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  • CEMEX SAB DE CV Financial Overview

  • Income Statement: CX

      2008 2007 Change ( 2007 - 2008  )
    Net Sales/Revenues 21.93 B 21.66 B 264.75 M 1.21%
    Gross Profit 6.94 B 7.23 B -287.27 M -4.14%
    Net Income Before Extra Items/Preferred Div 205.41 M 2.39 B -2.18 B -1,063.51%
    Operating Income 2.51 B 2.97 B -455.99 M -18.14%
  • Cash Flow: CX

      2008 2007 Change ( 2007 - 2008  )
    Net Cash Flow - Financing -1.50 B 11.93 B -13.43 B 897.45%
    Net Cash Flow - Investing 1.06 B 17.01 B -15.95 B -1,502.01%
    Net Cash Flow/Operating Activities 2.82 B 4.18 B -1.36 B -48.11%
  • Balance Sheet: CX

      2008 2007 Change ( 2007 - 2008  )
    Total Assets 43.58 B 49.67 B -6.08 B -13.95%
    Total Liabilities 26.42 B 30.97 B -4.55 B -17.24%
    Shareholders Equity 13.80 B 14.94 B -1.14 B -8.29%
  • Key Ratios / Statistics: CX

    • Valuation

      Price/Earnings (TTM) 33.79
      Price/Sales (TTM) 0.32
      Price/Book (MRQ) 3.13
      Price/Cash Flow (TTM) 5.25
    • Profitability

      Gross Margin 31.66
      Operating Margin 11.47
      Profit Margin 0.94
    • Dividends

      Dividend Paid (TTM) 0.64
      Payout Ratio % (TTM) 28.97
    • Financial Strength

      Quick Ratio (MRQ) 0.27
      Current Ratio (MRQ) 1.12
      Long Term Debt-to-Equity (MRQ) 81.14
    • Management Effectiveness

      Return on Equity (TTM) 1.57
      Return on Assets (TTM) 0.89
      Return on Investments (TTM) 3.03