Below are the financial statements of Grupo Bimbo, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
| All figures in billions of MXN | 2024 | 2023 | 2022 |
|---|---|---|---|
| Net sales | 408.34a | 399.88a | 398.71a |
| Cost of sales | -193.41a | -194.37a | -193.33a |
| Gross profit | 214.93a | 205.51a | 205.38a |
| General expenses: Distribution and selling | -147.63a | -139.48a | -140.46a |
| General expenses: Administrative | -27.54a | -25.86a | -26.17a |
| General expenses: Integration expenses | -0.32a | -0.29a | -0.37a |
| General expenses: Other expenses/(income), net | 6.3a | 4.43a | -15.31a |
| General expenses | -181.78a | -170.06a | -151.69a |
| Operating profit | 33.15a | 35.46a | 53.7a |
| Comprehensive financing cost: Interest expense | -13.1a | -10.01a | -8.05a |
| Comprehensive financing cost: Interest income | -0.92a | -0.81a | -0.74a |
| Comprehensive financing cost: Foreign exchange loss, net | -0.51a | -1.32a | -1a |
| Comprehensive financing cost: (Gain) on monetary position | -0.1a | -0.07a | -0.03a |
| Comprehensive financing cost | 12.58a | 10.45a | 8.27a |
| Share of profit of associates | 0.46a | 0.32a | 0.45a |
| Profit from continuing operations before income tax | 21.03a | 25.32a | 45.88a |
| Income tax | -6.8a | -8.39a | -14.38a |
| Net profit from continuing operations | 14.24a | 16.94a | 31.5a |
| Discontinued operation: Net (loss)/profit from discontinued operation after income tax | -0.19a | -0.02a | 16.99a |
| Consolidated net profit | 14.04a | 16.92a | 48.49a |
| Controlling interest: Continuing operation | 12.74a | 15.49a | 30.32a |
| Controlling interest: Discontinued operation | -0.19a | -0.02a | 16.59a |
| Controlling interest | 12.54a | 15.48a | 46.91a |
| Non-controlling interest: Continuing operation | 1.5a | 1.45a | 1.17a |
| Non-controlling interest: Discontinued operation | 0a | 0a | 0.4a |
| Non-controlling interest | 1.5a | 1.45a | 1.58a |
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