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LVMUY LVMH Moet Hennessy Louis Vuitton

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  • 181.030
  • +1.060+0.59%
Close Mar 28 16:00 ET
  • 181.000
  • -0.030-0.02%
Post 16:04 ET
452.12BMarket Cap25.95P/E (TTM)

LVMH Moet Hennessy Louis Vuitton Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
7.42%22.56B
22.42%21B
115.19%17.16B
-29.28%7.97B
14.13%11.27B
21.74%9.88B
17.51%8.11B
8.15%6.9B
17.55%6.38B
-7.92%5.43B
Other non cash items
46.38%-259M
-19.26%-483M
-355.06%-405M
66.54%-89M
-21.46%-266M
-100.92%-219M
67.17%-109M
39.31%-332M
-101.10%-547M
-159.05%-272M
Change In working capital
-51.61%-4.57B
-809.88%-3.02B
216.12%425M
68.31%-366M
-6.26%-1.16B
-111.48%-1.09B
-0.39%-514M
-19.35%-512M
40.25%-429M
-15.81%-718M
-Change in receivables
-76.40%-695M
35.73%-394M
-216.10%-613M
536.36%528M
32.40%-121M
-33.58%-179M
-18.58%-134M
-130.61%-113M
-122.73%-49M
92.36%-22M
-Change in inventory
-1.46%-4.23B
-166.05%-4.17B
-178.83%-1.57B
64.96%-562M
6.85%-1.6B
-71.17%-1.72B
-22.83%-1.01B
-43.94%-819M
38.69%-569M
-20.68%-928M
-Change in other current assets
-1,437.50%-107M
-99.20%8M
322.78%1B
141.84%237M
7.69%98M
-75.20%91M
98.38%367M
92.71%185M
71.43%96M
-76.07%56M
Cash from discontinued investing activities
Operating cash flow
3.18%18.4B
-4.35%17.84B
71.10%18.65B
-6.43%10.9B
37.18%11.65B
21.77%8.49B
12.89%6.97B
9.62%6.18B
22.29%5.63B
-2.27%4.61B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-54.28%-6.67B
-93.81%-4.32B
-15.42%-2.23B
31.72%-1.93B
-9.73%-2.83B
-38.93%-2.58B
4.28%-1.86B
-14.25%-1.94B
-14.19%-1.7B
-0.27%-1.49B
Net intangibles purchase and sale
-45.99%-1B
-18.10%-685M
-20.58%-580M
8.90%-481M
1.68%-528M
-17.76%-537M
-3.64%-456M
-39.24%-440M
0.00%-316M
-24.90%-316M
Net business purchase and sale
----
----
----
----
----
----
----
229.17%310M
-43.71%-240M
92.27%-167M
Net investment purchase and sale
12.63%-837M
92.81%-958M
-2,386.01%-13.33B
79.24%-536M
-519.18%-2.58B
93.43%-417M
-10,169.84%-6.34B
730.00%63M
-109.71%-10M
164.78%103M
Net other investing changes
382.50%193M
-72.79%40M
7,450.00%147M
-103.13%-2M
-16.88%64M
108.11%77M
110.69%37M
-67.96%-346M
1.44%-206M
-407.35%-209M
Cash from discontinued investing activities
Investing cash flow
-40.37%-8.31B
62.95%-5.92B
-443.50%-15.98B
49.91%-2.94B
-70.66%-5.87B
60.04%-3.44B
-274.54%-8.61B
6.81%-2.3B
-22.87%-2.47B
48.76%-2.01B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
1,828.21%2.02B
98.10%-117M
-149.39%-6.16B
1,114.70%12.48B
259.22%1.03B
-115.46%-645M
428.94%4.17B
11.64%-1.27B
-567.43%-1.44B
-84.94%307M
Net common stock issuance
1.98%-1.58B
-190.65%-1.62B
-4,533.33%-556M
57.14%-12M
88.62%-28M
---246M
----
-900.00%-288M
-40.00%36M
227.66%60M
Cash dividends paid
-3.75%-6.25B
-70.83%-6.03B
-52.22%-3.53B
25.71%-2.32B
-14.88%-3.12B
-36.98%-2.72B
-6.62%-1.98B
-11.25%-1.86B
-3.21%-1.67B
-7.86%-1.62B
Net other financing activities
86.67%-234M
14.34%-1.76B
-2,597.37%-2.05B
-3,900.00%-76M
100.53%2M
-1,119.35%-378M
89.77%-31M
-31.74%-303M
-33.72%-230M
3.91%-172M
Cash from discontinued financing activities
Financing cash flow
25.93%-9.4B
16.30%-12.69B
-304.73%-15.16B
256.38%7.4B
-9.51%-4.73B
-300.32%-4.32B
154.15%2.16B
-12.95%-3.99B
-100.45%-3.53B
-2,034.07%-1.76B
Net cash flow
Beginning cash position
-9.17%7.1B
-60.53%7.82B
260.31%19.81B
24.56%5.5B
21.97%4.41B
8.42%3.62B
-1.56%3.34B
-10.39%3.39B
29.73%3.78B
47.20%2.92B
Current changes in cash
190.27%696M
93.83%-771M
-181.30%-12.49B
1,371.36%15.36B
43.41%1.04B
39.20%728M
588.79%523M
70.28%-107M
-142.86%-360M
-5.41%840M
Effect of exchange rate changes
-596.36%-273M
-88.96%55M
147.34%498M
-2,797.44%-1.05B
-41.79%39M
127.69%67M
-548.15%-242M
263.64%54M
-222.22%-33M
-42.55%27M
End cash Position
5.92%7.52B
-9.17%7.1B
-60.53%7.82B
260.31%19.81B
24.56%5.5B
21.97%4.41B
8.42%3.62B
-1.56%3.34B
-10.39%3.39B
29.73%3.78B
Free cash flow
-16.91%10.6B
-17.15%12.75B
82.52%15.39B
2.11%8.43B
54.00%8.26B
15.76%5.36B
29.20%4.63B
0.20%3.59B
29.72%3.58B
-4.20%2.76B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 7.42%22.56B22.42%21B115.19%17.16B-29.28%7.97B14.13%11.27B21.74%9.88B17.51%8.11B8.15%6.9B17.55%6.38B-7.92%5.43B
Other non cash items 46.38%-259M-19.26%-483M-355.06%-405M66.54%-89M-21.46%-266M-100.92%-219M67.17%-109M39.31%-332M-101.10%-547M-159.05%-272M
Change In working capital -51.61%-4.57B-809.88%-3.02B216.12%425M68.31%-366M-6.26%-1.16B-111.48%-1.09B-0.39%-514M-19.35%-512M40.25%-429M-15.81%-718M
-Change in receivables -76.40%-695M35.73%-394M-216.10%-613M536.36%528M32.40%-121M-33.58%-179M-18.58%-134M-130.61%-113M-122.73%-49M92.36%-22M
-Change in inventory -1.46%-4.23B-166.05%-4.17B-178.83%-1.57B64.96%-562M6.85%-1.6B-71.17%-1.72B-22.83%-1.01B-43.94%-819M38.69%-569M-20.68%-928M
-Change in other current assets -1,437.50%-107M-99.20%8M322.78%1B141.84%237M7.69%98M-75.20%91M98.38%367M92.71%185M71.43%96M-76.07%56M
Cash from discontinued investing activities
Operating cash flow 3.18%18.4B-4.35%17.84B71.10%18.65B-6.43%10.9B37.18%11.65B21.77%8.49B12.89%6.97B9.62%6.18B22.29%5.63B-2.27%4.61B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -54.28%-6.67B-93.81%-4.32B-15.42%-2.23B31.72%-1.93B-9.73%-2.83B-38.93%-2.58B4.28%-1.86B-14.25%-1.94B-14.19%-1.7B-0.27%-1.49B
Net intangibles purchase and sale -45.99%-1B-18.10%-685M-20.58%-580M8.90%-481M1.68%-528M-17.76%-537M-3.64%-456M-39.24%-440M0.00%-316M-24.90%-316M
Net business purchase and sale ----------------------------229.17%310M-43.71%-240M92.27%-167M
Net investment purchase and sale 12.63%-837M92.81%-958M-2,386.01%-13.33B79.24%-536M-519.18%-2.58B93.43%-417M-10,169.84%-6.34B730.00%63M-109.71%-10M164.78%103M
Net other investing changes 382.50%193M-72.79%40M7,450.00%147M-103.13%-2M-16.88%64M108.11%77M110.69%37M-67.96%-346M1.44%-206M-407.35%-209M
Cash from discontinued investing activities
Investing cash flow -40.37%-8.31B62.95%-5.92B-443.50%-15.98B49.91%-2.94B-70.66%-5.87B60.04%-3.44B-274.54%-8.61B6.81%-2.3B-22.87%-2.47B48.76%-2.01B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 1,828.21%2.02B98.10%-117M-149.39%-6.16B1,114.70%12.48B259.22%1.03B-115.46%-645M428.94%4.17B11.64%-1.27B-567.43%-1.44B-84.94%307M
Net common stock issuance 1.98%-1.58B-190.65%-1.62B-4,533.33%-556M57.14%-12M88.62%-28M---246M-----900.00%-288M-40.00%36M227.66%60M
Cash dividends paid -3.75%-6.25B-70.83%-6.03B-52.22%-3.53B25.71%-2.32B-14.88%-3.12B-36.98%-2.72B-6.62%-1.98B-11.25%-1.86B-3.21%-1.67B-7.86%-1.62B
Net other financing activities 86.67%-234M14.34%-1.76B-2,597.37%-2.05B-3,900.00%-76M100.53%2M-1,119.35%-378M89.77%-31M-31.74%-303M-33.72%-230M3.91%-172M
Cash from discontinued financing activities
Financing cash flow 25.93%-9.4B16.30%-12.69B-304.73%-15.16B256.38%7.4B-9.51%-4.73B-300.32%-4.32B154.15%2.16B-12.95%-3.99B-100.45%-3.53B-2,034.07%-1.76B
Net cash flow
Beginning cash position -9.17%7.1B-60.53%7.82B260.31%19.81B24.56%5.5B21.97%4.41B8.42%3.62B-1.56%3.34B-10.39%3.39B29.73%3.78B47.20%2.92B
Current changes in cash 190.27%696M93.83%-771M-181.30%-12.49B1,371.36%15.36B43.41%1.04B39.20%728M588.79%523M70.28%-107M-142.86%-360M-5.41%840M
Effect of exchange rate changes -596.36%-273M-88.96%55M147.34%498M-2,797.44%-1.05B-41.79%39M127.69%67M-548.15%-242M263.64%54M-222.22%-33M-42.55%27M
End cash Position 5.92%7.52B-9.17%7.1B-60.53%7.82B260.31%19.81B24.56%5.5B21.97%4.41B8.42%3.62B-1.56%3.34B-10.39%3.39B29.73%3.78B
Free cash flow -16.91%10.6B-17.15%12.75B82.52%15.39B2.11%8.43B54.00%8.26B15.76%5.36B29.20%4.63B0.20%3.59B29.72%3.58B-4.20%2.76B
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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