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KCDMF:OTCMKTS
Kimberly-Clark de Mexico SAB de CV Class A
2,30 USD
0,00%
(0,00) 1D
28-июл., 14:53:09 GMT-4  ·   USD
All symbols
SymbolPriceChange% Change
Generating top insights for KCDMF...
Mkt. cap
6,76 млд
Avg. vol.
886,00
Volume
0,00
52-wk high
2,60 USD
52-wk low
1,84 USD
Beta
1,00
Shares outstanding
1,60 млд
No. of employees
9 миң
Mkt. cap
6,76 млд
Avg. vol.
886,00
Volume
0,00
52-wk high
2,60 USD
52-wk low
1,84 USD
Beta
1,00
Shares outstanding
1,60 млд
No. of employees
9 миң
News stories
From sources across the web
Profile
Kimberly-Clark de México is a Mexican company that engages in the manufacture and commercialization of disposable products for daily use by consumers within and away-from home in Mexico and internationally. The company's products include diapers and childcare products, feminine pads, incontinence care products, bath tissue, napkins, facial tissue, hand and kitchen towels, wet wipes and health care products. Today, the company has 8,000 direct employees and over 10,000 indirect jobs. Wikipedia
About Kimberly-Clark de Mexico SAB de CV Class A
CEO-
Employees9,43 миң
Founded1931
Headquarters-
SectorHousehold goods
Previous reportsAll values in MXN
Loading Previous Earnings...
Income statement
Revenue
Net income
All values in MXN
2025-ж. сен.
2025-ж. дек.
2026-ж. мар.
2026-ж. июн.
Revenue
13,41 млд
14,06 млд
14,33 млд
14,45 млд
Cost of goods sold
8,22 млд
8,38 млд
8,46 млд
8,43 млд
Cost of revenue
8,22 млд
8,38 млд
8,46 млд
8,43 млд
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
2,34 млд
2,44 млд
2,54 млд
2,60 млд
Operating expense
2,34 млд
2,46 млд
2,54 млд
2,60 млд
Total operating expenses
10,56 млд
10,84 млд
11,00 млд
11,03 млд
Operating income
2,85 млд
3,22 млд
3,33 млд
3,42 млд
Other non operating income
-
-
-
-
EBT including unusual items
2,45 млд
2,82 млд
2,89 млд
3,00 млд
EBT excluding unusual items
2,45 млд
2,82 млд
2,89 млд
3,00 млд
Income tax expense
768,57 млн
621,11 млн
863,56 млн
967,65 млн
Effective tax rate
31,38%
22,05%
29,88%
32,24%
Other operating expenses
-2,88 млн
19,76 млн
-1,05 млн
-3,69 млн
Net income
1,68 млд
2,20 млд
2,03 млд
2,03 млд
Net profit margin
12,53%
15,62%
14,14%
14,08%
Earnings per share
0,56
0,73
0,68
0,68
Interest and investment income
112,42 млн
113,74 млн
124,29 млн
280,42 млн
Interest expense
-513,84 млн
-512,19 млн
-555,26 млн
-712,84 млн
Net interest expenses
-401,42 млн
-398,45 млн
-430,96 млн
-432,42 млн
Depreciation and amortization charges
-
-
-
-
EBITDA
3,27 млд
3,64 млд
3,75 млд
3,84 млд
Gain or loss from assets sale
-
-
-
-
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