04 161.67 173.16 144.92 142.60 128.94 102.13 109.05 97.63 95.65 96.73 88.34 89.77 90.04 87.77 63.54 54.78 36.38 37.27 33.60 34.01 31.22 44.96 44.71 41.18 36.48 40.05 41.97 39.35 54.75 49.50 48.53 49.28 45.70 44.05 40.33 46.16 42.06 42.74 43.59 47.51 48.86 45.83 38.03 41.04 43.24
Total liabilities 28.10 25.88 26.11 27.15 22.51 469.62 472.64 455.16 450.18 426.71 442.26 419.29 518.81 536.21 483.93 412.80 409.87 402.68 396.92 388.00 389.21 377.66 409.76 421.13 413.40 311.79 302.59 300.29 295.48 240.84 257.88 260.02 258.56 251.63 253.52 248.98 258.07 259.45 225.00 215.94 205.62 167.48 185.60 150.20 148.90 146.05 142.15 141.69 139.92 136.64 121.96 110.29 91.13 85.78 74.14 74.03 74.65 83.59 81.00 76.43 75.54 70.57 71.23 67.38 91.82 95.26 91.31 93.92 93.10 88.15 73.87 77.83 75.04 76.14 73.25 73.06 74.82 71.16 66.33 67.17 65.87
Total stockholders' equity + 11.82 13.59 13.25 12.95 14.94 382.58 302.75 290.75 272.87 379.13 300.70 286.51 291.88 262.60 258.37 248.33 262.08 334.82 255.72 236.28 230.38 237.74 245.58 249.76 274.07 251.99 258.46 253.23 243.15 257.05 236.29 238.09 225.89 250.29 238.93 200.62 201.19 211.90 207.52 197.24 178.57 181.52 175.50 164.08 153.44 170.47 164.18 160.14 154.53 159.39 166.04 157.79 139.35 155.26 197.89 192.59 181.15 133.58 166.01 154.85 151.21 117.35 150.72 138.08 115.28 81.64 110.08 102.52 96.78 68.82 94.90 94.12 92.31 64.58 84.60 79.43 75.77 54.22 75.17 70.13 66.82
Common shares outstanding 335 335 335 347 347 1,789 1,789 1,757 1,757 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789 1,789
about 2 months ago
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Operating cash flow + 3.94 3.48 49.68 72.58 73.09 53.17 61.64 48.89 40.14 50.13 36.74 37.36 28.76 30.79 15.39 18.93 30.91 19.27 18.02 16.14
Cash flow from investing + -0.11 -1.59 132.29 -46.43 -45.63 -31.37 -14.13 -58.14 31.42 -38.65 -28.36 -15.61 -55.23 -14.64 -13.83 6.17 -14.77 -20.05 -12.44 -15.40
Cash flow from financing + -5.10 -4.03 -92.55 -35.90 -36.99 19.58 -38.43 -23.01 -21.54 1.30 -13.74 -9.29 20.58 -3.42 -4.66 -11.51 -8.80 -0.46 -3.90 -1.41
Change in cash -1.27 -2.14 89.42 -9.75 -9.53 41.38 9.07 -32.26 50.01 12.78 -5.36 12.47 -5.89 12.72 -3.10 13.60 7.34 -1.24 1.68 -0.67
Change in exchange rate 0.00 0.00 0.00 0.00 0.00 0.00
Show Quarterly Cash Flow
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Operating cash flow + 1.24 2.55 0.05 0.92 0.34 1.33 10.97 18.23 15.64 7.49 22.88 14.44 2.84 34.96 4.95 22.43 10.23 19.68 18.21 22.21 12.99 19.90 14.70 6.40 12.18 12.59 14.87 19.01 15.16 17.63 8.76 9.41 13.09 9.35 12.85 12.98 4.95 17.28 14.77 11.16 6.92 10.96 10.82 11.54 3.42 3.56 10.76 11.90 11.14 6.85 8.59 7.37 5.95 2.37 9.46 9.46 4.68 4.95 3.15 8.63 3.50 3.69 3.11 17.87 15.61 15.61 7.45 18.02 18.02 16.14 16.14 13.73
Cash flow from investing + 0.35 -0.31 0.01 1.41 -1.11 -1.43 28.60 -11.80 -20.17 31.09 -17.03 77.18 41.46 -50.82 1.92 12.03 -9.56 -24.48 -6.51 -12.92 -2.27 -15.78 -5.31 -7.13 -3.14 -24.65 12.01 -10.27 8.78 5.31 -0.69 -43.09 -19.67 -8.98 42.53 -0.15 -1.98 -24.80 -5.80 -3.24 -4.80 -11.50 -11.81 -2.96 -2.09 -5.65 -3.98 -3.25 -2.73 -28.84 -10.32 -4.57 -11.49 -12.53 -12.53 -2.07 -2.07 -1.42 11.42 -2.51 -1.78 -0.96 -11.89
Cash flow from financing + -1.74 -3.17 -0.07 -0.96 -0.76 -0.91 -16.06 -31.97 -17.08 -34.55 -6.63 -25.49 -24.27 0.01 -13.40 -16.20 -6.31 -12.37 -6.46 -12.49 -5.66 -20.67 -13.61 11.41 42.44 -15.71 -2.46 -10.99 -9.27 -19.03 -2.84 1.22 -2.39 -12.27 -6.09 0.34 -3.51 -6.03 -2.55 -9.33 19.21 -12.25 6.28 -6.73 -1.04 -3.25 -1.15 -4.05 -0.84 0.97 5.86 14.66 -0.91 -5.42 -5.42 -1.40 0.36 -0.47 -9.41 0.85 -6.74 3.79 -1.60 -0.41 -0.41 -5.75 -3.90 -3.90 -1.41 -1.41 -6.21
Change in cash -0.15 -0.93 -0.01 1.37 -1.53 -1.01 23.51 -25.53 -21.61 4.03 -0.78 66.13 20.02 -15.85 -6.53 18.27 -5.64 -17.18 5.24 -3.20 5.06 -16.55 -4.23 10.68 51.48 -27.77 24.42 -2.25 14.67 3.91 5.22 -32.46 -8.97 -11.90 49.30 13.17 -0.55 -13.55 6.42 -1.42 21.33 -12.79 5.29 1.84 0.30 -5.34 5.63 4.60 7.57 -21.03 4.13 17.46 -6.45 2.37 0.00 0.00 -8.49 -8.49 1.22 3.24 1.27 10.64 1.85 -4.84 5.95 4.38 0.00 0.00 15.20 15.20 1.70 0.00 14.12 14.12 0.00 0.00 14.73 14.73 0.00 0.00 7.51
Change in exchange rate 0.00 0.00 0.00 0.00 0.00 0.00 0.00
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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Change In Exchange Rate

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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Change In Cash And Cash Equivalents

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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Stock Based Compensation

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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Net Income

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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Proceeds From Repurchase Of Equity

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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Dividend Payout

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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Cashflow From Financing

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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Cashflow From Investment

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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Change In Inventory

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MEXICAN ECONOMIC DEVELOPMENT INC (FMX) - Capital Expenditures

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