Grupo Bimbo, S.A.B. de C.V.

BMV:BIMBOA.MX

58.77 (MXN) • At close May 9, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) MXN.

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,057.0436,35312,3138,7489,2686,2517,5847,2166,8143,8252,5722,5044,2783,9663,3254,9817,3393,9025,4434,1103,7741,7572,486
Kortetermijnbeleggingen 1,994.088-4680000-404-557-807-950-1,109-1,560-1,4844701801770000000
Liquide middelen en kortetermijnbeleggingen 10,051.1316,35312,3138,7489,2686,2517,5847,2166,8143,8252,5722,5044,2784,4363,5055,1587,3393,9025,4434,1103,7741,7572,486
Nettovorderingen 25,260.115000000000000-276-276-2,8252040-385-273-133-2820
Voorraad 18,832.23216,12016,98913,71010,8939,8199,3408,3687,4285,5094,9784,7294,5914,9803,1492,9692,5731,8451,6601,4011,2171,006970
Overige vlottende activa 13,036.38236,44134,16830,95330,44228,12727,92726,90626,46822,79620,31518,02018,26919,53114,03112,9297,3055,4314,7443,9783,8894,6674,021
Totaal vlottende activa 67,179.8658,91463,47053,41150,60344,19744,85142,49040,71032,13027,86525,25327,13828,20120,21218,23117,42111,17811,5469,2158,7797,2007,477
Niet-vlottende activa:
Materiële vaste activa, netto 189,596.064155,004141,982134,645120,411109,89187,24382,97274,58458,07352,47542,68342,01143,63932,02832,76326,03923,50420,46418,46916,81715,89816,555
Goodwill 75,100.05462,00068,08574,56566,90462,79465,51363,42662,88449,19645,25729,82229,75431,07019,88420,3940000000
Immateriële activa 65,808.26355,10159,06256,96555,00751,31854,47656,19449,93842,53537,96026,97726,69026,57719,37219,6024,95103,2533,40702,5493,164
Goodwill en immateriële activa 140,908.317117,101127,147131,530121,911114,112119,989119,620112,82291,73183,21756,79956,44457,64739,25639,9964,9517,6793,2533,40702,5493,164
Langetermijnbeleggingen 6,320.9815,49906,4143,4104,4046,0665,9136,3796,4024,7934,3874,1591,3331,3731,3027,7291,1573,6774,402000
Belastingvorderingen 6,883.3847,3133,9627,8618,7334,5903,8866,2889,77910,7058,7095,3996,0544,3401,5396352,6741,0781,2571,4431,72300
Overige niet-vlottende activa 5,915.584,27111,2033,7792,5831,8871,2811,9668915927022061,3346,3254,6613,786-3086471,618946,5854,8687,007
Totaal niet-vlottende activa 349,624.326289,188284,294284,229257,048234,884218,465216,759204,455167,503149,896109,474110,002113,28478,85778,48241,08534,06530,26927,81525,12523,31526,726
Totaal activa 416,804.186348,102347,764337,640307,651279,081263,316259,249245,165199,633177,761134,727137,140141,48599,06996,71358,50645,24341,81537,03033,90430,51534,203
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 40,814.58241,82145,29837,27928,01324,16921,98320,63218,20313,54712,65610,22110,1659,9946,75611,5696,3804,2964,0493,1612,8822,0342,025
Kortlopende schulden 12,001.88318,68312,36516,4185,75310,0071,1532,7662,1508,2821,7897,9971,5734,0421,6244,6564,1082,6053,248514199688380
Belastingschulden 7,895.4035,9249,6824,9284,9163,3633,5674,3383,8512,8453,2322,3722,0407196243,2720000000
Uitgestelde opbrengsten 00026,67127,10103,56723,83124,10420,09916,6817,06313,07712,0141,4263,510002,5420000
Overige kortlopende verplichtingen 24,443.48320,76422,38922,13522,58317,08122,04620,91920,74018,36414,56312,68811,78712,0517,011-1,9501,3754,0093,0952,7062,7382,6842,900
Totaal kortlopende verplichtingen 85,155.35187,19289,73480,76061,26554,62048,74948,65544,94443,03832,24033,27825,56526,80616,01517,54711,86310,91010,3926,3815,8195,4065,305
Langlopende verplichtingen:
Langetermijnschulden 174,704.241118,067100,874107,586108,565102,00590,67591,54680,35159,47960,41532,33240,39842,16131,58632,084005,2680000
Uitgestelde opbrengsten niet-vlottend 018,860036,57221335,24326,23230,63833,84027,63926,13517,63521,14417,6165,1014,934001,1200000
Uitgestelde belastingverplichtingen niet-vlottend 8,891.4549,2247,5757,0876,7665,2415,7204,6824,9523,3593,3801,5541,382997622266001,2131,3241,5803381,149
Overige niet-vlottende verplichtingen 20,355.473,13121,9794,02942,8313,66133,5976,7046,0024,2591,9892,1451,5933,4801,20892511,6695,836989,4719,1449,01412,799
Totaal niet-vlottende verplichtingen 203,951.165149,282130,428155,274158,375146,150129,992133,570125,14594,73691,91953,66664,51764,25438,51738,20911,6695,8367,69910,79510,7249,35213,948
Totaal passiva 289,106.516236,474220,162236,034219,640200,770178,741182,225170,089137,774124,15986,94490,08291,06054,53255,75623,53216,74618,09117,17616,54314,75819,253
Eigen vermogen:
Preferente aandelen 00000000000000000000000
Gewone aandelen 3,942.8943,9463,9844,0214,0614,1564,1994,2274,2274,2274,2274,2274,2278,0068,0068,0068,0068,0067,7177,4157,1786,8246,824
Ingehouden winsten 122,762.918118,718111,48673,38464,26561,33259,23860,18056,91552,14646,97543,61741,63540,18735,50530,69824,47327,99423,59519,20816,38614,05913,348
Overige gereserveerde algehele resultaten 00000000000000000000000
Overige totale aandeelhoudersvermogen -762.158-14,3428,64119,69515,3878,24816,2537,6939,5682,582-227-2,225-1,1263,8263,9781,400759759-7,588703681647647
Totaal eigen vermogen van aandeelhouders 125,943.654108,322124,11197,10083,71373,73679,69072,76771,43058,95550,97545,61944,73648,36543,71040,10433,23836,75923,72427,32624,24521,53020,819
Totaal eigen vermogen 127,697.67111,628127,602101,60688,01178,31184,57577,02475,07661,85953,60247,78347,05850,42544,53740,95733,94837,34023,72427,79024,66921,92321,192
Totaal passiva en aandeelhoudersvermogen 416,804.186348,102347,764337,640307,651279,081263,316259,249245,165199,633177,761134,727137,140141,48599,06996,71357,48054,08641,81544,96641,21236,68140,445