Coca Cola Femsa S.A.B De C.V Financial Ratios for Analysis 2009-2024 | KOF

Fifteen years of historical annual and quarterly financial ratios and margins for Coca Cola Femsa S.A.B De C.V (KOF).

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
1.231.371.741.691.111.261.001.141.391.341.331.551.281.501.01
0.330.350.400.400.310.350.340.400.370.370.330.190.140.170.13
0.490.600.670.710.540.620.590.690.610.600.520.290.220.230.23
45.2444.2445.4845.1045.0046.0344.9944.8347.2946.4346.7546.4545.8846.3246.52
13.6613.3813.9012.3912.5813.22-0.9311.4714.4514.5213.8514.0016.1616.5115.40
13.6613.3813.9012.3912.5813.22-0.9311.4714.4514.5213.8514.0016.1616.5115.40
17.9617.9718.9417.8518.0518.734.8016.3619.1419.2318.4317.8619.8120.4919.09
11.7511.3811.738.759.479.42-3.528.059.6610.1511.0413.5313.4514.0712.67
7.978.398.075.616.237.64-6.285.666.717.537.569.418.969.958.73
0.900.820.720.700.750.690.710.640.720.690.720.890.820.910.93
11.3010.638.8810.3610.149.799.869.139.9610.099.109.768.9110.8310.99
11.7113.8914.9815.9412.5612.2811.5911.8415.8010.2115.6715.8314.4416.2617.33
31.1626.2724.3722.8929.0629.7231.4830.8323.1135.7423.2923.0625.2722.4521.06
15.1314.8912.808.469.748.87-8.298.149.499.379.7412.8611.3713.9413.08
62.1568.2764.3056.0871.6678.19-70.8020057.3678.8862.7035.6538.0513.9450.95
7.407.066.013.944.904.43-4.083.764.914.865.268.127.569.038.09
10.189.727.745.066.725.79-5.514.896.005.906.5510.409.7211.5211.34
37.6632.2029.6029.3032.7331.9434.1130.2430.51------
11.918.667.598.417.907.168.097.596.517.998.209.055.886.286.99
6.444.665.486.175.374.865.475.253.617.994.339.053.216.284.87

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.051.231.231.191.141.371.241.281.381.741.641.561.511.691.521.211.211.111.101.010.951.261.521.150.921.001.281.411.031.141.281.271.201.391.171.191.151.341.311.281.221.331.281.231.051.551.361.311.121.281.491.391.081.501.381.341.531.010.960.900.87
0.340.330.340.350.360.350.340.370.400.400.400.400.430.400.420.370.380.310.320.310.320.350.380.380.340.340.360.400.380.400.370.370.380.370.400.390.400.370.340.340.350.330.240.220.200.190.160.160.160.140.180.180.140.170.170.180.200.130.140.150.18
0.510.490.510.530.630.600.590.660.680.670.700.710.780.710.830.730.710.540.590.590.610.620.690.700.610.590.580.690.620.690.620.630.640.610.720.660.670.600.530.530.560.520.400.350.300.290.210.220.210.220.280.290.240.230.240.230.280.230.240.350.37
44.5645.9745.9044.3944.3944.2344.4744.0944.1544.9445.1547.2144.5844.7245.7244.2845.6844.3744.4946.0745.1752.7945.8444.0644.0946.4944.6045.5543.4242.7844.5746.1845.6039.2047.7047.9947.17100.0048.41100.0045.8048.8746.9848.0945.0251.2346.2346.5445.9730.7949.9946.0143.8446.0346.0247.2443.3652.5645.8846.8146.36
13.5113.7513.4613.9413.4713.8512.8513.3513.3713.7913.4015.1713.2010.4915.2411.9112.6310.6414.4013.2112.3617.6813.0912.0511.83-44.6611.1412.9511.863.2413.3315.0413.2330.8314.3814.6910.56100.0011.91100.0013.4211.0313.3012.5514.617.8316.1911.9911.6244.888.5916.2018.2418.4218.7114.5218.754.5716.1516.0014.67
13.5113.7513.4613.9413.4713.8512.8513.3513.3713.7913.4015.1713.2010.4915.2411.9112.6310.6414.4013.2112.3617.6813.0912.0511.83-44.6611.1412.9511.863.2413.3315.0413.2330.8314.3814.6910.56100.0011.91100.0013.4211.0313.3012.5514.617.8316.1911.9911.6244.888.5916.2018.2418.4218.7114.5218.754.5716.1516.0014.67
-------------------------------------------------------------
11.7612.4312.3911.2810.5812.2911.6812.278.7413.0110.7012.4210.6610.928.346.717.977.8711.439.968.8211.979.959.327.52-49.589.396.8614.249.177.037.259.068.658.0610.739.72100.0010.12100.009.2510.3912.3111.1110.9917.1814.6410.5012.549.4013.6713.8013.0315.7712.5014.0912.8816.5712.3213.309.04
7.858.258.568.026.8311.247.668.075.6510.997.086.947.066.285.274.915.634.078.277.275.6016.427.405.344.86-52.466.394.4511.465.945.355.016.467.845.287.406.417.778.006.475.977.097.887.747.2510.859.797.477.868.867.519.259.1210.808.289.859.4610.448.218.946.26
0.230.260.230.230.210.240.210.210.180.190.180.180.170.230.160.160.160.210.190.180.180.120.160.190.180.160.170.180.180.140.180.170.170.190.180.180.160.180.180.190.180.200.190.200.220.240.250.250.240.260.220.240.230.260.240.240.230.260.250.230.22
2.903.282.932.832.303.152.412.252.112.351.942.182.443.362.602.412.152.872.852.582.381.482.322.562.292.182.432.492.162.132.482.462.492.082.572.632.55-2.63-2.582.642.422.422.512.842.362.512.401.902.732.892.583.062.682.692.813.532.752.632.55
4.003.454.404.464.094.124.014.514.383.935.415.375.125.145.234.694.143.524.524.164.282.133.503.783.792.644.094.804.462.664.404.524.404.095.304.774.752.694.685.094.974.295.045.404.784.324.705.174.994.524.655.655.144.625.555.995.564.875.836.095.69
22.4926.1120.4620.1922.0121.8622.4519.9520.5722.9016.6316.7517.6017.5117.2219.1921.7325.5819.9221.6321.0442.3325.7023.7923.7734.0722.0118.7620.1933.8020.4619.9020.4422.0016.9818.8618.9533.5219.2417.6718.1120.9717.8516.6618.8320.8419.1417.3918.0319.9019.3515.9417.5019.4716.2315.0216.1818.5015.4314.7915.83
-4.67---5.94---4.60---3.18---1.843.23--2.02----17.03---1.97--2.352.85---2.73---2.59---4.17---3.432.673.5090.854.3089.2710997.284.403.273.672.49
20.1819.2018.6422.2820.8727.2419.6823.7020.7323.1117.1923.9226.4221.1014.3311.6115.7313.5324.3326.6927.9217.7917.1130.5726.99-145.4728.2330.7011148.3412.7014.9120.0717.2114.0424.4526.3223.0124.792.362.1416.652.622.552.6011.563.632.742.9511.492.673.503.424.303.083.603.4617.143.273.6719.97
1.892.282.011.921.482.821.661.661.112.161.291.381.191.480.910.710.880.931.601.391.061.011.081.130.92-8.391.180.942.120.910.950.931.141.470.931.301.051.421.471.231.091.401.521.551.572.632.461.861.922.281.672.202.132.781.992.322.172.722.022.081.38
2.763.142.802.672.163.882.342.331.542.781.691.831.571.901.210.961.211.272.211.911.491.321.431.491.29-11.311.581.212.881.181.211.181.461.801.151.581.291.721.851.561.391.741.982.002.093.373.052.292.492.942.182.872.943.552.542.962.783.812.823.112.03
35.2937.6636.4933.3230.8532.2029.8129.4728.6629.6029.2128.4626.6329.3026.8225.7130.7232.7331.2732.1631.0631.9432.9532.6932.7834.1136.2333.2131.2930.2432.7230.4628.36----------------------------
0.0011.910.000.000.008.660.000.000.007.590.000.000.008.410.003.750.007.906.130.000.007.160.000.000.008.090.000.000.007.590.000.000.006.510.000.000.007.980.000.000.008.130.000.000.008.980.003.572.135.710.000.000.006.280.002.930.006.995.273.280.00
-6.44---4.66---5.48---6.17-3.08-5.374.59--4.86---5.47---5.25---3.61---7.98---4.30---8.98-3.572.133.12---6.28-2.93-4.874.193.28-