Fomento Económico Mexicano revenue and financials

FMX · NYSE · USD

$116.98Change from previous close: +0.05%Absolute change: +$0.06

Close · October 6, 2026

In the fiscal year ended December 2025, Fomento Económico Mexicano reported revenue of $840.95B (+7.60% year over year). Net income was $19.43B, a net margin of 2.3%.

Annual revenue · 2025: $840.95B
  1. $399.51B2016
  2. $439.93B2017
  3. $23.92B2018
  4. $26.87B2019
  5. $492.97B2020
  6. $505.46B2021
  7. $597.01B2022
  8. $702.69B2023
  9. $781.59B2024
  10. $840.95B2025

Fiscal year ending in December. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+7.60%
2025 vs 2024
Net income growth
−51.71%
2025 vs 2024
Net margin
2.3%
2024: 5.1%

Financial data

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

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow71,08072,48749,67972,57673,090———40,13550,131
Depreciation and amortization43,08039,31034,01727,31925,39528,04925,81017,23715,64013,709
Capital expenditure-38,502-2,094-2,060-29,354-17,572-18,660-1,216-21,584-19,484-19,083
Investing cash flow-2,061-33,122132,292-46,432-46,175—————
Financing cash flow-92,000-84,049-92,552-35,898-36,989—————
Dividends paid-49,925-25,080-1,112-17,506-13,399-15,868-13,629-12,933——
Share repurchases-12,364-20,3110.00.0——————
Debt issued11,3331,20711,23815,855——————
Debt repaid-17,608-18,486-52,874-17,797——————
Effect of exchange rates-8,87319,406-7,746-4,214-143—————
Net change in cash-31,854-25,27881,673-13,968-10,217—————
Free cash flow32,57828,80514,86543,22255,518—————
Levered free cash flow31,34048,92515,09718,07839,080—————