Symbols / AERO Stock $16.42 -1.59% Grupo Aeromexico, S.A.B. de C.V

Industrials • Airlines • Mexico • NYQ
AERO (Stock) Chart
O: — H: — L: — C: — V: —
SMA 20: SMA 50: SMA 200:
Stock Fundamentals
Scroll to Statements
Index EQUITY
Sector Industrials
Industry Airlines
CEO Dr. Andrés Conesa Labastida Ph.D.
Exch · Country NYQ · Mexico
Market Cap 2.40B
Enterprise Value 5.40B
Income 340.71M
Sales 5.52B
FCF (ttm) 489.32M
Book/sh -3.99
Cash/sh 6.98
Employees 17,243
Insider 10d
IPO Nov 06, 2025
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 0.00%
P/E 0.73
Forward P/E 8.93
PEG
P/S 0.43
P/B -4.11
P/C
EV/EBITDA 4.83
EV/Sales 0.98
Quick Ratio 0.57
Current Ratio 0.65
Debt/Eq
LT Debt/Eq
EPS (ttm) 22.46
EPS next Y 1.84
EPS Growth -56.30%
Revenue Growth 13.30%
EPS Gr Q/Q -50.90%
Rev Gr Q/Q
Earnings (next) 2026-07-21
Earnings (prior) 2026-04-30
ROA 7.45%
ROE
ROIC
Gross Margin 37.17%
Oper. Margin 10.19%
Profit Margin 6.18%
Shs Outstand 145.90M
Shs Float 58.36M
Insider Own 0.00%
Instit Own 70.28%
Short Float 1.34%
Short Ratio 4.76
Short Interest 1.15M
52W High 23.05
vs 52W High -28.79%
52W Low 12.26
vs 52W Low 33.89%
Beta
Impl. Vol. 12.50%
Rel Volume 0.01
Avg Volume 405.43K
Volume 2.63K
Target (mean) $27.60
Tgt Median $27.00
Tgt Low $25.00
Tgt High $30.00
# Analysts 9
Recom Buy
Prev Close $16.68
Price $16.41
Change -1.59%

Grupo Aeroméxico, S.A.B. de C.V., through its subsidiaries, provide public air carrier services for passengers and goods. It offers scheduled passenger air carrier services, cargo air carrier services, and other services. The company also offers loyalty program management, training, franchise systems, and investment management services. Its network of destinations includes Mexico, the United States, South America, Central America, the Caribbean, Canada, Europe, and Asia. The company was founded in 1934 and is based in Mexico City, Mexico.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$16.42
Low
$25.00
High
$30.00
Mean
$27.60

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-03-24 main Barclays Overweight → Overweight $25
2026-03-12 main JP Morgan Overweight → Overweight $28
2026-03-12 main Evercore ISI Group Outperform → Outperform $30
2026-02-19 main Barclays Overweight → Overweight $32
2026-02-10 main Barclays Overweight → Overweight $28
2025-12-17 init Citigroup — → Buy $27
2025-12-17 init Barclays — → Overweight $27
2025-12-17 init Evercore ISI Group — → Outperform $36
2025-12-17 init Morgan Stanley — → Overweight $30
2025-12-17 init Goldman Sachs — → Buy $35
2025-12-17 init Deutsche Bank — → Buy $25
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2018-08-27 WOLFE J MICHAEL Chief Executive Officer 17,300 $3.01 $52,272
2017-12-18 WALKER JACK JONAS Director 20,400 $2.43 $49,830
2017-12-12 WALKER JACK JONAS Director 50,000 $2.48 $125,054
2017-10-23 WALKER JACK JONAS Director 1,100 $2.40 $2,640
2017-02-27 HARDING WAYNE EDWARD III Director 12,445 $2.65 $33,269
2017-02-17 WOLFE J MICHAEL Chief Executive Officer 55,000 $2.76 $152,859
2017-02-17 THOMPSON JOHN K Officer 40,000 $2.76 $111,450
2016-12-14 WALKER JACK JONAS Director 79,230 $1.21 $115,507
2016-12-14 THOMPSON JOHN K Officer 29,730 $1.55 $46,082
2016-12-14 HARDING WAYNE EDWARD III Director 11,300 $1.55 $17,515
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
5,360.57
-4.61%
5,619.85
+14.32%
4,916.10
+28.96%
3,812.00
Operating Revenue
5,172.88
-5.03%
5,446.99
+14.09%
4,774.10
+29.25%
3,693.75
Cost Of Revenue
3,881.49
+0.40%
3,865.96
+7.82%
3,585.51
+8.21%
3,313.40
Reconciled Cost Of Revenue
3,881.49
+0.40%
3,865.96
+7.82%
3,585.51
+8.21%
3,313.40
Gross Profit
1,479.08
-15.67%
1,753.90
+31.81%
1,330.58
+166.86%
498.60
Operating Expense
638.50
-7.06%
686.99
+14.83%
598.26
+32.66%
450.96
Selling General And Administration
508.28
-2.71%
522.42
+13.61%
459.86
+28.37%
358.22
Selling And Marketing Expense
359.31
-11.58%
406.34
+13.65%
357.55
+24.42%
287.37
General And Administrative Expense
148.97
+28.34%
116.08
+13.46%
102.30
+44.39%
70.85
Salaries And Wages
148.97
+28.34%
116.08
+13.46%
102.30
+44.39%
70.85
Other Operating Expenses
96.94
-20.64%
122.15
+9.10%
111.95
+53.18%
73.09
Total Expenses
4,519.98
-0.72%
4,552.95
+8.82%
4,183.78
+11.14%
3,764.36
Operating Income
840.59
-21.21%
1,066.91
+45.69%
732.32
+1437.25%
47.64
Total Operating Income As Reported
928.11
-12.99%
1,066.69
+49.02%
715.82
+40.13%
510.83
EBITDA
1,521.95
-7.47%
1,644.77
+41.49%
1,162.47
+45.39%
799.57
Normalized EBITDA
1,567.57
-3.70%
1,627.86
+29.82%
1,253.90
+70.91%
733.65
Reconciled Depreciation
730.29
+11.48%
655.06
+12.98%
579.78
+27.83%
453.55
EBIT
791.66
-20.01%
989.71
+69.85%
582.69
+68.40%
346.03
Total Unusual Items
-45.62
-369.83%
16.91
+118.49%
-91.42
-238.68%
65.92
Total Unusual Items Excluding Goodwill
-45.62
-369.83%
16.91
+118.49%
-91.42
-238.68%
65.92
Special Income Charges
0.15
+102.87%
-5.20
+34.52%
-7.93
-106.34%
125.15
Other Special Charges
5.20
+15.26%
4.51
+145.63%
-9.88
Impairment Of Capital Assets
-1.18
Restructuring And Mergern Acquisition
0.00
0.00
+100.00%
-114.09
Write Off
-3.70
0.00
-100.00%
3.43
+390.42%
-1.18
Net Income
351.86
-43.01%
617.44
+125.89%
273.33
+525.44%
-64.25
Pretax Income
413.95
-40.63%
697.22
+142.36%
287.68
+377.46%
60.25
Net Non Operating Interest Income Expense
-468.39
-19.62%
-391.57
-13.62%
-344.65
+11.93%
-391.35
Interest Expense Non Operating
377.71
+29.14%
292.49
-0.85%
295.01
+3.23%
285.77
Net Interest Income
-468.39
-19.62%
-391.57
-13.62%
-344.65
+11.93%
-391.35
Interest Expense
377.71
+29.14%
292.49
-0.85%
295.01
+3.23%
285.77
Interest Income Non Operating
31.64
-42.96%
55.47
-13.58%
64.18
+318.55%
15.33
Interest Income
31.64
-42.96%
55.47
-13.58%
64.18
+318.55%
15.33
Other Income Expense
41.76
+90.81%
21.88
+121.89%
-99.99
-124.75%
403.97
Other Non Operating Income Expenses
10.19
+1256.07%
-0.88
+83.99%
-5.50
-165.55%
8.39
Gain On Sale Of Security
-45.77
-307.07%
22.10
+126.47%
-83.49
-40.98%
-59.22
Tax Provision
62.09
-22.12%
79.73
+457.13%
14.31
-88.50%
124.48
Tax Rate For Calcs
0.00
+36.36%
0.00
+120.00%
0.00
-83.33%
0.00
Tax Effect Of Unusual Items
-6.84
-467.95%
1.86
+140.68%
-4.57
-123.11%
19.78
Net Income Including Noncontrolling Interests
351.86
-43.02%
617.49
+125.88%
273.37
+525.64%
-64.22
Net Income From Continuing Operation Net Minority Interest
351.86
-43.01%
617.44
+125.89%
273.33
+525.44%
-64.25
Net Income From Continuing And Discontinued Operation
351.86
-43.01%
617.44
+125.89%
273.33
+525.44%
-64.25
Net Income Continuous Operations
351.86
-43.02%
617.49
+125.88%
273.37
+525.64%
-64.22
Minority Interests
0.00
+100.00%
-0.05
-38.24%
-0.03
-47.83%
-0.02
Normalized Income
390.64
-35.15%
602.39
+67.24%
360.19
+426.27%
-110.40
Net Income Common Stockholders
351.86
-43.01%
617.44
+125.89%
273.33
+525.44%
-64.25
Otherunder Preferred Stock Dividend
0.00
0.00
0.00
Diluted EPS
2.41
-94.64%
45.00
+125.00%
20.00
Basic EPS
2.41
-94.76%
46.00
+119.05%
21.00
Basic Average Shares
145.90
+991.77%
13.36
+1.35%
13.19
+0.14%
13.17
Diluted Average Shares
145.90
+969.49%
13.64
+0.00%
13.64
+3.61%
13.17
Diluted NI Availto Com Stockholders
351.86
-43.01%
617.44
+125.89%
273.33
+525.44%
-64.25
Earnings From Equity Interest
77.19
+1217.65%
5.86
+291.38%
-3.06
-100.93%
329.65
Gain On Sale Of PPE
-3.55
+31.66%
-5.20
-15.26%
-4.51
-145.63%
9.88
Other Taxes
33.28
-21.55%
42.42
+60.35%
26.46
+34.59%
19.66
Rent Expense Supplemental
17.71
+9.07%
16.24
-31.72%
23.78
-83.43%
143.48
Total Other Finance Cost
122.31
-20.86%
154.55
+35.79%
113.81
-5.87%
120.91
Line Item Trend 2025-12-31 2024-12-31 2021-12-31
Total Assets
7,193.09
+12.68%
6,383.56
Current Assets
1,979.60
+20.22%
1,646.64
Cash Cash Equivalents And Short Term Investments
996.71
+22.22%
815.50
Cash And Cash Equivalents
996.71
+22.22%
815.50
Cash Equivalents
6.27
Cash Financial
996.71
+22.22%
815.50
Other Short Term Investments
0.00
Receivables
702.58
+18.17%
594.56
Accounts Receivable
208.62
-12.59%
238.67
Receivables Adjustments Allowances
-14.68
-18.09%
-12.43
Other Receivables
16.65
+146.70%
6.75
Taxes Receivable
489.36
+36.50%
358.49
Inventory
174.35
+24.79%
139.72
Raw Materials
139.72
+79.93%
77.65
Prepaid Assets
78.42
+11.45%
70.36
Restricted Cash
27.53
+3.90%
26.50
Hedging Assets Current
0.00
0.00
Other Current Assets
1.00
Total Non Current Assets
5,213.49
+10.06%
4,736.93
Net PPE
3,716.44
+14.22%
3,253.80
Gross PPE
6,120.49
+13.48%
5,393.60
Accumulated Depreciation
-2,404.05
-12.35%
-2,139.80
Properties
0.00
0.00
Land And Improvements
33.90
+2.42%
33.10
Buildings And Improvements
22.40
+0.00%
22.40
Machinery Furniture Equipment
70.84
+4.50%
67.79
Construction In Progress
73.54
-1.52%
74.67
Other Properties
5,011.33
+16.11%
4,316.19
Leases
65.71
+24.89%
52.61
Goodwill And Other Intangible Assets
1,098.16
+1.65%
1,080.35
Goodwill
503.57
+0.00%
503.57
Other Intangible Assets
594.59
+3.09%
576.78
Investments And Advances
0.00
-100.00%
16.98
Long Term Equity Investment
0.00
-100.00%
16.98
Non Current Deferred Assets
280.03
+7.00%
261.72
Non Current Deferred Taxes Assets
280.03
+7.00%
261.72
Non Current Prepaid Assets
107.67
-4.91%
113.23
Other Non Current Assets
11.19
+3.25%
10.84
Total Liabilities Net Minority Interest
7,785.31
+6.89%
7,283.48
Current Liabilities
3,095.94
-3.05%
3,193.18
Payables And Accrued Expenses
1,794.24
+4.16%
1,722.55
Payables
1,794.24
+4.16%
1,722.55
Accounts Payable
1,404.35
+3.62%
1,355.24
Other Payable
28.53
+29.17%
22.09
Employee Benefits
274.05
+31.06%
209.10
Total Tax Payable
360.25
+4.59%
344.43
Income Tax Payable
82.20
+18.22%
69.53
Current Debt And Capital Lease Obligation
450.54
+0.50%
448.30
Current Debt
31.63
-64.48%
89.05
Other Current Borrowings
31.63
-64.48%
89.05
Current Capital Lease Obligation
418.91
+16.61%
359.25
Current Deferred Liabilities
0.38
Current Deferred Revenue
0.38
Other Current Liabilities
794.54
-12.22%
905.17
Total Non Current Liabilities Net Minority Interest
4,689.37
+14.65%
4,090.30
Long Term Debt And Capital Lease Obligation
3,604.49
+10.82%
3,252.62
Long Term Debt
1,067.26
+35.14%
789.75
Long Term Capital Lease Obligation
2,537.24
+3.02%
2,462.87
Long Term Provisions
331.65
+60.15%
207.09
Non Current Pension And Other Postretirement Benefit Plans
274.05
+31.06%
209.10
Tradeand Other Payables Non Current
0.00
Non Current Deferred Liabilities
135.10
+11.56%
121.09
Non Current Deferred Revenue
0.00
Non Current Deferred Taxes Liabilities
135.10
+11.56%
121.09
Other Non Current Liabilities
344.08
+14.54%
300.39
Stockholders Equity
-594.27
+34.11%
-901.96
Common Stock Equity
-594.27
+34.11%
-901.96
Capital Stock
3,504.11
-0.62%
3,526.02
Common Stock
3,504.11
-0.62%
3,526.02
Share Issued
1,595.46
+1069.49%
136.42
-80.00%
682.11
Ordinary Shares Number
1,459.03
682.11
Treasury Shares Number
136.42
+900.00%
13.64
-77.50%
60.63
Additional Paid In Capital
-2,182.89
+0.00%
-2,182.89
Retained Earnings
-1,968.60
+14.78%
-2,310.13
Gains Losses Not Affecting Retained Earnings
53.11
-18.34%
65.03
Minority Interest
2.05
+0.00%
2.05
Other Equity Adjustments
54.45
+0.00%
54.45
Total Equity Gross Minority Interest
-592.22
+34.19%
-899.91
Total Capitalization
472.99
+521.51%
-112.21
Working Capital
-1,116.34
+27.82%
-1,546.54
Invested Capital
504.62
+2278.09%
-23.17
Total Debt
4,055.03
+9.57%
3,700.91
Net Debt
102.17
+61.41%
63.30
Capital Lease Obligations
2,956.14
+4.75%
2,822.12
Net Tangible Assets
-1,692.42
+14.62%
-1,982.32
Tangible Book Value
-1,692.42
+14.62%
-1,982.32
Available For Sale Securities
10.66
Current Provisions
56.62
-51.67%
117.17
Derivative Product Liabilities
0.00
Duefrom Related Parties Current
2.63
-14.69%
3.08
Dueto Related Parties Current
1.10
+40.33%
0.79
Dueto Related Parties Non Current
54.91
Investmentin Financial Assets
10.66
0.00
Investmentsin Joint Venturesat Cost
0.00
-100.00%
16.98
Minimum Pension Liabilities
5.23
-69.51%
17.16
Other Equity Interest
-6.58
Unrealized Gain Loss
-6.58
+0.00%
-6.58
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
913.08
-33.23%
1,367.51
+1.66%
1,345.12
+684.05%
-230.31
Cash Flow From Continuing Operating Activities
913.08
-33.23%
1,367.51
+1.66%
1,345.12
+684.06%
-230.31
Net Income From Continuing Operations
351.86
-43.02%
617.49
+125.88%
273.37
+525.64%
-64.22
Depreciation Amortization Depletion
730.29
+11.48%
655.06
+12.98%
579.78
+27.83%
453.55
Depreciation
703.13
+10.82%
634.51
+13.71%
557.98
+26.69%
440.42
Amortization Cash Flow
27.16
+32.16%
20.55
-5.73%
21.80
+66.02%
13.13
Depreciation And Amortization
730.29
+11.48%
655.06
+12.98%
579.78
+27.83%
453.55
Amortization Of Intangibles
27.16
+32.16%
20.55
-5.73%
21.80
+66.02%
13.13
Other Non Cash Items
327.50
+11.73%
293.12
+24.73%
235.00
+232.64%
-177.17
Pension And Employee Benefit Expense
18.69
-7.03%
20.10
+17.10%
17.17
+106.66%
8.31
Stock Based Compensation
0.69
-96.10%
17.66
0.00
0.00
Provisionand Write Offof Assets
109.95
-42.89%
192.55
+50.56%
127.89
-8.83%
140.28
Asset Impairment Charge
-3.70
0.00
-100.00%
3.43
+390.42%
-1.18
Deferred Tax
62.09
-22.12%
79.73
+457.13%
14.31
-88.52%
124.68
Deferred Income Tax
62.09
-22.12%
79.73
+457.13%
14.31
-88.52%
124.68
Operating Gains Losses
-92.06
-511.09%
22.39
+54.18%
14.53
+104.79%
-303.10
Gain Loss On Investment Securities
0.33
-81.00%
1.76
+122.53%
0.79
Net Foreign Currency Exchange Gain Loss
-36.39
-1081.50%
3.71
+129.60%
-12.53
-155.45%
22.59
Gain Loss On Sale Of PPE
2.83
-31.01%
4.11
-18.93%
5.07
+198.58%
-5.14
Change In Working Capital
-202.62
+18.76%
-249.40
-176.68%
325.26
+373.54%
-118.91
Change In Receivables
41.62
+193.89%
-44.33
+58.69%
-107.33
+35.89%
-167.41
Changes In Account Receivables
41.62
+193.89%
-44.33
+58.69%
-107.33
+35.89%
-167.41
Change In Inventory
-33.05
+1.11%
-33.42
-236.54%
-9.93
+49.12%
-19.52
Change In Prepaid Assets
-2.02
+93.43%
-30.80
-1534.75%
2.15
-93.45%
32.79
Change In Payables And Accrued Expense
-142.22
-2686.83%
5.50
-98.24%
313.27
+789.11%
35.23
Change In Payable
-142.22
-2686.83%
5.50
-98.24%
313.27
+789.11%
35.23
Change In Account Payable
-142.22
-2686.83%
5.50
-98.24%
313.27
+789.11%
35.23
Change In Other Working Capital
-66.95
+54.25%
-146.34
-215.14%
127.10
Change In Other Current Assets
Change In Other Current Liabilities
127.10
-0.14%
127.28
Investing Cash Flow
-270.45
+44.69%
-489.00
-20.38%
-406.21
+22.13%
-521.65
Cash Flow From Continuing Investing Activities
-270.45
+44.69%
-489.00
-20.38%
-406.21
+22.13%
-521.65
Net PPE Purchase And Sale
-311.26
+32.62%
-461.93
-19.37%
-386.97
-56.38%
-247.46
Purchase Of PPE
-344.81
+25.80%
-464.72
-20.04%
-387.13
-54.49%
-250.59
Sale Of PPE
33.55
+1100.00%
2.80
+1658.49%
0.16
-94.92%
3.13
Capital Expenditure
-386.07
+21.82%
-493.80
-17.47%
-420.37
-59.05%
-264.29
Net Investment Purchase And Sale
0.00
0.00
Net Business Purchase And Sale
58.95
0.00
0.00
+100.00%
-262.95
Purchase Of Business
0.00
0.00
+100.00%
-262.95
Net Intangibles Purchase And Sale
-41.26
-41.90%
-29.08
+12.51%
-33.24
-142.61%
-13.70
Purchase Of Intangibles
-29.08
+12.51%
-33.24
-142.61%
-13.70
Net Other Investing Changes
13.70
+382.26%
-4.85
-134.66%
14.00
Financing Cash Flow
-496.23
+46.07%
-920.06
-1.12%
-909.83
-252.74%
595.67
Cash Flow From Continuing Financing Activities
-496.23
+46.07%
-920.06
-1.12%
-909.83
-252.74%
595.67
Net Issuance Payments Of Debt
-457.18
-490.27%
-77.45
+87.87%
-638.72
-679.64%
-81.92
Issuance Of Debt
64.60
-94.18%
1,110.00
0.00
-100.00%
762.50
Repayment Of Debt
-521.78
+56.06%
-1,187.45
-85.91%
-638.72
+24.36%
-844.42
Long Term Debt Issuance
64.60
-94.18%
1,110.00
0.00
-100.00%
762.50
Long Term Debt Payments
-521.78
+56.06%
-1,187.45
-85.91%
-638.72
+24.36%
-844.42
Net Long Term Debt Issuance
-457.18
-490.27%
-77.45
+87.87%
-638.72
-679.64%
-81.92
Net Common Stock Issuance
-39.05
+95.23%
-818.54
-201.92%
-271.11
-140.01%
677.60
Common Stock Payments
-204.64
+75.00%
-818.54
-197.47%
-275.17
-548.90%
-42.41
Repurchase Of Capital Stock
-204.64
+75.00%
-818.54
-197.47%
-275.17
-548.90%
-42.41
Net Other Financing Charges
-24.06
Changes In Cash
146.40
+452.37%
-41.55
-242.89%
29.08
+118.60%
-156.29
Effect Of Exchange Rate Changes
35.84
+166.19%
-54.15
-181.51%
66.44
+242.54%
19.40
Beginning Cash Position
842.00
-10.21%
937.70
+11.34%
842.18
-13.98%
979.08
End Cash Position
1,024.24
+21.64%
842.00
-10.21%
937.70
+11.34%
842.18
Free Cash Flow
527.01
-39.68%
873.71
-5.52%
924.75
+286.97%
-494.60
Common Stock Issuance
165.59
0.00
-100.00%
4.06
-99.44%
720.00
Dividends Received CFI
9.41
+37.37%
6.85
0.00
-100.00%
2.46
Earnings Losses From Equity Investments
-77.19
-1217.65%
-5.86
-291.38%
3.06
+100.93%
-329.65
Interest Paid CFO
-328.07
-17.30%
-279.70
-1.22%
-276.34
-3.75%
-266.37
Interest Received CFO
31.64
-42.96%
55.47
-13.58%
64.18
+318.55%
15.33
Issuance Of Capital Stock
165.59
0.00
-100.00%
4.06
-99.44%
720.00
Sale Of Business
58.95
0.00
0.00
Taxes Refund Paid
-74.49
-102.21%
-36.84
-126.26%
-16.28
+50.96%
-33.20
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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