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OTCM
GPGNF
Market cap1.35bUSD
Apr 04, Last price  
1.42USD
Name

Grupo Gigante SAB de CV

Chart & Performance

D1W1MN
P/E
15.04
P/S
0.85
EPS
1.94
Div Yield, %
Shrs. gr., 5y
Rev. gr., 5y
0.64%
Revenues
33.98b
+6.80%
31,184,559,00030,552,367,00031,876,272,0007,711,078,0007,620,548,0009,518,429,00011,387,542,00013,166,950,00018,793,694,00019,033,998,00020,493,189,00026,309,271,00030,438,425,00031,909,448,00032,920,706,00032,131,425,00025,628,385,00028,153,759,00031,817,907,00033,980,887,000
Net income
1.93b
+2.09%
408,550,000-192,371,000306,477,0004,729,711,0002,810,646,000812,814,000848,228,000426,400,000690,604,0001,575,520,0001,220,900,0001,496,175,0002,789,483,0001,400,358,0001,169,836,000600,850,000-2,209,548,0001,784,723,0001,889,114,0001,928,631,000
CFO
3.63b
+16.04%
920,013,000765,070,0001,267,798,0003,717,746,000512,502,000120,733,000806,243,0001,487,874,0001,131,937,0002,482,224,0002,055,720,0002,597,059,0003,176,465,0002,291,959,0003,392,560,0003,976,892,0001,535,594,0003,291,825,0003,129,295,0003,631,211,000
Dividend
Dec 26, 20130.01 USD/sh
Earnings
Apr 14, 2025

Profile

Grupo Gigante, S. A. B. de C. V., together with its subsidiaries, operates self-service stores that sell office supplies, electronic goods, and housewares in Mexico, Central America, the Caribbean, Colombia, and Chile. The company operates through Retail, Prisa Distribution, Restaurants, Real Estate, and Other segments. It also engages in the management and development of investment property, retail stores, shopping malls, and corporate office buildings; and operation of restaurants. In addition, the company engages in parking lot operations; and information technology consulting and technical support activities. Grupo Gigante, S. A. B. de C. V. was founded in 1962 and is headquartered in Mexico City, Mexico.
IPO date
Jul 16, 1991
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
33,980,887
6.80%
31,817,907
13.01%
Cost of revenue
21,947,043
19,743,649
Unusual Expense (Income)
NOPBT
12,033,844
12,074,258
NOPBT Margin
35.41%
37.95%
Operating Taxes
932,000
410,663
Tax Rate
7.74%
3.40%
NOPAT
11,101,844
11,663,595
Net income
1,928,631
2.09%
1,889,114
5.85%
Dividends
Dividend yield
Proceeds from repurchase of equity
BB yield
Debt
Debt current
1,393,295
2,119,577
Long-term debt
20,977,875
18,383,578
Deferred revenue
355,942
Other long-term liabilities
861,314
157,041
Net debt
(3,450,747)
14,518,122
Cash flow
Cash from operating activities
3,631,211
3,129,295
CAPEX
(669,700)
(580,853)
Cash from investing activities
(1,157,339)
(520,485)
Cash from financing activities
(1,655,766)
(3,118,002)
FCF
8,982,860
11,168,703
Balance
Cash
4,365,022
3,908,041
Long term investments
21,456,895
2,076,992
Excess cash
24,122,873
4,394,138
Stockholders' equity
20,495,919
20,161,439
Invested Capital
22,556,658
34,830,472
ROIC
38.69%
35.00%
ROCE
26.33%
29.05%
EV
Common stock shares outstanding
994,227
994,227
Price
30.70
23.54%
24.85
-14.01%
Market cap
30,522,764
23.54%
24,706,549
-14.01%
EV
27,586,595
39,768,491
EBITDA
13,962,022
13,624,918
EV/EBITDA
1.98
2.92
Interest
1,887,552
1,666,500
Interest/NOPBT
15.69%
13.80%