Fomento Económico Mexican...

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