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

Yield per half year: -14%
Dividend yield: +5.73%
Sector: Consumer Staples

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

Capitalization

2015 2016 2017 2018 2019 2020 2021 2022 2023 LTM 5 year average CAGR 5
Капитализация, млрд $
6.87 6.9 6 5.3 5.75 5.12 5.12 22.32 0.1108 6.94
Выручка, млрд $
32.21 35.66 37.77 41.03 43.5 46.7 46.89 51.06 53.31 53.31
Чистая прибыль, млрд $
4.33 4.79 4.04 4.23 5.16 6.09 4.49 4.94 7.01 7.01
EV, млрд $
0.7422 22.7 23.13 24.54 22.8 19.55 21.59 121.23 128.47 128.47
EBIT, млрд $
7.35 8.17 7.17 7.77 9.32 11.13 8.85 9.62 11.93 11.92
EBITDA, млрд $
9.01 9.77 8.77 9.33 11.26 13.09 10.79 11.58 13.63 13.9
Баланс стоимость, млрд $
6.74 7 6.09 5.56 5.28 5.81 5.72 5.03 6.92 6.92
FCF, млрд $
5.99 3.25 2.95 5.16 9.09 9.52 4.65 6.18 11.08 9.66
Операционный денежный поток, млрд $
7.3 6.66 5.53 6.95 9.86 10.33 6.8 8.32 12.76 11.34
Операционная прибыль, млрд $
7.14 8.02 6.98 7.51 9 10.54 8.35 8.94 11.93 11.92
Операционные расходы, млрд $
5.29 5.77 6.42 6.83 7.32 7.47 7.44 7.83 8.77 8.78
CAPEX, млрд $
1.32 3.41 2.58 1.79 0.772 0.8133 2.15 2.14 1.68 1.68


Balance sheet

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 LTM 5 year average CAGR 5
Наличность, млрд $
7.93 7.46 4.67 5 6.84 17.74 12.27 16.92 18.97 18.97
Short Term Investments $
0.3961 0.0041 0.6105 0.0041
Total Receivables $
0.2829 5.63 6.3 7.08 6.43 6.03 6.71 6.7 7.15 7.15
Total Current Assets $
15.02 15.95 14.14 15.79 16.76 28.82 23.54 28.61 31.21 31.21
Чистые активы, млрд $
0.9121 16.3 17.48 17.87 18.39 17.66 18.38 18.91 30.73 28.61
Активы, млрд $
34.05 40.7 39.34 41.21 41.68 53.32 48.78 53.54 53.92 53.92
Short Term Debt $
0.8 2.5 0.175 0.235 2.93 4.47 3.49 2.24 4.74 4.74
Long Term Debt $
1 20.76 21.63 24.01 20.95 27.7 25.26 30.92 24.16 24.16
Задолженность, млрд $
27.31 33.61 33.19 35.6 36.51 47.62 43.06 48.51 47 47
Чистый долг, млрд $
9.3 13.3 17.13 19.24 18.15 15.45 17.56 17.23 10.82 10.82
Долг, млрд $
1.8 23.26 21.81 24.24 23.88 32.17 28.75 34.15 29.79 28.91
Interest income $
0.2698 0.2645 0.2881 0.2974 0.5984 0.4623 0.7161 1.36
Расходы на обслуживание долга $
1.08 1.22 1.46 1.78 1.86 2.26 2.25 2.37 2.86 2.86
Чист. проц. доходы, млрд $
-0.9552 -1.2 -1.49 -1.56 -1.66 -1.78 -1.65 -1.49 0.071
Goodwill $
0.5828 0.5828 0.9342 0.9342 0.9342 0.9342 0.9342 0.9342 0.9342 0.9342
Амортизация, млрд $
1.66 1.6 1.6 1.56 1.95 1.95 1.94 1.96 1.7 1.98
Себестоимость, млрд $
19.78 21.88 24.36 26.69 27.18 28.69 31.11 34.28 32.61 32.61
Товарно материальные запасы $
2.23 2.86 3.17 3.71 3.23 3.79 4.46 4.6 4.11 4.11


Share

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM 5 year average CAGR 5
EPS 1.4 1.56 1.31 1.37 1.67 1.26 0.3655 8.03 11.4 11.4
Цена акции ао 8.85 7.95 9.96 8.52 7.6 8.49 11.3 7.26 7.54 7.54
Число акций ао, млн 619.4 617.59 617.59 615.67 616.95 619.44 608.07 615.03 615.13 615.13
FCF/акцию 9.66 5.26 4.77 8.38 14.73 15.37 7.64 10.04 18.02 15.71


Efficiency

2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM Industry average 5 year average CAGR 5
ROE, % 64.3 68.49 66.29 76.01 97.57 104.76 78.51 91.83 117.38 101.33 19.90
ROA, % 12.73 11.78 10.26 10.26 12.37 11.41 9.21 9.65 13.05 13.01 7.80
ROIC, % 77.58 31.38 31.95 30.75 34.6 29.02 28.4 25.31 33.48 16.35 17.57
ROS, % 10.69 10.3 11.85 13.03 9.58 9.67 13.16 13.16 13.16 13.16 8.71
ROCE, % 109.06 115.3 116.68 138.68 180.14 195.54 154.71 24.75 33.91 172.17 29.10
Рентаб EBITDA, % 27.99 27.4 23.23 22.75 25.9 28.02 23.01 22.69 25.57 26.08 26.10
Чистая рентаб, % 13.45 13.44 10.69 10.3 11.85 13.03 9.58 9.67 13.16 13.16 8.71
Operation Margin, % 18.49 18.3 20.68 22.56 17.81 17.51 22.38 22.35 22.35 22.35 15.32
Чистая процентная маржа, % 15.56 12.18 13.45 13.44 10.69 10.3 11.85 13.03 9.58 8.41 11.08
Доходность FCF, % 48.32 87.09 47.09 49.11 97.44 157.97 185.88 90.8 27.68 8724.56


Coefficients

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM Industry average 5 year average CAGR 5
P/E
1.59 1.44 1.49 1.25 1.12 0.8416 1.14 21.07 16.78 16.78 32.14
P/BV
1.02 0.9856 0.9858 0.9527 1.09 0.8817 0.8942 20.68 17 17 9.64
P/S
0.2134 0.1934 0.159 0.1291 0.1323 0.1097 0.1091 2.04 2.21 2.21 6.18
P/FCF
2.04 1.03 0.633 0.538 1.1 3.61 0.0115 0.7182 0.7182 0.7182 25.57
E/P
0.6725 0.7979 0.8961 1.19 0.878 0.2212 63.32 1.01 1.01 1.01 0.36
EV/EBITDA
0.0823 2.32 2.64 2.63 2.02 1.49 2 10.47 9.42 9.24 20.55
EV/Ebit
65.11 10.67 12.94 12.6 10.77 10.78 10.78 10.78
EV/S
0.6126 0.5981 0.524 0.4186 0.4604 2.37 2.41 2.41 2.41 2.41 6.62
EV/FCF
7.85 4.75 2.51 2.05 4.65 19.62 11.59 13.3 13.3 13.3 35.39
Debt/EBITDA
2.49 2.6 2.12 2.46 2.66 2.95 2.19 2.08 2.08 2.08 2.32
Netdebt/Ebitda
1.95 2.06 1.61 1.18 1.63 1.49 0.7935 0.7782 0.7782 0.7782 1.71
Debt/Ratio
0.5543 0.5883 0.5729 0.6033 0.5893 0.6379 0.5525 0.5361 0.5361 0.5361 0.30
Debt/Equity
3.58 4.36 4.52 5.54 5.02 6.79 4.3 1.01 1.01 1.01 1.59
Debt/Net Income
5.4 5.74 4.63 5.29 6.4 6.92 4.25 4.12 4.12 4.12 4.77
Бета
0.12 0.13 0.24 0.2758 -2.28 -1.43 -1.43 -0.77
Индекс Альтмана
2.63 2.6 2.88 2.65 2.57 2.96 2.89 3.6 3.6 3.6 3.61


Dividends

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 LTM Industry average 5 year average CAGR 5
Див.выплата, млрд
2.29 4.7 4.87 4.94 4.94 4.94 5.3 4.98 4.98 5.04
Дивиденд
0.3968 0.4248 0.412 0.4005 0.4094 0.4194 0.384 0.44 0.5476 0.5476
Див доход, ао, %
3.55 4.37 4.79 4.29 4.95 4.98 5.42 3.2 7.62 5.73 4.64
Дивиденды / прибыль, %
52.93 98.13 120.73 116.77 95.73 81.1 117.85 102.17 71.04 71.04 69.72


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Other

2018 2019 2020 2021 2022 2023 2024 CAGR 5
Всего задолженность
10.22 12.95 15.56
ebit_margin
21.42 23.84 18.88 18.84 22.38
Персонал, чел
10329 10311 9855 9590