América Móvil

AMX.B · BMV · MXN

$19.36Change from previous close: +2.00%Absolute change: +$0.38

Close · October 2, 2026

At a glance

Revenue growth
+8.56%
2025 vs 2024
Net income growth
+261.62%
2025 vs 2024
Net margin
8.8%
2024: 2.6%

Financial data

Amounts in millions of MXN; per-share values in MXN; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow78,00144,79885,73475,46271,33939,86581,26967,19163,05527,82790,84874,003
Depreciation and amortization44,09443,98539,25043,69945,07146,23439,24541,97937,60639,82631,93538,353
Capital expenditure-26,633-19,826-37,589-28,536-29,175-19,132-31,908-32,876-29,406-18,893-41,965-32,718
Investing cash flow-25,546-6,836-45,363-26,319-27,582-23,636-36,424-30,167-36,214-26,431-53,965-47,302
Financing cash flow-50,760-22,108-53,049-44,161-32,582-18,348-33,552-45,969-23,382-218-36,795-29,970
Dividends paid-9.5-7.8-15,395-15,466-2,298-1.0-14,462-16,526-12.6-5.9-14,192-14,294
Share repurchases-3,189-1,379-1,130-2,160-4,872-3,783-6,355-3,855-7,753-4,783-6,643-4,631
Debt issued2,99434,09157,41586,95655,49439,03856,52451,66651,987101,86533,42694,285
Debt repaid-45,470-44,723-88,628-102,217-74,677-43,356-62,930-65,547-60,772-88,768-41,217-91,696
Effect of exchange rates-2,402706-2,123-870-8107485202,497504-450-1,759-760
Net change in cash-70716,560-14,8014,11110,365-1,37211,814-6,4493,962727-1,672-4,028
Free cash flow51,36824,97148,14546,92642,16420,73349,36134,31433,6498,93448,88341,285
Levered free cash flow50,41464,26819,69618,80627,61051,13714,73521,17214,85336,975-12,4517,930