Mex$150.10
Mex$-1.99 (-1.33%)
End-of-day quote: 05/15/2024
BMV:GCARSO A1

Grupo Carso, S.A.B. de C.V. Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
Mex$198.46B Mex$181.54B Mex$124.57B Mex$94.68B Mex$102.48B Mex$96.64B Mex$88.22B Mex$82.39B Mex$85.87B Mex$83.32B Mex$79.20B Mex$64.20B Mex$56.69B Mex$65.91B Mex$74.97B Mex$74.27B Mex$81.26B Mex$69.72B
GM % Gross Margin %
26.82% 24.49% 24.34% 24.21% 27.56% 28.85% 28.40% 27.59% 26.24% 26.13% 24.35% 27.79% 28.80% 26.97% 27.80% 29.95% 25.52% 26.24%
OM Operating Margin
12.47% 12.28% 9.51% 9.31% 10.66% 10.92% 11.21% 10.59% 10.90% 10.83% 9.35% 10.73% 10.82% 9.25% 12.54% 15.59% 11.54% 11.49%
EPS Earnings Per Share
Mex$0.00 Mex$6.05 Mex$8.59 Mex$4.96 Mex$2.54 Mex$3.58 Mex$3.95 Mex$2.72 Mex$2.48 Mex$6.08 Mex$3.31 Mex$1.92 Mex$3.10 Mex$2.89 Mex$2.81 Mex$1.88 Mex$3.41 Mex$3.68 Mex$2.80
Div. Dividends
Mex$0.38 Mex$1.01 Mex$1.00 Mex$0.00 Mex$0.96 Mex$0.92 Mex$0.88 Mex$0.80 Mex$0.80 Mex$0.70 Mex$0.50 Mex$0.66 Mex$0.66 Mex$0.00 Mex$0.00 Mex$2.47 Mex$0.25 Mex$0.25
PR % Payout Ratio %
6.28% 11.76% 20.16% 0.00% 26.82% 23.29% 32.35% 32.26% 13.16% 21.15% 26.04% 21.29% 22.84% 0 0 72.43% 6.79% 8.93%
Sha. Shares
2257.13m 2248.99m 2255.25m 2267.66m 2279.65m 2281.44m 2273.93m 2289.8m 2289.8m 2289.8m 2291.5m 2302.75m 2323.72m 2326.49m 2329.21m 2338.69m 2364.54m 2392.31m
OCF Operating Cash Flow
Mex$13.40B Mex$16.53B Mex$3.12B Mex$10.72B Mex$8.39B Mex$10.58B Mex$6.55B Mex$9.58B Mex$5.40B Mex$7.81B Mex$6.85B Mex$8.06B Mex$6.53B Mex$3.76B Mex$9.32B Mex$6.30B Mex$4.74B Mex$5.93B
FCF Free Cash Flow
Mex$6.66B Mex$11.30B Mex$1.69B Mex$6.14B Mex$4.71B Mex$8.73B Mex$2.63B Mex$6.46B Mex$3.04B Mex$6.02B Mex$3.87B Mex$-3403.38M Mex$1.84B Mex$-1188.93M Mex$5.15B Mex$3.73B Mex$2.26B Mex$3.35B
FCFS Free Cash Flow Per Share
Mex$3.70 Mex$4.84 Mex$0.30 Mex$2.59 Mex$1.93 Mex$2.35 Mex$1.13 Mex$2.71 Mex$1.23 Mex$2.57 Mex$1.80 Mex$1.79 Mex$0.69 Mex$-0.51 Mex$2.20 Mex$1.59 Mex$0.95 Mex$1.37