America Movil SAB de CV

America Movil SAB de CV(AMX)股票分析

$23.040

-0.138 (-0.60%)收盤時

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High
23.380
Open
23.370
VWAP
23.15
Vol
2.50M
Mkt Cap
Low
23.035
Amount
57.91M
EV/EBITDA, TTM
1.79

America Movil SAB de CV is a Mexico-based company primarily involved in the telecommunications-services sector. The Company’s scope of activities revolves around telecommunications solutions related to mobile and fixed-line voice services, including airtime, local, domestical, and international long-distance operations, as well as network interconnection services. Furthermore, the Firm is engaged in both wireless and fixed data operations, Internet-access services, as well as Pay TV, which stands for solutions associated with pay per view, programming, and advertising. Additionally, The Company’s business includes services related to providing video, audio, and media, via the Internet to the end user, as well as other services related to the telecommunications-related industries. The activities offered by the Company cover approximately 20 countries across Latin America, Europe, the United States, and more.

AI analysis of America Movil SAB de CV (AMX)

buy

America Movil is a good buy right now due to its strong financial fundamentals and positive analyst sentiment. The current price is $23.18, and the forward P/E ratio is 10.88, indicating potential undervaluation compared to future earnings. Additionally, the gross margin has improved to 44.05%, which suggests efficient cost management. The main risk is the recent downgrade by Scotiabank, lowering the price target to $20.80, indicating potential downside risk.

Analyst Ratings (15)

-15.36% downside
Hold
6 Buy
7 Hold
2 Sell
Current: 23.04
最低
19.50
平均
19.50
最高
19.50

Grupo Santander

2026-08-13

目標價

$27

Outperform

New Street

2026-06-17

目標價

$35

Buy

Scotiabank

2026-05-27

目標價

Sector Perform

Goldman Sachs

2026-05-17

目標價

$31.80

Buy

JPMorgan

2026-05-14

目標價

$30

Neutral

估值指標

The current forward P/E ratio for America Movil SAB de CV (AMX) is 10.82, compared to its 5-year average forward P/E of 11.92.

Forward P/E

Fair
5Y Average P/E
11.92
Current P/E
10.82
高估
14.95
低估
8.88

Forward EV/EBITDA

Strongly Undervalued
5Y Average EV/EBITDA
4.69
Current EV/EBITDA
1.79
高估
5.89
低估
3.49

Forward P/S

Strongly Undervalued
5Y Average P/S
1.10
Current P/S
0.07
高估
1.53
低估
0.66

Alphio AI Price Scenarios for AMX

Scenario prices are the last monthly forecast band of the current year. Probabilities are fixed model weights (25 / 50 / 25), not guarantees.

B

Bull

Bull · 25%AMX

$21.38

情境價格

B

Base

Base · 50%AMX

$19.42

情境價格

B

Bear

Bear · 25%AMX

$15.66

情境價格

Whales holding AMX

C

Capital Wealth Planning, LLC

+ HoldingAMX

+5.43%

3M Return

C

Control Empresarial de Capitales SA de CV

+ HoldingAMXPBF

-3.47%

3M Return

W

Westwood Global Investments LLC

+ HoldingAMX

-6.57%

3M Return

AMX FAQ — answered by Alphio AI

America Movil SAB de CV is a Mexico-based company primarily involved in the telecommunications-services sector. The Company’s scope of activities revolves around telecommunications solutions related to mobile and fixed-line voice services, including airtime, local, domestical, and international long-distance operations, as well as network interconnection services. Furthermore, the Firm is engaged in both wireless and fixed data operations, Internet-access services, as well as Pay TV, which stands for solutions associated with pay per view, programming, and advertising. Additionally, The Company’s business includes services related to providing video, audio, and media, via the Internet to the end user, as well as other services related to the telecommunications-related industries. The activities offered by the Company cover approximately 20 countries across Latin America, Europe, the United States, and more. It operates in the Technology sector (TELEPHONE COMMUNICATIONS, EXCEPT RADIOTELEPHONE industry).

America Movil is a good buy right now due to its strong financial fundamentals and positive analyst sentiment. The current price is $23.18, and the forward P/E ratio is 10.88, indicating potential undervaluation compared to future earnings. Additionally, the gross margin has improved to 44.05%, which suggests efficient cost management. The main risk is the recent downgrade by Scotiabank, lowering the price target to $20.80, indicating potential downside risk.

15 analysts cover AMX: 6 rate it Buy, 7 Hold and 2 Sell. The average price target is 19.50.

本頁僅供研究參考,不構成投資建議。模型可能出錯。過往表現不代表未來結果。

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