
Fomento Económico MexicanoB. De C.v.
(NYSE) FMX
Fomento Económico MexicanoB. De C.v. Financials at a Glance
Market Cap
MX$25.46B
Revenue (TTM)
$46.72B
Net Income (TTM)
$1.59B
EPS (TTM)
MX$4.61
P/E Ratio
27.41
Dividend
MX$6.72
Beta (Volatility)
0.48 (Low)
Dividend
MX$6.72
Beta (Volatility)
0.48 (Low)
Price
MX$127.13
Volume
515,794
Open
MX$126.62
Price
MX$127.13
Volume
515,794
Open
MX$126.62
Previous Close
MX$126.88
Daily Range
MX$126.16 - MX$128.03
52-Week Range
MX$82.25 - MX$130.55
Estimated Earnings Date
Jul 28, 2026
Dividend
MX$6.72
Beta (Volatility)
0.48 (Low)
Price
MX$127.13
Volume
515,794
Open
MX$126.62
Previous Close
MX$126.88
Daily Range
MX$126.16 - MX$128.03
52-Week Range
MX$82.25 - MX$130.55
Estimated Earnings Date
Jul 28, 2026
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Get Access NowAbout Fomento Económico MexicanoB. De C.v.
Industry
Beverages
Sector
Consumer StaplesEmployees
370,426
CEO
Jose Antonio Fernández Garza-Lagüera, MBA
Website
www.femsa.comHeadquarters
Monterrey, NL 64410, MX
FMX Financials
Key Financial Metrics (TTM)
Gross Margin
41%
Operating Margin
9%
Net Income Margin
3%
Return on Equity
12%
Return on Capital
13%
Return on Assets
4%
Earnings Yield
3.65%
Dividend Yield
5.27%
Payout Ratio
1.75%
Stock Overview
Market Cap
MX$25.46B
Shares Outstanding
201.52M
Volume
515.79K
Avg. Volume
468.67K
Financials (TTM)
Gross Profit
$18.95B
Operating Income
$4.00B
EBITDA
$6.40B
Operating Cash Flow
$3.94B
Capital Expenditure
-$2.33B
Free Cash Flow
$1.61B
Cash & ST Invst.
$7.10B
Total Debt
$14.29B
Fomento Económico MexicanoB. De C.v. Performance Analysis
Revenue Growth Rate
Annual and quarterly growth comparisonEarnings Per Share Growth Rate
Annual and quarterly EPS growth comparisonQuarterly Performance
Revenue
$11.83B
+24.8%
Gross Profit
$4.79B
+25.4%
Gross Margin
40.47%
N/A
Market Cap
MX$25.46B
N/A
Market Cap/Employee
MX$64.62K
N/A
Employees
394,010
N/A
Net Income
$844.31M
+200.0%
EBITDA
$1.61B
+70.5%
Quarterly Fundamentals
Total Cash
$6.41B
-22.1%
Total Debt
$14.42B
+13.6%
Accounts Receivable
$2.45B
+21.0%
Inventory
$3.78B
+17.3%
Long Term Debt
$13.61B
+23.6%
Short Term Debt
$1.26B
-24.6%
Return on Assets
3.55%
N/A
Return on Invested Capital
12.79%
N/A
Free Cash Flow
$841.51M
+952.8%
Operating Cash Flow
$1.24B
+268.1%

