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

BMV:KIMBERA.MX

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

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 15,582.47716,857.78316,919.15812,274.69317,740.0136,838.5564,999.5024,674.3397,461.4927,933.6995,049.5475,390.253,464.934,027.5646,306.9726,460.4953,017.6072,914.9681,776.691,876.144
Kortetermijnbeleggingen 1,503.68204.1160396.053000000000000000
Liquide middelen en kortetermijnbeleggingen 15,582.47716,857.78316,919.15812,274.69317,740.0136,838.5564,999.5024,674.3397,461.4927,933.6995,049.5475,390.253,464.934,027.5646,306.9726,460.4953,017.6072,914.9681,776.691,876.144
Nettovorderingen 7,911.34000000000000340.655271.3300000
Voorraad 4,197.6124,113.4594,598.3064,462.123,792.4713,225.7033,712.0033,174.6942,861.1982,226.5091,887.3571,844.5341,950.2682,092.5951,915.3771,681.6321,889.73501,552.3911,292.169
Overige vlottende activa 1,603.57410,241.257,088.6566,805.7517,291.8796,694.47,080.4756,295.1845,627.054,859.3755,097.6114,946.4645,403.8095,107.1854,399.9534,460.1954,256.6835,307.9185,265.3515,521.458
Totaal vlottende activa 29,295.00331,212.49228,606.1223,542.56428,824.36316,758.65915,791.9814,144.21715,949.7415,019.58312,034.51512,181.24810,819.00711,567.99912,893.63212,602.3229,164.0258,222.8868,347.4358,689.771
Niet-vlottende activa:
Materiële vaste activa, netto 19,645.20818,933.78718,908.93518,382.16117,663.71118,388.6217,867.5317,476.24816,298.73115,670.35415,979.62415,878.64115,734.23314,731.28714,047.56614,356.11114,453.50314,536.87713,545.2813,577.683
Goodwill 934.221934.221934.221934.221934.221934.221934.221934.221934.221582.771582.771516.986509.6340000000
Immateriële activa 1,461.1071,614.8971,794.2991,931.3922,080.8782,240.1662,338.2432,499.8492,648.603944.158981.391962.964973.5470000000
Goodwill en immateriële activa 2,395.3282,549.1182,728.522,865.6133,015.0993,174.3873,272.4643,434.073,582.8241,526.9291,564.1621,479.951,483.1810000000
Langetermijnbeleggingen -1,474.86502,945.56703,417.425000000000000000
Belastingvorderingen 719.798610.512347.3620362.381000000000000000
Overige niet-vlottende activa 1,528.975613.0154.1163,993.65433.6723,360.5694,273.2384,285.7854,867.3311,830.163354.1430000210.097631.439652.249543.53,718.897
Totaal niet-vlottende activa 22,814.44422,706.43224,934.525,241.42824,492.28824,923.57625,413.23225,196.10324,748.88619,027.44617,897.92917,358.59117,217.41414,731.28714,047.56614,566.20815,084.94215,189.12614,088.7817,296.58
Totaal activa 52,109.44753,918.92453,540.6248,783.99253,316.65141,682.23541,205.21239,340.3240,698.62634,047.02929,932.44429,539.83928,036.42126,299.28626,941.19827,168.5324,248.96723,412.01222,436.21525,986.351
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 9,122.87,957.9018,252.6538,754.386,687.1555,628.616,016.8764,881.8634,589.5733,721.6793,487.4383,319.0712,812.3753,158.1782,693.1572,633.1562,395.2872,044.1922,757.9062,312.94
Kortlopende schulden 5,470.4164,744.1182,240.623,486.6794,465.7062,928.0982351752,5008001,5002,3001,25017.29746.6873,521.6873,529.26876.10896.9999.334
Belastingschulden 1,210.5382,007.802879.288203.021,355.2461,691.572378.564332.351555.189724.302200.443470.194630.179147.777221.089838.00400457.315110.329
Uitgestelde opbrengsten 004,135.9042,968.8754,371.5854,353.76504,879.3892,537.5322,565.2461,963.8062,052.2862,123.1751,673.4671,770.1812,296.993275.8391,511.0572,952.3412,407.474
Overige kortlopende verplichtingen 4,690.3494,017.0313,299.0972,806.0773,054.1922,697.8433,588.5584,578.3763,355.6543,071.3422,688.4482,667.5632,499.8282,241.862,348.2642,240.0122,691.556669.8842,861.6072,719.849
Totaal kortlopende verplichtingen 20,494.10318,726.85214,671.65815,250.15615,562.29912,946.12310,218.9989,967.5911,000.4168,317.3237,876.3298,756.8287,192.3825,565.1125,309.1979,232.8598,616.1114,301.2416,173.8185,242.452
Langlopende verplichtingen:
Langetermijnschulden 22,628.77624,978.78831,913.0726,347.54728,725.80922,063.18224,005.56721,630.13220,762.88717,238.213,086.81710,177.8459,978.83411,25011,265.3647,315.4544,646.4717,414.9644,971.7675,223.991
Uitgestelde opbrengsten niet-vlottend 00003,055.992848.483290.723227.003180.657000175.037155.309102.55111.342111.589000
Uitgestelde belastingverplichtingen niet-vlottend 000198.50519.455391.227826.1581,108.4331,408.2961,461.821,712.5111,712.7471,847.1041,551.7361,720.0391,705.861,944.3282,219.1261,917.1041,941.461
Overige niet-vlottende verplichtingen 1,579.6523,292.1271,928.4421,264.155260.275260.275260.275260.275260.275292.148323.165305.104217.004230.341277.049268.958227.974101.29901,147.042
Totaal niet-vlottende verplichtingen 24,208.42828,270.91533,841.51227,810.20732,061.53123,563.16725,382.72323,225.84322,612.11518,992.16815,122.49312,195.69612,217.97913,187.38613,365.0039,301.6146,930.3629,735.3896,888.8718,312.494
Totaal passiva 44,702.53146,997.76748,513.1743,060.36347,623.8336,509.2935,601.72133,193.43333,612.53127,309.49122,998.82220,952.52419,410.36118,752.49818,674.218,534.47315,546.47314,036.6313,062.68913,554.946
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 19.43319.63419.63419.63419.65919.695579.571579.695580.286581.7062,874.7062,900.9182,913.8214,009.4394,063.3714,122.0214,205.641000
Ingehouden winsten 7,711.9637,019.6274,988.4685,095.3736,146.9965,194.8194,105.5284,777.1815,739.0935,936.024,018.2715,790.5125,842.8383,646.0664,275.4134,515.8584,554.567000
Overige gereserveerde algehele resultaten 00000000000000-71.7868.2340000
Overige totale aandeelhoudersvermogen -324.48-118.10419.348608.622-357.4370.051746.965733.322679.894219.81240.645-104.115-130.599-108.7170-12.056-57.7149,375.3829,373.52612,431.405
Totaal eigen vermogen van aandeelhouders 7,406.9166,921.1575,027.455,723.6295,809.2255,284.5655,560.7826,090.1986,999.2736,737.5386,933.6228,587.3158,626.067,546.7888,266.9988,634.0578,702.4949,375.3829,373.52612,431.405
Totaal eigen vermogen 7,406.9166,921.1575,027.455,723.6295,692.8215,172.9455,603.4916,146.8877,086.0956,737.5386,933.6228,587.3158,626.067,546.7888,266.9988,634.0578,702.4949,375.3829,373.52612,431.405
Totaal passiva en aandeelhoudersvermogen 52,109.44753,918.92453,540.6248,783.99253,316.65141,682.23541,205.21239,340.3240,698.62634,047.02929,932.44429,539.83928,036.42126,299.28626,941.19827,168.5324,248.96723,412.01222,436.21525,986.351