cemex sab de cv - CX

CX

Close Chg Chg %
12.44 -0.08 -0.60%

Pre-Market

12.36

-0.08 (0.60%)

Volume: 9.09M

Last Updated:

Jan 13, 2026, 3:59 PM EDT

Company Overview: cemex sab de cv - CX

CX Key Data

Open

$12.45

Day Range

12.29 - 12.52

52 Week Range

4.89 - 12.57

Market Cap

$18.81B

Shares Outstanding

1.51B

Public Float

1.51B

Beta

1.59

Rev. Per Employee

N/A

P/E Ratio

13.40

EPS

$0.93

Yield

70.70%

Dividend

$0.02

EX-DIVIDEND DATE

Dec 15, 2025

SHORT INTEREST

N/A

AVERAGE VOLUME

4.85M

 

CX Performance

1 Week
 
-0.48%
 
1 Month
 
7.38%
 
3 Months
 
28.08%
 
1 Year
 
130.60%
 
5 Years
 
93.43%
 

CX Analyst Ratings

  • Sell
  • Under
  • Hold
  • Over
  • Buy
Number of Ratings 19
Full Ratings ➔

About cemex sab de cv - CX

CEMEX SAB de CV operates as a global construction materials company. It offers cement, ready-mixconcrete, aggregates, and urbanization solutions. The firm operates through the following geographical segments: Mexico, United States, Europe, Middle East, Africa and Asia (EMEAA) and South, Central America and the Caribbean (SCA&C). The company was founded by Lorenzo Zambrano Gutierrez in 1906 and is headquartered in San Pedro Garza Garcia, Mexico.

CX At a Glance

CEMEX SAB de CV
Avenida Ricardo Margain 325
San Pedro Garza García, Nuevo Leon 66265
Phone 52-81-8888-4292 Revenue 16.13B
Industry Construction Materials Net Income 892.31M
Sector Non-Energy Minerals Employees 44,494
Fiscal Year-end 12 / 2025
View SEC Filings

CX Valuation

P/E Current 13.402
P/E Ratio (with extraordinary items) N/A
P/E Ratio (without extraordinary items) 9.145
Price to Sales Ratio 0.513
Price to Book Ratio 0.704
Price to Cash Flow Ratio 4.39
Enterprise Value to EBITDA 5.105
Enterprise Value to Sales 0.97
Total Debt to Enterprise Value 0.507

CX Efficiency

Revenue/Employee 362,593.726
Income Per Employee 20,054.567
Receivables Turnover 8.949
Total Asset Turnover 0.557

CX Liquidity

Current Ratio 0.823
Quick Ratio 0.58
Cash Ratio 0.142

CX Profitability

Gross Margin 32.173
Operating Margin 11.284
Pretax Margin 5.475
Net Margin 5.531
Return on Assets 3.069
Return on Equity 7.841
Return on Total Capital 4.548
Return on Invested Capital 4.754

CX Capital Structure

Total Debt to Total Equity 68.295
Total Debt to Total Capital 40.581
Total Debt to Total Assets 28.024
Long-Term Debt to Equity 58.68
Long-Term Debt to Total Capital 34.867
  • Income Statement
  • Balance Sheet
  • Cash Flow Statement

Annual Financials for Cemex Sab De Cv - CX

Collapse All in section
All values USD millions. 2021 2022 2023 2024 5-year trend
Sales/Revenue
14.49B 15.64B 17.53B 16.13B
Sales Growth
+11.50% +7.90% +12.12% -7.99%
Cost of Goods Sold (COGS) incl D&A
10.03B 10.99B 11.84B 10.94B
COGS excluding D&A
- - - -
-
Depreciation & Amortization Expense
1.12B 1.12B 1.24B 1.24B
Depreciation
1.00B 985.88M 1.09B 1.06B
Amortization of Intangibles
119.55M 138.54M 156.30M 184.24M
COGS Growth
+11.34% +9.58% +7.76% -7.59%
Gross Income
4.47B 4.65B 5.69B 5.19B
Gross Income Growth
+11.86% +4.12% +22.43% -8.82%
Gross Profit Margin
+30.81% +29.73% +32.46% +32.17%
2021 2022 2023 2024 5-year trend
SG&A Expense
2.74B 3.08B 3.56B 3.37B
Research & Development
34.87M 42.17M 55.46M 58.76M
Other SG&A
2.70B 3.04B 3.51B 3.31B
SGA Growth
+3.47% +12.58% +15.52% -5.35%
Other Operating Expense
- - - -
-
Unusual Expense
611.69M 448.77M 125.04M 126.48M
EBIT after Unusual Expense
1.12B 1.12B 2.01B 1.69B
Non Operating Income/Expense
418.42M 27.11M (108.91M) (257.93M)
Non-Operating Interest Income
21.92M 27.11M 40.34M 35.85M
Equity in Earnings of Affiliates
- - - -
-
Interest Expense
659.51M 402.58M 535.45M 552.71M
Interest Expense Growth
-15.31% -38.96% +33.00% +3.22%
Gross Interest Expense
659.51M 402.58M 535.45M 552.71M
Interest Capitalized
- - - -
-
Pretax Income
874.69M 742.92M 1.36B 883.34M
Pretax Income Growth
+165.97% -15.06% +83.37% -35.16%
Pretax Margin
+6.04% +4.75% +7.77% +5.48%
Income Tax
143.46M 209.83M 1.26B 66.72M
Income Tax - Current - Domestic
178.33M 170.67M 1.16B 341.59M
Income Tax - Current - Foreign
- - - -
-
Income Tax - Deferred - Domestic
(34.87M) 39.15M 103.86M (274.86M)
Income Tax - Deferred - Foreign
- - - -
-
Income Tax Credits
- - - -
-
Equity in Earnings of Affiliates
- - - -
-
Other After Tax Income (Expense)
- - - -
-
Consolidated Net Income
785.03M 563.22M 200.67M 909.24M
Minority Interest Expense
24.91M 27.11M 17.14M 20.91M
Net Income
760.13M 536.11M 183.53M 888.32M
Net Income Growth
+156.31% -29.47% -65.77% +384.03%
Net Margin Growth
+5.24% +3.43% +1.05% +5.51%
Extraordinaries & Discontinued Operations
- (5.98M) 20.08M 3.98M
Discontinued Operations
- (5.98M) 20.08M 3.98M
Net Income After Extraordinaries
754.15M 556.19M 183.53M 892.31M
Preferred Dividends
- - - -
-
Net Income Available to Common
754.15M 556.19M 183.53M 892.31M
EPS (Basic)
0.5128 0.3831 0.1266 0.6167
EPS (Basic) Growth
+152.93% -25.29% -66.95% +387.12%
Basic Shares Outstanding
1.47B 1.45B 1.45B 1.45B
EPS (Diluted)
0.5044 0.3763 0.1248 0.6075
EPS (Diluted) Growth
+152.06% -25.40% -66.83% +386.78%
Diluted Shares Outstanding
1.50B 1.48B 1.47B 1.47B
EBITDA
2.85B 2.69B 3.38B 3.07B
EBITDA Growth
+15.61% -5.57% +25.39% -9.18%
EBITDA Margin
+19.67% +17.21% +19.25% +19.00%

Snapshot

Average Recommendation OVERWEIGHT Average Target Price 11.855
Number of Ratings 19 Current Quarters Estimate 0.115
FY Report Date 03 / 2026 Current Year's Estimate 0.803
Last Quarter’s Earnings 0.16 Median PE on CY Estimate N/A
Year Ago Earnings 0.89 Next Fiscal Year Estimate 0.923
Median PE on Next FY Estimate N/A

Earnings Per Share

This Quarter Next Quarter This Fiscal Next Fiscal
# of Estimates 4 4 15 9
Mean Estimate 0.11 0.21 0.80 0.92
High Estimates 0.17 0.24 1.00 1.15
Low Estimate 0.09 0.20 0.54 0.77
Coefficient of Variance 33.66 8.68 14.69 13.81

Analysts Recommendations

Current 1 Month Ago 3 Months Ago
BUY 10 10 11
OVERWEIGHT 1 1 1
HOLD 8 8 6
UNDERWEIGHT 0 0 0
SELL 0 0 1
MEAN Overweight Overweight Overweight

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