Coca-Cola FEMSA, S.A.B. de C.V.

BMV:KOFUBL.MX

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

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Operationele Activiteiten:
Nettowinst 36,31729,00726,17322,94015,79618,27818,272-7,10014,45514,88014,82717,51319,992014,55913,0135,8267,091.3435,052.064,702.4455,408.6222,324.5722,547.212,228.6211,295.836973.152647.861709.456525.096357.512300.161
Afschrijvingen & Amortisatie 12,12710,53110,4259,83410,03110,64210,02811,6578,6667,1446,9497,1325,6924,5594,0273,7793,2623,322.3653,540.762,547.61,632.5821,717.1131,239.74896.398982.679869.215678.523514.356201.536205.72465.807
Uitgestelde Inkomstenbelasting 0000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000000000000000
Verandering in Werkkapitaal -3,2262,572-1,0761,6375,1812,397-1,832-1,2633,709-2,06515-1,7791,391-3,156-6,016-1,306-377-1,459.662-129.54-636.9377.604-1,806.552-201.91273.015-33.465637.057-83.084-173.333209.409-63.952-69.165
Vorderingen -2,299-1,605-3,420-2,0413,040-1,858-2,097-3,530-2,727-1,010-777-1,072-1,545-1,640-1,092-394-17900000000000000
Voorraden -2,215-779-179-2,262190-1,140-1,386-482-2,142-1,784-588-623-731-1,782533-486-675.366-507.365-42.46-310.968-371.407-211.699-138.026-15.075-36.58263.302-127.38188.153-80.903-7.387
Crediteuren 5,1463,7423,4204,448-1,0375,7261,6663,71811,1993,3294,9782,9215,231-3015852,8083,79400000000000000
Overig Werkkapitaal -3,8581,214-8971,4922,988-331-15-969-2,621-2,600-3,598-3,005-1,564567-5,514-3,753288-784.296377.825-594.44688.572-1,435.1459.787211.041-18.39673.639-146.387-45.95321.25616.951-61.778
Overige Niet-Contante Posten -2,776179-31-1,69039,286-283,07529,9425,6163,2432,615-769-3,42513,9041,7791,3544,005000422.028272.803190.795193.333263.441206.928140.452237.023380.242105.55920.145
Kasstroom uit Operationele Activiteiten 42,44242,28935,49132,72170,29431,28929,54333,23632,44623,20224,40622,09723,65015,30714,34916,84012,7168,954.0468,463.286,613.1457,840.8362,507.9373,775.8343,391.3682,508.492,686.3521,383.7511,287.5011,316.282604.843316.948
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -23,944-20,632-17,735-9,989-9,944-11,745-11,290-14,822-12,693-11,501-11,496-11,871-9,976-8,300-8,188-7,107-5,687-2,864.859-2,040.255-1,188.88-1,343.826-1,549.976-860.208-699.045-757.85-739.915-1,211.648-920.68-960.445-751.238-428.417
Netto Overnames -751-1,280-2,3560001,9573,868-13,19800-28,750-1,114-4,3260-717-3,0980000-29,553.338000000000
Aankoop van Beleggingen 00-5580-1,576-572-387-920-2,068-32-58-8,975-469-946-7,954-2,0010-1,067.5140000000000000
Verkoop/verval van Beleggingen 001,771100-924-2,511000-407273-5790-717000000000000000
Overige Investeringsactiviteiten 1,3031,842-719441-9,4961,5731,391-2,769-1,341-368-217-1,14162-1,5246,863-430-1,447-806.082-1,025.525-881.045-422.028-354.307-471.792-84.593-139.826-111.676-76.161-1,082.727-450.307-442.267-8.058
Kasstroom uit Investeringsactiviteiten -23,392-20,070-19,597-9,547-21,016-10,744-9,253-10,890-26,915-10,945-11,137-49,481-10,989-14,140-7,954-8,900-9,153-4,738.455-3,065.78-2,069.925-1,765.854-31,457.621-1,332-783.638-897.677-851.591-1,287.808-2,003.407-1,410.752-1,193.505-436.475
Financieringsactiviteiten:
Schuldaflossingen 510-8,940-2,974-3,62716,537-10,216-531-6213,092-7,169-31029,7757,7644,164991-4,782-3,929-326.79-1,370.965-4,659.985-5,586.31815,544.299-19.564-17.6085.214-1,076.815467.844540.961,136.789899.944243.083
Uitgifte van Gewone Aandelen 00000004,08200000000000009,792.125000000000
Terugkoop van Gewone Aandelen 0000000000000000000000000000000
Uitgekeerde Dividenden -12,870-12,275-11,463-10,649-10,278-7,440-7,038-6,992-7,013-6,416-6,030-6,002-5,734-4,366-2,612-1,344-945-827.868-712.47-636.9-533.0880-581.101-299.536-236.626-174.575-166.169-108.837-51.171-36.214-34.247
Overige Financieringsactiviteiten -7,282-5,137-6,410-5,987-5,842-5,138-6,703-7,244-5,8135,018-5,010-267-1,971-2,004-38797-387-588.222-960.755-1,082.73633.042-22.382-205.777226.257-36.52-220.295-443.117-94.325-428.264-258.888-0.672
Kasstroom uit Financieringsactiviteiten -19,642-26,352-20,847-20,263834-22,794-14,272-10,775-9,734-8,567-11,35023,50660-2,206-2,008-6,029-4,622-1,742.88-3,044.19-6,379.615-5,486.36425,315.161-806.442-90.887-267.932-1,471.686-141.441286.201474.712604.843208.165
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 2,311-5,084-2,018840-2,050-987-1,058-3,280-1,310-659-4,267-4,038-1,342836-1,807-262-29100000000000000
Netto Kasstroomverandering 1,719-9,217-6,9713,75123,006-3,2364,9608,291-5,5133,031-2,348-7,91611,379-2032,5801,826-1,3502,472.7112,353.31-1,825.78577.512-3,634.5231,637.3822,516.8431,342.881363.076-44.51-429.705380.24216.18188.638
Kaspositie aan het Einde van de Periode 32,77931,06040,27747,24843,49720,49123,72718,76710,47615,98912,95815,30623,22212,33112,5347,6276,1927,527.0634,469.131,963.7753,587.2382,774.3056,130.4624,263.5461,926.1549.381188.918207.193562.884152.559116.841