Other OTC - Delayed Quote USD

Grupo Bimbo, S.A.B. de C.V. (GRBMF)

4.0050 0.0000 (0.00%)
As of April 19 at 11:56 AM EDT. Market Open.
Currency in MXN All numbers in thousands
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Breakdown
TTM
12/31/2022
12/31/2021
12/31/2020
Total Revenue
408,125,153.0000
398,706,000.0000
338,792,000.0000
322,943,000.0000
Cost of Revenue
198,591,825.0000
193,325,000.0000
157,703,000.0000
148,004,000.0000
Gross Profit
209,533,328.0000
205,381,000.0000
181,089,000.0000
174,939,000.0000
Operating Expense
153,349,764.0000
147,835,000.0000
145,648,000.0000
146,476,000.0000
Operating Income
56,183,564.0000
57,546,000.0000
35,441,000.0000
28,463,000.0000
Net Non Operating Interest Income Expense
-9,036,502.0000
-7,309,000.0000
-7,460,000.0000
-9,005,000.0000
Pretax Income
41,265,073.0000
45,878,000.0000
24,854,000.0000
15,406,000.0000
Tax Provision
12,961,507.0000
14,381,000.0000
8,726,000.0000
5,943,000.0000
Net Income Common Stockholders
42,418,895.0000
46,910,000.0000
15,916,000.0000
9,111,000.0000
Diluted NI Available to Com Stockholders
42,418,895.0000
46,910,000.0000
15,916,000.0000
9,111,000.0000
Basic EPS
9.56
10.54
3.55
2.00
Diluted EPS
9.56
10.54
3.55
2.00
Basic Average Shares
4,415,691.3290
4,448,693.0000
4,487,268.0000
4,552,712.0000
Diluted Average Shares
4,415,691.3290
4,448,693.0000
4,487,268.0000
4,552,712.0000
Total Operating Income as Reported
51,386,595.0000
53,696,000.0000
32,580,000.0000
24,065,000.0000
Rent Expense Supplemental
1,206,925.0000
1,125,000.0000
1,002,000.0000
985,000.0000
Total Expenses
351,941,589.0000
341,160,000.0000
303,351,000.0000
294,480,000.0000
Net Income from Continuing & Discontinued Operation
42,418,895.0000
46,910,000.0000
15,916,000.0000
9,111,000.0000
Normalized Income
27,373,058.4960
33,562,876.0000
16,939,840.0000
11,246,850.0000
Interest Income
740,505.0000
740,000.0000
363,000.0000
352,000.0000
Interest Expense
9,076,371.0000
7,264,000.0000
7,412,000.0000
8,952,000.0000
Net Interest Income
-9,036,502.0000
-7,309,000.0000
-7,460,000.0000
-9,005,000.0000
EBIT
50,341,444.0000
53,142,000.0000
32,266,000.0000
24,358,000.0000
EBITDA
69,078,972.0000
71,424,000.0000
48,641,000.0000
40,609,000.0000
Reconciled Cost of Revenue
198,591,825.0000
193,325,000.0000
157,703,000.0000
148,004,000.0000
Reconciled Depreciation
18,737,528.0000
18,282,000.0000
16,375,000.0000
16,251,000.0000
Net Income from Continuing Operation Net Minority Interest
26,781,829.0000
29,922,000.0000
14,662,000.0000
8,023,000.0000
Total Unusual Items Excluding Goodwill
1,167,817.0000
-2,924,000.0000
-2,974,000.0000
-3,895,000.0000
Total Unusual Items
2,560,048.0000
-1,327,000.0000
-2,659,000.0000
-3,125,000.0000
Normalized EBITDA
66,518,924.0000
72,751,000.0000
51,300,000.0000
43,734,000.0000
Tax Rate for Calcs
0.0003
0.0003
0.0003
0.0004
Tax Effect of Unusual Items
366,815.4960
-880,124.0000
-1,011,160.0000
-1,441,150.0000
12/31/2020 - 9/18/2007

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