Fomento Economico Mexicano S.A.B. de C.V.

Symbol: FMX     Sector: Consumer Defensive     Industry: Beverages - Alcoholic

Dividend Yield
1.56%
Current Price
$97.07
Info     Dividend Rate History     Earnings     Financials     Rankings

Financials 2019

Update: 2019-06-09 22:40:01

Period

Report Date
Operating Revenue
Total Revenue
Cost of Revenue
Gross Profit
Operating Expense
Operating Income
Net Income
Current Assets
Total Assets
Total Liabilities
Shareholders Equity
Current Cash
Current Debt
Total Cash
Total Debt
Cash Change
Cash Flow
 
R&D

Q 1

2019-03-31
115,938,000,000
115,938,000,000
73,144,000,000
42,794,000,000
33,816,000,000
8,978,000,000
2,233,000,000
172,967,000,000
617,119,000,000
295,480,000,000
-
-
24,517,000,000
93,267,000,000
165,593,000,000
-
-
 
-

Financials 2018

Update: 2019-06-09 22:40:01

Period

Report Date
Operating Revenue
Total Revenue
Cost of Revenue
Gross Profit
Operating Expense
Operating Income
Net Income
Current Assets
Total Assets
Total Liabilities
Shareholders Equity
Current Cash
Current Debt
Total Cash
Total Debt
Cash Change
Cash Flow
 
R&D

Q 4

2018-12-31
125,856,000,000
126,706,000,000
76,971,000,000
49,735,000,000
34,906,000,000
14,829,000,000
10,760,000,000
177,607,000,000
576,381,000,000
240,839,000,000
257,053,000,000
-
13,674,000,000
92,971,000,000
128,664,000,000
-
-
 
-

Q 3

2018-09-30
118,371,000,000
118,371,000,000
75,066,000,000
43,305,000,000
33,313,000,000
9,992,000,000
4,693,000,000
183,060,000,000
580,792,000,000
257,882,000,000
-
-
12,349,000,000
76,554,000,000
129,420,000,000
-
-
 
-

Q 2

2018-06-30
124,708,000,000
124,708,000,000
78,991,000,000
45,717,000,000
34,984,000,000
10,733,000,000
8,796,000,000
158,617,000,000
584,732,000,000
260,019,000,000
-
-
14,302,000,000
78,503,000,000
134,598,000,000
-
-
 
-

Q 1

2018-03-31
115,337,000,000
115,337,000,000
73,973,000,000
41,364,000,000
32,952,000,000
8,412,000,000
2,000,000
173,249,000,000
571,070,000,000
258,561,000,000
-
-
12,470,000,000
94,160,000,000
118,322,000,000
-
-
 
-

Financials 2017

Update: 2019-06-09 22:40:01

Period

Report Date
Operating Revenue
Total Revenue
Cost of Revenue
Gross Profit
Operating Expense
Operating Income
Net Income
Current Assets
Total Assets
Total Liabilities
Shareholders Equity
Current Cash
Current Debt
Total Cash
Total Debt
Cash Change
Cash Flow
 
R&D

Q 4

2017-12-31
133,230,000,000
133,923,000,000
81,044,000,000
52,879,000,000
38,495,000,000
14,384,000,000
3,040,000,000
181,188,000,000
588,541,000,000
251,629,000,000
250,291,000,000
-
13,590,000,000
99,104,000,000
131,348,000,000
-
-
 
-