Companies: 10,795·Total market cap: $144.5T
Kimberly-Clark de México, S. A. B. de C. V.

Kimberly-Clark de México, S. A. B. de C. V.

KCDMFOTCConsumer Defensive● Active
$2.18
$-0.14(-6.03%)
Market Cap$6.5B
P/E Ratio
52W High$2.6
52W Low$1.76
Overview

Kimberly-Clark de México, S. A. B. de C. V.(KCDMF)· 现金流量表

年度 / 季度 / TTM 视图 · SEC 10-K 与 10-Q(经 FMP 聚合)· 可在下方切换周期与 M/B/T 单位。

FMP · KCDMF · 截至 2026-06-10

财务报表

Operating CF · CapEx · Free Cash Flow
Breakdown2025-122024-122023-122022-122021-12
Operating Activities
Net Income$7.57B$7.83B$7.01B$7.25B$6.61B
Depreciation & Amort.$2.01B$2.05B$1.98B$1.96B$1.94B
Stock-Based Comp.$0.00B$0.00B$0.00B$0.00B$0.00B
Change in Working Capital($1.04B)$0.01B$1.71B($0.43B)($0.36B)
Net Cash from Operations$8.31B$10.60B$12.76B$8.32B$6.80B
Investing Activities
Capital Expenditure($1.82B)($2.50B)($1.68B)($2.14B)($2.15B)
Purchases of Investments$0.00B$0.00B$0.00B$0.00B$0.00B
Sales of Investments$0.00B$0.00B$0.00B$0.00B$0.00B
Net Cash from Investing($1.83B)($1.30B)($0.31B)($2.15B)($2.14B)
Financing Activities
Common Stock Repurchased$0.00B($0.98B)$0.00B$0.00B($0.14B)
Dividends Paid($6.20B)($5.72B)($4.98B)($5.04B)($5.30B)
Debt Issued / Repaid($3.73B)($3.54B)($1.75B)$5.50B($3.58B)
Net Cash from Financing($11.73B)($13.50B)($9.83B)($1.32B)($11.07B)
Free Cash Flow
Free Cash Flow$6.48B$8.10B$11.08B$6.18B$4.65B
FCF Margin %(computed)11.72%14.78%20.79%12.10%9.91%

数据来源:Financial Modeling Prep · 最后更新:2026-06-10 · MXN · B

深入了解Kimberly-Clark de México, S. A. B. de C. V.

关于Kimberly-Clark de México, S. A. B. de C. V.(KCDMF)现金流量表

Kimberly-Clark de México, S. A. B. de C. V. 2025财年经营活动现金流$8.31B,自由现金流$6.48B(FCF利润率11.72%),资本支出($1.82B)。

常见问题

KCDMF · 4 问

Kimberly-Clark de México, S. A. B. de C. V. 2025财年自由现金流$6.48B,同比down19.9%。

KCDMF free cash flowFCF margincash flow yield

· Source: FMP /stable/cash-flow-statement · SEC EDGAR Form 10-K & 10-Q · As of 2026-06-10