Wal-Mart De Mexico SAB De CV Financial Ratios for Analysis 2011-2026 | WMMVY

Fifteen years of historical annual and quarterly financial ratios and margins for Wal-Mart De Mexico SAB De CV (WMMVY).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
20242023202220212020201920182017201620152014201320122011
1.001.021.121.060.991.001.010.991.111.101.201.261.271.16
-0.270.260.26----------
-0.370.350.35----------
24.1523.7523.3623.3523.0922.8922.9522.2822.0721.9422.1422.0222.6321.97
8.078.278.308.558.198.357.977.657.417.157.627.417.827.90
8.078.278.308.558.198.357.977.657.417.157.627.417.827.90
10.4310.5910.6711.0310.7410.9810.019.689.429.199.739.469.829.82
7.197.747.747.787.057.617.927.557.357.167.847.417.857.93
5.625.825.986.004.765.865.966.956.265.396.905.175.575.84
1.942.031.961.871.941.852.011.941.851.931.791.851.881.69
6.577.117.027.027.897.387.507.497.737.687.287.578.277.40
38.5538.6149.0043.7441.2947.1651.2652.9154.2350.1564.5433.2740.2934.27
9.479.457.458.348.847.747.126.906.737.285.6610.979.0610.65
23.1125.9124.1923.7519.7722.5422.2920.3017.0716.4314.8514.8217.2416.27
29.0232.0930.0030.0025.4128.9228.7326.9522.6821.2518.4218.1121.1620.95
10.9011.8211.6911.199.2410.8511.9910.979.909.839.079.2010.849.64
23.1118.8617.9817.5919.7722.5422.2920.3017.0716.4314.8514.8217.2416.27
7.336.455.765.254.545.014.924.845.135.50----
2.292.761.841.831.651.691.421.491.431.401.631.271.271.48
1.221.831.241.261.211.080.890.971.000.961.100.660.670.65

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
0.950.941.081.000.980.941.121.020.980.930.891.121.040.991.161.060.990.930.860.990.940.870.851.000.910.860.811.010.950.890.830.990.960.870.771.111.010.910.851.100.990.940.871.201.121.080.961.261.191.111.051.271.211.151.061.161.131.13
0.270.27----0.260.270.280.300.300.26--0.260.260.270.280.29-0.26---0.250.250.26-------------------------------
0.370.37----0.350.370.400.430.430.35--0.340.350.360.390.40-0.34---0.330.330.35------------------------------0.00
24.7524.1224.1023.6524.9424.1523.9523.6724.3923.3123.6223.0223.7023.4023.4223.2023.6623.2623.3023.8422.8022.8022.8022.6823.5622.6222.7422.7923.2922.8522.9021.9722.6222.1322.4321.4122.4822.2422.2222.5022.3721.7622.3724.7323.0121.7521.7920.9222.2623.1221.5924.5422.5122.4321.2422.4721.0921.03
7.887.017.847.788.137.918.478.428.337.888.418.578.247.868.488.808.787.828.758.808.546.608.548.738.637.838.138.827.997.117.818.227.657.127.477.877.206.967.576.706.396.713.272.691.997.256.558.447.315.849.558.577.257.085.2713.207.586.77
7.887.017.847.788.137.918.478.428.337.888.418.578.247.868.488.808.787.828.758.808.546.608.548.738.637.838.138.827.997.117.818.227.657.127.477.877.206.967.576.706.396.713.272.691.997.256.558.447.315.849.558.577.257.085.2713.207.586.77
----------------------------------------------------------
6.766.126.816.637.437.177.587.837.997.347.778.177.807.237.648.168.007.157.778.157.614.397.617.987.777.137.478.757.757.257.798.147.587.027.327.737.336.767.557.997.236.846.8411.756.746.956.568.227.267.236.689.897.267.036.949.267.136.89
4.864.565.115.525.625.505.835.886.405.355.596.236.145.575.916.186.285.595.905.835.830.985.846.055.975.675.716.655.885.435.766.196.349.935.386.977.924.855.315.815.085.954.678.084.679.964.685.875.235.124.886.885.215.014.867.125.365.08
0.490.510.500.510.470.500.520.590.480.520.500.580.460.490.490.530.450.480.480.540.460.470.460.530.460.470.470.560.510.510.520.560.510.540.500.500.480.510.510.540.490.500.460.470.450.470.460.520.470.470.480.550.470.480.460.500.460.47
1.611.751.671.751.501.711.812.051.581.841.742.081.521.771.792.011.661.971.962.201.842.022.082.131.731.981.992.111.871.972.052.191.842.041.922.101.841.962.022.191.792.001.932.031.901.971.962.161.892.152.192.412.152.312.262.092.122.57
9.039.539.0710.2110.3510.989.9011.1513.5015.9814.8314.4514.2215.5812.0012.4810.8012.0210.8211.6012.9312.2312.1913.5614.4313.8813.4014.3715.8817.0119.9315.3817.9719.4421.4714.6119.1014.4815.8414.1217.8915.1218.4416.7710.098.958.989.3810.8910.589.9011.7410.7612.2110.0810.1211.8013.26
9.969.449.938.828.708.209.098.076.675.636.076.236.335.787.507.218.337.498.327.766.967.367.386.646.246.486.726.265.675.294.525.855.014.634.196.164.716.225.686.385.035.954.885.378.9210.0510.039.598.268.519.107.678.367.378.938.897.636.79
5.265.165.066.016.076.466.197.567.346.697.007.436.476.345.816.986.376.106.566.805.981.026.146.695.785.886.236.975.685.345.706.565.565.035.755.094.404.455.235.264.175.144.066.113.483.943.794.923.893.844.025.993.963.863.796.013.893.71
6.516.466.287.557.678.207.569.379.248.559.189.228.168.047.198.828.237.958.798.748.011.418.548.597.587.848.478.997.537.298.558.717.827.268.276.765.896.057.126.815.466.715.317.584.304.904.816.014.804.785.047.355.165.105.087.745.104.93
2.362.332.572.842.652.743.013.453.092.772.793.592.852.752.913.292.812.672.833.182.690.462.713.222.762.682.673.752.972.782.993.542.962.692.652.952.532.482.733.152.502.962.123.732.112.332.053.052.462.392.323.772.442.402.243.562.452.39
3.853.775.066.016.076.464.585.515.254.684.915.536.476.344.325.174.684.394.686.804.451.026.146.694.354.414.616.975.685.346.236.565.565.035.755.094.404.455.235.264.175.144.066.113.483.943.794.923.893.844.025.993.963.863.796.013.893.71
---7.33---6.45---5.76---5.25---4.54---5.01---4.92---4.84--3.475.13----------------------
1.210.50-0.132.291.020.720.292.761.510.910.211.840.830.49-0.111.830.920.50-0.051.650.700.310.281.690.850.490.081.420.700.270.121.490.880.26-0.091.430.680.440.041.410.630.34-0.071.640.850.550.141.280.600.640.231.270.790.43-0.031.480.640.47
0.510.18-0.221.220.370.380.191.830.950.650.131.240.480.31-0.171.260.560.31-0.111.210.440.180.221.080.420.27-0.010.890.380.110.180.970.520.06-0.161.000.400.29-0.020.960.350.17-0.151.100.510.360.070.660.200.400.140.660.400.23-0.110.650.160.14