Kimberly-Clark de México, S. A. B. de C. V.

KCDMF · OTC
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Assets
Cash & Equivalents$15,582$16,858$16,919$12,275
Short-Term Investments$0$611$0$0
Receivables$7,911$6,981$6,704$6,496
Inventory$4,198$4,113$4,598$4,462
Other Curr. Assets$1,604$1,146$385$310
Total Curr. Assets$29,295$31,212$28,606$23,543
Property Plant & Equip (Net)$19,645$18,934$18,909$18,382
Goodwill$934$934$934$934
Intangibles$1,461$1,589$1,794$1,931
Long-Term Investments-$1,475$3$2,946$3,994
Tax Assets$720$611$347-$3,994
Other NC Assets$1,529$636$4$3,994
Total NC Assets$22,814$22,706$24,935$25,241
Other Assets$0$0$0$0
Total Assets$52,109$53,919$53,541$48,784
Liabilities
Payables$9,123$7,958$8,253$8,754
Short-Term Debt$5,470$4,744$2,241$3,510
Tax Payable$1,211$1,191$879$203
Deferred Revenue$0$0$4,136$2,969
Other Curr. Liab.$4,690$4,834$3,299$2,783
Total Curr. Liab.$20,494$18,727$14,672$15,250
LT Debt$22,629$24,979$33,459$26,463
Deferred Rev, NC$0$0$0-$14,305
Deferred Tax Liab, NC$0$0$0$199
Other NC Liab.$1,580$3,292$383$1,347
Total NC Liab.$24,208$28,271$33,842$27,810
Other Liabilities$0$0$0$0
Cap. Leases$939$1,084$1,246$1,424
Total Liabilities$44,703$46,998$48,513$43,060
Equity
Pref Stock$0$0$0$0
Common Stock$19$20$20$20
Retained Earnings$7,712$7,020$4,988$5,095
AOCI-$324$0$19$609
Other Equity$0-$118$0$0
Total Equity$7,407$6,921$5,027$5,724
Supplemental Information
Minority Interest$0$0$0$0
Total Liab. & Tot. Equity$52,109$53,919$53,541$48,784
Net Debt$12,517$12,865$18,780$17,698