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Kimberly-Clark De México, S. A. B. De C. V. logo

Kimberly-Clark De México, S. A. B. De C. V.

(OTC) KCDMY

Current Price$10.96
Market Cap$3.43B
Since IPO (1995)+892%
5 Year+64%
1 Year+42%
1 Month-10%

Kimberly-Clark De México, S. A. B. De C. V. Financials at a Glance

Market Cap

$3.43B

Revenue (TTM)

$54.98B

Net Income (TTM)

$7.53B

EPS (TTM)

$0.65

P/E Ratio

16.76

Dividend

$0.54

Beta (Volatility)

0.47 (Low)

Price

$10.96

Volume

39,826

Open

$11.31

Previous Close

$10.96

Daily Range

$10.87 - $11.39

52-Week Range

$7.55 - $12.69

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About Kimberly-Clark De México, S. A. B. De C. V.

Industry

Household Products

Employees

9,400

CEO

Pablo Roberto González Guajardo, MBA

Headquarters

Mexico City, DF 11510, MX

KCDMY Financials

Key Financial Metrics (TTM)

Gross Margin

39%

Operating Margin

22%

Net Income Margin

14%

Return on Equity

104%

Return on Capital

41%

Return on Assets

17%

Earnings Yield

5.97%

Dividend Yield

0.05%

Payout Ratio

79.29%

Stock Overview

Market Cap

$3.43B

Shares Outstanding

312.73M

Volume

39.83K

Short Interest

0.00%

Avg. Volume

50.46K

Financials (TTM)

Gross Profit

$20.19B

Operating Income

$11.32B

EBITDA

$13.21B

Operating Cash Flow

$7.80B

Capital Expenditure

$1.71B

Free Cash Flow

$6.09B

Cash & ST Invst.

$9.68B

Total Debt

$22.11B

Kimberly-Clark De México, S. A. B. De C. V. Performance Analysis

Revenue Growth Rate

Annual and quarterly growth comparison

Earnings Per Share Growth Rate

Annual and quarterly EPS growth comparison

Quarterly Performance

Name
Q4 2025YOY CHG

Revenue

$13.83B

+3.4%

Gross Profit

$5.59B

+2.5%

Gross Margin

40.40%

N/A

Market Cap

$3.43B

N/A

Market Cap/Employee

$360.46K

N/A

Employees

9,513

N/A

Net Income

$2.16B

+11.9%

EBITDA

$3.65B

-10.8%

Quarterly Fundamentals

Name
Q4 2025YOY CHG

Net Cash

$12.43B

+0.7%

Accounts Receivable

$8.53B

+7.8%

Inventory

$4.32B

+2.8%

Long Term Debt

$20.36B

-10.0%

Short Term Debt

$1.75B

-68.0%

Return on Assets

17.16%

N/A

Return on Invested Capital

41.30%

N/A

Free Cash Flow

$2.38B

+3.6%

Operating Cash Flow

$2.77B

-0.0%

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