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
Market Cap$89,664,233$109,546,152$95,762,581$95,199,599
- Cash$15,582,477$16,857,783$16,919,158$12,274,693
+ Debt$28,099,192$29,722,906$34,153,690$29,834,226
Enterprise Value$102,180,948$122,411,275$112,997,113$112,759,132
Revenue$54,782,251$53,307,168$51,055,352$46,893,963
% Growth2.8%4.4%8.9%
Gross Profit$22,383,262$20,700,153$16,772,958$15,785,676
% Margin40.9%38.8%32.9%33.7%
EBITDA$14,594,837$13,631,727$10,600,760$9,985,218
% Margin26.6%25.6%20.8%21.3%
Net Income$7,830,290$7,012,874$4,936,312$4,493,868
% Margin14.3%13.2%9.7%9.6%
EPS Diluted2.552.281.611.46
% Growth11.8%41.6%10.3%
Operating Cash Flow$10,601,299$12,760,025$8,318,940$6,797,661
Capital Expenditures-$2,503,339-$1,675,935-$2,141,436-$2,150,474
Free Cash Flow$8,097,960$11,084,090$6,177,504$4,647,187