America Movil, S.A.B De C.V Financial Ratios for Analysis 2009-2024 | AMX

Fifteen years of historical annual and quarterly financial ratios and margins for America Movil, S.A.B De C.V (AMX).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.650.740.760.710.630.750.830.730.830.760.860.830.911.140.77
0.450.480.480.600.690.690.710.700.780.700.690.560.540.470.36
1.191.171.241.992.752.602.682.614.252.572.331.341.290.900.62
61.2260.8660.1353.7453.1750.9951.4250.2753.2554.4854.4255.6956.2758.3158.18
20.5620.2419.4216.2615.3713.449.8011.2415.8218.4619.6220.3023.7425.6526.40
20.5620.2419.4216.2615.3713.449.8011.2415.8218.4619.6220.3023.7425.6526.40
39.1639.0238.4332.4131.1528.4425.4826.4729.8832.0132.5433.6637.8740.6339.85
14.1315.9012.016.6312.059.735.592.416.2810.2813.4017.8719.3322.2325.15
9.339.0222.494.616.725.062.870.893.925.449.4911.8013.2516.2719.51
0.520.520.510.630.660.730.690.640.690.660.770.770.700.690.87
16.4213.7714.1015.4811.4812.6212.7913.1511.7510.759.7611.978.529.727.66
3.934.194.194.864.894.775.254.725.735.776.086.415.326.527.06
92.9887.1887.0375.1674.6476.4669.5477.2863.7163.2260.0056.9368.5755.9451.71
19.1620.1516.4316.2030.9822.1712.354.4523.0020.2435.6529.5030.5026.3838.29
52.4252.5642.83132-137.52-249.77-93.61-35.55-36.62-295.2494.2255.0449.8041.0379.63
5.165.454.423.144.593.812.170.802.853.727.319.189.5310.1115.04
10.6110.428.556.429.746.913.551.355.116.0811.1112.8613.8814.0724.36
7.997.126.624.733.653.783.993.972.834.684.566.33---
4.663.633.804.253.773.823.343.462.805.213.914.074.763.803.58
2.331.341.772.601.641.611.521.430.612.481.441.671.802.352.34

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-09-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312016-06-302015-09-302015-06-302014-06-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.720.710.680.650.670.660.670.690.770.760.690.720.780.710.730.810.910.630.680.660.670.750.780.770.800.810.850.870.870.690.780.830.850.840.900.911.211.041.191.141.551.601.440.770.770.730.66
0.470.490.490.450.450.430.450.470.490.480.580.600.640.600.710.750.750.690.680.660.660.690.750.760.740.740.790.760.680.650.610.560.560.580.540.540.490.460.460.470.510.450.490.360.340.390.40
1.141.221.231.191.251.181.241.291.281.241.821.862.181.993.023.403.632.752.632.622.542.603.303.493.073.284.723.642.392.141.631.341.361.461.271.291.090.910.900.901.120.851.000.620.570.720.79
62.0863.0461.7177.0642.3861.1961.9642.1660.4711754.4354.0553.3852.8253.6755.2353.6752.5553.2053.6353.3949.6150.4151.7352.1250.0553.3754.2554.4554.9952.6955.4955.1755.9257.3426.1760.3857.6958.4395.9958.0957.1056.4759.8858.9460.6659.38
21.2322.1420.0520.8120.3819.9021.1220.3218.8635.6818.6517.7016.5816.0217.3216.2615.5716.8515.3214.7014.4015.1014.3912.6911.7111.0415.7316.5219.3520.8222.7316.2722.2420.5120.7457.1118.0424.7826.00-27.3027.4628.9032.0113.0528.2929.7828.67
21.2322.1420.0520.8120.3819.9021.1220.3218.8635.6818.6517.7016.5816.0217.3216.2615.5716.8515.3214.7014.4015.1014.3912.6911.7111.0415.7316.5219.3520.8222.7316.2722.2420.5120.7457.1118.0424.7826.00-27.3027.4628.9032.0113.0528.2929.7828.67
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8.562.5813.3112.504.7518.8621.3012.6622.3413.038.7624.502.1319.918.6011.85-16.2513.7510.359.9513.9211.0915.690.1612.075.61-6.5811.5212.6010.1420.0612.6322.7011.4125.196.3917.1522.4623.6430.9621.8226.1626.8621.1726.1131.2825.42
2.88-0.536.649.531.0012.7814.438.3814.581566.2416.960.7313.437.257.97-11.757.955.245.627.915.757.64-0.096.983.30-4.736.399.297.2913.937.5615.866.9116.968.9511.1715.1215.0514.9615.2518.5717.1012.1018.7323.9417.42
0.130.120.130.150.130.130.130.130.120.050.160.160.150.190.160.150.140.180.170.160.160.180.180.180.180.160.170.170.190.200.210.200.200.190.210.210.160.180.180.180.170.150.200.240.230.220.23
3.363.273.662.755.713.593.403.902.52-0.593.253.663.744.883.443.332.953.222.793.002.773.143.093.113.473.173.012.953.002.623.013.282.912.802.901.462.552.452.584.182.692.052.092.511.871.721.52
0.940.930.961.110.930.991.051.010.970.411.161.171.151.501.121.000.921.351.101.101.091.161.281.331.291.211.491.511.591.721.761.671.751.701.661.591.261.441.491.741.532.072.021.931.921.992.02
96.0996.9093.5680.8696.4791.1585.4589.1592.5222077.5277.0278.0359.9280.3290.0397.7366.5582.1781.5182.2277.9270.4967.7169.7674.1160.3659.6356.6352.2251.1753.7851.4253.1054.1156.6571.4162.6660.2951.7258.7943.4844.6546.7346.8245.1844.50
---5.170.79--3.78-1.86---13.67---16.14---5.97---3.92-6.428.368.846.19-4.8910.22--6.01-7.18-7.22--9.677.32---
5.420.7212.3114.132.1117.6321.5710.4117.074.8630.1792.8112.36112-34.95-28.2245.94-71.64-62.13--168.17-67.21-41.25-0.43-46.81-12.169.13-26.1023.9017.7626.259.1319.099.3721.819.817.6110.9610.5011.2311.6110.3618.7615.2320.8233.3727.03
0.530.060.991.390.211.792.001.001.800.501.092.740.172.651.281.30-1.612.390.95-1.301.031.480.021.270.59-0.761.181.761.352.931.523.211.343.491.881.802.682.672.772.562.873.402.884.265.313.96
1.050.122.042.860.433.834.292.013.500.972.305.610.335.422.542.51-3.065.071.94-2.691.862.600.032.121.03-1.321.982.812.164.452.134.471.924.992.732.573.893.723.853.523.874.934.666.658.576.45
8.227.857.477.997.917.466.946.707.136.624.924.794.344.73-2.85-3.653.733.95-3.783.123.08-3.672.813.564.704.77-----------------
0.000.000.004.662.560.000.002.310.003.800.000.000.004.250.000.000.003.770.000.000.003.820.000.000.001.662.340.092.281.630.004.182.990.000.003.580.003.070.004.030.000.000.573.580.000.000.00
---2.331.03--0.72-1.77---2.60---1.64---1.61---0.780.610.031.190.41-1.711.17--1.35-1.34-2.49--0.472.34---