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AMX vs CP

Comparison between America Movil S.A.B.DE C.V. (AMX, Company) and Canadian Pacific Kansas City Ltd (CP, Company).

AMX is from the Communication Services sector, while CP is from the Industrials sector.

5-Year PerformanceAMX has outperformed CP, delivering a return of +16.0% compared to +5.0%

AMX vs CP - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
AMX
$80B
Winner
CP
$80B
Max Drawdown
Winner
AMX
69.32%
CP
69.96%
Sharpe Ratio
Winner
AMX
1.48
CP
0.49
5Y Beta
Winner
AMX
0.44
CP
0.68
Industry
AMX
Telecom Services
CP
Railroads
P/E Ratio
Winner
AMX
16.58
CP
29.18
Forward P/E
Winner
AMX
12.58
CP
27.62
PEG Ratio
Winner
AMX
0.08
CP
3.31
Dividend Yield
Winner
AMX
2.07%
CP
1.04%
5Y Dividends CAGR
Winner
AMX
8.17%
CP
7.42%
5Y EPS CAGR
Winner
AMX
26.89%
CP
3.88%
Debt to Equity
AMX
203.29%
Winner
CP
0.00%
Free Cash Flow Yield
Winner
AMX
10.62%
CP
1.89%

AMX vs CP - Historical Returns

Returns include dividend reinvestment.

1M
Winner
AMX
+6.15%
CP
-0.52%
3M
AMX
+0.38%
Winner
CP
+9.71%
6M
Winner
AMX
+28.73%
CP
+24.31%
1Y
Winner
AMX
+52.39%
CP
+11.72%
5Y(CAGR)
Winner
AMX
+15.99%
CP
+5.04%
10Y(CAGR)
AMX
+10.85%
Winner
CP
+13.89%
Max(CAGR)
AMX
+10.74%
Winner
CP
+14.30%

AMX vs CP - Annual Returns (1999 - 2026)

Returns include dividend reinvestment.

YearAMXCP
2026+27.67%+20.57%
2025+47.33%+0.79%
2024-20.12%-7.84%
2023+4.00%+6.43%
2022-9.22%+4.99%
2021+46.52%+5.20%
2020-8.08%+35.53%
2019+11.46%+43.84%
2018-16.84%-2.07%
2017+36.64%+30.54%
2016-7.03%+14.04%
2015-30.36%-31.79%
2014-0.57%+30.09%
2013+1.84%+45.11%
2012+1.52%+50.79%
2011-20.25%+5.10%
2010+18.62%+21.44%
2009+55.49%+60.64%
2008-47.35%-46.81%
2007+37.64%+24.23%
2006+47.02%+32.72%
2005+68.99%+59.41%
2004+86.56%+23.06%
2003+86.30%+40.27%
2002-25.22%-0.36%
2001-9.12%-29.89%
2000N/A+37.95%
1999N/A-6.26%

AMX vs CP Drawdown Comparison

The maximum drawdown for AMX was -64.30%, occurring on Oct 27, 2008. Recovery took 3919 trading sessions.

The maximum drawdown for CP was -69.17%, occurring on Mar 9, 2009. Recovery took 1177 trading sessions.

The current AMX drawdown is -4.90%. The current CP drawdown is -1.84%.

RankAMXCP
#1-64.30%
Oct 18, 2007 - May 15, 2023
-69.17%
Jul 18, 2007 - Mar 19, 2012
#2-49.64%
Feb 12, 2001 - Jul 28, 2003
-66.15%
May 17, 2001 - Sep 20, 2005
#3-38.07%
May 16, 2023 - Oct 13, 2025
-51.02%
Oct 6, 2014 - Aug 27, 2018
#4-32.31%
May 9, 2006 - Oct 12, 2006
-33.70%
Feb 13, 2020 - Jul 17, 2020
#5-21.09%
Apr 12, 2004 - Oct 1, 2004
-25.88%
Mar 13, 2024 - May 27, 2026
#6-18.48%
Jul 6, 2007 - Oct 2, 2007
-24.41%
Oct 9, 2018 - Apr 24, 2019
#7-17.60%
Feb 25, 2005 - Jun 14, 2005
-23.05%
Jan 19, 2000 - Apr 19, 2000
#8-15.36%
Nov 11, 2025 - Feb 11, 2026
-21.63%
May 24, 2021 - Mar 24, 2022
#9-13.20%
Feb 14, 2007 - Apr 2, 2007
-20.55%
May 10, 2006 - Nov 7, 2006
#10-12.99%
Sep 30, 2005 - Nov 1, 2005
-19.68%
Mar 30, 2022 - May 15, 2023
#11-11.64%
Feb 27, 2026 - Apr 8, 2026
-17.12%
Jul 26, 2023 - Feb 6, 2024
#12-10.40%
Jan 3, 2005 - Feb 1, 2005
-15.64%
May 17, 2013 - Oct 24, 2013
#13-9.41%
May 11, 2026 - Jun 11, 2026
-15.31%
Jul 16, 2019 - Dec 11, 2019
#14-8.62%
Jul 28, 2003 - Aug 14, 2003
-12.39%
Jan 8, 2021 - Mar 17, 2021
#15-8.08%
Oct 26, 2006 - Nov 20, 2006
-12.23%
Mar 26, 2012 - Jul 26, 2012

Correlation

Correlation between AMX and CP is 0.56 which considered as a moderate positive correlation - the stocks show some tendency to move together.

0.56
-101

Dividend Comparison (2000 - 2026)

AMX vs CP dividend yield comparison.

YearAMXCP
20260.00%0.40%
20252.68%0.86%
20243.59%0.76%
20232.83%0.78%
20224.41%0.96%
20211.88%0.84%
20202.49%0.76%
20192.29%0.93%
20182.24%1.07%
20171.90%0.92%
20162.27%0.98%
20158.55%0.98%
20141.63%0.68%
20131.48%1.12%
20121.95%1.68%
20112.53%1.74%
20100.89%1.62%
20095.20%1.67%
20081.67%2.92%
20073.63%1.34%
20060.95%1.29%
20052.70%31.19%
20040.71%1.18%
20030.75%1.24%
20021.22%1.62%
20010.61%2.45%
20000.00%0.81%

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