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Fomento Economico Mexicano SAB de CV

NYSE: FMX
Last

(U.S.) $97.79

Today's change+1.00 +1.03%
Updated November 26 10:48 AM EST. Delayed by at least 15 minutes.
 

Fomento Economico Mexicano SAB de CV

NYSE: FMX
Last

(U.S.) $97.79

Today's change+1.00 +1.03%
Updated November 26 10:48 AM EST. Delayed by at least 15 minutes.

Fomento Economico Mexicano SAB de CV up (U.S.)$1.00

Fomento Economico Mexicano SAB de CV is up today by (U.S.)$1.00 or 1.03% to (U.S.)$97.79. This security is unchanged over the last five days and the last 52 weeks. This security has underperformed the S&P 500 by 8.05% during the last year.

Key company metrics

  • Open(U.S.) $97.24
  • Previous close(U.S.) $96.79
  • High(U.S.) $97.80
  • Low(U.S.) $96.68
  • Bid / Ask(U.S.) $97.71 / (U.S.) $97.77
  • YTD % change-0.082%
  • Volume40,649
  • Average volume (10-day)293,369
  • Average volume (1-month)304,274
  • Average volume (3-month)308,825
  • 52-week range(U.S.) $82.36 to (U.S.) $100.80
  • Beta0.72
  • Trailing P/E155.36×
  • P/E 1 year forward26.93×
  • Forward PEG2.38×
  • Indicated annual dividend(U.S.) $3.12
  • Dividend yield3.19%
  • Trailing EPS(U.S.) $0.63
Updated November 26 10:48 AM EST. Delayed by at least 15 minutes.

Profit

Net Profit (TTM)
+6.27%

Based on its net profit margin of 6.27%, Fomento Economico Mexicano SAB de CV is less effective than other companies in its industry at turning revenues into bottom line profit.
Company Books

S&P TSX0.31%Sector:Industry:
  • Income Statement
  • Balance Sheet
  • Cash Flow
Quarter | Annual
Q3/2014Q2/2014Q1/2014Q4/2013
Fiscal Quarter Endvalues in $ millions unless otherwise notedSep 30, 201409/30/2014Jun 30, 201406/30/2014Mar 31, 201403/31/2014Dec 31, 201312/31/2013
Revenue72,39170,95664,22870,490
Total other revenue--------
Total revenue72,39170,95664,22870,490
Gross profit30,65429,76426,51130,347
Total cost of revenue41,73741,19237,71740,143
Total operating expense64,06863,00358,28261,070
Selling / general / administrative21,95521,35320,42120,563
Research & development--------
Depreciation / amortization--------
Interest expense (income), net operating--------
Unusual expense (income)--------
Other operating expenses, total376458144364
Operating income8,3237,9535,9469,420
Interest income (expense), net non-operating-1,787-1,675-1,679--
Gain (loss) on sale of assets--------
Other--------
Income before tax6,3896,0484,5757,402
Income after tax5,1153,7953,0755,440
Income tax, total1,2742,2531,5001,962
Net income4,8063,0182,4884,988
Total adjustments to net income--------
Net income before extra. items4,8063,0182,4884,988
Minority interest-1,911-1,445-1,290-1,766
Equity in affiliates1,6026687031,314
U.S. GAAP adjustment--------
Inc. avail. to common excl. extra. items4,8063,0182,4884,988
Inc. avail. to common incl. extra. items4,8063,0182,4884,988
Diluted net income4,8063,0182,4884,988
Dilution adjustment--------
Diluted weighted average shares17,89117,89117,89117,891
Diluted EPS excluding extraordinary itemsvalue per share0.270.170.140.28
Dividends per sharevalue per share0.000.000.000.42
Diluted normalized EPSvalue per share0.270.170.140.28