ZYBERNO
Stock Report
Updated Aug 24, 2026

CEMEX SAB DE CV (CXMSF)

Materials • OTC

$1.10

Professional Investment Analysis

ZYBERNO SCORE
Is it a great business? Is it getting better?
29.0/100
POOR BUSINESS
CEMEX SAB DE CV (CXMSF) scores 29/100 — concerning metrics indicating significant structural or financial risks.
📊 How is the Zyberno Score calculated? +
VALUATION SIGNAL
MARGIN OF SAFETY
Is this stock cheap or expensive relative to what the business has historically generated for owners?
Margin of Safety unavailable — insufficient data for the owner-earnings DCF.
Is the market underestimating or overestimating what this business is capable of going forward?
-43.1%
Market Overestimates
💰 How is Margin of Safety calculated? +
📈 How is Brina Gap calculated? +

Critical Financial Health Indicators

Return on Equity (Profitability):CRITICAL (0.0%)
Debt-to-Equity (Solvency Risk):GOOD (0.43x)
Operating Margin (Operational Efficiency):CRITICAL (0.0%)
Return on Capital (Capital Efficiency):POOR (8.0%)
📊 Valuation Trilogy
Three interconnected metrics for complete valuation analysis
Click any metric for full methodology and detailed analysis
Zyberno's Verdict

CEMEX SAB DE CV (CXMSF) stock report — Zyberno Score 29/100 (POOR BUSINESS). Full financial analysis on Zyberno.

According to Zyberno's DCF model, CEMEX SAB DE CV (CXMSF) shows a Brina Gap of -43.1%, which weakens the case: based on the company's ROIC (8.0%) and reinvestment rate (-18.3%), the business can fundamentally grow at -1.5% — but the current enterprise value implies the market expects 41.7%.

DIVISION I: EXECUTIVE SUMMARY
A. Market Valuation

Market Price & Capitalization (2)

Current Price:1.10
Market Cap:$289.75B

Valuation Multiples (3)

P/B Ratio:23.22x
P/S Ratio:17.89x
Peg Ratio:-999.00x

Enterprise Metrics (3)

Enterprise Value:$294.25B
Ev Ebitda Ratio:95.82x
Pfcf Ratio:347.68x

Price Action & Momentum (3)

Momentum Percentile:87 / 100
% of 52-Week High:4.7%
B. Profitability Assessment

Return Metrics (5)

Reinvestment Rate:-18.3%
Fundamental Growth Rate (g):-1.5%
Market-Implied Growth Rate:41.7%

Margin Analysis (1)

Ebitda Margin:19.0%

Yield Metrics (2)

Earnings Yield:-$999.00
Dividend Yield:0.0%
C. Log-Linear Regression Growth Trends
D. Financial Stability

Liquidity Ratios (3)

Current Ratio:0.82x
Quick Ratio:0.58x
Cash Ratio:0.14x

Leverage Analysis (3)

Debt To Equity Ttm:0.43x
Debt-to-Equity Ratio:0.43x
Debt To Ebitda:1.75x

Coverage Ratios (1)

Times Interest Earned:-999.00

Capital Structure (4)

Working Capital:-1,076,000,000.00
Cash And Cash Equivalents:864,000,000.00
Long Term Debt:$5.34B
Net Debt:$4.50B
DIVISION II: FINANCIAL STATEMENTS ANALYSIS
A. Income Statement Analysis

Revenue Components (2)

$16.20B
Cost Of Revenue Ttm:$10.76B

Profitability Breakdown (2)

$5.44B$1.82B

Bottom Line Performance (3)

$960.00M
Income Before Tax:$0.00
Ebitda Ttm:3,071,000,000.00

Operating Expenses (5)

Operating Expenses:0.00
R And D Expense:0.00
Sga Expense:0.00
Income Tax Expense:$67.00M
Interest Expense:0.00

Expense Ratios (3)

R And D To Revenue Percentage:0.0%
Sga To Revenue Percentage:0.0%
Ebitda Margin:19.0%
B. Balance Sheet Analysis

Asset Composition (5)

Total Assets:$27.30B
Current Assets:$5.02B
Ppe Net:10,152,000,000.00
Goodwill:7,441,000,000.00
Intangible Assets:$9.36B

Liability Structure (4)

Total Liabilities:14,822,000,000.00
Current Liabilities:6,092,000,000.00
Long Term Debt:$5.34B
Short Term Debt:$22.00M

Equity & Capital (3)

Equity:$12.48B
Retained Earnings:$0.00
Common Stock:0.00

Working Capital Items (3)

Accounts Receivable:0.00
Inventory:1,485,000,000.00
Accounts Payable:3,090,000,000.00

Special Items (2)

Contract Liabilities:0.00
Stock Based Compensation:0.00
C. Cash Flow Analysis

Operating Activities (2)

$1.89B$894.00M

Investment Activities (1)

Investing Cash Flow:-$328.00M

Financing Activities (3)

Financing Cash Flow:-$1.25B
Dividends Paid Ttm:90,000,000.00
Stock Repurchase:0.00

Capital Transactions (3)

Common Stock Issuance:0.00
Long Term Debt Issuance:$0.00
Long Term Debt Repayments:$0.00
DIVISION III: OPERATIONAL METRICS
A. Per Share Analysis

Earnings Per Share (1)

Earnings Per Share Ttm:$0.00

Revenue & Cash Per Share (2)

Sales Per Share Ttm:0.06
Operating Cash Flow Per Share:$0.01

Book Value & Capital (2)

Book Value Per Share:$0.05
Cash Per Share:0.00

Dividend Policy (1)

Dividend Payout Ratio:-999.00x
B. Operational Efficiency

Asset Utilization (2)

Asset Turnover Ttm:0.59x
Working Capital Turnover Ttm:-999.00x

Receivables Management (2)

Receivables Turnover Ttm:-999.00x
Days Sales Outstanding Ttm:-999.00

Inventory Management (2)

Inventory Turnover Ttm:7.25x
Days Inventory Outstanding Ttm:50.37

Payables & Cash Cycle (2)

Days Payable Outstanding:104.81
Cash Conversion Cycle:-1,053.44
C. Quality & Risk Metrics

Financial Quality Scores (2)

Financial Strength Score:40.00
Quality Score:85.00

Market Metrics (2)

Beta:0.00x
Volatility Category:unknown
DIVISION IV: INVESTMENT ANALYSIS
A. Value Investment Framework

Damodaran Growth Analysis (4)

Reinvestment Rate:-18.3%
Fundamental Growth Rate (g):-1.5%
Market-Implied Growth Rate:41.7%
B. Log-Linear Regression Growth Analysis
C. Company Profile & Context

Corporate Information (6)

Symbol:CXMSF
Company Name:CEMEX SAB DE CV
Sector:Materials
Industry:Cement, Hydraulic
Exchange:OTC
Country:Mexico

Market Classification (3)

Market Cap Category:N/A
Price Category:low
Volume Category:N/A

Share Structure (3)

Shares Outstanding:263.41B
Shares Outstanding Basic:0
Shares Outstanding Diluted:0

Data Processing Info (3)

Processing Version:v3.0
Last Updated:2026-08-24 06:24:16 UTC
Data Timestamp:2026-08-24T01:35:38.546911
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