bf/NYSE:LVS_icon.jpeg

COM:SANDS

Las Vegas Sands

  • Stock

Last Close

49.91

21/11 21:00

Market Cap

30.87B

Beta: -

Volume Today

2.56M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
2.31B
-
2.84B
23.20%
1.97B
30.80%
1.68B
14.60%
2.81B
67.24%
2.41B
14.07%
2.70B
11.81%
-1.69B
162.45%
-961M
42.97%
1.83B
290.63%
1.43B
21.89%
depreciation and amortization
1.05B
-
1.07B
2.31%
1.04B
3.17%
1.15B
10.69%
1.21B
5.13%
1.15B
5.13%
1.07B
6.54%
1.05B
1.77%
1.10B
4.28%
1.09B
0.55%
1.27B
16.04%
deferred income tax
89M
-
157M
76.40%
24M
84.71%
-45M
287.50%
-752M
1,571.11%
44M
105.85%
stock based compensation
53.38M
-
48M
10.07%
46M
4.17%
35M
23.91%
34M
2.86%
30M
11.76%
36M
20%
27M
25%
27M
0%
70M
159.26%
44M
37.14%
change in working capital
-207.94M
-
37M
117.79%
49M
32.43%
319M
551.02%
83M
73.98%
-119M
243.37%
-118M
0.84%
339M
387.29%
43M
87.32%
-78M
281.40%
390M
600%
accounts receivables
-209.06M
-
37M
117.70%
49M
32.43%
319M
551.02%
83M
73.98%
-119M
243.37%
-118M
0.84%
339M
387.29%
43M
87.32%
-78M
281.40%
-217M
178.21%
inventory
1.11M
-
1.11B
-
876M
21.15%
132M
84.93%
accounts payables
-26M
-
-42M
61.54%
-11M
73.81%
11M
200%
76M
590.91%
other working capital
-1.08B
-
-834M
23.13%
-121M
85.49%
-11M
90.91%
531M
4,927.27%
other non cash items
1.09B
-
920M
15.25%
455M
50.54%
1.22B
167.25%
527M
56.66%
1.14B
116.70%
-806M
170.58%
-1.07B
32.63%
-146M
86.34%
-2.96B
1,926.03%
52M
101.76%
net cash provided by operating activities
4.44B
-
4.83B
8.87%
3.46B
28.43%
4.04B
16.91%
4.54B
12.34%
4.70B
3.48%
3.04B
35.38%
-1.31B
143.19%
15M
101.14%
-795M
5,400%
3.23B
505.91%
investments in property plant and equipment
-898.11M
-
-1.18B
31.28%
-1.53B
29.69%
-1.40B
8.57%
-837M
40.13%
-949M
13.38%
-1.02B
7.27%
-1.23B
20.53%
-828M
32.52%
-651M
21.38%
-1.26B
93.09%
acquisitions net
1.17B
-
1M
99.91%
7M
600%
9M
28.57%
3M
66.67%
purchases of investments
sales maturities of investments
other investing activites
-14.10M
-
2M
114.19%
1M
50%
-42M
4,300%
15M
135.71%
19M
26.67%
-251M
1,421.05%
-103M
58.96%
-74M
28.16%
4.80B
6,591.89%
net cash used for investing activites
-912.21M
-
-1.18B
29.03%
-1.53B
29.82%
-1.44B
5.76%
-822M
42.92%
-930M
13.14%
-103M
88.92%
-1.33B
1,190.29%
-895M
32.66%
4.16B
565.03%
-1.25B
130.13%
debt repayment
-3.51B
-
-2.12B
39.74%
-2.40B
13.27%
-1.99B
17.14%
-858M
56.82%
-5.18B
503.50%
-51M
99.02%
-467M
815.69%
-1.87B
299.79%
-66M
96.46%
-2.07B
3,034.85%
common stock issued
6.08B
-
54M
99.11%
24M
55.56%
19M
20.83%
4M
-
common stock repurchased
-561.15M
-
-1.68B
198.85%
-205M
87.78%
-375M
-
-905M
141.33%
-754M
16.69%
443M
158.75%
-1M
-
-505M
50,400%
dividends paid
-1.56B
-
-2.39B
52.62%
-2.71B
13.41%
-2.92B
8.02%
-2.31B
20.96%
-2.35B
1.77%
-2.37B
0.64%
-603M
74.52%
-305M
-
other financing activites
-868.40M
-
-1.33B
53.62%
-509M
61.84%
293M
157.56%
-1.18B
501.37%
830M
170.58%
-250M
130.12%
1.16B
565.20%
2.53B
117.71%
1.19B
53.04%
-313M
126.32%
net cash used provided by financing activities
-2.43B
-
-3.72B
52.97%
-3.22B
13.57%
-2.63B
18.19%
-3.49B
32.54%
-1.52B
56.35%
-3.37B
121.29%
560M
116.63%
684M
22.14%
1.12B
64.04%
-3.19B
384.14%
effect of forex changes on cash
-7.11M
-
-28.59M
302.32%
-41.94M
46.71%
-22M
47.54%
58M
363.64%
-18M
131.03%
14M
177.78%
-24M
271.43%
-16M
33.33%
22M
237.50%
8M
63.64%
net change in cash
1.09B
-
-94.09M
108.65%
-1.33B
1,310.10%
-51M
96.16%
291M
670.59%
2.23B
666.67%
-419M
118.78%
-2.10B
402.39%
-212M
89.93%
4.51B
2,227.83%
-1.21B
126.76%
cash at beginning of period
2.51B
-
3.60B
43.28%
3.51B
2.61%
2.18B
37.86%
2.13B
2.34%
2.43B
14.19%
4.66B
91.81%
4.24B
8.99%
2.14B
49.62%
1.93B
9.92%
6.44B
234.34%
cash at end of period
3.60B
-
3.51B
2.61%
2.18B
37.84%
2.13B
2.36%
2.42B
13.67%
4.66B
92.68%
4.24B
8.99%
2.14B
49.62%
1.93B
9.92%
6.44B
234.34%
5.23B
18.75%
operating cash flow
4.44B
-
4.83B
8.87%
3.46B
28.43%
4.04B
16.91%
4.54B
12.34%
4.70B
3.48%
3.04B
35.38%
-1.31B
143.19%
15M
101.14%
-795M
5,400%
3.23B
505.91%
capital expenditure
-898.11M
-
-1.18B
31.28%
-1.53B
29.69%
-1.40B
8.57%
-837M
40.13%
-949M
13.38%
-1.02B
7.27%
-1.23B
20.53%
-828M
32.52%
-651M
21.38%
-1.26B
93.09%
free cash flow
3.54B
-
3.65B
3.18%
1.93B
47.18%
2.65B
37.10%
3.71B
40.06%
3.75B
1.24%
2.02B
46.16%
-2.54B
225.69%
-813M
67.98%
-1.45B
77.86%
1.97B
236.24%

All numbers in (except ratios and percentages)