GCC, S.A.B. de C.V. (GCC.MX)
- Previous Close
179.50 - Open
177.44 - Bid 178.83 x 3000000
- Ask 179.63 x 950000
- Day's Range
177.44 - 180.40 - 52 Week Range
141.30 - 208.54 - Volume
18,188 - Avg. Volume
381,713 - Market Cap (intraday)
58.652B - Beta (5Y Monthly) 0.81
- PE Ratio (TTM)
10.27 - EPS (TTM)
17.43 - Earnings Date Jul 23, 2024
- Forward Dividend & Yield 1.34 (0.70%)
- Ex-Dividend Date May 22, 2023
- 1y Target Est
236.04
GCC, S.A.B. de C.V., through its subsidiaries, produces, distributes, and sells gray Portland cement, ready-mix concrete, aggregates, and other building construction materials in Mexico and the United States. It offers cement; ready mix concrete, energy; building materials; and asphalt. The company also provides special products comprising Komponent, a shrinkage-compensating, expanding concrete additive; Metaforce, a reactive and consistent pozzolan that is used as an alternative for fly ash; Microsilex to be used in bridge decks and paving; Rapid Set, a solution for concrete applications; and Versabind, a cementitious that is used as filler in asphalt mixes as a replacement for lime. It distributes its products through distribution centers and independent wholesale distributors. The company was formerly known as Grupo Cementos de Chihuahua, S.A.B. de C.V. and changed its name to GCC, S.A.B. de C.V. in March 2021. The company was founded in 1941 and is based in Chihuahua, Mexico. GCC, S.A.B. de C.V. is a subsidiary of CAMCEM, S.A. de C.V.
www.gcc.com3,272
Full Time Employees
December 31
Fiscal Year Ends
Sector
Industry
Recent News: GCC.MX
Performance Overview: GCC.MX
Trailing total returns as of 6/11/2024, which may include dividends or other distributions. Benchmark is .
YTD Return
1-Year Return
3-Year Return
5-Year Return
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Statistics: GCC.MX
Valuation Measures
Market Cap
58.68B
Enterprise Value
50.72B
Trailing P/E
10.28
Forward P/E
11.35
PEG Ratio (5yr expected)
--
Price/Sales (ttm)
2.30
Price/Book (mrq)
1.80
Enterprise Value/Revenue
2.03
Enterprise Value/EBITDA
5.33
Financial Highlights
Profitability and Income Statement
Profit Margin
22.39%
Return on Assets (ttm)
9.15%
Return on Equity (ttm)
19.02%
Revenue (ttm)
1.39B
Net Income Avi to Common (ttm)
311.83M
Diluted EPS (ttm)
17.43
Balance Sheet and Cash Flow
Total Cash (mrq)
980.46M
Total Debt/Equity (mrq)
29.33%
Levered Free Cash Flow (ttm)
143.77M