Coca-Cola Femsa SAB de CV
F:CFSL
Balance Sheet
Balance Sheet Decomposition
Coca-Cola Femsa SAB de CV
Coca-Cola Femsa SAB de CV
Balance Sheet
Coca-Cola Femsa SAB de CV
| Dec-2001 | Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
4 293
|
6 171
|
2 783
|
3 603
|
1 958
|
4 473
|
1 678
|
1 889
|
1 435
|
2 596
|
12 331
|
23 222
|
15 306
|
12 958
|
15 989
|
10 476
|
18 767
|
23 727
|
20 491
|
43 497
|
47 248
|
40 277
|
31 060
|
32 779
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
1 678
|
1 889
|
1 435
|
2 596
|
0
|
5 520
|
10 542
|
7 212
|
4 589
|
5 429
|
9 497
|
7 778
|
4 641
|
4 435
|
5 336
|
5 828
|
6 101
|
3 300
|
|
| Cash Equivalents |
4 293
|
6 171
|
2 783
|
3 603
|
1 958
|
4 473
|
0
|
0
|
0
|
0
|
12 331
|
17 702
|
4 764
|
5 746
|
11 400
|
5 047
|
9 270
|
15 949
|
15 850
|
39 062
|
41 912
|
34 449
|
24 959
|
29 479
|
|
| Short-Term Investments |
0
|
0
|
0
|
0
|
0
|
0
|
5 864
|
4 303
|
8 305
|
9 938
|
330
|
12
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
924
|
1 001
|
2 902
|
2 827
|
2 523
|
2 697
|
4 512
|
5 239
|
5 931
|
6 363
|
10 163
|
9 329
|
14 078
|
14 421
|
13 867
|
19 378
|
22 748
|
20 885
|
23 043
|
16 994
|
18 307
|
22 230
|
23 174
|
25 403
|
|
| Accounts Receivables |
577
|
548
|
1 338
|
1 580
|
1 862
|
2 368
|
3 060
|
3 523
|
5 931
|
6 363
|
6 309
|
6 017
|
7 007
|
7 288
|
6 892
|
11 318
|
17 576
|
14 847
|
15 476
|
11 523
|
13 014
|
16 318
|
16 283
|
16 401
|
|
| Other Receivables |
347
|
453
|
1 564
|
1 247
|
661
|
329
|
1 452
|
1 716
|
0
|
0
|
3 854
|
3 312
|
7 071
|
7 133
|
6 975
|
8 060
|
5 172
|
6 038
|
7 567
|
5 471
|
5 293
|
5 912
|
6 891
|
9 002
|
|
| Inventory |
566
|
747
|
2 187
|
2 515
|
2 168
|
2 798
|
3 418
|
4 313
|
5 002
|
5 130
|
7 573
|
8 103
|
9 130
|
7 819
|
8 066
|
10 744
|
11 364
|
10 051
|
10 538
|
9 727
|
11 960
|
11 888
|
11 880
|
14 059
|
|
| Other Current Assets |
32
|
71
|
202
|
105
|
772
|
1 105
|
1 986
|
2 239
|
2 967
|
2 409
|
1 677
|
5 231
|
4 717
|
2 930
|
4 310
|
4 855
|
2 778
|
2 827
|
2 724
|
2 222
|
2 849
|
4 817
|
1 624
|
2 891
|
|
| Total Current Assets |
5 815
|
7 991
|
8 074
|
9 050
|
7 421
|
11 072
|
17 458
|
17 983
|
23 639
|
26 436
|
32 074
|
45 896
|
43 231
|
38 128
|
42 232
|
45 453
|
55 657
|
57 490
|
56 796
|
72 440
|
80 364
|
79 212
|
67 738
|
75 132
|
|
| PP&E Net |
6 459
|
6 969
|
17 777
|
18 672
|
18 555
|
19 876
|
21 923
|
28 159
|
31 243
|
32 100
|
41 502
|
42 518
|
51 785
|
50 527
|
50 532
|
65 288
|
75 827
|
61 942
|
62 569
|
60 738
|
63 655
|
73 274
|
81 118
|
102 370
|
|
| PP&E Gross |
6 459
|
6 969
|
17 777
|
18 672
|
18 555
|
19 876
|
21 923
|
28 159
|
31 243
|
32 100
|
41 502
|
42 518
|
51 785
|
50 527
|
50 532
|
65 288
|
75 827
|
61 942
|
62 569
|
60 738
|
63 655
|
73 274
|
81 118
|
102 370
|
|
| Accumulated Depreciation |
2 639
|
3 113
|
10 386
|
12 884
|
13 888
|
15 231
|
16 672
|
24 388
|
27 397
|
25 230
|
30 267
|
29 135
|
30 735
|
29 227
|
30 558
|
43 768
|
48 075
|
41 056
|
45 037
|
49 705
|
51 778
|
56 622
|
59 072
|
72 253
|
|
| Intangible Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
70 675
|
60 041
|
79 052
|
73 431
|
69 717
|
90 382
|
98 015
|
93 075
|
89 120
|
80 540
|
79 265
|
79 864
|
78 822
|
79 864
|
|
| Goodwill |
897
|
258
|
33 721
|
36 114
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
6 972
|
19 922
|
23 593
|
21 037
|
33 582
|
26 228
|
23 729
|
22 930
|
23 431
|
22 909
|
23 258
|
22 340
|
22 012
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
199
|
952
|
1 044
|
0
|
1 782
|
893
|
0
|
105
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
139
|
116
|
470
|
418
|
441
|
410
|
1 476
|
1 797
|
2 170
|
2 108
|
3 656
|
5 352
|
16 943
|
17 385
|
17 942
|
22 475
|
12 862
|
10 744
|
9 946
|
7 798
|
7 647
|
8 591
|
9 942
|
12 233
|
|
| Other Long-Term Assets |
520
|
838
|
1 378
|
2 812
|
40 729
|
43 667
|
46 322
|
49 820
|
52 657
|
52 373
|
3 701
|
3 542
|
4 839
|
9 204
|
8 684
|
22 076
|
17 088
|
16 807
|
16 478
|
18 119
|
17 727
|
13 796
|
13 560
|
16 375
|
|
| Other Assets |
897
|
258
|
33 721
|
36 114
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
6 972
|
19 922
|
23 593
|
21 037
|
33 582
|
26 228
|
23 729
|
22 930
|
23 431
|
22 909
|
23 258
|
22 340
|
22 012
|
|
| Total Assets |
13 831
N/A
|
16 173
+17%
|
61 420
+280%
|
67 066
+9%
|
67 146
+0%
|
75 024
+12%
|
87 178
+16%
|
97 958
+12%
|
110 661
+13%
|
114 061
+3%
|
151 608
+33%
|
166 103
+10%
|
216 665
+30%
|
212 366
-2%
|
210 249
-1%
|
279 256
+33%
|
285 677
+2%
|
263 787
-8%
|
257 839
-2%
|
263 066
+2%
|
271 567
+3%
|
277 995
+2%
|
273 520
-2%
|
307 986
+13%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
1 831
|
1 993
|
4 738
|
4 144
|
4 614
|
5 164
|
6 100
|
7 790
|
9 368
|
8 988
|
15 513
|
14 221
|
21 170
|
19 487
|
20 214
|
27 844
|
31 353
|
25 650
|
19 832
|
17 195
|
22 745
|
26 835
|
27 351
|
33 774
|
|
| Accrued Liabilities |
0
|
0
|
0
|
1 369
|
0
|
0
|
0
|
0
|
0
|
151
|
206
|
3 285
|
5 899
|
5 828
|
5 685
|
8 080
|
7 561
|
7 704
|
17 926
|
18 125
|
7 783
|
8 843
|
21 761
|
24 658
|
|
| Short-Term Debt |
0
|
0
|
59
|
314
|
0
|
0
|
5
|
25
|
0
|
37
|
638
|
0
|
3 091
|
301
|
384
|
1 573
|
2 057
|
1 382
|
882
|
1 645
|
645
|
0
|
88
|
1 443
|
|
| Current Portion of Long-Term Debt |
77
|
81
|
3 278
|
3 272
|
4 694
|
3 172
|
4 809
|
6 095
|
5 427
|
1 803
|
4 902
|
5 139
|
495
|
905
|
3 086
|
1 479
|
10 114
|
10 222
|
11 086
|
3 932
|
2 422
|
8 996
|
804
|
2 760
|
|
| Other Current Liabilities |
480
|
465
|
1 329
|
1 588
|
2 789
|
3 712
|
5 283
|
7 285
|
8 653
|
6 667
|
3 818
|
6 905
|
1 743
|
1 882
|
1 111
|
892
|
4 509
|
566
|
1 284
|
1 948
|
12 626
|
13 286
|
4 912
|
4 536
|
|
| Total Current Liabilities |
2 389
|
2 539
|
9 404
|
10 687
|
12 098
|
12 048
|
16 197
|
21 194
|
23 448
|
17 646
|
25 077
|
29 550
|
32 398
|
28 403
|
30 480
|
39 868
|
55 594
|
45 524
|
51 010
|
42 845
|
46 221
|
57 960
|
54 916
|
67 171
|
|
| Long-Term Debt |
2 790
|
3 170
|
26 041
|
21 716
|
8 517
|
10 930
|
14 096
|
12 455
|
10 498
|
15 511
|
17 034
|
24 775
|
57 017
|
64 997
|
63 474
|
85 857
|
71 189
|
70 201
|
59 392
|
83 207
|
84 220
|
71 808
|
66 843
|
72 678
|
|
| Deferred Income Tax |
663
|
787
|
376
|
1 380
|
994
|
1 584
|
1 480
|
1 680
|
2 659
|
1 901
|
3 485
|
979
|
887
|
1 085
|
1 123
|
1 205
|
1 714
|
2 856
|
3 771
|
2 474
|
2 710
|
2 839
|
3 321
|
4 317
|
|
| Minority Interest |
0
|
0
|
163
|
709
|
959
|
1 214
|
1 641
|
1 703
|
2 296
|
2 602
|
3 089
|
3 179
|
4 042
|
4 401
|
3 986
|
7 096
|
18 141
|
6 806
|
6 751
|
5 583
|
6 022
|
6 491
|
6 680
|
7 113
|
|
| Other Liabilities |
515
|
552
|
2 781
|
3 174
|
10 809
|
8 979
|
4 624
|
5 012
|
5 584
|
5 121
|
5 232
|
5 971
|
9 210
|
7 763
|
6 437
|
23 093
|
16 470
|
13 456
|
13 981
|
12 083
|
10 844
|
13 512
|
14 735
|
13 279
|
|
| Total Liabilities |
6 357
N/A
|
7 049
+11%
|
38 767
+450%
|
37 666
-3%
|
33 377
-11%
|
34 754
+4%
|
38 038
+9%
|
42 045
+11%
|
44 485
+6%
|
42 780
-4%
|
53 917
+26%
|
64 454
+20%
|
103 554
+61%
|
106 649
+3%
|
105 500
-1%
|
157 119
+49%
|
163 108
+4%
|
138 843
-15%
|
134 905
-3%
|
146 192
+8%
|
150 017
+3%
|
152 610
+2%
|
146 495
-4%
|
164 558
+12%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
2 242
|
2 370
|
2 655
|
2 793
|
2 886
|
3 003
|
3 116
|
3 116
|
3 116
|
3 116
|
3 178
|
2 029
|
2 048
|
2 048
|
2 048
|
2 048
|
2 060
|
2 060
|
2 060
|
2 060
|
2 060
|
2 060
|
2 060
|
2 060
|
|
| Retained Earnings |
6 765
|
9 224
|
11 762
|
17 423
|
21 924
|
27 172
|
34 838
|
39 943
|
46 712
|
53 908
|
64 577
|
64 501
|
70 094
|
74 624
|
78 454
|
81 579
|
61 786
|
71 270
|
75 820
|
75 917
|
81 037
|
88 664
|
96 003
|
106 959
|
|
| Additional Paid In Capital |
1 577
|
1 667
|
11 361
|
11 954
|
12 349
|
12 850
|
13 333
|
13 220
|
13 220
|
13 239
|
29 936
|
33 488
|
41 490
|
41 490
|
41 490
|
41 490
|
45 560
|
45 560
|
45 560
|
45 560
|
45 560
|
45 560
|
45 560
|
45 560
|
|
| Other Equity |
3 110
|
4 136
|
3 126
|
2 770
|
3 391
|
2 755
|
2 147
|
367
|
3 127
|
1 017
|
0
|
1 632
|
521
|
12 445
|
17 243
|
2 980
|
13 163
|
6 054
|
506
|
6 663
|
7 107
|
10 899
|
16 598
|
11 151
|
|
| Total Equity |
7 475
N/A
|
9 124
+22%
|
22 653
+148%
|
29 400
+30%
|
33 769
+15%
|
40 270
+19%
|
49 140
+22%
|
55 913
+14%
|
66 176
+18%
|
71 281
+8%
|
97 691
+37%
|
101 649
+4%
|
113 111
+11%
|
105 717
-7%
|
104 749
-1%
|
122 137
+17%
|
122 569
+0%
|
124 944
+2%
|
122 934
-2%
|
116 874
-5%
|
121 550
+4%
|
125 385
+3%
|
127 025
+1%
|
143 428
+13%
|
|
| Total Liabilities & Equity |
13 831
N/A
|
16 173
+17%
|
61 420
+280%
|
67 066
+9%
|
67 146
+0%
|
75 024
+12%
|
87 178
+16%
|
97 958
+12%
|
110 661
+13%
|
114 061
+3%
|
151 608
+33%
|
166 103
+10%
|
216 665
+30%
|
212 366
-2%
|
210 249
-1%
|
279 256
+33%
|
285 677
+2%
|
263 787
-8%
|
257 839
-2%
|
263 066
+2%
|
271 567
+3%
|
277 995
+2%
|
273 520
-2%
|
307 986
+13%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
11 400
|
11 400
|
14 771
|
14 772
|
14 772
|
14 772
|
14 772
|
14 772
|
14 772
|
14 772
|
15 884
|
16 244
|
16 583
|
16 583
|
16 583
|
16 583
|
16 807
|
16 807
|
16 807
|
16 807
|
16 807
|
16 807
|
16 807
|
16 807
|
|