CFD merupakan instrumen yang rumit dan memiliki risiko tinggi kehilangan uang secara cepat karena adanya pengaruh leverage. 84% akun investor ritel mengalami kerugian saat melakukan kegiatan perdagangan CFD dengan penyedia ini. Anda harus mempertimbangkan apakah Anda memahami cara kerja CFD dan apakah Anda mampu menerima risiko tinggi kehilangan uang.

Perdagangan América Móvil, S.A.B. de C.V. - AMX CFD

21.22
3.11%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.14
Biaya inap posisi Long

Long position overnight fee


Margin. Your investment $1,000.00
Biaya Overnight -0.025457 %
Charges from borrowed part ($-1.02)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Kunjungi platform
-0.025457%
Biaya inap posisi short

Short position overnight fee


Margin. Your investment $1,000.00
Biaya Overnight 0.003235 %
Charges from borrowed part ($0.13)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Kunjungi platform
0.003235%
Waktu biaya inap 21:00 (UTC)
Kuantitas min. yang diperdagangkan 1
Mata uang USD
Margin 20%
Bursa efek United States of America
Komisi perdagangan 0%

*Information provided by Capital.com

America Movil SAB de CV ESG Risk Ratings

High Medium Low Negligible

‘C’ score indicates satisfactory relative ESG performance and moderate degree of transparency in reporting material ESG data publicly.

Key Stats
Prev. Close* 21.9
Open* 21.75
1-Year Change* -3.38%
Day's Range* 21.12 - 22.35
52 wk Range 16.13-22.65
Average Volume (10 days) 1.95M
Average Volume (3 months) 35.15M
Market Cap 66.56B
P/E Ratio 15.11
Shares Outstanding 63.62B
Revenue 44.55B
EPS 1.38
Dividend (Yield %) 3.04697
Beta 0.89
Next Earnings Date Apr 24, 2023

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
May 30, 2023 21.90 -0.62 -2.75% 22.52 22.74 21.77
May 26, 2023 22.22 0.38 1.74% 21.84 22.50 21.84
May 25, 2023 21.76 0.77 3.67% 20.99 21.99 20.99
May 24, 2023 21.25 0.05 0.24% 21.20 21.53 21.20
May 23, 2023 21.21 0.07 0.33% 21.14 21.41 21.02
May 22, 2023 21.23 -0.20 -0.93% 21.43 21.88 21.14
May 19, 2023 21.61 -0.77 -3.44% 22.38 22.58 21.61
May 18, 2023 22.41 -0.13 -0.58% 22.54 22.68 22.31
May 17, 2023 22.72 0.80 3.65% 21.92 22.90 21.92
May 16, 2023 22.90 0.18 0.79% 22.72 22.96 22.40
May 15, 2023 22.77 0.83 3.78% 21.94 22.89 21.94
May 12, 2023 22.16 0.02 0.09% 22.14 22.16 21.87
May 11, 2023 22.22 0.60 2.78% 21.62 22.23 21.62
May 10, 2023 21.86 0.90 4.29% 20.96 21.89 20.96
May 9, 2023 20.94 0.20 0.96% 20.74 21.01 20.67
May 8, 2023 20.87 -0.18 -0.86% 21.05 21.09 20.82
May 5, 2023 21.06 -0.15 -0.71% 21.21 21.31 20.27
May 4, 2023 21.25 -0.10 -0.47% 21.35 21.51 21.24
May 3, 2023 21.35 0.07 0.33% 21.28 21.64 21.23
May 2, 2023 21.33 0.07 0.33% 21.26 21.59 21.01

América Móvil, S.A.B. de C.V. Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Total revenue 855535 839707 1007350 1038210 1021630
Revenue 855535 839707 1007350 1038210 1021630
Cost of Revenue, Total 341060 334882 471736 508822 496336
Gross Profit 514475 504825 535612 529385 525298
Total Operating Expense 689402 694204 852507 898650 921490
Selling/General/Admin. Expenses, Total 180838 191902 215994 227192 240634
Depreciation / Amortization 162627 162682 158915 155713 160175
Other Operating Expenses, Total 4877.29 4737.63 5862.1 6923.02 24345.1
Operating Income 166133 145503 154841 139557 100143
Interest Income (Expense), Net Non-Operating -63372.5 -97959.8 -33493.5 -38563.3 -43046.5
Net Income Before Taxes 102760 47543.6 121347 100994 57096.8
Net Income After Taxes 74615.4 34034.3 70313.5 54516.8 32155.3
Minority Interest -3902.95 -4174.35 -2582.56 -1950.63 -2829.41
Net Income Before Extra. Items 70712.4 29860 67730.9 52566.2 29325.9
Net Income 192423 46852.6 67730.9 52566.2 29325.9
Income Available to Common Excl. Extra. Items 70712.4 29860 67730.9 52566.2 29325.9
Income Available to Common Incl. Extra. Items 192423 46852.6 67730.9 52566.2 29325.9
Diluted Net Income 192423 46852.6 67730.9 52566.2 29325.9
Diluted Weighted Average Shares 64689.7 66862.6 66004.2 66034.8 66069
Diluted EPS Excluding Extraordinary Items 1.0931 0.44659 1.02616 0.79604 0.44387
Dividends per Share - Common Stock Primary Issue 0.38 0.32
Diluted Normalized EPS 1.0931 0.44659 1.02616 0.79604 0.44387
Total Extraordinary Items 121711 16992.6
Jun 2022 Mar 2022 Dec 2021 Sep 2021 Jun 2021
Total revenue 217392 211225 855535 253375 210397
Revenue 217392 211225 855535 253375 210397
Cost of Revenue, Total 127143 124797 503687 155803 124465
Gross Profit 90248.6 86427.9 351848 97571.7 85931.6
Total Operating Expense 176431 171386 689402 206132 170985
Selling/General/Admin. Expenses, Total 47983 45875.2 180838 49395.3 44985.9
Other Operating Expenses, Total 1304.88 713.343 4877.29 933.759 1533.34
Operating Income 40960.8 39839.4 166133 47242.6 39412.3
Interest Income (Expense), Net Non-Operating -21071.5 6105.87 -55877.6 -22712.6 17607
Other, Net 3000.49 1216.68 -7494.85 -2240.21 -444.626
Net Income Before Taxes 22889.7 47161.9 102760 22289.9 56574.7
Net Income After Taxes 15082 31969.9 74615.4 17581.5 39625.3
Minority Interest -1398.54 -1172.82 -3902.95 -1770.67 -1291.34
Net Income Before Extra. Items 13683.5 30797.1 70712.4 15810.8 38334
Total Extraordinary Items 0 0 125313 4480.97
Net Income 13683.5 30797.1 196025 15810.8 42814.9
Income Available to Common Excl. Extra. Items 13683.5 30797.1 70712.4 15810.8 38334
Income Available to Common Incl. Extra. Items 13683.5 30797.1 196025 15810.8 42814.9
Diluted Net Income 13683.5 30797.1 196025 15810.8 42814.9
Diluted Weighted Average Shares 63869.5 64216.9 64689.7 65450 66097.5
Diluted EPS Excluding Extraordinary Items 0.21424 0.47958 1.0931 0.24157 0.57996
Dividends per Share - Common Stock Primary Issue 0 0 0 0.2
Diluted Normalized EPS 0.21424 0.47958 1.0931 0.24157 0.57996
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Total Current Assets 404157 360223 330844 349056 342235
Cash and Short Term Investments 156383 90554.3 67463.7 70675.9 83391.1
Cash & Equivalents 38679.9 35917.9 19745.7 21660 24270.5
Short Term Investments 117703 54636.4 47718 49015.9 59120.7
Total Receivables, Net 204005 209369 205979 217491 194644
Accounts Receivable - Trade, Net 202847 207978 204706 216227 193776
Total Inventory 24185.3 30377.4 41102 40305.4 38809.6
Prepaid Expenses 7474.93 7600.64 7718.34 12931.2 9530.65
Other Current Assets, Total 12108.1 22321.6 8580.85 7652.49 15859.5
Total Assets 1689650 1625050 1531930 1429220 1486210
Property/Plant/Equipment, Total - Net 821569 824906 757347 640001 676343
Property/Plant/Equipment, Total - Gross 1499370 1457780 1437590 1285670 1303280
Accumulated Depreciation, Total -677801 -632871 -680244 -645672 -626936
Goodwill, Net 136578 143053 152900 145566 151463
Intangibles, Net 143226 133457 125169 122138 143540
Long Term Investments 3052.48 1829.76 2474.19 3132.71 3735.17
Note Receivable - Long Term 18618 19352.8 29787.2 27196.3 22036
Other Long Term Assets, Total 162450 142226 133412 142134 146859
Total Current Liabilities 534013 507311 525400 467091 413336
Accounts Payable 206488 186995 216113 221957 212673
Accrued Expenses 46331 46934.9 42364.7 40131.5 41061.1
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 172855 173151 155067 96230.6 51745.8
Other Current Liabilities, Total 108339 100229 111855 108772 107856
Total Liabilities 1300010 1374570 1354020 1233230 1292050
Total Long Term Debt 489829 564559 589784 542692 646139
Long Term Debt 418807 480300 495082 542692 646139
Deferred Income Tax 49465.1 49067.2 18093 24573.4 11997.4
Minority Interest 64406.8 64638.8 48996.9 49876.8 66469.2
Other Liabilities, Total 162301 188994 171750 148995 154105
Total Equity 389635 250479 177910 195996 194164
Common Stock 96333.4 49489.1 28607.4 -140917 -74749.1
Retained Earnings (Accumulated Deficit) 447690 361571 349181 474511 342175
Other Equity, Total -154389 -160581 -199878 -137598 -73261.8
Total Liabilities & Shareholders’ Equity 1689650 1625050 1531930 1429220 1486210
Total Common Shares Outstanding 64689.7 66862.6 66004.2 66034.8 66069
Capital Lease Obligations 71021.9 84259.3 94702
Jun 2022 Mar 2022 Dec 2021 Sep 2021 Jun 2021
Total Current Assets 414047 447816 404157 366703 364919
Cash and Short Term Investments 153792 183466 156383 108572 112025
Cash 22930.9 44555.4 27432.1 32538.4
Cash & Equivalents 12164.7 10918.1 38679.9 8073.18 7454.65
Short Term Investments 118697 127992 117703 73066.9 72032.3
Total Receivables, Net 208388 211082 204005 209201 205808
Accounts Receivable - Trade, Net 112992 114447 202847 115406 117922
Total Inventory 33622.7 33107.4 24185.3 35472.2 31699.4
Other Current Assets, Total 18243.8 20160.8 12108.1 13457.1 15386.5
Total Assets 1706420 1777860 1689650 1602420 1607080
Property/Plant/Equipment, Total - Net 828537 854237 821569 799294 803814
Goodwill, Net 141645 137069 136578 139845 140665
Intangibles, Net 134020 144556 143226 124456 128308
Long Term Investments 9755.95 9994.66 3052.48 1747.34 1776.46
Note Receivable - Long Term 19516.8 21079.2 6928.89 18288.7 18648.5
Other Long Term Assets, Total 158898 163108 174139 152081 148950
Total Current Liabilities 544449 580191 534013 534049 505418
Accounts Payable 68215.2 73779.8 206488 69923.5 69456.5
Accrued Expenses 215345 221994 46331 195150 196574
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 157440 187254 172855 174573 145574
Other Current Liabilities, Total 103449 97163.4 108339 94403.1 93813.9
Total Liabilities 1321820 1373280 1300010 1346080 1353990
Total Long Term Debt 511302 517012 489829 511619 545878
Long Term Debt 439009 445321 418807 438618 470360
Capital Lease Obligations 72293.7 71690.9 71021.9 73000.6 75518.3
Deferred Income Tax 48906.5 51917.6 49465.1 49277.5 49555.6
Minority Interest 61807.8 64451.1 64406.8 65906.1 63400.2
Other Liabilities, Total 155358 159707 162301 185229 189736
Total Equity 384597 404580 389635 256335 253093
Common Stock 96330.3 96331.6 96333.4 96336.3 96338.8
Retained Earnings (Accumulated Deficit) 610382 604067 447690 321751 313592
Unrealized Gain (Loss) -101965 -102453 59801.8 61579
Other Equity, Total -220151 -193365 -154389 -221554 -218417
Total Liabilities & Shareholders’ Equity 1706420 1777860 1689650 1602420 1607080
Total Common Shares Outstanding 63869.5 64216.9 64689.7 65450 66097.5
Prepaid Expenses 7474.93
  • Annual
  • Quarterly
2021 2020 2019 2018 2017
Net income/Starting Line 253337 67393.1 121347 100994 57096.8
Cash From Operating Activities 258182 280828 234278 248331 217772
Cash From Operating Activities 139211 143692 138387 129116 135206
Amortization 23415.5 20551.9 20528.3 26596.9 24968.9
Non-Cash Items -74109.1 94843.2 27084.5 30466.4 34033.7
Cash Taxes Paid 60535.9 60715.7 42294.4 33713.8 23988.3
Cash Interest Paid 23884.4 28421.7 28046.7 30869 31196.4
Changes in Working Capital -83673 -45652.4 -73068.2 -38842.4 -33533.1
Cash From Investing Activities -76520.9 -135558 -163080 -148783 -140744
Capital Expenditures -158071 -129555 -151847 -151822 -136724
Other Investing Cash Flow Items, Total 81550 -6002.5 -11232.9 3038.65 -4019.84
Cash From Financing Activities -177366 -126910 -71305.2 -101357 -76038.1
Financing Cash Flow Items -23892.1 -29526.4 -28129.8 -44425 -31279.8
Total Cash Dividends Paid -27829.3 -9592.25 -24248.1 -22369.8 -16091.4
Issuance (Retirement) of Stock, Net -36745.7 -5076.12 -435.713 -511.421 -1233.37
Issuance (Retirement) of Debt, Net -88899 -82715.4 -18491.6 -34050.9 -27433.5
Foreign Exchange Effects -1532.46 -2187.67 -1807.44 -800.913 61.333
Net Change in Cash 2761.98 16172.3 -1914.31 -2610.51 1052.09
Jun 2022 Mar 2022 Dec 2021 Sep 2021 Jun 2021
Net income/Starting Line 47051.9 31969.9 199928 64442.2 46859.9
Cash From Operating Activities 86808.3 23328.4 258182 201946 130813
Cash From Operating Activities 83021.2 41304.6 162627 121098 80425.6
Non-Cash Items 40755 9945.03 -35229.1 73955.6 38602.6
Cash Taxes Paid 31028.8 15337.3 60535.9 26544.3 16395.8
Cash Interest Paid 11990.4 5624.49 23884.4 16607.8 10956
Changes in Working Capital -84019.8 -59891.1 -69144.4 -57549.1 -35075.1
Cash From Investing Activities -81439.4 -28649.9 -76520.9 -90949.7 -58817.5
Capital Expenditures -65577.6 -28606.2 -158721 -91536 -57045.6
Other Investing Cash Flow Items, Total -15861.8 -43.674 82200.3 586.286 -1771.98
Cash From Financing Activities -6734.69 23647.6 -177366 -110181 -67285.9
Financing Cash Flow Items -11995.5 -5625.69 -23892.1 -16613.6 -10958.5
Total Cash Dividends Paid -23.22 -6.32 -27829.3 -15000.2 -1994.62
Issuance (Retirement) of Stock, Net -16318.5 -9236.13 -36745.7 -22419 -11011.9
Issuance (Retirement) of Debt, Net 21602.5 38515.7 -88899 -56147.9 -43320.9
Foreign Exchange Effects -2218.53 -1532.46 -1532.46 -1228.67 -634.411
Net Change in Cash -3584.24 16793.6 2761.98 -412.614 4075.15

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Industry: Wireless Telecommunications Services (NEC)

Lago Zurich 245, Edificio TELCEL
Piso 16 Col. Ampliación Granada
11529

Income Statement

  • Annual
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