
Kimberly-Clark De México, S. A. B. De C. V.
(OTC) KCDMY
Kimberly-Clark De México, S. A. B. De C. V. Financials at a Glance
Market Cap
$3.49B
Revenue (TTM)
MX$55.74B
Net Income (TTM)
MX$7.75B
EPS (TTM)
$0.70
P/E Ratio
16.01
Dividend
$0.57
Beta (Volatility)
0.49 (Low)
Dividend
$0.57
Beta (Volatility)
0.49 (Low)
Price
$11.19
Volume
41,702
Open
$11.01
Price
$11.19
Volume
41,702
Open
$11.01
Previous Close
$11.19
Daily Range
$11.01 - $11.28
52-Week Range
$8.25 - $12.84
Estimated Earnings Date
Jul 21, 2026
Dividend
$0.57
Beta (Volatility)
0.49 (Low)
Price
$11.19
Volume
41,702
Open
$11.01
Previous Close
$11.19
Daily Range
$11.01 - $11.28
52-Week Range
$8.25 - $12.84
Estimated Earnings Date
Jul 21, 2026
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Get Access NowAbout Kimberly-Clark De México, S. A. B. De C. V.
Industry
Household Products
Sector
Consumer StaplesEmployees
9,556
CEO
Pablo Roberto González Guajardo, MBA
Website
www.kimberly-clark.com.mxHeadquarters
Mexico City, DF 11510, MX
KCDMY Financials
Key Financial Metrics (TTM)
Gross Margin
39.59%
Operating Margin
22.27%
Net Income Margin
13.90%
Return on Equity
161.39%
Return on Capital
39.57%
Return on Assets
13.54%
Earnings Yield
6.25%
Dividend Yield
5.11%
Payout Ratio
79.92%
Stock Overview
Market Cap
$3.49B
Shares Outstanding
311.84M
Volume
41.70K
Avg. Volume
45.83K
Financials (TTM)
Gross Profit
MX$22.07B
Operating Income
MX$12.41B
EBITDA
MX$14.92B
Operating Cash Flow
MX$8.76B
Capital Expenditure
-MX$1.73B
Free Cash Flow
MX$7.03B
Cash & ST Invst.
MX$20.18B
Total Debt
MX$31.03B
Kimberly-Clark De México, S. A. B. 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
MX$14.59B
+5.5%
Gross Profit
MX$5.98B
+13.2%
Gross Margin
40.97%
N/A
Market Cap
$3.49B
N/A
Market Cap/Employee
$366.82K
N/A
Employees
9,513
N/A
Net Income
MX$2.06B
+12.2%
EBITDA
MX$4.01B
+7.1%
Quarterly Fundamentals
Total Cash
MX$20.18B
+71.3%
Total Debt
MX$31.03B
+37.2%
Accounts Receivable
MX$9.64B
+9.2%
Inventory
MX$4.15B
-7.6%
Long Term Debt
MX$29.32B
+31.1%
Short Term Debt
MX$1.72B
+607.9%
Return on Assets
13.54%
N/A
Return on Invested Capital
35.43%
N/A
Free Cash Flow
MX$987.25M
-4.1%
Operating Cash Flow
MX$1.42B
-8.7%