Wal-Mart de México, S.A.B. de C.V.

BMV:WALMEX.MX

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

Numbers are in millions (except for per share data and ratios) MXN.

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Assets:
Current Assets:
Cash & Cash Equivalents 36,513.58240,668.98547,427.19142,816.53535,670.3630,857.0938,829.59835,596.11727,975.53624,790.83828,047.84821,129.49128,163.22925,166.38624,661.0519,482.71611,349.7988,983.81714,984.97114,161.10711,846.24611,763.7439,768.0389,399.43211,996.6039,302.1137,543.399
Short Term Investments 01,318.955000000-1,381.181000000000000000000
Cash and Short Term Investments 36,513.58240,668.98547,427.19142,816.53535,670.3630,857.0938,829.59835,596.11727,975.53624,790.83828,047.84821,129.49128,163.22925,166.38624,661.0519,482.71611,349.7988,983.81714,984.97114,161.10711,846.24611,763.7439,768.0389,399.43211,996.6039,302.1137,543.399
Net Receivables 9,761.23322,960.0950000010,834.4600012,778.41310,376.4381,112.8796,876.8425,540.6994,487.7964,700.2373,815.0072,628.8771,940.6771,982.5512,112.6541,587.967-407.352-733.263-745.409
Inventory 110,694.94295,088.33289,461.73580,316.96968,360.47467,553.21463,344.26559,463.25553,665.23949,748.87447,175.31143,794.89739,091.59540,163.15829,036.07622,519.68422,807.94320,883.13118,057.66614,098.15611,971.06510,736.03910,773.9688,815.3837,857.3876,982.0955,239.511
Other Current Assets 16,427.5111,024.917,644.10417,684.08717,694.10415,494.86213,440.95311,816.83422,381.89710,308.97315,229.04217,724.6841,016.09111,844.7471,554.208703.322531.933655.189554.777494.378351.358441.718281.737416.9011,462.2361,309.306910.79
Total Current Assets 173,397.268159,742.312154,533.03140,817.591121,724.938113,905.166115,614.816106,876.206104,022.67284,848.68590,452.20182,649.07278,647.35377,459.71761,423.24648,246.42139,177.4735,222.37437,412.42131,382.51826,109.34624,804.4422,844.74820,111.56821,254.59917,485.84713,593.799
Non-Current Assets:
Property, Plant & Equipment, Net 244,673.083217,611.147203,154.725194,634.106185,148.401181,794.69139,368.009134,962.726136,349.603130,222.356125,996.056121,082.727117,376.902116,679.663102,300.00484,892.73379,286.44771,521.99861,449.53853,396.44245,761.49240,848.60636,872.26332,160.61228,448.79824,962.71121,930.344
Goodwill 42,696.90434,296.81135,613.70435,767.24134,997.3835,145.36134,989.2137,373.19639,420.54833,057.32828,020.34124,745.08624,745.08629,768.09729,768.097000000000000
Intangible Assets 4,696.2224,039.4093,604.672,990.8082,554.6361,938.2292,008.5291,994.8321,918.9841,398.8911,094.6781,212.11,182.95400000000000000
Goodwill and Intangible Assets 47,393.12638,336.2239,218.37438,758.04937,552.01637,083.5936,997.73939,368.02841,339.53234,456.21929,115.01925,957.18625,928.0429,768.09729,768.097000000000000
Long Term Investments 4,351.7324,995.3155,480.1055,583.8466,305.926,644.2184,853.975,118.7072,315.193000000000000000000
Tax Assets 21,678.91414,177.84614,103.95712,374.2299,108.2617,908.5667,467.6226,882.4224,699.7293,461.10900000000000000000
Other Non-Current Assets 6,750.6741,683.7762,318.182,221.652,043.5651,836.0392,226.6772,047.575-796.427661.75517.28573.148333.4121,118.9091,316.221000000000000
Total Non-Current Assets 320,495.797276,804.304264,275.341253,571.88240,158.163235,267.103190,914.017188,379.458183,907.63168,801.434155,628.355147,613.061143,638.354147,566.669133,384.32284,892.73379,286.44771,521.99861,449.53853,396.44245,761.49240,848.60636,872.26332,160.61228,448.79824,962.71121,930.344
Total Assets 493,893.065436,546.616418,808.371394,389.471361,883.101349,172.269306,528.833295,255.664287,930.302253,650.119246,080.556230,262.133222,285.707225,026.386194,807.568133,139.154118,463.917106,744.37298,861.95984,778.9671,870.83865,653.04659,717.01152,272.1849,703.39742,448.55835,524.143
Liabilities & Equity:
Current Liabilities:
Account Payables 122,417.445114,430.00698,956.25196,637.88492,356.29787,115.82385,32780,099.06365,918.99856,395.52352,710.22747,609.43844,769.65550,853.68637,999.50932,105.63627,637.15226,332.62626,338.20520,429.57216,017.13919,564.08417,142.96415,235.18715,086.29112,558.68210,093.649
Short Term Debt 4,735.1164,312.1237,023.0926,876.9383,216.7993,044.328308.352381.2041,066.094556.548559.05723.059476.019402.017585.069000000000000
Tax Payables 6,548.3141,214.0373,861.9043,096.9322,656.2322,221.4271,269.1163,890.5986,992.4264,231.4573,406.5291,596.2622,424.52600000000000000
Deferred Revenue 01,789.2631,557.7761,492.491,458.1141,348.991,583.3937,766.767986.448857.8790000-259.567000000000000
Other Current Liabilities 39,887.31434,473.08422,775.18526,096.71323,382.47519,768.3825,677.63122,073.94219,979.30415,267.94618,852.24515,792.64114,493.34615,338.83712,140.9487,806.9667,439.5025,835.0775,022.2626,497.5593,777.387-917.136-656.174-821.576-635.821-1,032.726-1,107.138
Total Current Liabilities 173,588.189156,218.513137,685.754132,708.467123,069.917113,498.948114,165.492107,827.54793,956.82277,309.35375,528.05165,721.462,163.54666,594.5450,725.52639,912.60235,076.65432,167.70331,360.46726,927.13119,794.52618,646.94816,486.7914,413.61114,450.4711,525.9568,986.511
Non-Current Liabilities:
Long Term Debt 74,994.78870,941.67366,327.03661,252.90956,521.41254,168.29115,129.48313,726.1827,855.72113,104.1213,179.93313,766.91712,638.52316,407.69213,553.925000024.44924.84126.12600000
Deferred Revenue Non-Current 03,350.7923,389.7033,702.2414,172.6234,522.3124,881.202-17,823.251-13,093.379-11,475.017-11,875.029-12,795.34-11,580.40600000000000000
Deferred Tax Liabilities Non-Current 2,381.2924,481.5518,929.58910,824.6998,987.8986,741.5685,786.9326,087.18710,483.4379,786.8935,821.8486,851.6586,588.9037,866.0666,954.7995,476.1655,516.3575,446.0485,714.7534,467.394,967.45,092.5495,304.15,009.5744,474.49300
Other Non-Current Liabilities 10,053.3272,468.052,449.87119.1522,597.5212,096.3831,651.652,000.698-11,391.6941,629.1031,304.904971.5771,058.1172,559.38713.7084,602.6093,594.7122,946.6162,291.1891,559.457136.553-1.28924.8350.6532.44558.59881.834
Total Non-Current Liabilities 87,429.40781,242.06678,654.23475,799.00169,694.49167,528.55427,449.26727,894.16426,947.46424,520.11620,306.68521,590.15220,285.54325,153.23821,222.43210,078.7749,111.0698,392.6648,005.9426,051.2965,128.7945,117.3865,328.9355,010.2244,506.93858.59881.834
Total Liabilities 261,017.596237,460.579216,339.988208,507.468192,764.408181,027.502141,614.759135,721.711120,904.286101,829.46995,834.73687,311.55282,449.08991,747.77871,947.95849,991.37644,187.72340,560.36739,366.40932,978.42724,923.3223,764.33421,815.72519,423.83518,957.40811,584.5549,068.345
Equity:
Preferred Stock 000000000000000000000000000
Common Stock 45,429.1642,489.89945,468.42845,468.42845,468.42845,468.42845,468.42845,468.42845,468.42845,468.42845,523.72345,777.57345,959.72451,923.71752,161.25623,427.61123,590.99622,105.23919,629.20316,790.01314,472.10812,484.20212,041.63910,313.9519,909.0169,154.7178,264.612
Retained Earnings 167,447.963151,020.031146,727.023127,310.877111,361.546108,860.208104,638.68796,413.71190,545.81986,188.28494,265.9592,551.72390,370.9381,340.95571,897.1556,563.19347,535.42853,313.82747,971.92842,189.12138,852.82132,422.90927,791.74123,175.41420,341.67221,352.84218,843.346
Accumulated Other Comprehensive Income/Loss 0014,087.68517,298.8716,849.71918,602.77219,896.923,197.50127,903.67217,307.4480000470.218000000000000
Other Total Stockholders Equity 19,998.3465,576.1075,289.9924,908.5734,543.7454,318.1044,014.8043,559.0583,108.0972,830.6462,464.0014,600.9112,067.984,315.109-739.1813,156.9743,149.77-9,235.061-10,647.383-9,567.256-8,153.131-5,349.078-3,517.462-2,549.914-835.729-2,377.0321,588.994
Total Shareholders Equity 232,875.469199,086.037202,468.383185,882.003169,118.693168,144.767164,914.074159,533.953167,026.016151,794.806150,222.575142,930.207139,700.902132,962.432122,531.05383,147.77874,276.19466,184.00559,495.5551,800.53346,947.51841,888.71237,901.28632,848.34530,745.98930,864.00426,455.798
Total Equity 232,875.469199,086.037202,468.383185,882.003169,118.693168,144.767164,914.074159,533.953167,026.016151,820.65150,245.82142,950.581139,836.618133,278.608122,859.6183,147.77874,276.19466,184.00559,495.5551,800.53346,947.51841,888.71237,901.28632,848.34530,745.98930,864.00426,455.798
Total Liabilities & Shareholders Equity 493,893.065436,546.616418,808.371394,389.471361,883.101349,172.269306,528.833295,255.664287,930.302253,650.119246,080.556230,262.133222,285.707225,026.386194,807.568133,139.154118,463.917106,744.37298,861.95984,778.9671,870.83865,653.04659,717.01152,272.1849,703.39742,448.55835,524.143