Coca-Cola Femsa SAB de CV
NYSE:KOF

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Coca-Cola Femsa SAB de CV
NYSE:KOF
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Price: 79.63 USD 1.25% Market Closed
Market Cap: 16.7B USD
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Balance Sheet

Balance Sheet Decomposition
Coca-Cola Femsa SAB de CV

Current Assets 80.7B
Cash & Short-Term Investments 42.7B
Receivables 21.9B
Other Current Assets 16.1B
Non-Current Assets 227.2B
Long-Term Investments 13.1B
PP&E 94.3B
Intangibles 103.9B
Other Non-Current Assets 15.9B
Current Liabilities 70.9B
Accounts Payable 29.4B
Accrued Liabilities 10.1B
Other Current Liabilities 31.4B
Non-Current Liabilities 96.7B
Long-Term Debt 71.5B
Other Non-Current Liabilities 25.2B

Balance Sheet
Coca-Cola Femsa SAB de CV

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Balance Sheet
Currency: MXN
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
12 958
15 989
10 476
18 767
23 727
20 491
43 497
47 248
40 277
31 060
Cash
7 212
4 589
5 429
9 497
7 778
4 641
4 435
5 336
5 828
6 101
Cash Equivalents
5 746
11 400
5 047
9 270
15 949
15 850
39 062
41 912
34 449
24 959
Total Receivables
14 421
13 867
19 378
22 748
20 885
23 043
16 994
18 307
22 230
23 174
Accounts Receivables
7 288
6 892
11 318
17 576
14 847
15 476
11 523
13 014
16 318
16 283
Other Receivables
7 133
6 975
8 060
5 172
6 038
7 567
5 471
5 293
5 912
6 891
Inventory
7 819
8 066
10 744
11 364
10 051
10 538
9 727
11 960
11 888
11 880
Other Current Assets
2 930
4 310
4 855
2 778
2 827
2 724
2 222
2 849
4 817
1 624
Total Current Assets
38 128
42 232
45 453
55 657
57 490
56 796
72 440
80 364
79 212
67 738
PP&E Net
50 527
50 532
65 288
75 827
61 942
62 569
60 738
63 655
73 274
81 118
PP&E Gross
50 527
50 532
65 288
75 827
61 942
62 569
60 738
63 655
73 274
81 118
Accumulated Depreciation
29 227
30 558
43 768
48 075
41 056
45 037
49 705
51 778
56 622
59 072
Intangible Assets
73 431
69 717
90 382
98 015
93 075
89 120
80 540
79 265
79 864
78 822
Goodwill
23 593
21 037
33 582
26 228
23 729
22 930
23 431
22 909
23 258
22 340
Note Receivable
0
105
0
0
0
0
0
0
0
0
Long-Term Investments
17 385
17 942
22 475
12 862
10 744
9 946
7 798
7 647
8 591
9 942
Other Long-Term Assets
9 204
8 684
22 076
17 088
16 807
16 478
18 119
17 727
13 796
13 560
Other Assets
23 593
21 037
33 582
26 228
23 729
22 930
23 431
22 909
23 258
22 340
Total Assets
212 366
N/A
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%
Liabilities
Accounts Payable
19 487
20 214
27 844
31 353
25 650
19 832
17 195
22 745
26 835
27 351
Accrued Liabilities
5 828
5 685
8 080
7 561
7 704
17 926
18 125
7 783
8 843
21 761
Short-Term Debt
301
384
1 573
2 057
1 382
882
1 645
645
0
88
Current Portion of Long-Term Debt
905
3 086
1 479
10 114
10 222
11 086
3 932
2 422
8 996
804
Other Current Liabilities
1 882
1 111
892
4 509
566
1 284
1 948
12 626
13 286
4 912
Total Current Liabilities
28 403
30 480
39 868
55 594
45 524
51 010
42 845
46 221
57 960
54 916
Long-Term Debt
64 997
63 474
85 857
71 189
70 201
59 392
83 207
84 220
71 808
66 843
Deferred Income Tax
1 085
1 123
1 205
1 714
2 856
3 771
2 474
2 710
2 839
3 321
Minority Interest
4 401
3 986
7 096
18 141
6 806
6 751
5 583
6 022
6 491
6 680
Other Liabilities
7 763
6 437
23 093
16 470
13 456
13 981
12 083
10 844
13 512
14 735
Total Liabilities
106 649
N/A
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%
Equity
Common Stock
2 048
2 048
2 048
2 060
2 060
2 060
2 060
2 060
2 060
2 060
Retained Earnings
74 624
78 454
81 579
61 786
71 270
75 820
75 917
81 037
88 664
96 003
Additional Paid In Capital
41 490
41 490
41 490
45 560
45 560
45 560
45 560
45 560
45 560
45 560
Other Equity
12 445
17 243
2 980
13 163
6 054
506
6 663
7 107
10 899
16 598
Total Equity
105 717
N/A
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%
Total Liabilities & Equity
212 366
N/A
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%
Shares Outstanding
Common Shares Outstanding
16 583
16 583
16 583
16 807
16 807
16 807
16 807
16 807
16 807
16 807

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