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Compañía Cervecerías Unidas Stock Quote

Compañía Cervecerías Unidas (NYSE: CCU)

$13.11
(2.6%)
+0.33
Price as of November 12, 2025, 3:56 p.m. ET

KEY DATA POINTS

Current Price
$13.11
Daily Change
(2.6%) +$0.33
Day's Range
$12.89 - $13.18
Previous Close
$13.11
Open
$12.89
Beta
0.64
Volume
3,515
Average Volume
134,419
Market Cap
2.4B
Market Cap / Employee
$12.78M
52wk Range
$10.68 - $15.75
Revenue
-
Gross Margin
0.45%
Dividend Yield
3.55%
EPS
$0.76
CAPs Rating
-
Industry
Beverages

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Compañía Cervecerías Unidas Return vs. S&P

1 Year5 Year5 Year AnnualizedSince IPO
CCU+22.07%+22.41%+4.13%+518%
S&P+14.08%+93.57%+14.12%+1,536%

Compañía Cervecerías Unidas Company Info

Compañía Cervecerías Unidas SA engages in the production of beverages. It operates through the following segments: Chile, International Business, and Wine. The Chile segment sells alcoholic and non-alcoholic beverages which include Heineken, Sol, Coors Tecate beer, Blue Moon beer, Kunstmann, Austral beer; and carbonated soft drinks, nectars and juices, sports and energy drinks, ice tea, and water. The International Business segment produces, imports, sells, and distributes beer under proprietary brands and licensed brands in Argentina, Uruguay, and Paraguay. The Wine segment markets a full range of wine products. The company was founded in 1850 and is headquartered in Santiago, Chile.

News & Analysis

Financial Health

General

Q3 2025YOY Change
Revenue$686.39M-4.1%
Gross Profit$291.73M-5.9%
Gross Margin42.50%-0.8%
Market Cap$2.24B4.2%
Market Cap / Employee$0.24M1.1%
Employees9.5K3.1%
Net Income$21.56M-38.4%
EBITDA$77.90M3.0%

Currently no data to display

Revenue Growth Rate

Currently no data to display.

Earnings Per Share Growth Rate

Currently no data to display.

Assets

Q3 2025YOY Change
Net Cash$518.73M-22.3%
Accounts Receivable$286.75M5.7%
Inventory505.93.2%

Liabilities

Q3 2025YOY Change
Long Term Debt$1.17B-14.0%
Short Term Debt$177.38M-14.7%

Ratios

Q3 2025YOY Change
Return On Assets3.56%0.2%
Return On Invested Capital6.49%-0.5%

Cash Flow

Q2 2025YOY Change
Free Cash Flow-$67.28M9.8%
Operating Free Cash Flow$16.44M-65.4%

Valuation

MetricQ3 2024Q1 2025Q2 2025Q3 2025YoY Change
Price to Earnings15.4816.1315.2215.86-10.86%
Price to Book1.331.831.481.42-0.62%
Price to Sales0.790.900.750.71-5.64%
Price to Tangible Book Value1.782.502.011.922.53%
Price to Free Cash Flow TTM203.42215.0134.6228.9954.76%
Enterprise Value to EBITDA16.8927.13162.7941.272.24%
Free Cash Flow Yield0.5%0.5%2.9%3.4%-35.38%
Return on Equity11.6%11.3%10.1%9.1%0.64%
Total Debt$1.45B$1.48B$1.35B$1.35B-14.10%

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