
America Movil S.A.B. de C.V.
America Movil S.A.B. de C.V. (AMX) is one of Latin America’s largest telecoms groups, headquartered in Mexico and widely recognised for brands such as Telcel and Claro. The company offers mobile and fixed-line voice, broadband, pay-TV and enterprise services across multiple countries, giving it scale and market-leading positions in several markets. Growth drivers include rising mobile data use, broadband fibre roll-outs and phased 5G deployment, while profitability reflects pricing, spectrum and capital expenditure. Key risks are exposure to emerging-market currencies, regulatory decisions, and local competition, which can cause earnings volatility. With a market capitalisation near $67.2bn, America Movil provides broad regional exposure to consumer and business communications demand. This is general educational information, not personalised investment advice; investors should assess suitability, consider currency and regulatory risks, and consult a financial adviser before acting.
Why It's Moving

America Movil Faces Analyst Pressure as Q4 Earnings Miss Expectations and Short Interest Surges
- Q4 EPS fell short by $0.08, missing consensus by roughly 19%, though revenue topped expectations at $13.59 billion versus $13.09 billion estimate
- Wall Street sentiment remains divided with JPMorgan raising its price target to $24.50 but maintaining a neutral stance, while Zacks downgraded the stock from strong-buy to hold, and short interest has grown substantially in recent weeks
- America Movil is pursuing strategic expansion through a reported acquisition of certain Grupo Salinas Colombian telecom operations, signaling management's intent to drive growth despite near-term earnings pressure

America Movil Faces Analyst Pressure as Q4 Earnings Miss Expectations and Short Interest Surges
- Q4 EPS fell short by $0.08, missing consensus by roughly 19%, though revenue topped expectations at $13.59 billion versus $13.09 billion estimate
- Wall Street sentiment remains divided with JPMorgan raising its price target to $24.50 but maintaining a neutral stance, while Zacks downgraded the stock from strong-buy to hold, and short interest has grown substantially in recent weeks
- America Movil is pursuing strategic expansion through a reported acquisition of certain Grupo Salinas Colombian telecom operations, signaling management's intent to drive growth despite near-term earnings pressure
When is the next earnings date for America Movil S.A.B. de C.V. (AMX)?
America Movil (AMX) is scheduled to report its next earnings on April 29, 2026, covering the Q1 2026 quarter. Analysts are projecting earnings per share of approximately $0.42 to $0.55 for this period. This earnings announcement will provide investors with updated financial performance and guidance following the company's Q3 2025 results, which exceeded expectations with an EPS of $0.40 against the estimated $0.36.
Stock Performance Snapshot
Analyst Rating
Analysts recommend buying America Movil's stock with a target price of $24.1, indicating potential growth.
Financial Health
America Movil is generating strong profits and cash flow, signaling a healthy financial position.
Dividend
America Movil's average dividend yield of 2.84% offers a reasonable return for investors looking for dividend income. If you invested $1000 you would be paid $28.40 a year in dividends (based on the last 12 months).
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Baskets Featuring AMX
Globalization Rewired
Global trade is changing, creating fresh investment opportunities in emerging markets. Our analysts have carefully selected stocks from Mexico and India that are positioned to benefit from supply chain shifts and economic growth.
Published: May 4, 2025
Explore BasketWhy You’ll Want to Watch This Stock
Data demand growth
Rising mobile and broadband usage can support revenue expansion, though competitive pricing and capital spending may pressure margins.
Regional footprint
A wide Latin American presence provides scale and diversification, but local regulation and currency moves add volatility for investors.
Network investment focus
Fibre and 5G roll-outs can underpin long-term competitiveness, balanced against heavy capex and timing risks that affect cash flow.
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