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| 1 Year | 5 Year | 5 Year Annualized | Since IPO | |
|---|---|---|---|---|
| CX | +90.84% | +163.57% | +21.39% | +76% |
| S&P | +18.33% | +108.18% | +15.79% | +423% |
CEMEX SAB de CV operates as a global construction materials company. It offers cement, ready-mixconcrete, aggregates, and urbanization solutions. The firm operates through the following geographical segments: Mexico, United States, Europe, Middle East, Africa and Asia (EMEAA) and South, Central America and the Caribbean (SCA&C). The company was founded by Lorenzo Zambrano Gutierrez in 1906 and is headquartered in San Pedro Garza Garcia, Mexico.
The cement maker rose on news out of Washington, but it was just the headline grabber, with many infrastructure peers tracking higher, too.
| Q3 2025 | YOY Change | |
|---|---|---|
| Revenue | $4.25B | 4.0% |
| Gross Profit | $1.37B | 6.4% |
| Gross Margin | 32.12% | 0.7% |
| Market Cap | $13.59B | 47.4% |
| Market Cap / Employee | $0.34M | 64.0% |
| Employees | 40.2K | -10.1% |
| Net Income | $240.26M | 12.6% |
| EBITDA | $883.62M | 18.3% |
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| Q3 2025 | YOY Change | |
|---|---|---|
| Net Cash | $1.20B | 183.6% |
| Accounts Receivable | $1.96B | 4.5% |
| Inventory | 1.6K | 0.1% |
| Q3 2025 | YOY Change | |
|---|---|---|
| Long Term Debt | $1.97B | -71.8% |
| Short Term Debt | $291.15M | -4.0% |
| Q3 2025 | YOY Change | |
|---|---|---|
| Return On Assets | 3.22% | 2.2% |
| Return On Invested Capital | 1.03% | 0.8% |
| Q2 2025 | YOY Change | |
|---|---|---|
| Free Cash Flow | $133.52M | -59.6% |
| Operating Free Cash Flow | $377.13M | -29.5% |
| Metric | Q4 2024 | Q1 2025 | Q2 2025 | Q3 2025 | YoY Change |
|---|---|---|---|---|---|
| Price to Earnings | 8.85 | 5.82 | 6.75 | 9.72 | -51.45% |
| Price to Book | 0.68 | 0.80 | 0.78 | 0.97 | 29.99% |
| Price to Sales | 0.53 | 0.50 | 0.52 | 0.65 | 20.25% |
| Price to Tangible Book Value | 2.99 | 3.62 | 2.89 | 3.43 | -7.52% |
| Price to Free Cash Flow TTM | 11.77 | 11.62 | 15.33 | 30.12 | 268.00% |
| Enterprise Value to EBITDA | 24.05 | 26.04 | 12.49 | 14.05 | -37.58% |
| Free Cash Flow Yield | 8.5% | 8.6% | 6.5% | 3.3% | -72.83% |
| Return on Equity | 8.4% | 6.6% | 7.1% | 7.7% | 245.08% |
| Total Debt | $7.93B | $3.03B | $3.10B | $1.97B | -73.72% |
CX earnings call for the period ending June 30, 2022.
CX earnings call for the period ending March 31, 2022.
CX earnings call for the period ending December 31, 2021.
CX earnings call for the period ending September 30, 2021.
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