CEMEX Análisis Financiero Empresa en Bolsa

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CEMEX, S.A. de C.V.

Estado de Posición Financiera Comparativo

2019 2020
Activo
Circulante
Efectivo 304,222.33 2,831,766.00
Cuentas por cobrar 330,796.81 365,664.70
Inventarios 1,089,136.24 971,314.79
Total Circulante 1,724,155.38 4,168,745.49

Activo no circulante
Terrenos y Edificio
Maquinaria y equipo 12,019,815.75 12,749,854.53
Otros Activos Fijos 13,047,948.38 12,749,854.53
Total No circulantes 13,047,948.38 25,499,709.06

Total Activos 14,772,103.76 29,668,454.55

Pasivo
Corto Plazo
Proveedores 24,236.31 22,074.20
Docs Bancarios x pagar 5,749,254.11 4,567,320.46
Pasivos Acumulados 5,773,490.42 4,589,394.66
Total Pasivo Corto Plazo 5,797,726.72 9,178,789.32

Pasivo Largo Plazo


Crédito Hipotecario 8,730,472.54 10,202,023.61
Total Pasivo Largo Plazo 8,730,472.54 10,202,023.61
Suma el pasivo 14,528,199.26 19,380,812.93

Capital Contable 10,814,286.11 10,174,666.01


Capital Social 9,245,798.53 8,783,691.54
Utilidades Retenidas
Suma el Capital 20,060,084.64 8,783,691.54

Suma Pasivo y Capital 34,588,283.90 28,164,504.47

CEMEX, S.A. de C.V.


Estado de resultados comparativo

2020
100 Ventas Netas 3,085,266.84
Costo de Ventas - 2,119,720.84
Margen Bruto 5,204,987.68

Gastos de Operación - 705,114.34


Costo por depreciación -
Utilidad de operación 5,910,102.02

Gastos financieros - 170,244.12


Utilidad Antes de Impsts 6,080,346.14

Impuestos - 50,027.33
Utilidad Neta 6,130,373.47

compras - 2,237,542.30

RAZONES FINANCIERAS 2019 2020

Liquidez AC/PC 0.30 0.45


Endeudamiento PT/AT 0.98 0.65
Cobertura Ut Op/Gastos financieros -34.72

Rotación CXC Ventas/CXC Promedio 8.86

Rotacion CXP Ventas/CXC Promedio - 96.63


Rotacion Inventarios CV/Inventarios promedio -2.06

Días CXC 365/Rotación CXC 41.20


Dias CXP 365/Rotación CXP -3.78
Dias Inventarios 365/Rot Inv -177.40

Margen Bruto Ut bruta/Ventas 168.70%


Margen de operación Util OP/ventas 191.56%
Margen neto Util Neta/Ventas 198.70%

ROS= Return on sales Ut neta/Ventas 198.70%


ROE= Return on equity Ut neta/promedio CC 42.51%
ROI= Return on investment Ut Neta/Promedio AT 27.59%
PORCIENTOS INTEGRALES
mparativo

2021 2022 2019 2020 2021 2022

1,304,657.00 489,698.40 2.06% 9.54% 5.11% 1.96%


406,358.23 580,605.27 2.24% 1.23% 1.59% 2.32%
1,073,813.73 1,393,334.77 7.37% 3.27% 4.20% 5.57%
2,784,828.96 2,463,638.44 11.67% 14.05% 10.90% 9.86%

0.00% 0.00% 0.00% 0.00%


11,071,059.92 11,354,360.13 81.37% 42.97% 43.33% 45.43%
11,693,667.56 11,175,666.31 88.33% 42.97% 45.77% 44.71%
22,764,727.49 22,530,026.44 88.33% 85.95% 89.10% 90.14%

25,549,556.44 24,993,664.89 100.00% 100.00% 100.00% 100.00%

5,808.17 42,117.23 0.07% 0.08% 0.02% 0.11%


5,412,064.14 5,351,684.48 16.62% 16.22% 19.18% 13.71%
5,417,872.31 5,393,801.71 16.69% 16.29% 19.20% 13.82%
10,835,744.61 10,787,603.42 16.76% 32.59% 38.41% 27.64%

8,693,079.12 7,669,720.70 25.24% 36.22% 30.81% 19.65%


8,693,079.12 7,669,720.70 25.24% 36.22% 30.81% 19.65%
19,528,823.73 18,457,324.12 42.00% 68.81% 69.22% 47.29%

9,574,638.75 10,516,368.94
8,685,429.54 10,059,762.00 26.73% 31.19% 30.78% 25.77%
0.00% 0.00% 0.00% 0.00%
8,685,429.54 20,576,130.93 58.00% 31.19% 30.78% 52.71%

28,214,253.27 39,033,455.06 100.00% 100.00% 100.00% 100.00%

rativo

2021 2023 2020 2021 2022


3,374,079.56 3,769,991.61 100.00% 100.00% 100.00%
- 2,280,048.14 - 2,610,463.35 -68.70% -67.58% -69.24%
5,654,127.70 6,380,454.96 168.70% 167.58% 169.24%

- 697,152.29 - 749,779.82 -22.85% -20.66% -19.89%


- - 0.00% 0.00% 0.00%
6,351,280.00 7,130,234.77 191.56% 188.24% 189.13%

- 244,439.63 - 119,438.38 -5.52% -7.24% -3.17%


6,595,719.63 7,249,673.15 197.08% 195.48% 192.30%

- 72,858.99 - 52,140.05 -1.62% -2.16% -1.38%


6,668,578.61 7,301,813.20 198.70% 197.64% 193.68%

- 2,177,549.20 - 2,290,942.30

2021 2022 INDUSTRIA

0.26 0.23
0.76 0.74
-25.98 -59.70

8.74 7.64

- 156.20 - 95.60
-2.23 -2.12

41.76 47.78
-2.34 -3.82
-163.70 -172.48

167.58% 169.24%
188.24% 189.13%
197.64% 193.68%

197.64% 193.68%
76.35% 49.91%
24.15% 28.89%

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