grupo carso - GPOVF

GPOVF

Close Chg Chg %
6.50 0.95 14.62%

Closed Market

7.45

+0.95 (14.62%)

Volume: 115.00

Last Updated:

Jan 27, 2026, 11:48 AM EDT

Company Overview: grupo carso - GPOVF

GPOVF Key Data

Open

$7.45

Day Range

7.45 - 7.45

52 Week Range

5.29 - 7.45

Market Cap

$15.82B

Shares Outstanding

2.26B

Public Float

541.67M

Beta

11.06

Rev. Per Employee

N/A

P/E Ratio

33.05

EPS

$0.21

Yield

118.42%

Dividend

$0.04

EX-DIVIDEND DATE

Dec 18, 2025

SHORT INTEREST

N/A

AVERAGE VOLUME

N/A

 

GPOVF Performance

1 Week
 
0.00%
 
1 Month
 
3.33%
 
3 Months
 
20.36%
 
1 Year
 
20.55%
 
5 Years
 
N/A
 

GPOVF Analyst Ratings

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

About grupo carso - GPOVF

Grupo Carso SAB de CV is a holding company, which engages in the industrial, retail, infrastructure, energy, and construction businesses. It operates through the following segments: Retail; Industrial and Manufacturing; Infrastructure and Construction; and Energy. The company was founded on October 22, 1980 and is headquartered in Mexico City.

GPOVF At a Glance

Grupo Carso SAB de CV
Plaza Carso, Lago Zurich No. 245
Mexico City, Ciudad de Mexico 11529
Phone 52-55-5328-5800 Revenue 11.07B
Industry Department Stores Net Income 788.70M
Sector Retail Trade Employees 90,533
Fiscal Year-end 12 / 2025
View SEC Filings

GPOVF Valuation

P/E Current 33.051
P/E Ratio (with extraordinary items) N/A
P/E Ratio (without extraordinary items) 15.859
Price to Sales Ratio 1.13
Price to Book Ratio 1.827
Price to Cash Flow Ratio 9.99
Enterprise Value to EBITDA 8.945
Enterprise Value to Sales 1.38
Total Debt to Enterprise Value 0.17

GPOVF Efficiency

Revenue/Employee 122,316.948
Income Per Employee 8,711.711
Receivables Turnover 3.696
Total Asset Turnover 0.783

GPOVF Liquidity

Current Ratio 1.872
Quick Ratio 1.394
Cash Ratio 0.248

GPOVF Profitability

Gross Margin 23.033
Operating Margin 11.704
Pretax Margin 11.004
Net Margin 7.122
Return on Assets 5.579
Return on Equity 10.93
Return on Total Capital 8.346
Return on Invested Capital 8.688

GPOVF Capital Structure

Total Debt to Total Equity 38.046
Total Debt to Total Capital 27.56
Total Debt to Total Assets 19.318
Long-Term Debt to Equity 27.826
Long-Term Debt to Total Capital 20.157
  • Income Statement
  • Balance Sheet
  • Cash Flow Statement

Annual Financials for Grupo Carso - GPOVF

Collapse All in section
All values USD millions. 2021 2022 2023 2024 5-year trend
Sales/Revenue
6.14B 9.02B 11.19B 11.07B
Sales Growth
+39.42% +46.94% +24.00% -1.01%
Cost of Goods Sold (COGS) incl D&A
4.74B 6.95B 8.47B 8.52B
COGS excluding D&A
- - - -
-
Depreciation & Amortization Expense
172.36M 250.14M 400.69M 411.94M
Depreciation
163.73M 239.07M 384.62M 388.68M
Amortization of Intangibles
8.63M 11.07M 16.07M 23.26M
COGS Growth
+39.69% +46.66% +21.83% +0.61%
Gross Income
1.40B 2.07B 2.72B 2.55B
Gross Income Growth
+38.52% +47.89% +31.29% -6.06%
Gross Profit Margin
+22.78% +22.92% +24.27% +23.03%
2021 2022 2023 2024 5-year trend
SG&A Expense
740.05M 922.27M 1.29B 1.25B
Research & Development
- - - -
-
Other SG&A
740.05M 922.27M 1.29B 1.25B
SGA Growth
+17.49% +24.62% +40.29% -3.72%
Other Operating Expense
- (1.64M) 9.90M 8.84M
Unusual Expense
3.44M (178.21M) 13.09M (63.74M)
EBIT after Unusual Expense
654.92M 1.33B 1.40B 1.36B
Non Operating Income/Expense
45.93M 21.95M (2.35M) 234.25M
Non-Operating Interest Income
28.17M 66.55M 98.81M 87.46M
Equity in Earnings of Affiliates
- - - -
-
Interest Expense
104.19M 213.75M 360.87M 375.50M
Interest Expense Growth
-16.73% +105.15% +68.83% +4.05%
Gross Interest Expense
104.19M 213.75M 360.87M 375.50M
Interest Capitalized
- - - -
-
Pretax Income
596.67M 1.13B 1.04B 1.22B
Pretax Income Growth
+54.02% +90.02% -8.70% +17.72%
Pretax Margin
+9.72% +12.57% +9.25% +11.00%
Income Tax
128.36M 183.17M 323.93M 377.34M
Income Tax - Current - Domestic
124.37M 202.36M 308.13M 283.01M
Income Tax - Current - Foreign
- - - -
-
Income Tax - Deferred - Domestic
3.99M (19.19M) 15.80M 94.33M
Income Tax - Deferred - Foreign
- - - -
-
Income Tax Credits
- - - -
-
Equity in Earnings of Affiliates
- - - -
-
Other After Tax Income (Expense)
- - - -
-
Consolidated Net Income
607.59M 1.02B 782.68M 912.61M
Minority Interest Expense
51.55M 68.16M 20.63M 123.91M
Net Income
556.04M 947.26M 762.05M 788.70M
Net Income Growth
+109.51% +70.36% -19.55% +3.50%
Net Margin Growth
+9.06% +10.50% +6.81% +7.12%
Extraordinaries & Discontinued Operations
- - - -
-
Discontinued Operations
- - - -
-
Net Income After Extraordinaries
556.04M 947.26M 762.05M 788.70M
Preferred Dividends
- - - -
-
Net Income Available to Common
556.04M 947.26M 762.05M 788.70M
EPS (Basic)
0.2452 0.4207 0.3383 0.3496
EPS (Basic) Growth
+110.29% +71.57% -19.59% +3.34%
Basic Shares Outstanding
2.27B 2.25B 2.25B 2.26B
EPS (Diluted)
0.2452 0.4207 0.3383 0.3496
EPS (Diluted) Growth
+110.29% +71.57% -19.59% +3.34%
Diluted Shares Outstanding
2.27B 2.25B 2.25B 2.26B
EBITDA
830.72M 1.40B 1.81B 1.71B
EBITDA Growth
+54.43% +68.23% +29.67% -5.74%
EBITDA Margin
+13.53% +15.49% +16.20% +15.42%

Grupo Carso in the News