Fomento Economico Mexicano SAB de CV Units Cons. Of 5 ShsB revenue and financials

FEMSA/UB · BMV · MXN

$166.00Change from previous close: 0.00%

Close · October 5, 2026

In the fiscal year ended December 2025, Fomento Economico Mexicano SAB de CV Units Cons. Of 5 ShsB 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. $505.46B2021
  2. $597.01B2022
  3. $702.69B2023
  4. $781.59B2024
  5. $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
−27.32%
2025 vs 2024
Net margin
2.3%
2024: 3.4%

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 flow33,17122,51421,10225,93717,1156,92527,65010,97221,76512,1019,51622,884
Depreciation and amortization11,71611,31610,05811,19410,94010,8888,5909,4889,5219,8169,4996,732
Capital expenditure-7,974-6,931-10,975-10,352-8,215-8,960-14,395-12,488-11,446-5,353-12,924-10,312
Investing cash flow-11,8187,324-6,00855126,316-22,920-29,75928,602-11,709-20,25630,683-17,030
Financing cash flow-21,421-32,472-28,740-29,735-17,904-15,621-18,944-16,059-31,746-17,300-36,154-6,632
Dividends paid-12,272-11,754-15,913-13,848-14,112-6,052-9,081-8,077-7,922—-2,822-139
Share repurchases—-5,370-5,146—-5,959-1,289—-10,536-9,775———
Debt issued61710,6222,669-4,37011,5551,479-4221,2943332.0-435122
Debt repaid-7,354-22,115555-5,650-6,167-6,3463,849-7,125-6,276-8,9344,983-3,916
Effect of exchange rates-1,8761,559-2,009-2,943-5,0471,1265,11610,8285,588-2,1266247,230
Net change in cash-1,945-1,075-15,654-6,19120,480-30,490-15,93734,342-16,102-27,5814,6706,452
Free cash flow25,19715,58310,12715,5858,900-2,03513,255-1,51610,3196,748-3,40812,572
Levered free cash flow9,37254,72515,33110,35979,006-73,34124,90252,637-18,770-9,84434,564-35,822