Cemex S.A.B De C.V Financial Ratios for Analysis 2009-2024 | CX

Fifteen years of historical annual and quarterly financial ratios and margins for Cemex S.A.B De C.V (CX).

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
0.740.820.790.790.850.710.641.121.020.881.161.181.040.991.15
0.370.420.440.530.490.500.470.570.610.600.560.570.530.480.44
0.670.810.891.251.091.061.081.391.641.651.291.351.160.950.82
33.7130.9632.2432.1732.7934.6034.3235.4833.3932.0331.1229.6028.5128.0229.39
10.637.0211.38-3.567.5110.4011.1413.4010.518.129.978.736.346.088.01
10.637.0211.38-3.567.5110.4011.1413.4010.518.129.978.736.346.088.01
17.7214.2119.175.1015.4717.6617.3419.8317.3215.0017.3617.4515.4016.4818.28
8.334.946.63-10.161.935.305.296.891.52-0.79-1.74-2.60-8.40-6.43-2.35
1.055.515.24-11.451.093.905.905.590.53-3.15-4.91-5.69-10.14-9.270.83
0.610.590.540.470.450.460.450.420.420.410.390.410.340.340.34
6.446.447.738.958.928.198.999.068.497.907.938.417.708.238.12
7.247.156.926.387.117.527.287.146.936.695.936.588.6214.578.70
50.4051.0652.7757.2551.3248.5650.1251.1052.7054.5561.5255.4642.3625.0541.93
1.645.147.95-15.050.844.466.247.210.71-3.83-6.36-7.63-9.14-7.692.28
7.7034.72161104-11.88-55.83-53.65-28.20-2.0612.5435.4366.25-140.37-43.4025.43
0.702.123.07-4.910.311.692.312.360.22-1.10-1.90-2.48-3.46-3.191.01
1.032.994.42-7.060.432.253.283.100.28-1.55-2.81-3.27-4.28-4.001.27
8.367.426.986.097.177.387.397.222.372.65-----
0.490.330.410.360.290.330.340.420.250.180.070.311.381.322.24
0.270.130.240.240.150.200.220.380.130.09-0.250.001.191.031.81

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.980.900.780.740.890.890.920.820.870.87-0.790.870.870.79-1.311.040.850.690.740.660.710.810.760.730.640.740.85-1.121.041.041.221.021.021.070.880.881.081.100.981.161.131.151.141.181.191.231.161.041.061.121.150.991.071.161.251.151.120.530.59
0.330.340.350.370.330.340.350.420.390.41-0.440.440.480.53-0.530.500.490.470.450.450.500.450.460.470.470.470.49-0.570.550.580.600.610.590.580.580.600.550.55-0.56-0.580.570.570.550.550.550.53--0.490.48---0.44---
0.490.530.540.670.500.510.540.810.630.70-0.890.780.911.25-1.121.001.091.040.830.811.060.830.840.901.080.880.96-1.391.201.381.531.641.441.401.401.651.221.25-1.29-1.461.411.351.221.241.231.16--0.980.95---0.82---
32.7635.7033.5833.8234.1434.7531.9631.2330.4731.2730.8530.3332.3232.5130.9034.2932.0131.3532.0133.9633.5631.4036.4235.1235.3031.7634.2235.7534.8732.2036.2436.9936.3032.1834.8634.0334.2030.7235.0133.8632.0027.4533.4532.2731.9627.3130.8230.7129.9626.8728.5129.8928.1828.4625.7129.1229.9926.9519.5231.3030.6028.55
9.7414.8210.366.7711.1113.7410.98-2.578.8711.3710.337.97-2.9828.618.88-34.587.187.061.6510.439.757.705.8412.1112.669.884.0112.0613.1615.6014.0114.8713.8110.734.049.6512.9610.18-0.9512.4511.097.469.0611.608.636.867.7410.529.046.862.647.686.305.093.477.557.834.8824.449.759.818.90
9.7414.8210.366.7711.1113.7410.98-2.578.8711.3710.337.97-2.9828.618.88-34.587.187.061.6510.439.757.705.8412.1112.669.884.0112.0613.1615.6014.0114.8713.8110.734.049.6512.9610.18-0.9512.4511.097.469.0611.608.636.867.7410.529.046.862.647.686.305.093.477.557.834.8824.449.759.818.90
--------------------------------------------------------------
4.768.137.315.767.7611.168.69-3.518.228.276.654.37-6.5220.971.28-42.801.842.16-4.725.874.241.67-1.456.6911.402.740.098.225.117.888.049.766.712.821.48-0.115.40-0.89-6.471.725.31-4.68-4.120.280.79-4.53-5.94-2.44-3.571.81-3.14-17.75-7.11-5.08-9.95-2.28-6.35-7.62-12.772.084.51-4.97
9.925.136.15-9.792.886.065.59-2.5712.496.595.325.64-10.1919.482.06-44.84-1.501.37-7.575.364.551.26-1.524.6510.150.77-3.128.188.0810.697.108.225.711.114.22-1.213.07-4.49-4.63-2.561.83-8.16-6.60-3.87-3.80-8.46-13.17-5.20-4.85-0.75-3.97-20.71-7.19-8.16-16.63-2.37-8.14-11.24-6.193.174.470.08
0.150.160.140.160.160.160.150.150.150.15-0.130.140.120.12-0.100.110.110.120.120.110.100.130.130.120.110.120.12-0.100.110.120.100.100.110.110.100.100.110.110.090.100.110.110.090.100.100.100.090.080.100.100.080.090.090.090.070.080.090.090.08
1.771.771.531.671.661.601.551.591.751.85-1.912.062.142.42-2.132.172.162.272.071.901.652.222.352.272.262.292.30-2.122.342.372.062.122.202.081.911.962.002.081.942.042.132.091.882.062.102.071.941.962.122.121.812.111.921.961.591.531.991.931.74
1.561.691.531.881.671.641.661.781.631.63-1.661.661.671.69-1.561.601.701.791.661.591.561.771.771.741.831.811.75-1.691.781.791.591.661.661.581.461.631.511.501.681.501.481.441.391.631.791.781.702.092.042.882.643.623.061.631.592.041.691.851.69
57.7353.1958.9647.9653.7354.7554.3050.6955.2355.28-54.1754.3053.7853.17-57.6456.3152.8950.3654.2456.5957.5950.8050.9851.6249.2749.8051.40-53.3250.4950.1656.4754.2654.1356.8861.5055.3659.5559.8153.6760.1760.9962.4564.9155.2850.3850.5752.9843.0744.1031.2334.1024.8929.3955.3056.6744.1253.3448.7353.39
1.722.142.13-3.620.992.361.81-1.592.522.50-2.36-3.39-0.77-0.130.16-1.471.53--0.09-0.71--0.36-0.892.912.55-2.032.992.150.510.96-0.371.19-1.38-1.60-0.65--2.19--1.24-2.34-4.13----0.88-5.32--1.61-3.43-5.56--1.39---
1.722.142.13-16.940.992.361.81-10.762.522.50-47.67-3.396.69-5.32-0.130.1620.75-20.100.82-0.098.881.393.370.367.652.912.55--7.932.992.150.51-2.78-0.371.19-1.385.22-0.93-4.47-2.5612.22-1.319.7025.4435.82-1.66-1.57-0.21-13.46-5.32-1.73-8.85-19.36-0.50-1.75-1.7615.470.841.350.02
0.760.920.90-1.540.451.050.80-0.661.030.98-0.91-1.262.320.25-0.050.06-0.540.590.31-0.04-0.270.551.300.14-0.331.090.93-0.660.980.660.150.29-0.110.35-0.38-0.46-0.290.20-0.77-0.66-0.42-0.40-0.77-1.34-0.52-0.49-0.07-0.33-2.06-0.69-0.66-1.42-0.20-0.71-0.760.610.290.410.01
1.151.401.39-2.270.661.561.17-0.931.551.47-1.31-1.913.510.36-0.060.08-0.750.810.45-0.05-0.360.761.830.19-0.471.551.30-0.871.360.900.200.38-0.150.50-0.57-0.64-0.420.29-2.56-0.97-1.31-0.52-1.00-1.77-0.75-0.70-0.10-0.41-5.32-1.73-0.81-1.78-0.50-1.75-1.760.770.841.350.02
---8.36---7.42---6.98--6.09---7.17---7.38---7.39---7.22-------------------------------
0.000.000.000.490.000.000.000.330.000.000.000.410.000.000.360.000.110.000.290.420.030.000.330.570.000.000.340.000.000.000.420.000.000.000.820.000.000.000.630.00-0.190.000.070.00-0.39-0.290.310.000.000.001.370.000.000.061.310.880.000.001.970.000.000.00
---0.27---0.13---0.24--0.24--0.03-0.150.030.00-0.200.21--0.22---0.38---0.44---0.31--0.25--0.25--0.46-0.310.00---1.18--0.041.030.84--1.59---