XMEXBAFARB
Market cap1.44bUSD
Dec 17, Last price
93.00MXN
Jan 2017
156.09%
Name
Grupo Bafar SAB de CV
Chart & Performance
Profile
Grupo Bafar, S.A.B. de C.V. engages in the production, distribution, and sale of food products in Mexico and internationally. It operates through Consumer Products, Retail, International, New Fiber, Vector, Insurance, B Insurance, and Flycapital divisions. The company offers packaged meat, chicken, turkey, and pork products; beef, salchichon, and pork; sausages, including hams and bacon under Parma, Sabori, Country, Griller's, Country Dishes, Montebello, Bafar, Burr, Ponderosa, Perry, And Three Castles brands. It also operates stores under the BIF, Carnemart, La Pastora, and other brands. In addition, the company acquires, develops, and leases real estate properties; and cultivates corns and walnuts. Further, it offers microcredit and business loans for commercial, agricultural, and livestock sectors. Additionally, the company offers insurance services. Furthermore, it provides investments for small and medium-sized companied. The company also exports its products. Grupo Bafar, S.A.B. de C.V. was founded in 1983 and is based in Chihuahua, Mexico.
Valuation
Title MXN in thousands, except ratios and share amounts | FY | FY | FY | FY | FY | FY | FY | FY |
---|---|---|---|---|---|---|---|---|
2021‑12 | 2020‑12 | 2019‑12 | 2018‑12 | 2017‑12 | 2016‑12 | 2015‑12 | 2014‑12 | |
Income | ||||||||
Revenues | 20,697,312 27.19% | |||||||
Cost of revenue | 18,553,985 | |||||||
Unusual Expense (Income) | ||||||||
NOPBT | 2,143,327 | |||||||
NOPBT Margin | 10.36% | |||||||
Operating Taxes | 200,905 | |||||||
Tax Rate | 9.37% | |||||||
NOPAT | 1,942,422 | |||||||
Net income | 1,231,360 56.92% | |||||||
Dividends | (150,000) | |||||||
Dividend yield | 0.71% | |||||||
Proceeds from repurchase of equity | 12,671,282 | |||||||
BB yield | -60.24% | |||||||
Debt | ||||||||
Debt current | 3,002,582 | |||||||
Long-term debt | 8,652,694 | |||||||
Deferred revenue | 17,820 | |||||||
Other long-term liabilities | 164,221 | |||||||
Net debt | 10,686,286 | |||||||
Cash flow | ||||||||
Cash from operating activities | 1,294,800 | |||||||
CAPEX | (1,172,288) | |||||||
Cash from investing activities | (3,323,412) | |||||||
Cash from financing activities | 2,225,347 | |||||||
FCF | 2,059,219 | |||||||
Balance | ||||||||
Cash | 968,990 | |||||||
Long term investments | ||||||||
Excess cash | ||||||||
Stockholders' equity | 9,627,575 | |||||||
Invested Capital | 20,740,970 | |||||||
ROIC | 10.58% | |||||||
ROCE | 9.72% | |||||||
EV | ||||||||
Common stock shares outstanding | 312,853 | |||||||
Price | 67.24 72.41% | |||||||
Market cap | 21,036,249 69.42% | |||||||
EV | 33,588,034 | |||||||
EBITDA | 2,652,493 | |||||||
EV/EBITDA | 12.66 | |||||||
Interest | 470,613 | |||||||
Interest/NOPBT | 21.96% |