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OTCM
CFMXF
Market cap91mUSD
, Last price  
USD
Name

Casa de Bolsa Finamex SAB de CV

Chart & Performance

D1W1MN
P/E
P/S
EPS
3.19
Div Yield, %
Shrs. gr., 5y
-0.02%
Rev. gr., 5y
7.51%
Revenues
1.00b
+31.88%
3,814,000,000-109,000,000-48,000,000575,000,000598,000,000757,900,000635,000,000827,000,000919,000,000633,000,000967,000,000533,000,000697,000,000428,000,0001,092,000,000585,000,000759,000,0001,001,000,000
Net income
202m
+35.57%
157,000,000131,000,000196,000,000255,000,000205,000,000239,000,000206,000,000265,000,000285,000,000105,000,000268,000,0005,000,00069,000,000-134,000,000297,000,00011,000,000149,000,000202,000,000
CFO
274m
P
131,000,00068,000,000388,000,000168,000,000-58,000,000134,000,000255,000,000351,000,00055,000,000151,000,0001,222,000,000-986,000,000777,000,000267,000,000480,000,000133,000,000-145,000,000274,000,000
Earnings
Apr 23, 2025

Profile

Casa de Bolsa Finamex S.A.B. de C.V. operates as a provider of access services to the Mexican markets. The company offers financial services to individual, corporate, or professional investors in the Mexican markets of money, capital, derivatives, and foreign exchange with various direct access products and specialized mixtures. It also provides securities brokerage and administration, and foreign currency purchase and sale services for institutional and corporate clients. The company was founded in 1974 and is based in Guadalajara, Mexico.
IPO date
Sep 03, 1992
Employees
Domiciled in
MX
Incorporated in
MX

Valuation

Title
MXN in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFY
2023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑12
Income
Revenues
1,001,000
31.88%
759,000
29.74%
Cost of revenue
751,000
604,000
Unusual Expense (Income)
NOPBT
250,000
155,000
NOPBT Margin
24.98%
20.42%
Operating Taxes
49,000
7,000
Tax Rate
19.60%
4.52%
NOPAT
201,000
148,000
Net income
202,000
35.57%
149,000
1,254.55%
Dividends
(50,000)
(50,000)
Dividend yield
Proceeds from repurchase of equity
(22,000)
BB yield
Debt
Debt current
Long-term debt
65,000
80,000
Deferred revenue
Other long-term liabilities
(65,000)
(80,000)
Net debt
(10,892,000)
(4,180,000)
Cash flow
Cash from operating activities
274,000
(145,000)
CAPEX
(5,000)
(78,000)
Cash from investing activities
(31,000)
(78,000)
Cash from financing activities
(87,000)
(68,000)
FCF
(805,000)
1,380,000
Balance
Cash
1,242,000
1,025,000
Long term investments
9,715,000
3,235,000
Excess cash
10,906,950
4,222,050
Stockholders' equity
968,000
823,000
Invested Capital
96,517,000
85,954,000
ROIC
0.22%
0.20%
ROCE
0.26%
0.18%
EV
Common stock shares outstanding
63,389
63,389
Price
Market cap
EV
EBITDA
289,000
183,000
EV/EBITDA
Interest
8,231,000
3,819,000
Interest/NOPBT
3,292.40%
2,463.87%