Grupo Bimbo
55,05 $Variación respecto al cierre anterior: 0,00 %Variación absoluta: +0,00 $
En resumen
- Crecimiento de los ingresos
- +4,56 %
- 2025 frente a 2024
- Crecimiento del beneficio neto
- −11,25 %
- 2025 frente a 2024
- Margen neto
- 2,6 %
- 2024: 3,1 %
Datos financieros
Importes en millones de MXN; valores por acción en MXN; acciones en millones.
| Partida | T2 2026 | T1 2026 | T4 2025 | T3 2025 | T2 2025 | T1 2025 | T4 2024 | T3 2024 | T2 2024 | T1 2024 | T4 2023 | T3 2023 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Activo total | 409.173 | 418.883 | 409.805 | 414.828 | 414.568 | 429.186 | 416.804 | 408.954 | 379.932 | 363.596 | 348.102 | 346.144 |
| Activo corriente | 75.474 | 75.608 | 64.671 | 70.186 | 65.829 | 74.656 | 67.180 | 67.864 | 63.887 | 71.481 | 58.914 | 60.522 |
| Efectivo y equivalentes | 16.563 | 19.574 | 8.535 | 13.617 | 7.494 | 17.779 | 8.057 | 8.434 | 7.616 | 17.568 | 6.353 | 6.249 |
| Inversiones a corto plazo | 1.299 | 1.567 | 519 | — | 627 | 935 | — | — | — | — | — | — |
| Cuentas por cobrar | 36.768 | 34.901 | 35.782 | 35.798 | 36.002 | 35.900 | 36.659 | 36.768 | 35.110 | 33.654 | 33.269 | 33.478 |
| Existencias | 17.107 | 16.887 | 17.151 | 17.039 | 18.467 | 17.763 | 18.832 | 18.785 | 18.185 | 16.153 | 16.120 | 16.997 |
| Inmovilizado material neto | 184.603 | 188.948 | 190.180 | 187.821 | 189.362 | 193.101 | 189.596 | 181.744 | 169.254 | 156.386 | 155.160 | 147.509 |
| Fondo de comercio | 70.473 | 72.680 | 72.568 | 75.586 | 77.372 | 75.799 | 75.100 | 76.669 | 69.670 | 62.671 | 62.000 | 64.874 |
| Otros activos intangibles | 59.653 | 62.690 | 62.947 | 61.285 | 63.171 | 66.025 | 65.808 | 63.777 | 59.153 | 54.796 | 55.101 | 56.256 |
| Inversiones a largo plazo | 6.503 | 6.560 | 7.024 | 7.443 | 7.533 | 7.544 | 7.537 | 7.220 | 6.972 | 6.507 | 5.042 | 6.404 |
| Pasivo corriente | 89.577 | 84.831 | 90.573 | 91.705 | 81.437 | 82.589 | 85.155 | 83.378 | 76.715 | 81.747 | 87.192 | 97.877 |
| Proveedores | 39.198 | 37.738 | 40.028 | 36.825 | 38.051 | 39.011 | 41.884 | 38.571 | 37.426 | 34.975 | 41.643 | 37.843 |
| Deuda a largo plazo | 150.019 | 154.131 | 143.342 | 145.670 | 155.949 | 158.898 | 146.732 | 141.946 | 134.108 | 121.248 | 98.891 | 84.760 |
| Deuda total | 187.021 | 191.782 | 188.453 | — | 192.741 | 197.712 | — | — | — | — | — | — |
| Pasivo total | 293.179 | 295.396 | 289.550 | 297.080 | 295.052 | 299.907 | 289.106 | 281.239 | 263.264 | 252.973 | 236.474 | 233.409 |
| Patrimonio neto (incl. minoritarios) | 115.994 | 123.487 | 120.255 | 117.748 | 119.516 | 129.279 | 127.698 | 127.715 | 116.668 | 110.623 | 111.628 | 112.735 |
| Reservas | 127.777 | 129.909 | 127.596 | 124.444 | 121.134 | 123.896 | 122.763 | 120.252 | 117.512 | 120.823 | 118.718 | 116.221 |
| Intereses minoritarios | 722 | 917 | 743 | 1.016 | 900 | 1.556 | 1.754 | 2.531 | 2.763 | 3.178 | 3.306 | 3.353 |
