CEMEX, S.A.B. de C.V.(CX) Stock Research - Grey Stern Research
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CEMEX, S.A.B. de C.V. (CX) Stock Analysis

$5.98 (1.10%)

CX Financial Performance


Use the table below to view CEMEX, S.A.B. de C.V.'s financial profile. This data is gathers from the latest available financial statements. Annual data is taken from the trailing 12 months of statements. All numbers are reported in US Dollars and so any foreign currencies are converted to USD so comparison's can be done.

Based on Financial Statements from Q2 - 2024

Metric Value Ranking among Peers
Price $5.91 -
52 Week Low $5.50 -
52 Week High $9.27 -
Market Cap $9.3 Billion 5/8
Gross Margin 34% 4/8
Profit Margin 5% 8/8
EBITDA margin 21% 7/8
Q2 - 2024 Revenue $4.5 Billion 1/8
Q2 - 2024 Earnings $230.4 Million 3/8
Q2 - 2024 Free Cash Flow $241.1 Million 1/8
Trailing 4 Quarters Revenue $17.4 Billion 1/8
Trailing 4 Quarters Earnings $169.7 Million 6/8
Quarterly Earnings Growth -15% 6/8
Annual Earnings Growth -82% 8/8
Quarterly Revenue Growth -2% 6/8
Annual Revenue Growth 5% 6/8
Cash On Hand $425.4 Million 2/8
Short Term Debt $303.3 Million 2/8
Long Term Debt $6.4 Billion 1/8

CEMEX, S.A.B. de C.V. Financial Metrics


Financial metrics are a set of useful numbers that can give key performance indicators of a company. The various metrics can include information about profitability, growth, and debt load. When combined and use properly they can tell an analyst a compelling fact-based story of how the company is currently performing. To compare CEMEX, S.A.B. de C.V.'s metrics versus it's peers make sure to run our peer analysis tool.

Valuation Metrics

Metric Value Ranking among Peers
PE 54.61 1/8
PS 0.53 8/8
PB 0.77 8/8
PC 21.78 5/8
Liabilities to Equity 1.35 3/8
ROA 0.01 7/8
ROE 0.01 8/8
Current Ratio 1.76 5/8
Quick Ratio 0.03 5/8
Long Term Debt to Equity 0.54 5/8
Debt to Equity 0.64 4/8
Burn Rate 4.27 2/8
Cash to Cap 0.05 3/8
CCR 1.05 2/8
EV to EBITDA 16.98 6/8
EV to Revenue 0.94 8/8

Company Details

CEMEX, S.A.B. de C.V., together with its subsidiaries, produces, markets, distributes, and sells cement, ready-mix concrete, aggregates, urbanization solutions, and other construction materials worldwide. The company also offers various complementary construction products, including asphalt products; concrete blocks; roof tiles; architectural products; concrete pipes for storm and sanitary sewers applications; and other precast products, such as rail products, concrete floors, box culverts, bridges, drainage basins, barriers, and parking curbs. In addition, it provides building solutions for housing solutions, pavement solutions, and green building services; cement trade maritime services; and information technology solutions. The company operates approximately 2,000 retail stores. CEMEX, S.A.B. de C.V. was founded in 1906 and is headquartered in San Pedro Garza GarcĂ­a, Mexico.

CEO: Mr. Fernando ngel Gonzlez Olivieri

Website: https://www.cemex.com

Address: Avenida Ricardo Margain Zozaya 325 San Pedro Garza Garcia, NL

Exchange: New York Stock Exchange

Industry: Building Materials

CEMEX, S.A.B. de C.V. Peer Analysis


A useful and more reliable way of seeing the health of a company is to compare it to other companies operating in the same sector. Below is our list of companies which we rank are the closest peers to CEMEX, S.A.B. de C.V.. If you feel that peers should be added or removed from this list please contact us. To run an in-depth peer analysis which compares many financial metrics click on the link below.

Stock Ticker Market Cap
Vulcan Materials Company VMC $31.8 Billion
Martin Marietta Materials, Inc. MLM $31.8 Billion
Summit Materials, Inc. SUM $6.5 Billion
Eagle Materials Inc. EXP $9.5 Billion
Cementos Pacasmayo S.A.A. CPAC $494.2 Million
James Hardie Industries plc JHX $16.5 Billion
United States Lime & Minerals, Inc. USLM $2.6 Billion
Run Peer Analysis
Income Statement
Balance Sheet
Cash Flow Statement
CX Income Statements
Quarter Year Revenue Earnings
Q2 2024 $ 4.5 Billion $230.4 Million
Q1 2024 $ 4.1 Billion $254.4 Million
Q4 2023 $ 4.2 Billion -$441.0 Million
Q3 2023 $ 4.6 Billion $125.9 Million
Q2 2023 $ 4.6 Billion $271.8 Million
Q1 2023 $ 4.0 Billion $225.4 Million
Q4 2022 $ 3.9 Billion -$174.0 Million
Q3 2022 $ 4.0 Billion $494.1 Million

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CX Balance Sheets
Quarter Year Cash & Equivalents Total Assets Total Debt Total Equity
Q2 2024 $425.4 Million $28.0 Billion $7.6 Billion $12.1 Billion
Q1 2024 $475.7 Million $28.6 Billion $7.8 Billion $12.1 Billion
Q4 2023 $623.9 Million $28.4 Billion $1.8 Billion $10.4 Billion
Q3 2023 $532.5 Million $27.7 Billion $0 $12.2 Billion
Q2 2023 $470.8 Million $28.0 Billion $0 $12.1 Billion
Q1 2023 $757.8 Million $27.5 Billion $0 $9.9 Billion
Q4 2022 $495.0 Million $26.4 Billion $8.8 Billion $10.5 Billion
Q3 2022 $396.8 Million $26.6 Billion $0 $10.9 Billion

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CX Cash Flow Statements
Quarter Year freeCashFlow capitalExpenditure netChangeInCash
Q2 2024 $241.1 Million -$294.1 Million -$50.2 Million
Q1 2024 -$227.7 Million -$206.8 Million -$148.3 Million
Q4 2023 $622.0 Million $0 $91.4 Million
Q3 2023 $384.1 Million -$309.6 Million $61.7 Million
Q2 2023 $205.3 Million -$280.0 Million -$287.0 Million
Q4 2022 $196.0 Million -$420.0 Million -$814.0 Million
Q1 2023 -$246.9 Million -$228.5 Million $262.8 Million
Q3 2022 $74.9 Million -$244.9 Million -$92.9 Million

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