GC

GCC S.A.B. de C.V. (GCC)

BMV

Currency in MXN
178.17
+2.84 (+1.62%)

Closed

Oct 9, 2026

Day's Range

177.16
179.84

52 wk Range

151.41
221.21

Financial Statements - GCC - GCC S.A.B. de C.V.

Revenue

1.40B▲ 3.1%

Net Income

298.79M▼ 8.3%Net Margin 21.2%

EBITDA

544.61M▼ 3.6%

Free Cash Flow

1.47M▼ 96.6%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-31
Sales1.40B1.36B1.36B1.16B1.03B937.75M
Cost of Goods909.93M848.95M862.20M803.84M707.48M647.89M
Gross Profit498.75M517.72M501.71M364.47M331.32M289.86M
ExpandOperating Expense
------
Operating Income378.06M399.42M382.30M268.34M241.08M211.33M
ExpandNon-Operating Interest
------
Other Income Expense------
Pre Tax Income405.58M439.87M404.29M202.73M206.73M160.89M
Income Tax106.79M114.01M108.83M62.47M54.87M31.18M
Net Income298.79M325.85M295.46M140.26M151.85M129.70M
EPS Basic0.920.99540.90340.430.460.39
EPS Diluted0.920.99540.90340.430.460.39
Basic Shares Outstanding326.64M327.35M16.01M16.06M16.21M16.21M
Diluted Shares Outstanding326.64M327.35M16.01M16.06M16.21M16.21M
Ebit419.30M464.07M432.40M232.62M236.90M191.37M
Ebitda544.61M565.09M521.63M375.90M342.02M311.26M
Net Income Continuous Operations298.79M325.85M295.46M140.26M151.85M129.70M
Minority Interests-3K-3K-3K-3K-2K-1K
Preferred Stock Dividends000000

The information on this page is provided for general informational purposes only and is not investment advice.

Market data provided by Twelve Data. Charting by TradingView.

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