Fomento Economico Mexicano S.A.B De C.V Financial Ratios for Analysis 2009-2024 | FMX

Fifteen years of historical annual and quarterly financial ratios and margins for Fomento Economico Mexicano S.A.B De C.V (FMX).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.951.281.691.701.261.751.731.371.331.601.511.561.531.701.08
0.250.340.360.370.240.260.260.320.260.260.250.120.110.120.23
0.360.570.570.610.360.380.390.490.380.370.340.180.160.160.37
39.7837.3838.4238.4737.7937.2936.9837.1039.5341.8242.4942.5141.8841.8246.10
10.188.899.428.779.809.229.199.5011.2611.7411.6712.4513.2513.2813.71
10.188.899.428.779.809.229.199.5011.2611.7411.6712.4513.2513.2813.71
15.0213.4314.4514.4614.9012.8913.0212.9314.7415.5415.4215.7516.1113.2813.71
8.236.197.403.916.387.168.667.158.079.019.7211.5513.9713.939.64
9.353.565.120.764.095.109.215.295.686.346.178.6910.1926.697.65
0.870.840.750.720.790.820.780.730.760.700.720.810.830.760.93
7.276.776.736.897.688.268.337.877.648.908.128.389.268.637.15
11.7910.3810.7010.8710.4710.5210.5611.2711.7412.0411.7613.9221.8122.0316.73
30.9635.1834.1233.5834.8634.6934.5832.3831.1030.3131.0326.2316.7316.5721.81
11.7410.3011.241.228.628.8511.059.509.639.839.9613.358.54--
18.8823.6521.282.4715.6615.6420.3620.4417.4417.6018.5819.7213.6641.5222.60
5.514.355.110.554.405.156.324.985.696.026.179.485.9418.694.85
8.766.807.230.776.566.598.196.507.107.237.5011.757.5923.956.84
62.5948.4345.6543.1648.2747.7647.9438.7939.3143.6047.4845.31---
8.2210.429.9717.069.137.035.826.795.967.086.146.624.120.000.00
2.606.157.6111.225.834.022.934.283.233.902.693.514.12--

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.721.951.931.761.771.281.401.281.611.691.691.671.611.701.681.481.601.261.521.401.391.751.631.491.461.731.881.401.191.371.511.511.411.331.241.431.601.561.531.481.511.521.501.151.561.541.481.311.531.491.551.301.701.581.531.531.081.071.040.87
0.260.250.260.270.280.340.320.370.340.360.360.370.370.370.370.350.320.240.220.230.300.260.270.270.250.260.270.310.290.320.290.300.300.260.270.270.260.250.250.250.250.190.170.120.120.110.120.110.110.180.130.110.120.120.130.200.230.230.260.25
0.380.360.380.380.430.570.510.660.540.570.570.600.620.610.650.660.560.360.350.350.500.380.400.410.380.390.380.470.440.490.440.440.450.380.430.380.370.340.340.350.340.290.260.180.180.140.140.140.160.280.180.160.160.160.170.280.370.380.470.49
41.4846.4738.3237.6237.2336.8836.5044.0936.8939.6337.2739.3037.3839.5838.3738.0337.4939.1937.4737.3636.9140.7136.5836.6635.8639.6636.2136.7635.5038.4436.5137.3736.3240.5739.1939.1317.7443.8641.8340.9343.6842.4842.7740.2147.2842.0241.8840.5658.5829.8441.5238.8952.4440.8042.5622.0646.3346.7446.1942.74
8.8717.448.478.376.978.658.6013.208.0510.539.1110.207.6510.798.986.517.7812.049.689.317.7413.298.448.617.2912.468.199.087.3011.049.279.957.9414.4810.8111.0864.948.8811.4510.0213.7410.7711.0412.129.8713.5611.3510.26-22.6245.4412.9714.59-13.0915.7011.2858.6615.4513.4615.0114.39
8.8717.448.478.376.978.658.6013.208.0510.539.1110.207.6510.798.986.517.7812.049.689.317.7413.298.448.617.2912.468.199.087.3011.049.279.957.9414.4810.8111.0864.948.8811.4510.0213.7410.7711.0412.129.8713.5611.3510.26-22.6245.4412.9714.59-13.0915.7011.2858.6615.4513.4615.0114.39
------------------------------------------------------------
11.124.0210.959.457.915.137.6912.274.398.379.055.526.483.482.84-3.0310.995.948.606.614.1713.004.1211.361.05-14.2732.765.476.279.396.667.445.489.567.318.836.629.148.507.0610.1810.5210.097.7915.7811.5610.408.4525.128.1612.1510.1317.4816.3312.196.5510.3410.9910.895.20
6.334.025.183.1126.711.706.268.072.704.339.912.253.671.892.55-10.216.374.225.584.401.936.653.968.641.28-4.5028.304.065.945.766.675.153.496.506.325.1510.346.644.255.887.087.005.754.6515.237.926.544.319.448.345.687.8110.8211.8269.736.707.587.397.743.38
0.240.200.230.250.220.390.230.210.200.200.200.200.180.230.170.150.160.220.200.200.190.170.200.210.200.180.200.220.210.150.200.200.190.170.190.200.180.190.190.180.190.190.190.200.220.220.220.210.220.370.210.200.210.200.200.450.260.250.250.24
2.011.512.082.111.843.161.972.251.771.711.881.871.792.171.931.701.872.072.262.152.141.652.312.282.161.822.382.352.161.602.262.222.221.682.152.711.012.542.412.352.142.302.312.262.342.322.382.253.572.732.522.363.232.492.472.811.981.991.921.89
5.002.754.154.184.394.804.254.514.332.774.725.104.803.494.874.434.572.885.184.894.792.234.644.604.442.404.655.194.912.344.844.674.622.624.266.563.175.375.805.723.176.326.976.323.756.246.686.295.847.797.236.646.167.127.3810.944.715.255.474.95
18.0032.7621.6821.5120.4918.7421.1819.9520.7832.5119.0617.6518.7425.7718.4620.3219.6931.2017.3618.4118.7740.3919.3819.5520.2837.4519.3617.3618.3338.4218.5819.2619.4934.3221.1213.7228.4016.7515.5215.7328.3814.2412.9214.2324.0314.4213.4714.3115.4211.5512.4413.5414.6212.6412.208.2319.1117.1416.4718.18
-2.51---3.55---2.83----0.15---2.24---3.22----3.91---2.25---3.08--3.12---2.21---4.65---3.03------4.82----
6.844.036.264.643.508.158.0423.703.455.379.353.484.28-0.292.95-6.774.574.084.994.262.175.693.406.220.90-7.2120.824.975.404.845.564.593.455.584.614.265.573.722.543.314.133.222.582.106.873.683.151.964.854.962.693.525.095.312.894.829.299.4210.855.03
1.861.181.701.651.201.501.791.660.791.292.220.760.91-0.070.64-1.451.201.151.501.230.621.871.071.840.26-2.245.951.231.241.181.611.300.981.821.441.421.911.260.831.071.371.301.090.943.301.761.460.912.113.101.191.542.292.351.213.021.991.841.920.80
3.071.872.742.621.952.342.742.331.151.823.181.091.31-0.090.92-2.171.781.712.221.820.832.401.412.420.35-2.907.911.621.691.542.091.681.282.271.871.732.291.531.021.311.671.641.381.224.092.151.791.152.694.071.552.062.943.041.573.872.812.582.731.19
59.2162.5961.5657.2154.1048.4345.6317.2745.6345.6545.4442.7241.2343.1640.4338.7949.0948.2748.5048.2046.8347.7647.6546.9246.6447.9449.1941.4138.0338.7939.9739.8137.0539.3140.0940.83------------------------
0.008.220.000.000.0010.420.000.000.009.970.000.000.0017.060.000.000.009.130.000.000.007.030.000.000.005.820.000.000.006.790.000.000.005.960.000.007.150.000.000.006.130.000.000.006.560.000.000.004.140.000.000.000.000.000.000.430.000.000.000.00
-2.60---6.15---7.61---11.22---5.83---4.02---2.93---4.28---3.23--3.94---2.69---3.48---4.14------0.43----