US Stock MarketDetailed Quotes

AMX America Movil SAB de CV

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  • 15.840
  • -0.210-1.31%
Close Nov 5 16:00 ET
  • 15.840
  • 0.0000.00%
Post 16:00 ET
48.55BMarket Cap26.80P/E (TTM)

America Movil SAB de CV Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
9.53%248.09B
36.02%110.36B
-10.33%226.5B
60.24%81.14B
-5.17%252.58B
-23.24%50.63B
11.55%266.36B
65.96B
-3.84%238.78B
14.03%248.33B
Net income from continuing operations
-8.28%115.33B
-2.29%24.56B
-50.36%125.74B
-86.69%25.13B
275.91%253.34B
238.34%188.89B
-44.46%67.39B
--55.83B
20.15%121.35B
76.88%100.99B
Operating gains losses
-212.63%-11.24B
-204.69%-3.43B
97.01%-3.59B
102.71%3.28B
-364.39%-120.35B
-329.47%-120.92B
379.00%45.52B
---28.16B
-2,213.26%-16.32B
90.28%-705.32M
Depreciation and amortization
-4.32%151.79B
-9.01%36.46B
1.49%158.63B
9.96%40.07B
1.35%156.3B
12.45%36.44B
-2.10%154.22B
--32.4B
1.16%157.52B
-2.79%155.71B
Other non cash items
-28.94%22.28B
-25.22%12.25B
24.88%31.35B
303.67%16.39B
-8.39%25.11B
-239.74%-8.05B
8.88%27.41B
--5.76B
60.51%25.17B
-39.46%15.68B
Change In working capital
49.31%-23.26B
89.05%26.03B
-78.14%-45.89B
204.62%13.77B
-383.24%-25.76B
-24.26%4.52B
133.99%9.1B
--5.97B
-321.74%-26.76B
38.79%-6.34B
-Change in receivables
-182.25%-19.2B
-66.05%4.05B
-179.02%-6.8B
-44.12%11.93B
885.04%8.61B
259.37%21.36B
-88.22%874.06M
---13.4B
148.13%7.42B
-957.11%-15.42B
-Change in inventory
339.30%2.83B
-94.44%439.73M
-119.46%-1.18B
2.36%7.91B
-42.22%6.08B
362.41%7.73B
2,371.90%10.53B
--1.67B
85.66%-463.46M
-8.06%-3.23B
-Change in prepaid assets
-143.52%-6.15B
-80.11%1.09B
-189.57%-2.53B
--5.48B
-471.96%-872.74M
----
-101.72%-152.59M
--1.62B
171.39%8.86B
-28.85%3.26B
-Change in payables and accrued expense
198.12%10.1B
158.65%2.31B
-238.19%-10.29B
-116.90%-3.94B
-36.92%7.45B
2.77%23.33B
175.05%11.81B
--22.71B
-165.55%-15.73B
362.37%24B
-Change in other current assets
-18.35%-1.56B
291.15%7.33B
86.12%-1.32B
--1.88B
-2,635.54%-9.52B
----
94.69%-348.08M
--2.96B
-7.87%-6.56B
-27.68%-6.08B
-Change in other working capital
60.99%-9.27B
213.76%10.8B
36.65%-23.76B
---9.49B
-175.51%-37.51B
----
32.89%-13.61B
---9.59B
-128.62%-20.28B
37.46%-8.87B
Cash from discontinued investing activities
0
0
-121.67%-1.21B
-5.22B
-61.28%5.6B
421.14%14.47B
-4.5B
Operating cash flow
10.12%248.09B
45.37%110.36B
-12.74%225.29B
35.00%75.91B
-8.06%258.18B
-30.08%56.24B
19.87%280.83B
--80.43B
-5.66%234.28B
14.03%248.33B
Investing cash flow
Cash flow from continuing investing activities
-9.69%-164.99B
14.45%-73.48B
-112.48%-150.41B
-526.05%-85.88B
46.43%-70.79B
150.96%20.16B
18.94%-132.15B
-39.56B
-9.58%-163.03B
-5.71%-148.78B
Net PPE purchase and sale
12.88%-124.06B
-1.66%-41.92B
-6.60%-142.4B
16.32%-41.24B
-26.81%-133.57B
-66.01%-49.28B
20.50%-105.33B
---29.69B
7.81%-132.49B
-20.71%-143.71B
Net intangibles purchase and sale
-116.41%-25.24B
-42.79%-14.17B
4.43%-11.66B
-59.79%-9.92B
40.90%-12.2B
-15.90%-6.21B
-8.88%-20.65B
---5.36B
-139.02%-18.96B
54.76%-7.93B
Net business purchase and sale
1.65%-11.28B
-326.84%-13.37B
-115.15%-11.47B
-92.10%5.89B
19,604.28%75.72B
561,754.33%74.57B
102.88%384.27M
---13.28M
-5,712.56%-13.35B
103.64%237.88M
Net investment purchase and sale
-192.87%-9B
-187.40%-4.73B
388.27%9.69B
260.88%5.41B
61.24%-3.36B
---3.36B
---8.67B
----
--0
--0
Cash from discontinued investing activities
Investing cash flow
-8.29%-164.99B
14.23%-73.48B
-99.11%-152.36B
-693.71%-85.66B
43.55%-76.52B
133.58%14.43B
16.88%-135.56B
---42.97B
-9.61%-163.08B
-5.71%-148.78B
Financing cash flow
Cash flow from continuing financing activities
-15.81%-84.95B
-312.11%-36.8B
58.65%-73.35B
125.82%17.35B
-39.76%-177.37B
-93.80%-67.19B
-77.98%-126.91B
-34.67B
29.65%-71.31B
-33.30%-101.36B
Net issuance payments of debt
-152.46%-4.85B
-127.66%-7.79B
110.41%9.25B
185.99%28.16B
-7.48%-88.9B
-95.74%-32.75B
-347.31%-82.72B
---16.73B
61.06%-18.49B
-73.11%-47.49B
Net common stock issuance
45.18%-14.33B
-27.19%-6.64B
28.85%-26.14B
63.55%-5.22B
-623.89%-36.75B
-352.35%-14.33B
-1,065.01%-5.08B
---3.17B
14.80%-435.71M
58.53%-511.42M
Cash dividends paid
-3.16%-30.47B
-132,040.70%-14.19B
-6.13%-29.53B
99.92%-10.74M
-190.12%-27.83B
-131.90%-12.83B
60.44%-9.59B
---5.53B
-8.40%-24.25B
-39.02%-22.37B
Net other financing activities
-15,719.64%-6.26B
-3,340.28%-1.15B
-412.90%-39.6M
-1,692.51%-33.52M
99.30%-7.72M
99.83%-1.87M
-1,230.04%-1.1B
---1.1B
28.29%-83.06M
-38.87%-115.82M
Cash from discontinued financing activities
Financing cash flow
-15.81%-84.95B
-312.11%-36.8B
58.65%-73.35B
125.82%17.35B
-39.76%-177.37B
-93.80%-67.19B
-77.98%-126.91B
---34.67B
29.65%-71.31B
-33.30%-101.36B
Net cash flow
Beginning cash position
-12.87%33.7B
2.14%28.27B
7.69%38.68B
-22.04%27.68B
81.90%35.92B
-1.26%35.51B
-8.84%19.75B
--35.96B
-10.76%21.66B
4.53%24.27B
Current changes in cash
-338.83%-1.84B
-98.85%87.24M
-109.79%-420.3M
118.42%7.6B
-76.61%4.29B
24.50%3.48B
17,280.64%18.36B
--2.79B
94.09%-106.86M
-282.65%-1.81B
Effect of exchange rate changes
-15.36%-5.26B
-11.69%-1.76B
-197.47%-4.56B
-418.53%-1.58B
29.95%-1.53B
89.28%-303.79M
-21.04%-2.19B
---2.83B
-125.67%-1.81B
-1,405.84%-800.91M
End cash Position
-21.08%26.6B
-21.08%26.6B
-12.87%33.7B
-12.87%33.7B
7.69%38.68B
7.69%38.68B
81.90%35.92B
--35.92B
-8.84%19.75B
-10.76%21.66B
Free cash flow
36.07%91.75B
156.17%54.23B
-35.89%67.43B
436.06%21.17B
-32.00%105.19B
-113.89%-6.3B
87.54%154.68B
--45.33B
-14.53%82.48B
19.08%96.51B
Currency Unit
MXN
MXN
MXN
MXN
MXN
MXN
MXN
MXN
MXN
MXN
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion with Explanatory Notes
--
Unqualified Opinion
Unqualified Opinion
(FY)Dec 31, 2023(Q4)Dec 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 9.53%248.09B36.02%110.36B-10.33%226.5B60.24%81.14B-5.17%252.58B-23.24%50.63B11.55%266.36B65.96B-3.84%238.78B14.03%248.33B
Net income from continuing operations -8.28%115.33B-2.29%24.56B-50.36%125.74B-86.69%25.13B275.91%253.34B238.34%188.89B-44.46%67.39B--55.83B20.15%121.35B76.88%100.99B
Operating gains losses -212.63%-11.24B-204.69%-3.43B97.01%-3.59B102.71%3.28B-364.39%-120.35B-329.47%-120.92B379.00%45.52B---28.16B-2,213.26%-16.32B90.28%-705.32M
Depreciation and amortization -4.32%151.79B-9.01%36.46B1.49%158.63B9.96%40.07B1.35%156.3B12.45%36.44B-2.10%154.22B--32.4B1.16%157.52B-2.79%155.71B
Other non cash items -28.94%22.28B-25.22%12.25B24.88%31.35B303.67%16.39B-8.39%25.11B-239.74%-8.05B8.88%27.41B--5.76B60.51%25.17B-39.46%15.68B
Change In working capital 49.31%-23.26B89.05%26.03B-78.14%-45.89B204.62%13.77B-383.24%-25.76B-24.26%4.52B133.99%9.1B--5.97B-321.74%-26.76B38.79%-6.34B
-Change in receivables -182.25%-19.2B-66.05%4.05B-179.02%-6.8B-44.12%11.93B885.04%8.61B259.37%21.36B-88.22%874.06M---13.4B148.13%7.42B-957.11%-15.42B
-Change in inventory 339.30%2.83B-94.44%439.73M-119.46%-1.18B2.36%7.91B-42.22%6.08B362.41%7.73B2,371.90%10.53B--1.67B85.66%-463.46M-8.06%-3.23B
-Change in prepaid assets -143.52%-6.15B-80.11%1.09B-189.57%-2.53B--5.48B-471.96%-872.74M-----101.72%-152.59M--1.62B171.39%8.86B-28.85%3.26B
-Change in payables and accrued expense 198.12%10.1B158.65%2.31B-238.19%-10.29B-116.90%-3.94B-36.92%7.45B2.77%23.33B175.05%11.81B--22.71B-165.55%-15.73B362.37%24B
-Change in other current assets -18.35%-1.56B291.15%7.33B86.12%-1.32B--1.88B-2,635.54%-9.52B----94.69%-348.08M--2.96B-7.87%-6.56B-27.68%-6.08B
-Change in other working capital 60.99%-9.27B213.76%10.8B36.65%-23.76B---9.49B-175.51%-37.51B----32.89%-13.61B---9.59B-128.62%-20.28B37.46%-8.87B
Cash from discontinued investing activities 00-121.67%-1.21B-5.22B-61.28%5.6B421.14%14.47B-4.5B
Operating cash flow 10.12%248.09B45.37%110.36B-12.74%225.29B35.00%75.91B-8.06%258.18B-30.08%56.24B19.87%280.83B--80.43B-5.66%234.28B14.03%248.33B
Investing cash flow
Cash flow from continuing investing activities -9.69%-164.99B14.45%-73.48B-112.48%-150.41B-526.05%-85.88B46.43%-70.79B150.96%20.16B18.94%-132.15B-39.56B-9.58%-163.03B-5.71%-148.78B
Net PPE purchase and sale 12.88%-124.06B-1.66%-41.92B-6.60%-142.4B16.32%-41.24B-26.81%-133.57B-66.01%-49.28B20.50%-105.33B---29.69B7.81%-132.49B-20.71%-143.71B
Net intangibles purchase and sale -116.41%-25.24B-42.79%-14.17B4.43%-11.66B-59.79%-9.92B40.90%-12.2B-15.90%-6.21B-8.88%-20.65B---5.36B-139.02%-18.96B54.76%-7.93B
Net business purchase and sale 1.65%-11.28B-326.84%-13.37B-115.15%-11.47B-92.10%5.89B19,604.28%75.72B561,754.33%74.57B102.88%384.27M---13.28M-5,712.56%-13.35B103.64%237.88M
Net investment purchase and sale -192.87%-9B-187.40%-4.73B388.27%9.69B260.88%5.41B61.24%-3.36B---3.36B---8.67B------0--0
Cash from discontinued investing activities
Investing cash flow -8.29%-164.99B14.23%-73.48B-99.11%-152.36B-693.71%-85.66B43.55%-76.52B133.58%14.43B16.88%-135.56B---42.97B-9.61%-163.08B-5.71%-148.78B
Financing cash flow
Cash flow from continuing financing activities -15.81%-84.95B-312.11%-36.8B58.65%-73.35B125.82%17.35B-39.76%-177.37B-93.80%-67.19B-77.98%-126.91B-34.67B29.65%-71.31B-33.30%-101.36B
Net issuance payments of debt -152.46%-4.85B-127.66%-7.79B110.41%9.25B185.99%28.16B-7.48%-88.9B-95.74%-32.75B-347.31%-82.72B---16.73B61.06%-18.49B-73.11%-47.49B
Net common stock issuance 45.18%-14.33B-27.19%-6.64B28.85%-26.14B63.55%-5.22B-623.89%-36.75B-352.35%-14.33B-1,065.01%-5.08B---3.17B14.80%-435.71M58.53%-511.42M
Cash dividends paid -3.16%-30.47B-132,040.70%-14.19B-6.13%-29.53B99.92%-10.74M-190.12%-27.83B-131.90%-12.83B60.44%-9.59B---5.53B-8.40%-24.25B-39.02%-22.37B
Net other financing activities -15,719.64%-6.26B-3,340.28%-1.15B-412.90%-39.6M-1,692.51%-33.52M99.30%-7.72M99.83%-1.87M-1,230.04%-1.1B---1.1B28.29%-83.06M-38.87%-115.82M
Cash from discontinued financing activities
Financing cash flow -15.81%-84.95B-312.11%-36.8B58.65%-73.35B125.82%17.35B-39.76%-177.37B-93.80%-67.19B-77.98%-126.91B---34.67B29.65%-71.31B-33.30%-101.36B
Net cash flow
Beginning cash position -12.87%33.7B2.14%28.27B7.69%38.68B-22.04%27.68B81.90%35.92B-1.26%35.51B-8.84%19.75B--35.96B-10.76%21.66B4.53%24.27B
Current changes in cash -338.83%-1.84B-98.85%87.24M-109.79%-420.3M118.42%7.6B-76.61%4.29B24.50%3.48B17,280.64%18.36B--2.79B94.09%-106.86M-282.65%-1.81B
Effect of exchange rate changes -15.36%-5.26B-11.69%-1.76B-197.47%-4.56B-418.53%-1.58B29.95%-1.53B89.28%-303.79M-21.04%-2.19B---2.83B-125.67%-1.81B-1,405.84%-800.91M
End cash Position -21.08%26.6B-21.08%26.6B-12.87%33.7B-12.87%33.7B7.69%38.68B7.69%38.68B81.90%35.92B--35.92B-8.84%19.75B-10.76%21.66B
Free cash flow 36.07%91.75B156.17%54.23B-35.89%67.43B436.06%21.17B-32.00%105.19B-113.89%-6.3B87.54%154.68B--45.33B-14.53%82.48B19.08%96.51B
Currency Unit MXNMXNMXNMXNMXNMXNMXNMXNMXNMXN
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--Unqualified Opinion--Unqualified Opinion with Explanatory Notes--Unqualified OpinionUnqualified Opinion

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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