América Móvil S.A.B. de C.V. logo

América Móvil S.A.B. de C.V.

AMXOF | OTC
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$1.11
$0 (0.00%)
At close: Sep 23, 2026, 4:00 PM ET
$1.11
$0 (-0.29%)
After-hours: Sep 23, 2026, 4:00 PM ET
Fiscal Quarter
Period Ending
Q2 2026
Jun 29, 2026
Q1 2026
Mar 30, 2026
Q4 2025
Dec 30, 2025
Q3 2025
Sep 29, 2025
Q2 2025
Jun 29, 2025
Q1 2025
Mar 30, 2025
Q4 2024
Dec 30, 2024
Q3 2024
Sep 29, 2024
Q2 2024
Jun 29, 2024
Q1 2024
Mar 30, 2024
Q4 2023
Dec 30, 2023
Q3 2023
Sep 29, 2023
Q2 2023
Jun 29, 2023
Q1 2023
Mar 30, 2023
Q4 2022
Dec 30, 2022
Q3 2022
Sep 29, 2022
Q2 2022
Jun 29, 2022
Q1 2022
Mar 30, 2022
Q4 2021
Dec 30, 2021
Q3 2021
Sep 29, 2021
Q2 2021
Jun 29, 2021
Q1 2021
Mar 30, 2021
Cash & Equivalents
50.81B 90.5B 77.38B 49.76B 92.73B 88.36B 36.65B 82.81B -193.41B -190.78B -125.17B 28.27B -128.27B -131.76B 33.7B 27.68B 150.76B -102.8B 38.68B 35.51B -103.2B -105.22B
Short-Term Investments
n/a n/a 42.43B 49.92B n/a n/a 46.68B n/a 274.33B 262.06B 225.52B 76.3B 248.51B 262.14B 91.03B 89B n/a 279.23B 117.7B 62.74B 203.34B 224.19B
Long-Term Investments
65.4B 22.77B 22.41B 21.18B 20.6B 19.49B 17.59B 37.14B 34.99B 31.65B 29.3B 30.52B 34.44B 34.27B 30.96B 9.98B 9.76B 10B 9.95B 1.75B 1.78B 1.77B
Other Long-Term Assets
43.67B 242.23B 230.58B 225.79B 213.1B 220.36B 209.21B 194.9B 180.6B 174.83B 47.04B 48.65B 175.43B 175.71B 48.31B 49.3B 178.42B n/a 45.26B 46.35B 167.6B 164.73B
Receivables
250.17B 240.35B 243.8B 136.11B 243.62B 242.53B 247.78B 238.58B 221.28B 211.34B 207.87B 218.49B 205.12B 198.37B 201.71B 212.45B 210.48B 217.14B 204.01B 209.2B 216.09B 215.18B
Inventory
30.44B 27.03B 28.31B 24.95B 26.12B 27.34B 23.75B 25.25B 23.25B 21.29B 19.27B 20.56B 21.9B 23.4B 24B 31.82B 33.62B 33.11B 24.19B 35.47B 31.7B 30.92B
Other Current Assets
46.81B 26.1B 15.63B 130.62B 24.95B 26.34B 14.82B 20.14B 22.75B 24.38B 1.77B 15.62B 20.87B 24.59B 2.93B 15.63B 19.19B 21.14B 10.36B 23.79B 16.99B 19.54B
Total Current Assets
378.22B 383.99B 365.12B 391.35B 387.42B 384.57B 369.69B 366.77B 348.2B 328.28B 340.17B 359.24B 368.13B 376.73B 361B 376.58B 414.05B 447.82B 403.52B 366.7B 364.92B 384.61B
Property-Plant & Equipment
877.42B 895.11B 884.81B 859.53B 890.66B 931.23B 906.74B 885.18B 823.33B 801.31B 742.22B 753.6B 738.29B 744.87B 779.1B 786.34B 828.54B 854.24B 821.57B 799.29B 803.81B 809.08B
Goodwill & Intangibles
291.39B 300.23B 296.7B 295.04B 303.25B 310.38B 303.32B 301.91B 275.89B 264.86B 267.58B 266.66B 256.8B 261.76B 270.01B 274.98B 275.67B 281.63B 279.8B 264.3B 268.97B 271.39B
Total Long-Term Assets
1.43T 1.46T 1.43T 1.4T 1.43T 1.48T 1.44T 1.42T 1.31T 1.27T 1.22T 1.23T 1.2T 1.22T 1.26T 1.25T 1.29T 1.33T 1.28T 1.24T 1.24T 1.25T
Total Assets
1.81T 1.84T 1.8T 1.79T 1.82T 1.87T 1.81T 1.79T 1.66T 1.6T 1.56T 1.59T 1.57T 1.59T 1.62T 1.63T 1.71T 1.78T 1.69T 1.6T 1.61T 1.63T
Account Payables
51.98B 140.4B 155.25B 53.36B 140.49B 149.8B 155.7B 143.05B 130.57B 137.23B 63.24B 169.4B 141.81B 147.16B 69.24B 207.48B 275.33B 285.04B 87.94B 197.01B 265.33B 249.64B
Deferred Revenue
33.31B n/a n/a n/a n/a n/a n/a n/a n/a n/a 28.95B 127.56B n/a n/a 27.88B 123.27B n/a n/a 28.08B 37.31B n/a n/a
Short-Term Debt
83.41B 105.32B 91.97B 87.07B 111.03B 122.97B 104.21B 114.54B 135.52B 128.24B 160.96B 152.92B 199.51B 202.51B 102.02B n/a 126.47B 187.25B 145.21B 147.22B 145.57B 141.31B
Other Current Liabilities
207.03B 249.4B 212.1B 194.69B 235.21B 231.85B 208.03B 215.88B 194.8B 190.66B 52.25B 24.5B 188.59B 186.46B 61.18B 240.39B 111.69B 76.78B 38.51B 10.81B 66.83B 74.55B
Total Current Liabilities
530.03B 533.13B 495.19B 482.96B 519.52B 540.93B 503.37B 508.09B 491.37B 485.94B 524.41B 533.66B 558.47B 565.63B 488.88B 543B 544.45B 580.19B 528.15B 534.05B 505.42B 492.2B
Long-Term Debt
393.52B 422.2B 432.93B 447.32B 453.68B 465.26B 464.27B 428.17B 566.47B 545.28B 339.71B 354.12B 418.07B 435.13B 408.57B n/a 439.01B 517.01B 418.81B 438.58B 545.88B 604.65B
Other Long-Term Liabilities
238.65B 272.83B 265.58B 222.04B 225.93B 196.43B 224.54B 193.82B 24.76B 14.84B 153.63B 148.04B 80.56B 54.3B 148.72B 380.43B 152.53B 139.93B 159.6B 182.69B 163.77B 162.65B
Total Long-Term Liabilities
842.7B 874.94B 876.75B 854.66B 850.62B 880.3B 866.48B 800.78B 754.17B 721.1B 618.08B 633.93B 598.34B 618.45B 691.39B 655.75B 715.57B 728.64B 701.6B 746.13B 785.17B 845.83B
Total Liabilities
1.37T 1.41T 1.37T 1.34T 1.37T 1.42T 1.37T 1.31T 1.25T 1.21T 1.14T 1.17T 1.16T 1.18T 1.18T 1.2T 1.26T 1.31T 1.23T 1.28T 1.29T 1.34T
Total Debt
691.33B 745.43B 739.02B 751.89B 768.52B 809.55B 781.59B 756.13B 895.41B 864.3B 625.85B 131.47B 745.85B 769.4B 134.15B 134.18B 668.74B 807.07B 662.6B 686.19B 794.65B 851.18B
Book Value
438.1B 436.26B 427.67B 455.28B 444.88B 444.8B 436.69B 477.03B 417.46B 393.9B 421.7B 424.54B 416.28B 408.57B 437.83B 431.56B 446.4B 469.03B 457.64B 322.24B 316.49B 293.56B
Book Value Per Share
7.30 7.23 7.09 7.62 7.34 7.30 7.16 7.76 6.74 6.32 6.73 6.73 6.59 6.46 6.89 6.72 6.98 7.30 7.04 4.89 4.79 4.40
Common Stock
227.23M n/a n/a 95.35B n/a n/a n/a n/a n/a n/a 95.36B 95.36B n/a 95.37B 95.37B 95.33B 96.33B n/a 96.33B 96.34B n/a n/a
Retained Earnings
568.55B n/a n/a 539.31B n/a n/a n/a n/a n/a n/a 545.65B 533.72B n/a 509.79B 505.48B 496.3B 449.11B n/a 447.69B 329.28B n/a n/a
Comprehensive Income
-303.5B n/a n/a -244.84B n/a n/a n/a n/a n/a n/a -274.3B -261.57B n/a -259.2B -227.04B 274.15B -160.85B n/a -154.39B -169.28B n/a n/a
Shareholders Equity
375.5B 436.26B 427.67B 389.82B 444.88B 444.8B 436.69B 477.03B 417.46B 393.9B 421.7B 367.51B 352.96B 345.25B 373.8B 369.48B 384.6B 404.62B 457.64B 256.33B 251.85B 228.92B
Total Investments
65.4B 22.77B 22.41B 71.1B 20.6B 19.49B 64.27B 37.14B 309.32B 293.71B 254.82B 106.82B 282.94B 296.4B 121.99B 98.98B 9.76B 289.23B 127.65B 64.48B 205.12B 225.96B

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