Promotora Y Operadora de Infraestructura SAB de CV logo

Promotora Y Operadora de Infraestructura SAB de CV - Class L

NEW
MEX:PINFRAL (Mexico)   Class L
MXN 200 +1 (+0.5%) Jul 10
7.16
P/B:
1.47
Market Cap:
MXN 101.35B ($ 5.80B)
Enterprise V:
MXN 77.01B ($ 4.41B)
Volume:
38.13K
Avg Vol (2M):
8.99K
Trade In:
Volume:
38.13K

Promotora Y Operadora de Infraestructura SAB de CV’s share price is MXN200. Its GF Value is MXN178.83. Based on the relationship between the current stock price and the GF Value, GuruFocus believes Promotora Y Operadora de Infraestructura SAB de CV stock is .

The GF Value represents the current intrinsic value of a stock derived from our proprietary algorithm. It is based primarily on the historical multiples of where the stocks have been traded and the future growth of the business, adjusted for the past returns and growth. The GF Value has been verified by backtesting and daily updated model portfolios.

GF Value Growth:

In addition to considering the current valuation, the growth potential of a company's value is equally important. Companies with faster growth rates tend to increase their value more quickly. Therefore, it's essential to look at the Price-to-Future GF Value ratios as well. The results are shown below:

Price: MXN200 GF Value Price/GF Value
Current MXN178.83 1.12
Next FY1 End MXN179.79 1.11
Next 12 Month MXN185.56 1.08
Next FY2 End MXN189.73 1.05
Correlation Analysis
Summary:

GuruFocus performed a correlation analysis comparing Promotora Y Operadora de Infraestructura SAB de CV's stock price with key financial metrics: revenue per share, book value per share, EPS without NRI, and operating cash flow per share.

The analysis reveals the strongest correlation between Promotora Y Operadora de Infraestructura SAB de CV's stock price and Book Value per share, with a coefficient of 96%. This is followed by a 89% correlation with Earnings without NRI per share. This is followed by a 87% correlation with Revenue per share. Promotora Y Operadora de Infraestructura SAB de CV’s stock price shows no significant correlation with Operating Cash Flow per share.

Historical Trends of Key Valuation Ratios
GF Value of Related Companies