Fomento Económico Mexicano, S.A.B. de C.V.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
0.860.820.810.71
Price/Sales ratio
0.030.030.030.02
Earnings per Share (EPS)
$98.48$103.45$104.74$118.93

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
418.63321.69267.29165.77268.43308.501.31K200.06227.55236.52338.36268.43
Price/Sales ratio
17.6218.2514.1414.7112.8912.6010.9610.248.0822.110.4912.60
Price/Book Value ratio
20.1723.5219.7420.1018.1119.6017.6017.0216.0651.1321.1818.11
Price/Cash Flow ratio
124.25154.82112.71168.78127.72103.60101.6977.9974.96312.7590.70103.60
Price/Free Cash Flow ratio
126.64311.08196.61424.68251.93174.87163.70107.98135.551.34K13.57174.87
Price/Earnings Growth ratio
-4.540.24-3.651.64-3.65-37.37-16.390.33-14.155.910.86-3.65
Dividend Yield
0.06%0.18%0.21%0.18%0.21%0.21%0.29%0.23%0.32%0.07%0.17%0.21%
Profitability Indicator Ratios
Gross Profit Margin
41.81%39.53%37.09%36.97%37.29%37.78%38.47%38.41%37.38%39.77%41.46%37.29%
Operating Profit Margin
7.87%11.19%9.36%8.99%9.40%4.51%1.62%5.19%4.66%8.23%8.69%8.69%
Pretax Profit Margin
9.01%8.07%7.14%8.65%7.15%6.33%3.84%7.42%6.21%8.17%6.78%6.33%
Net Profit Margin
4.20%5.67%5.29%8.87%4.80%4.08%0.83%5.12%3.55%9.34%2.57%4.08%
Effective Tax Rate
26.33%31.52%27.62%26.54%30.23%32.64%78.25%34.59%32.35%22.59%24.57%32.64%
Return on Assets
2.94%4.32%3.87%6.94%3.59%3.24%0.60%3.86%2.99%8.15%2.23%3.24%
Return On Equity
4.81%7.31%7.38%12.12%6.74%6.35%1.34%8.51%7.06%21.61%6.48%6.35%
Return on Capital Employed
6.34%10.14%8.14%8.57%8.48%4.56%1.41%4.81%5.02%9.28%10.01%8.48%
Liquidity Ratios
Current Ratio
1.601.321.361.721.751.261.69N/AN/AN/A1.621.26
Quick Ratio
1.250.940.991.391.320.961.321.310.941.631.321.32
Cash ratio
0.720.440.500.920.570.480.900.710.470.900.740.57
Days of Sales Outstanding
31.6832.5023.9525.6121.8821.3420.9122.2424.6820.1820.5421.34
Days of Inventory outstanding
40.9947.8146.3743.8244.2147.4953.1754.2353.8750.2153.4244.21
Operating Cycle
72.6880.3170.3369.4366.1068.8474.0976.4778.5670.4073.9666.10
Days of Payables Outstanding
81.5487.1985.8283.2281.3688.7890.4599.4768.2270.30N/A88.78
Cash Conversion Cycle
-8.86-6.87-15.48-13.78-15.26-19.93-16.36-22.9910.330.0973.96-15.26
Debt Ratios
Debt Ratio
0.210.220.230.220.270.200.270.250.240.160.170.20
Debt Equity Ratio
0.350.370.450.390.520.390.610.560.560.450.480.39
Long-term Debt to Capitalization
0.260.260.300.250.310.230.360.350.330.290.310.23
Total Debt to Capitalization
0.260.270.310.280.340.280.380.360.360.310.320.28
Interest Coverage Ratio
0.250.19N/A0.180.180.112.40N/AN/AN/A2.780.18
Cash Flow to Debt Ratio
0.450.390.380.300.270.470.280.380.370.360.480.27
Company Equity Multiplier
1.631.691.901.741.871.952.222.202.352.652.801.87
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.110.120.080.100.120.100.130.100.070.090.12
Free Cash Flow / Operating Cash Flow Ratio
0.980.490.570.390.500.590.620.720.550.230.380.59
Cash Flow Coverage Ratio
0.450.390.380.300.270.470.280.380.370.360.480.27
Short Term Coverage Ratio
24.056.236.882.952.422.246.0415.753.955.878.542.42
Dividend Payout Ratio
28.42%60.51%56.97%30.46%57.32%65.84%385.42%47.02%73.21%18.64%91.95%57.32%