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Arca Continental SAB de CV AC Stock Quote

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Last close prices updated as of Feb 03, 2023, 2:59 PM MXN | MXN
  • Last Close 164.89
  • Sector Consumer Defensive
  • Industry Beverages - Non-Alcoholic
  • Investment Style Large Blend
  • Day Range 159.29  –  165.96
  • Year Range 117.40  –  172.77
  • Market Cap 287.6187 Bil
  • Volume / Avg 1.3 Mil /  1.7 Mil
  • Price / Sales 1.40
  • Price / Book 2.34
  • Forward Div Yield 3.64%
  • Trailing Div Yield 1.12%

Morningstar‘s Stock Analysis AC

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Key Statistics AC

Company Profile AC

Business Description

Arca Continental SAB de CV produces and sells nonalcoholic beverages and snacks, primarily in Latin America. The company is Coca-Cola's bottler in northern and western Mexico, Ecuador, Peru, and northern Argentina. Beverage sales, which consist mostly of Coca-Cola products, account for roughly 90% of the company's total revenue. Other beverage brands include Santa Clara in Mexico and Toni in Ecuador, both of which sell dairy products. The company's snacks brands include Bokados in Mexico, Inalecsa in Ecuador, and Wise in the United States. The majority of the company's sales are in Mexico.

Av. San Jeronimo 813 Pte
Monterrey, NL, 64640, MEX
Industry Beverages - Non-Alcoholic
Employees 65,129

Related Articles AC

FAQs for Arca Continental SAB de CV Stock

Yes. AC has a forward dividend yield of 3.64%. See AC’s full dividends and stock split history on the Dividend tab.
Dividend yield allows investors, particularly those interested in dividend-paying stocks, to compare the relationship between a stock’s price and how it rewards stockholders through dividends. The formula for calculating dividend yield is to divide the annual dividend paid per share by the stock price.

Learn more about dividend yield.

AC’s market cap is 287.62 Bil.
Market capitalization is calculated by taking a company’s share price and multiplying it by the total number of shares. It’s often used to measure a company’s size. In the Morningstar Style Box, large-cap names account for the largest 70% of U.S. stocks, mid-cap names account for the largest 70–90%, and small-cap names are the remaining 10% of companies.

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AC’s stock style is Large Core.
Style is an investment factor that has a meaningful impact on investment risk and returns. Style is calculated by combining value and growth scores, which are first individually calculated.

High-growth stocks tend to represent the technology, healthcare, and communications sectors. They rarely distribute dividends to shareholders, opting for reinvestment in their businesses. More value-oriented stocks tend to represent financial services, utilities, and energy stocks. These are established companies that reliably pay dividends.

Learn more about style.

AC’s price/sales is 1.40.
Price/sales represents the amount an investor is willing to pay for a dollar generated from a particular company’s sales or revenues.

AC’s price/forward earnings is 16.34.
Forward P/E gives some indication of how cheap or expensive a stock is compared with consensus earnings estimates. The lower the Forward P/E, the cheaper the stock.

AC’s price/book is 2.34.
Price/book ratio can tell investors approximately how much they’re paying for a company’s assets, based on historical, rather than current, valuations. Historical valuations generally do not reflect a company’s current market value. Value investors frequently look for companies that have low price/book ratios.

See AC’s valuation ratios compared to the Market Index.

AC’s beta can be found in Trading Information at the top of this page.
A stock’s beta measures how closely tied its price movements have been to the performance of the overall market.

Compare AC’s historical performance against its industry peers and the overall market.