Fomento Económico Mexican... (FMX)
NYSE: FMX
· Real-Time Price · USD
85.19
0.64 (0.76%)
At close: Aug 15, 2025, 3:59 PM
85.25
0.06%
After-hours: Aug 15, 2025, 05:29 PM EDT
Fomento Económico Mexicano S.A.B. de C.V. Balance Sheet Statement
Financials in MXN. Fiscal
year is
January - December.
Fiscal Year | Q2 2025 | Q1 2025 | Q4 2024 | Q3 2024 | Q2 2024 | Q1 2024 | Q4 2023 | Q3 2023 | Q2 2023 | Q1 2023 | Q4 2022 | Q3 2022 | Q2 2022 | Q1 2022 | Q4 2021 | Q3 2021 | Q2 2021 | Q1 2021 |
Period Ending | Jun 30, 2025 | Mar 31, 2025 | Dec 31, 2024 | Sep 30, 2024 | Jun 30, 2024 | Mar 31, 2024 | Dec 31, 2023 | Sep 30, 2023 | Jun 30, 2023 | Mar 31, 2023 | Dec 31, 2022 | Sep 30, 2022 | Jun 30, 2022 | Mar 31, 2022 | Dec 31, 2021 | Sep 30, 2021 | Jun 30, 2021 | Mar 31, 2021 |
Cash & Equivalents | 129.82B | 109.34B | 139.83B | 155.77B | 121.43B | 137.53B | 165.11B | 160.44B | 154B | 99.93B | 83.44B | 101.07B | 105.9B | 93.22B | 97.41B | 114.67B | 107.78B | 113.33B |
Short-Term Investments | 32.48B | 60.37B | 43.21B | 24.37B | 47.99B | 67.77B | 26.73B | 73.56B | 10.82B | 97.87B | 51M | 20M | 22M | 23.74B | 24.41B | 10.39B | 10.11B | 216M |
Long-Term Investments | 27.09B | 28.86B | 37B | 36.7B | 27.45B | 26.09B | 35.35B | 10.88B | 10.78B | 14.34B | 103.67B | 101.71B | 101.02B | 105.21B | 107.3B | 107.65B | 91.42B | 95.62B |
Other Long-Term Assets | 52.64B | 61.35B | 21.76B | 66.26B | 57.62B | 53.94B | 12.63B | 52.21B | 51.24B | 60.34B | 33.28B | 62.15B | 60.52B | 66.62B | 48.47B | 68.97B | 69.7B | 69.11B |
Receivables | 42.08B | 41.82B | 69.54B | 41.49B | 39.74B | 38.68B | 38.86B | 45.3B | 47.38B | 40.98B | 45.53B | 40.41B | 37.49B | 34.09B | 33.9B | 30.16B | 26.89B | 25.91B |
Inventory | 66.61B | 66.55B | 67.46B | 63.17B | 57.77B | 54.57B | 58.22B | 55.78B | 58.56B | 61.31B | 62.22B | 55.24B | 54.85B | 52.79B | 50.9B | 47.62B | 44.39B | 43.47B |
Other Current Assets | 52.26B | 55.48B | 17.07B | 54.86B | 84.33B | 48.87B | 67.23B | 43.35B | 43.34B | 34.03B | 35.21B | 34.06B | 32.54B | 26.12B | 24.1B | 21.32B | 22.32B | 21.94B |
Total Current Assets | 323.26B | 333.56B | 342.31B | 339.67B | 351.27B | 347.43B | 356.16B | 378.44B | 314.09B | 334.12B | 226.46B | 230.79B | 230.81B | 229.96B | 230.72B | 224.16B | 211.48B | 204.87B |
Property-Plant & Equipment | 281.55B | 282.73B | 277.21B | 260.2B | 241.78B | 228.94B | 230.9B | 223.5B | 321.03B | 318.17B | 217.97B | 182.12B | 176.64B | 177.45B | 172.14B | 167.83B | 166.25B | 165.97B |
Goodwill & Intangibles | 146.5B | 149.38B | 146.34B | 147.06B | 142.29B | 141.17B | 143.22B | 153.13B | 83.86B | 83.73B | 190.35B | 165.53B | 164.65B | 165.23B | 158.14B | 153.48B | 154.87B | 153.47B |
Total Long-Term Assets | 507.78B | 522.32B | 509.23B | 510.23B | 469.14B | 450.13B | 449.7B | 439.72B | 466.91B | 476.58B | 572.16B | 511.51B | 502.83B | 514.5B | 506.78B | 497.92B | 482.25B | 484.17B |
Total Assets | 831.04B | 855.88B | 851.54B | 849.9B | 820.42B | 797.56B | 805.86B | 818.16B | 781B | 810.69B | 798.62B | 742.31B | 733.64B | 744.46B | 737.5B | 722.08B | 693.73B | 689.04B |
Account Payables | n/a | n/a | 96.91B | n/a | 78.9B | 75.36B | 82.33B | 79.87B | 75.26B | 71.95B | 78.79B | 25.52B | 69.14B | 66.25B | 93.35B | 58.19B | 56.61B | 52.05B |
Deferred Revenue | n/a | n/a | n/a | n/a | -77.32B | -75.36B | 67.76B | -79.87B | -75.26B | -71.95B | n/a | n/a | -69.14B | -66.25B | -91.38B | -58.19B | -56.61B | -52.05B |
Short-Term Debt | 19.35B | 18.83B | 6.72B | 8.28B | 5.96B | 5.08B | 8.45B | 9B | 8.54B | 16.63B | 18.34B | 14.85B | 17.02B | 5.42B | 4.64B | 5.08B | 5.73B | 7.79B |
Other Current Liabilities | 204.96B | 167.05B | 7.37B | 184.92B | 105.21B | 112.42B | 40.62B | 94.04B | 80.73B | 85.75B | 19.84B | 115.09B | 68.42B | 62.04B | 29.46B | 60.9B | 56.1B | 59.11B |
Total Current Liabilities | 241.37B | 203.39B | 202.93B | 209.4B | 204.43B | 206.74B | 182.38B | 196.42B | 178.05B | 188.63B | 173.87B | 165.35B | 163.92B | 142.97B | 136.72B | 132.7B | 126.97B | 127.4B |
Long-Term Debt | 136.22B | 131.74B | 141.48B | 137.79B | 131.54B | 126.3B | 128.37B | 132.35B | 130.55B | 138.49B | 173.4B | 153.32B | 164.26B | 174.86B | 185.94B | 179.33B | 176.72B | 177.82B |
Other Long-Term Liabilities | 33.95B | 33.69B | 21.72B | 31.98B | 31.61B | 34.93B | 14.65B | 30.27B | 29.2B | 41.41B | 31.48B | 34.15B | 27.81B | 35.17B | 24.97B | 31.99B | 32.29B | 32.21B |
Total Long-Term Liabilities | 264.62B | 260.71B | 267.48B | 263.24B | 250.73B | 243.44B | 245.11B | 245.83B | 241.25B | 260.92B | 286.1B | 246.48B | 248.88B | 266.89B | 265.96B | 264.22B | 261.03B | 261.81B |
Total Liabilities | 505.99B | 464.11B | 470.4B | 472.64B | 455.16B | 450.18B | 427.49B | 442.26B | 419.29B | 449.55B | 459.96B | 411.83B | 412.8B | 409.87B | 402.68B | 396.92B | 388B | 389.21B |
Total Debt | 265.48B | 261.63B | 256.3B | 253.91B | 237.86B | 225.82B | 232.9B | 236.3B | 232.54B | 248.31B | 280.64B | 235.52B | 245.65B | 244.66B | 246.85B | 244.2B | 241.32B | 244.16B |
Common Stock | n/a | n/a | 3.26B | n/a | 2.97B | 347.38B | 3.35B | 2.98B | 2.98B | 3.35B | 3.35B | 2.98B | 2.98B | 3.35B | 3.35B | 2.98B | 2.98B | 3.35B |
Retained Earnings | n/a | n/a | 306.4B | n/a | 295.12B | 282.59B | 304.65B | 302.91B | 293.18B | 287.03B | 251.19B | 246.91B | 236.16B | 242.29B | 238.31B | 231.31B | 217.39B | 214.31B |
Comprehensive Income | n/a | n/a | -9.57B | n/a | -16.5B | -24.01B | -21.74B | -29.18B | -29.74B | -20.42B | -9.65B | -8.94B | -6.16B | 764.16M | 3.08B | 3.27B | -462.31M | -87.25M |
Shareholders Equity | 241.42B | 308.15B | 297.5B | 302.75B | 290.75B | 272.87B | 303.86B | 300.7B | 286.51B | 285.94B | 338.66B | 257.96B | 248.32B | 262.08B | 334.82B | 255.72B | 236.28B | 230.38B |
Total Investments | 59.57B | 89.23B | 80.21B | 61.08B | 27.45B | 93.86B | 62.08B | 84.44B | 21.6B | 112.2B | 103.72B | 8.37B | 101.04B | 128.95B | 154.83B | 118.03B | 101.53B | 95.84B |