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America Movil SAB de CV
NYSE:AMX

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America Movil SAB de CV Logo
America Movil SAB de CV
NYSE:AMX
Watchlist
Price: 19.55 USD -0.71% Market Closed
Updated: May 8, 2024

Profitability Summary

America Movil SAB de CV's profitability score is 56/100. We take all the information about a company's profitability (such as its margins, capital efficiency, free cash flow generating ability, and more) and consolidate it into one single number - the profitability score. The higher the profitability score, the more profitable the company is.

56/100
Profitability
Score

We take all the information about a company's profitability (such as its margins, capital efficiency, free cash flow generating ability, and more) and consolidate it into one single number - the profitability score. The higher the profitability score, the more profitable the company is.

56/100
Profitability
Score
56/100
Profitability
Score

Past Growth

To be successful and remain in business, both growth and profitability are important and necessary. Net Income growth is often seen as a sign of a company's efficiency from an operational standpoint, but is influenced heavily by a company's goals and challenges and should therefore be assessed in conjunction with other metrics like revenue and operating income growth.

Margins

Profit margins represent what percentage of sales has turned into profits. Simply put, the percentage figure indicates how many cents of profit the company has generated for each dollar of sale.

Profit margins help investors assess if a company's management is generating enough profit from its sales and whether operating costs and overhead costs are being contained.

Earnings Waterfall
America Movil SAB de CV

Revenue
816B MXN
Cost of Revenue
-468.3B MXN
Gross Profit
347.8B MXN
Operating Expenses
-180B MXN
Operating Income
167.8B MXN
Other Expenses
-91.7B MXN
Net Income
76.1B MXN

Margins Comparison
America Movil SAB de CV Competitors

Country Company Market Cap Gross
Margin
Operating
Margin
Net
Margin
MX
America Movil SAB de CV
BMV:AMXB
1T MXN
43%
21%
9%
CN
China Mobile Ltd
HKEX:941
1.5T HKD
28%
14%
13%
US
T-Mobile US Inc
NASDAQ:TMUS
190.9B USD
63%
20%
11%
ZA
Vodacom Group Ltd
JSE:VOD
177.8B Zac
61%
23%
13%
ZA
MTN Group Ltd
JSE:MTN
171.4B Zac
71%
21%
2%
IN
Bharti Airtel Ltd
NSE:BHARTIARTL
7.3T INR
67%
26%
6%
JP
SoftBank Group Corp
TSE:9984
11.8T JPY
51%
8%
-8%
JP
KDDI Corp
TSE:9433
8.9T JPY
42%
19%
12%
JP
SoftBank Corp
TSE:9434
8.9T JPY
47%
13%
7%
UK
Vodafone Group PLC
LSE:VOD
18.2B GBP
32%
8%
24%
CA
Rogers Communications Inc
TSX:RCI.B
28B CAD
45%
22%
3%
Country MX
Market Cap 1T MXN
Gross Margin
43%
Operating Margin
21%
Net Margin
9%
Country CN
Market Cap 1.5T HKD
Gross Margin
28%
Operating Margin
14%
Net Margin
13%
Country US
Market Cap 190.9B USD
Gross Margin
63%
Operating Margin
20%
Net Margin
11%
Country ZA
Market Cap 177.8B Zac
Gross Margin
61%
Operating Margin
23%
Net Margin
13%
Country ZA
Market Cap 171.4B Zac
Gross Margin
71%
Operating Margin
21%
Net Margin
2%
Country IN
Market Cap 7.3T INR
Gross Margin
67%
Operating Margin
26%
Net Margin
6%
Country JP
Market Cap 11.8T JPY
Gross Margin
51%
Operating Margin
8%
Net Margin
-8%
Country JP
Market Cap 8.9T JPY
Gross Margin
42%
Operating Margin
19%
Net Margin
12%
Country JP
Market Cap 8.9T JPY
Gross Margin
47%
Operating Margin
13%
Net Margin
7%
Country UK
Market Cap 18.2B GBP
Gross Margin
32%
Operating Margin
8%
Net Margin
24%
Country CA
Market Cap 28B CAD
Gross Margin
45%
Operating Margin
22%
Net Margin
3%

Return on Capital

Return on capital ratios give a sense of how well a company is using its capital (equity, assets, capital employed, etc.) to generate profits (operating income, net income, etc.). In simple words, these ratios show how much income is generated for each dollar of capital invested.

Return on Capital Comparison
America Movil SAB de CV Competitors

Country Company Market Cap ROE ROA ROCE ROIC
MX
America Movil SAB de CV
BMV:AMXB
1T MXN
21%
5%
16%
8%
CN
China Mobile Ltd
HKEX:941
1.5T HKD
10%
7%
10%
8%
US
T-Mobile US Inc
NASDAQ:TMUS
190.9B USD
14%
4%
8%
6%
ZA
Vodacom Group Ltd
JSE:VOD
177.8B Zac
20%
8%
21%
15%
ZA
MTN Group Ltd
JSE:MTN
171.4B Zac
3%
1%
18%
6%
IN
Bharti Airtel Ltd
NSE:BHARTIARTL
7.3T INR
11%
2%
12%
8%
JP
SoftBank Group Corp
TSE:9984
11.8T JPY
-6%
-1%
2%
-3%
JP
KDDI Corp
TSE:9433
8.9T JPY
14%
6%
14%
7%
JP
SoftBank Corp
TSE:9434
8.9T JPY
19%
3%
10%
6%
UK
Vodafone Group PLC
LSE:VOD
18.2B GBP
18%
7%
3%
3%
CA
Rogers Communications Inc
TSX:RCI.B
28B CAD
6%
1%
9%
5%
Country MX
Market Cap 1T MXN
ROE
21%
ROA
5%
ROCE
16%
ROIC
8%
Country CN
Market Cap 1.5T HKD
ROE
10%
ROA
7%
ROCE
10%
ROIC
8%
Country US
Market Cap 190.9B USD
ROE
14%
ROA
4%
ROCE
8%
ROIC
6%
Country ZA
Market Cap 177.8B Zac
ROE
20%
ROA
8%
ROCE
21%
ROIC
15%
Country ZA
Market Cap 171.4B Zac
ROE
3%
ROA
1%
ROCE
18%
ROIC
6%
Country IN
Market Cap 7.3T INR
ROE
11%
ROA
2%
ROCE
12%
ROIC
8%
Country JP
Market Cap 11.8T JPY
ROE
-6%
ROA
-1%
ROCE
2%
ROIC
-3%
Country JP
Market Cap 8.9T JPY
ROE
14%
ROA
6%
ROCE
14%
ROIC
7%
Country JP
Market Cap 8.9T JPY
ROE
19%
ROA
3%
ROCE
10%
ROIC
6%
Country UK
Market Cap 18.2B GBP
ROE
18%
ROA
7%
ROCE
3%
ROIC
3%
Country CA
Market Cap 28B CAD
ROE
6%
ROA
1%
ROCE
9%
ROIC
5%

Free Cash Flow

Free cash flow (FCF) is the money a company has left over after paying its operating expenses and capital expenditures. The more free cash flow a company has, the more it can allocate to dividends, paying down debt, and growth opportunities.

If a company has a decreasing free cash flow, that is not necessarily bad if the company is investing in its growth.

See Also

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