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TBBB BBB Foods Inc.

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  • 23.060
  • -1.000-4.16%
Close Jun 7 16:00 ET
  • 23.060
  • 0.0000.00%
Post 16:00 ET
2.59BMarket Cap-274523P/E (TTM)

BBB Foods Inc. Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
--4.29B
21.39%1.2B
21.39%1.2B
--1B
-1.54%984.63M
--984.63M
--1B
-Cash and cash equivalents
--4.29B
21.39%1.2B
21.39%1.2B
--1B
-1.54%984.63M
--984.63M
--1B
Receivables
--832.68M
17.91%742.21M
17.91%742.21M
--763.53M
46.62%629.47M
--629.47M
--429.31M
-Accounts receivable
--44.69M
-44.58%11.02M
-44.58%11.02M
--30.72M
456.54%19.89M
--19.89M
--3.57M
-Taxes receivable
--787.99M
19.95%731.19M
19.95%731.19M
--732.81M
43.18%609.58M
--609.58M
--425.74M
Inventory
--2.18B
22.05%2.36B
22.05%2.36B
--2.19B
37.65%1.93B
--1.93B
--1.4B
Prepaid assets
--86.54M
37.33%73M
37.33%73M
--65.01M
76.48%53.16M
--53.16M
--30.12M
Restricted cash
----
7,233.14%25.23M
7,233.14%25.23M
----
--344K
--344K
----
Total current assets
--7.39B
22.06%4.39B
22.06%4.39B
--4.02B
25.73%3.6B
--3.6B
--2.86B
Non current assets
Net PPE
--10.83B
28.83%10.13B
28.83%10.13B
--9.47B
58.85%7.86B
--7.86B
--4.95B
-Gross PPE
--10.83B
30.55%11.9B
30.55%11.9B
--11.05B
54.24%9.12B
--9.12B
--5.91B
-Accumulated depreciation
----
-41.33%-1.77B
-41.33%-1.77B
---1.59B
-30.54%-1.26B
---1.26B
---961.87M
Goodwill and other intangible assets
--6.52M
-17.84%6.77M
-17.84%6.77M
--7.05M
5.24%8.24M
--8.24M
--7.83M
Non current deferred assets
--426.75M
35.02%403.8M
35.02%403.8M
--401.53M
40.33%299.06M
--299.06M
--213.11M
Non current prepaid assets
--34.16M
19.58%33.17M
19.58%33.17M
--31.91M
62.15%27.74M
--27.74M
--17.11M
Total non current assets
--11.3B
28.98%10.57B
28.98%10.57B
--9.91B
58.02%8.2B
--8.2B
--5.19B
Total assets
--18.69B
26.87%14.96B
26.87%14.96B
--13.93B
46.53%11.79B
--11.79B
--8.05B
Liabilities
Current liabilities
Payables
--7.8B
30.10%7.67B
30.10%7.67B
--6.97B
36.26%5.9B
--5.9B
--4.33B
-accounts payable
--7.62B
31.52%7.45B
31.52%7.45B
--6.77B
36.00%5.66B
--5.66B
--4.16B
-Total tax payable
--0
-96.83%2.33M
-96.83%2.33M
--65.53M
-22.02%73.3M
--73.3M
--94M
-Due to related parties current
--0
78.93%78.43M
78.93%78.43M
----
--43.83M
--43.83M
----
-Other payable
--178.8M
22.38%140.49M
22.38%140.49M
--127.36M
67.71%114.8M
--114.8M
--68.45M
Current debt and capital lease obligation
--1.52B
41.07%1.28B
41.07%1.28B
--1.3B
38.20%908.54M
--908.54M
--657.43M
-Current debt
--951.19M
51.48%744.14M
51.48%744.14M
--778.01M
81.22%491.24M
--491.24M
--271.08M
-Current capital lease obligation
--569.54M
28.81%537.52M
28.81%537.52M
--518.03M
8.01%417.31M
--417.31M
--386.35M
Current liabilities
--9.32B
31.56%8.95B
31.56%8.95B
--8.26B
36.51%6.8B
--6.8B
--4.98B
Non current liabilities
Long term debt and capital lease obligation
--6.27B
10.16%10.62B
10.16%10.62B
--10.22B
29.02%9.64B
--9.64B
--7.48B
-Long term debt
--102M
2.10%4.92B
2.10%4.92B
--4.87B
8.71%4.82B
--4.82B
--4.43B
-Long term capital lease obligation
--6.17B
18.20%5.71B
18.20%5.71B
--5.35B
58.58%4.83B
--4.83B
--3.04B
Due to related parties non current
----
--0
--0
--44.09M
41.59%44.53M
--44.53M
--31.45M
Employee benefits
--24.23M
55.35%22.23M
55.35%22.23M
--18.14M
41.27%14.31M
--14.31M
--10.13M
Total non current liabilities
--6.3B
9.72%10.65B
9.72%10.65B
--10.28B
29.09%9.7B
--9.7B
--7.52B
Total liabilities
--15.62B
18.72%19.6B
18.72%19.6B
--18.55B
32.05%16.51B
--16.51B
--12.5B
Shareholders'equity
Share capital
--8.28B
0.00%471.28M
0.00%471.28M
--471.28M
0.00%471.28M
--471.28M
--471.28M
-common stock
--8.28B
0.00%471.28M
0.00%471.28M
--471.28M
0.00%471.28M
--471.28M
--471.28M
Retained earnings
---6.19B
-5.42%-5.96B
-5.42%-5.96B
---5.86B
-11.11%-5.65B
---5.65B
---5.09B
Other equity interest
--980.54M
82.32%851.7M
82.32%851.7M
--769.57M
185.98%467.14M
--467.14M
--163.35M
Total stockholders'equity
--3.08B
1.66%-4.63B
1.66%-4.63B
---4.62B
-5.87%-4.71B
---4.71B
---4.45B
Total equity
--3.08B
1.66%-4.63B
1.66%-4.63B
---4.62B
-5.87%-4.71B
---4.71B
---4.45B
Currency Unit
MXN
MXN
MXN
MXN
MXN
MXN
MXN
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments --4.29B21.39%1.2B21.39%1.2B--1B-1.54%984.63M--984.63M--1B
-Cash and cash equivalents --4.29B21.39%1.2B21.39%1.2B--1B-1.54%984.63M--984.63M--1B
Receivables --832.68M17.91%742.21M17.91%742.21M--763.53M46.62%629.47M--629.47M--429.31M
-Accounts receivable --44.69M-44.58%11.02M-44.58%11.02M--30.72M456.54%19.89M--19.89M--3.57M
-Taxes receivable --787.99M19.95%731.19M19.95%731.19M--732.81M43.18%609.58M--609.58M--425.74M
Inventory --2.18B22.05%2.36B22.05%2.36B--2.19B37.65%1.93B--1.93B--1.4B
Prepaid assets --86.54M37.33%73M37.33%73M--65.01M76.48%53.16M--53.16M--30.12M
Restricted cash ----7,233.14%25.23M7,233.14%25.23M------344K--344K----
Total current assets --7.39B22.06%4.39B22.06%4.39B--4.02B25.73%3.6B--3.6B--2.86B
Non current assets
Net PPE --10.83B28.83%10.13B28.83%10.13B--9.47B58.85%7.86B--7.86B--4.95B
-Gross PPE --10.83B30.55%11.9B30.55%11.9B--11.05B54.24%9.12B--9.12B--5.91B
-Accumulated depreciation -----41.33%-1.77B-41.33%-1.77B---1.59B-30.54%-1.26B---1.26B---961.87M
Goodwill and other intangible assets --6.52M-17.84%6.77M-17.84%6.77M--7.05M5.24%8.24M--8.24M--7.83M
Non current deferred assets --426.75M35.02%403.8M35.02%403.8M--401.53M40.33%299.06M--299.06M--213.11M
Non current prepaid assets --34.16M19.58%33.17M19.58%33.17M--31.91M62.15%27.74M--27.74M--17.11M
Total non current assets --11.3B28.98%10.57B28.98%10.57B--9.91B58.02%8.2B--8.2B--5.19B
Total assets --18.69B26.87%14.96B26.87%14.96B--13.93B46.53%11.79B--11.79B--8.05B
Liabilities
Current liabilities
Payables --7.8B30.10%7.67B30.10%7.67B--6.97B36.26%5.9B--5.9B--4.33B
-accounts payable --7.62B31.52%7.45B31.52%7.45B--6.77B36.00%5.66B--5.66B--4.16B
-Total tax payable --0-96.83%2.33M-96.83%2.33M--65.53M-22.02%73.3M--73.3M--94M
-Due to related parties current --078.93%78.43M78.93%78.43M------43.83M--43.83M----
-Other payable --178.8M22.38%140.49M22.38%140.49M--127.36M67.71%114.8M--114.8M--68.45M
Current debt and capital lease obligation --1.52B41.07%1.28B41.07%1.28B--1.3B38.20%908.54M--908.54M--657.43M
-Current debt --951.19M51.48%744.14M51.48%744.14M--778.01M81.22%491.24M--491.24M--271.08M
-Current capital lease obligation --569.54M28.81%537.52M28.81%537.52M--518.03M8.01%417.31M--417.31M--386.35M
Current liabilities --9.32B31.56%8.95B31.56%8.95B--8.26B36.51%6.8B--6.8B--4.98B
Non current liabilities
Long term debt and capital lease obligation --6.27B10.16%10.62B10.16%10.62B--10.22B29.02%9.64B--9.64B--7.48B
-Long term debt --102M2.10%4.92B2.10%4.92B--4.87B8.71%4.82B--4.82B--4.43B
-Long term capital lease obligation --6.17B18.20%5.71B18.20%5.71B--5.35B58.58%4.83B--4.83B--3.04B
Due to related parties non current ------0--0--44.09M41.59%44.53M--44.53M--31.45M
Employee benefits --24.23M55.35%22.23M55.35%22.23M--18.14M41.27%14.31M--14.31M--10.13M
Total non current liabilities --6.3B9.72%10.65B9.72%10.65B--10.28B29.09%9.7B--9.7B--7.52B
Total liabilities --15.62B18.72%19.6B18.72%19.6B--18.55B32.05%16.51B--16.51B--12.5B
Shareholders'equity
Share capital --8.28B0.00%471.28M0.00%471.28M--471.28M0.00%471.28M--471.28M--471.28M
-common stock --8.28B0.00%471.28M0.00%471.28M--471.28M0.00%471.28M--471.28M--471.28M
Retained earnings ---6.19B-5.42%-5.96B-5.42%-5.96B---5.86B-11.11%-5.65B---5.65B---5.09B
Other equity interest --980.54M82.32%851.7M82.32%851.7M--769.57M185.98%467.14M--467.14M--163.35M
Total stockholders'equity --3.08B1.66%-4.63B1.66%-4.63B---4.62B-5.87%-4.71B---4.71B---4.45B
Total equity --3.08B1.66%-4.63B1.66%-4.63B---4.62B-5.87%-4.71B---4.71B---4.45B
Currency Unit MXNMXNMXNMXNMXNMXNMXN
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

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