US Stock MarketDetailed Quotes

BWMX Betterware de Mexico

Watchlist
  • 14.360
  • +0.470+3.38%
Trading Aug 12 15:02 ET
535.87MMarket Cap8.41P/E (TTM)

Betterware de Mexico Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-41.93%423.25M
-26.67%425.18M
-32.60%549.73M
-32.60%549.73M
5.19%496.07M
26.60%728.87M
-18.53%579.79M
-30.60%815.64M
-30.60%815.64M
-62.97%471.59M
-Cash and cash equivalents
-41.93%423.25M
-26.67%425.18M
-32.60%549.73M
-32.60%549.73M
5.19%496.07M
26.60%728.87M
-18.53%579.79M
-30.60%815.64M
-30.60%815.64M
-62.97%471.59M
Receivables
-11.55%1.22B
-10.01%1.33B
-6.29%1.1B
-6.29%1.1B
10.85%1.39B
12.65%1.38B
94.87%1.47B
57.72%1.18B
57.72%1.18B
28.44%1.25B
-Accounts receivable
-7.21%1.08B
-3.19%1.2B
10.44%1.07B
10.44%1.07B
1.90%1.28B
-4.05%1.17B
63.76%1.24B
30.24%971.06M
30.24%971.06M
42.44%1.25B
-Taxes receivable
-35.48%137.94M
-45.98%127.1M
-85.62%29.46M
-85.62%29.46M
--112.22M
6,576.58%213.78M
--235.28M
--204.86M
--204.86M
----
-Related party accounts receivable
1,706.67%542K
1,258.33%163K
70.49%104K
70.49%104K
-79.04%48K
-99.53%30K
71.43%12K
154.17%61K
154.17%61K
-99.76%229K
Inventory
2.03%2.06B
2.13%1.87B
-4.34%2.03B
-4.34%2.03B
-9.91%2.18B
-20.42%2.02B
9.68%1.83B
65.04%2.12B
65.04%2.12B
100.28%2.42B
Prepaid assets
8.16%137.21M
-0.72%133.88M
50.52%79.12M
50.52%79.12M
-9.83%129.14M
-28.38%126.86M
33.83%134.84M
47.66%52.56M
47.66%52.56M
-31.13%143.21M
Other current assets
-25.70%121.2M
-14.88%164.26M
22.53%230.69M
22.53%230.69M
-67.81%177.76M
-67.53%163.13M
244.08%192.97M
129.63%188.27M
129.63%188.27M
967.31%552.15M
Total current assets
-9.79%3.99B
-6.95%3.92B
-8.34%3.99B
-8.34%3.99B
-9.67%4.37B
-11.95%4.42B
27.87%4.21B
29.90%4.36B
29.90%4.36B
28.19%4.84B
Non current assets
Net PPE
-0.62%3.24B
0.54%3.23B
0.06%3.27B
0.06%3.27B
64.79%3.22B
62.88%3.26B
189.59%3.22B
200.58%3.27B
200.58%3.27B
82.01%1.95B
-Gross PPE
-0.62%3.24B
0.54%3.23B
6.56%3.81B
6.56%3.81B
64.79%3.22B
62.88%3.26B
189.59%3.22B
181.38%3.57B
181.38%3.57B
82.01%1.95B
-Accumulated depreciation
----
----
-76.05%-537.28M
-76.05%-537.28M
----
----
----
-67.12%-305.18M
-67.12%-305.18M
----
Goodwill and other intangible assets
-2.46%3.21B
0.90%3.23B
-2.81%3.25B
-2.81%3.25B
-13.39%3.27B
-11.80%3.29B
338.13%3.2B
351.33%3.34B
351.33%3.34B
435.16%3.78B
-Goodwill
0.00%1.6B
2.96%1.6B
0.00%1.6B
0.00%1.6B
-49.35%1.6B
-48.14%1.6B
339.26%1.55B
331.10%1.6B
331.10%1.6B
751.17%3.16B
-Other intangible assets
-4.78%1.61B
-1.05%1.63B
-5.39%1.65B
-5.39%1.65B
170.10%1.67B
161.49%1.69B
337.07%1.65B
371.63%1.74B
371.63%1.74B
84.89%618.97M
Investments and advances
--0
--0
--0
--0
--0
0.08%1.24M
-18.74%1.24M
148.69%1.24M
148.69%1.24M
-95.30%1.24M
Related parties assets
1,706.67%542K
1,258.33%163K
70.49%104K
70.49%104K
-79.04%48K
-99.53%30K
71.43%12K
154.17%61K
154.17%61K
-99.76%229K
Non current deferred assets
64.05%523.57M
37.23%437.96M
64.05%523.57M
64.05%523.57M
27.76%386.66M
5.45%319.16M
--319.16M
--319.16M
--319.16M
1,619.12%302.65M
Other non current assets
11.69%56.89M
20.32%53.39M
15.17%53.76M
15.17%53.76M
-53.97%53.79M
-58.16%50.93M
1,274.20%44.37M
992.07%46.68M
992.07%46.68M
3,450.27%116.88M
Total non current assets
1.56%7.03B
2.55%6.95B
1.70%7.1B
1.70%7.1B
12.66%6.93B
12.40%6.92B
267.38%6.78B
280.77%6.98B
280.77%6.98B
236.88%6.15B
Total assets
-2.87%11.02B
-1.09%10.87B
-2.16%11.09B
-2.16%11.09B
2.83%11.3B
1.46%11.34B
113.85%10.99B
118.56%11.33B
118.56%11.33B
96.24%10.99B
Liabilities
Current liabilities
Payables
5.98%2.09B
11.43%1.8B
20.53%2.04B
20.53%2.04B
16.12%2B
9.62%1.97B
-15.43%1.62B
-20.81%1.69B
-20.81%1.69B
-25.84%1.72B
-accounts payable
8.60%2B
12.39%1.67B
21.88%1.79B
21.88%1.79B
31.16%1.94B
11.34%1.84B
-19.60%1.49B
-26.01%1.47B
-26.01%1.47B
-28.47%1.48B
-Total tax payable
-30.26%92.53M
0.65%133.06M
32.22%117.86M
32.22%117.86M
-78.07%51.91M
-9.75%132.69M
102.94%132.19M
-8.70%89.14M
-8.70%89.14M
-3.61%236.7M
-Other payable
----
----
-1.81%132.86M
-1.81%132.86M
----
----
----
144.64%135.3M
144.64%135.3M
----
Current accrued expenses
0.37%358.36M
5.63%295.54M
0.46%307M
0.46%307M
0.61%391.57M
9.92%357.05M
40.05%279.78M
91.77%305.59M
91.77%305.59M
106.70%389.19M
Current provisions
-9.99%709.9M
-3.67%763.26M
1.43%804.75M
1.43%804.75M
7.40%865.21M
1.76%788.7M
--792.35M
569.73%793.41M
569.73%793.41M
--805.64M
Current debt and capital lease obligation
-15.69%702.75M
-23.62%654.01M
98.16%625.83M
98.16%625.83M
-7.77%687.94M
4.82%833.54M
644.74%856.31M
822.74%315.82M
822.74%315.82M
12,070.35%745.92M
-Current debt
-21.84%589.48M
-29.19%539.2M
120.79%508.73M
120.79%508.73M
-6.62%600.12M
10.93%754.23M
611.29%761.42M
719.30%230.42M
719.30%230.42M
--642.65M
-Current capital lease obligation
42.82%113.27M
20.99%114.81M
37.11%117.09M
37.11%117.09M
-14.97%87.82M
-31.21%79.31M
1,095.99%94.89M
1,299.52%85.4M
1,299.52%85.4M
1,585.01%103.27M
Other current liabilities
----
10.92%72.7M
212.61%47.92M
212.61%47.92M
-15.53%25.28M
86.62%80.07M
-7.97%65.55M
--15.33M
--15.33M
--29.93M
Current liabilities
-6.03%3.86B
-0.61%3.75B
22.51%3.83B
22.51%3.83B
7.33%4.07B
7.83%4.11B
59.44%3.78B
27.48%3.12B
27.48%3.12B
49.80%3.79B
Non current liabilities
Long term debt and capital lease obligation
-5.65%4.69B
-6.47%4.78B
-20.35%4.88B
-20.35%4.88B
-15.73%5.01B
-16.40%4.97B
242.22%5.11B
309.95%6.12B
309.95%6.12B
290.92%5.94B
-Long term debt
-4.90%4.46B
-7.87%4.54B
-21.89%4.62B
-21.89%4.62B
-19.73%4.74B
-20.66%4.69B
232.20%4.93B
299.27%5.92B
299.27%5.92B
292.17%5.91B
-Long term capital lease obligation
-18.02%230.72M
30.99%241.98M
23.91%255.88M
23.91%255.88M
697.21%264.59M
688.79%281.45M
1,646.87%184.73M
1,653.35%206.51M
1,653.35%206.51M
148.88%33.19M
Non current deferred liabilities
-6.51%783.17M
-17.40%697.57M
-6.04%783.17M
-6.04%783.17M
696.68%783.17M
752.12%837.67M
943.85%844.55M
2,038.70%833.56M
2,038.70%833.56M
72.59%98.3M
Employee benefits
-13.69%133.63M
-13.45%130.59M
-17.39%127.15M
-17.39%127.15M
-28.94%161.95M
-31.03%154.82M
6,339.44%150.88M
7,253.42%153.91M
7,253.42%153.91M
11,660.73%227.92M
Derivative product liabilities
--0
--0
----
----
----
----
----
----
----
----
Total non current liabilities
-5.98%5.6B
-8.15%5.61B
-18.61%5.79B
-18.61%5.79B
-5.04%5.95B
-4.87%5.96B
287.28%6.11B
363.31%7.11B
363.31%7.11B
297.00%6.27B
Total liabilities
-6.00%9.46B
-5.27%9.36B
-6.06%9.62B
-6.06%9.62B
-0.38%10.02B
-0.06%10.07B
150.50%9.88B
156.85%10.24B
156.85%10.24B
144.75%10.06B
Shareholders'equity
Share capital
--321.31M
--321.31M
0.00%321.31M
0.00%321.31M
----
----
----
0.00%321.31M
0.00%321.31M
----
-common stock
--321.31M
--321.31M
0.00%321.31M
0.00%321.31M
----
----
----
0.00%321.31M
0.00%321.31M
----
Retained earnings
--1.28B
--1.23B
52.43%1.19B
52.43%1.19B
----
----
----
-8.99%779.94M
-8.99%779.94M
----
Paid-in capital
---25.26M
---25.26M
-29.19%-16.37M
-29.19%-16.37M
----
----
----
-290.28%-12.67M
-290.28%-12.67M
----
Gains losses not affecting retained earnings
---24.28M
---18.15M
-355.41%-19.19M
-355.41%-19.19M
----
----
----
1,189.02%7.52M
1,189.02%7.52M
----
Total stockholders'equity
21.82%1.56B
36.44%1.51B
34.54%1.47B
34.54%1.47B
38.10%1.28B
15.67%1.28B
-7.17%1.11B
-7.55%1.1B
-7.55%1.1B
-37.90%923.74M
Noncontrolling interests
12.44%-1.56M
-215.99%-1.57M
-238.04%-1.63M
-238.04%-1.63M
-358.96%-1.94M
-247.14%-1.78M
-10.90%1.36M
-91.93%1.18M
-91.93%1.18M
--748K
Total equity
21.87%1.56B
36.13%1.51B
34.24%1.47B
34.24%1.47B
37.78%1.27B
15.38%1.28B
-7.17%1.11B
-8.58%1.1B
-8.58%1.1B
-37.85%924.49M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -41.93%423.25M-26.67%425.18M-32.60%549.73M-32.60%549.73M5.19%496.07M26.60%728.87M-18.53%579.79M-30.60%815.64M-30.60%815.64M-62.97%471.59M
-Cash and cash equivalents -41.93%423.25M-26.67%425.18M-32.60%549.73M-32.60%549.73M5.19%496.07M26.60%728.87M-18.53%579.79M-30.60%815.64M-30.60%815.64M-62.97%471.59M
Receivables -11.55%1.22B-10.01%1.33B-6.29%1.1B-6.29%1.1B10.85%1.39B12.65%1.38B94.87%1.47B57.72%1.18B57.72%1.18B28.44%1.25B
-Accounts receivable -7.21%1.08B-3.19%1.2B10.44%1.07B10.44%1.07B1.90%1.28B-4.05%1.17B63.76%1.24B30.24%971.06M30.24%971.06M42.44%1.25B
-Taxes receivable -35.48%137.94M-45.98%127.1M-85.62%29.46M-85.62%29.46M--112.22M6,576.58%213.78M--235.28M--204.86M--204.86M----
-Related party accounts receivable 1,706.67%542K1,258.33%163K70.49%104K70.49%104K-79.04%48K-99.53%30K71.43%12K154.17%61K154.17%61K-99.76%229K
Inventory 2.03%2.06B2.13%1.87B-4.34%2.03B-4.34%2.03B-9.91%2.18B-20.42%2.02B9.68%1.83B65.04%2.12B65.04%2.12B100.28%2.42B
Prepaid assets 8.16%137.21M-0.72%133.88M50.52%79.12M50.52%79.12M-9.83%129.14M-28.38%126.86M33.83%134.84M47.66%52.56M47.66%52.56M-31.13%143.21M
Other current assets -25.70%121.2M-14.88%164.26M22.53%230.69M22.53%230.69M-67.81%177.76M-67.53%163.13M244.08%192.97M129.63%188.27M129.63%188.27M967.31%552.15M
Total current assets -9.79%3.99B-6.95%3.92B-8.34%3.99B-8.34%3.99B-9.67%4.37B-11.95%4.42B27.87%4.21B29.90%4.36B29.90%4.36B28.19%4.84B
Non current assets
Net PPE -0.62%3.24B0.54%3.23B0.06%3.27B0.06%3.27B64.79%3.22B62.88%3.26B189.59%3.22B200.58%3.27B200.58%3.27B82.01%1.95B
-Gross PPE -0.62%3.24B0.54%3.23B6.56%3.81B6.56%3.81B64.79%3.22B62.88%3.26B189.59%3.22B181.38%3.57B181.38%3.57B82.01%1.95B
-Accumulated depreciation ---------76.05%-537.28M-76.05%-537.28M-------------67.12%-305.18M-67.12%-305.18M----
Goodwill and other intangible assets -2.46%3.21B0.90%3.23B-2.81%3.25B-2.81%3.25B-13.39%3.27B-11.80%3.29B338.13%3.2B351.33%3.34B351.33%3.34B435.16%3.78B
-Goodwill 0.00%1.6B2.96%1.6B0.00%1.6B0.00%1.6B-49.35%1.6B-48.14%1.6B339.26%1.55B331.10%1.6B331.10%1.6B751.17%3.16B
-Other intangible assets -4.78%1.61B-1.05%1.63B-5.39%1.65B-5.39%1.65B170.10%1.67B161.49%1.69B337.07%1.65B371.63%1.74B371.63%1.74B84.89%618.97M
Investments and advances --0--0--0--0--00.08%1.24M-18.74%1.24M148.69%1.24M148.69%1.24M-95.30%1.24M
Related parties assets 1,706.67%542K1,258.33%163K70.49%104K70.49%104K-79.04%48K-99.53%30K71.43%12K154.17%61K154.17%61K-99.76%229K
Non current deferred assets 64.05%523.57M37.23%437.96M64.05%523.57M64.05%523.57M27.76%386.66M5.45%319.16M--319.16M--319.16M--319.16M1,619.12%302.65M
Other non current assets 11.69%56.89M20.32%53.39M15.17%53.76M15.17%53.76M-53.97%53.79M-58.16%50.93M1,274.20%44.37M992.07%46.68M992.07%46.68M3,450.27%116.88M
Total non current assets 1.56%7.03B2.55%6.95B1.70%7.1B1.70%7.1B12.66%6.93B12.40%6.92B267.38%6.78B280.77%6.98B280.77%6.98B236.88%6.15B
Total assets -2.87%11.02B-1.09%10.87B-2.16%11.09B-2.16%11.09B2.83%11.3B1.46%11.34B113.85%10.99B118.56%11.33B118.56%11.33B96.24%10.99B
Liabilities
Current liabilities
Payables 5.98%2.09B11.43%1.8B20.53%2.04B20.53%2.04B16.12%2B9.62%1.97B-15.43%1.62B-20.81%1.69B-20.81%1.69B-25.84%1.72B
-accounts payable 8.60%2B12.39%1.67B21.88%1.79B21.88%1.79B31.16%1.94B11.34%1.84B-19.60%1.49B-26.01%1.47B-26.01%1.47B-28.47%1.48B
-Total tax payable -30.26%92.53M0.65%133.06M32.22%117.86M32.22%117.86M-78.07%51.91M-9.75%132.69M102.94%132.19M-8.70%89.14M-8.70%89.14M-3.61%236.7M
-Other payable ---------1.81%132.86M-1.81%132.86M------------144.64%135.3M144.64%135.3M----
Current accrued expenses 0.37%358.36M5.63%295.54M0.46%307M0.46%307M0.61%391.57M9.92%357.05M40.05%279.78M91.77%305.59M91.77%305.59M106.70%389.19M
Current provisions -9.99%709.9M-3.67%763.26M1.43%804.75M1.43%804.75M7.40%865.21M1.76%788.7M--792.35M569.73%793.41M569.73%793.41M--805.64M
Current debt and capital lease obligation -15.69%702.75M-23.62%654.01M98.16%625.83M98.16%625.83M-7.77%687.94M4.82%833.54M644.74%856.31M822.74%315.82M822.74%315.82M12,070.35%745.92M
-Current debt -21.84%589.48M-29.19%539.2M120.79%508.73M120.79%508.73M-6.62%600.12M10.93%754.23M611.29%761.42M719.30%230.42M719.30%230.42M--642.65M
-Current capital lease obligation 42.82%113.27M20.99%114.81M37.11%117.09M37.11%117.09M-14.97%87.82M-31.21%79.31M1,095.99%94.89M1,299.52%85.4M1,299.52%85.4M1,585.01%103.27M
Other current liabilities ----10.92%72.7M212.61%47.92M212.61%47.92M-15.53%25.28M86.62%80.07M-7.97%65.55M--15.33M--15.33M--29.93M
Current liabilities -6.03%3.86B-0.61%3.75B22.51%3.83B22.51%3.83B7.33%4.07B7.83%4.11B59.44%3.78B27.48%3.12B27.48%3.12B49.80%3.79B
Non current liabilities
Long term debt and capital lease obligation -5.65%4.69B-6.47%4.78B-20.35%4.88B-20.35%4.88B-15.73%5.01B-16.40%4.97B242.22%5.11B309.95%6.12B309.95%6.12B290.92%5.94B
-Long term debt -4.90%4.46B-7.87%4.54B-21.89%4.62B-21.89%4.62B-19.73%4.74B-20.66%4.69B232.20%4.93B299.27%5.92B299.27%5.92B292.17%5.91B
-Long term capital lease obligation -18.02%230.72M30.99%241.98M23.91%255.88M23.91%255.88M697.21%264.59M688.79%281.45M1,646.87%184.73M1,653.35%206.51M1,653.35%206.51M148.88%33.19M
Non current deferred liabilities -6.51%783.17M-17.40%697.57M-6.04%783.17M-6.04%783.17M696.68%783.17M752.12%837.67M943.85%844.55M2,038.70%833.56M2,038.70%833.56M72.59%98.3M
Employee benefits -13.69%133.63M-13.45%130.59M-17.39%127.15M-17.39%127.15M-28.94%161.95M-31.03%154.82M6,339.44%150.88M7,253.42%153.91M7,253.42%153.91M11,660.73%227.92M
Derivative product liabilities --0--0--------------------------------
Total non current liabilities -5.98%5.6B-8.15%5.61B-18.61%5.79B-18.61%5.79B-5.04%5.95B-4.87%5.96B287.28%6.11B363.31%7.11B363.31%7.11B297.00%6.27B
Total liabilities -6.00%9.46B-5.27%9.36B-6.06%9.62B-6.06%9.62B-0.38%10.02B-0.06%10.07B150.50%9.88B156.85%10.24B156.85%10.24B144.75%10.06B
Shareholders'equity
Share capital --321.31M--321.31M0.00%321.31M0.00%321.31M------------0.00%321.31M0.00%321.31M----
-common stock --321.31M--321.31M0.00%321.31M0.00%321.31M------------0.00%321.31M0.00%321.31M----
Retained earnings --1.28B--1.23B52.43%1.19B52.43%1.19B-------------8.99%779.94M-8.99%779.94M----
Paid-in capital ---25.26M---25.26M-29.19%-16.37M-29.19%-16.37M-------------290.28%-12.67M-290.28%-12.67M----
Gains losses not affecting retained earnings ---24.28M---18.15M-355.41%-19.19M-355.41%-19.19M------------1,189.02%7.52M1,189.02%7.52M----
Total stockholders'equity 21.82%1.56B36.44%1.51B34.54%1.47B34.54%1.47B38.10%1.28B15.67%1.28B-7.17%1.11B-7.55%1.1B-7.55%1.1B-37.90%923.74M
Noncontrolling interests 12.44%-1.56M-215.99%-1.57M-238.04%-1.63M-238.04%-1.63M-358.96%-1.94M-247.14%-1.78M-10.90%1.36M-91.93%1.18M-91.93%1.18M--748K
Total equity 21.87%1.56B36.13%1.51B34.24%1.47B34.24%1.47B37.78%1.27B15.38%1.28B-7.17%1.11B-8.58%1.1B-8.58%1.1B-37.85%924.49M
Currency Unit MXNMXNMXNMXNMXNMXNMXNMXNMXNMXN
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
% Chg