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

BMV:KIMBERA.MX

34.67 (MXN) • At close May 9, 2025
Overview | Financials

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005
Operationele Activiteiten:
Nettowinst 7,830.2910,388.3817,250.716,609.798,873.1217,462.2125,995.3365,710.7756,945.1416,272.7355,073.9996,609.2655,982.96100003,727.97500
Afschrijvingen & Amortisatie 2,047.6731,984.521,962.7261,935.2811,953.3351,945.7561,562.3381,599.8241,600.9191,664.7731,6161,516.9131,498.4741,236.1611,189.5831,194.2311,154.993-1,045.5051,001.336998.485
Uitgestelde Inkomstenbelasting 00000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000
Verandering in Werkkapitaal 8.7361,708.639-430.618-356.642758.5741,077.808-47.844-807.58-395.941231.63-235.8821,148.982371.003-1,209.808-947.826-53.487-1,887.793442.995-383.952-257.277
Vorderingen -656.561-198.279000000000000-425.4898.4010000
Voorraden -84.153484.847-136.186-669.649-566.768486.3-537.309-313.496-531.213-339.152-42.823105.734277.773-177.218-233.745208.103-235.635-84.502-295.448-47.434
Crediteuren 00000000000000139.327320.389-59.471000
Overig Werkkapitaal 749.451,422.071-294.432313.0071,325.342591.508489.465-494.084135.272570.782-193.0591,043.24893.23-1,032.59-855.838-1,180.76-1,592.687527.497-88.504-209.843
Overige Niet-Contante Posten 714.6-1,321.515-463.878-1,390.768-1,251.269-623.665-556.036-976.922-1,490.735-865.746-989.466-1,773.496-923.7844,643.1314,618.5135,503.2955,951.0832,349.5053,453.8862,367.099
Kasstroom uit Operationele Activiteiten 10,601.29912,760.0258,318.946,797.66110,333.7619,862.1116,953.7945,526.0976,659.3847,303.3925,464.6517,501.6646,928.6544,669.4844,860.276,644.0395,218.2835,474.974,071.273,108.307
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,503.339-1,675.935-2,141.436-2,150.474-813.25-771.988-1,792.043-2,577.711-3,410.769-1,318.384-1,644.889-1,637.034-1,017.937-1,906.553-866.572-1,063.5-1,022.585-1,490.404-846.805-972.369
Netto Overnames 00000-174.63200-761000-1,634.793000197.525-39.400
Aankoop van Beleggingen 00000000000000000000
Verkoop/verval van Beleggingen 00000000000000000000
Overige Investeringsactiviteiten 1,203.7981,364.545-12.1538.77817.96918.00819.46416.996-1,417.6810.11416.662139.49884.908174.234595.979433.196154.919-562.1923,796.308867.524
Kasstroom uit Investeringsactiviteiten -1,299.541-311.39-2,153.589-2,141.696-795.281-928.612-1,772.579-2,560.715-4,171.769-1,318.27-1,628.227-1,497.536-2,567.822-1,732.319-270.593-630.304-670.141-2,091.9962,949.503-104.845
Financieringsactiviteiten:
Schuldaflossingen -3,541.275-1,7505,500-3,578.68,717-4001,542662.812,766.7482,183.4421,718.3981,242.827-15.922-47.51478.392,801.07-75.612,231.778-264.137-1,045.023
Uitgifte van Gewone Aandelen 00000000000000000000
Terugkoop van Gewone Aandelen -975.40800-135.933-197.899-4,781.49-4,874.036-109.731-297.912-2,404.548-933.631-536.136-378.03-717.877-1,069.093-1,107.045-843.34-1,009.688-741.624-488.167
Uitgekeerde Dividenden -5,719.747-4,981.715-5,043.217-5,296.108-4,935.73200-4,874.193-4,703.899-2,293.327-4,377.6-4,146.258-3,784.235-3,606.275-3,455.602-3,207.618-3,048.751-3,027.916-5,742.781-2,710.608
Overige Financieringsactiviteiten -3,268.169-3,097.351-1,781.711-2,055.409-1,566.192-1,790.631-1,488.757-1,252.703-998.545-847.31-686.691-638.539-743.805-843.625-695.4-1,062.021-527.281-505.656-639.339823.292
Kasstroom uit Financieringsactiviteiten -13,504.599-9,829.066-1,324.928-11,066.052,017.177-6,972.121-4,820.793-5,573.817-3,233.608-3,361.743-4,279.524-4,078.106-4,921.992-5,215.287-4,741.705-2,575.614-4,494.982-2,311.482-7,120.227-3,420.506
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 813.243-566.652-195.958100.88189.685-122.324-35.259-178.718273.786260.773102.397-0.702-1.474-1.286-1.4954.76749.479000
Netto Kasstroomverandering -3,389.5982,052.9174,644.465-6,309.20511,745.3421,839.054325.163-2,787.153-472.2072,884.152-340.7031,925.32-562.634-2,279.408-153.5233,442.888102.6391,071.492-99.454-417.044
Kaspositie aan het Einde van de Periode 15,582.47718,972.07516,919.15812,274.69318,583.8986,838.5564,999.5024,674.3397,461.4927,933.6995,049.5475,390.253,464.934,027.5646,306.9726,460.4953,017.6072,914.9681,776.691,876.144