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ESLOY ESSILORLUXOTTICA UNSPON ADR EACH REP 0.5 ORD SHS

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  • 121.580
  • 0.0000.00%
15min DelayClose Nov 29 13:00 ET
111.07BMarket Cap45.81P/E (TTM)

ESSILORLUXOTTICA UNSPON ADR EACH REP 0.5 ORD SHS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
28.26%2.17B
30.56%2.56B
30.56%2.56B
-54.93%1.69B
-40.48%1.96B
-40.48%1.96B
-60.34%3.75B
-62.93%3.29B
-62.93%3.29B
19.49%9.44B
-Cash and cash equivalents
28.26%2.17B
30.51%2.56B
30.51%2.56B
-54.93%1.69B
-40.48%1.96B
-40.48%1.96B
-60.26%3.75B
-62.08%3.29B
-62.08%3.29B
27.82%9.42B
-Short-term investments
----
--1M
--1M
----
----
----
----
----
----
-96.42%19M
-Accounts receivable
11.22%3.35B
8.86%2.94B
8.86%2.94B
6.92%3.01B
14.52%2.7B
14.52%2.7B
18.50%2.82B
13.99%2.36B
13.99%2.36B
13.29%2.38B
-Taxes receivable
114.83%565M
3.96%578M
3.96%578M
-2.95%263M
0.18%556M
0.18%556M
-31.91%271M
31.52%555M
31.52%555M
-0.50%398M
Inventory
2.33%2.98B
-1.40%2.75B
-1.40%2.75B
1.53%2.92B
14.07%2.79B
14.07%2.79B
40.37%2.87B
26.68%2.45B
26.68%2.45B
-5.63%2.05B
Prepaid assets
--458M
-4.13%116M
-4.13%116M
----
47.56%121M
47.56%121M
----
-57.73%82M
-57.73%82M
-9.20%237M
Current deferred assets
----
7.04%228M
7.04%228M
----
9.23%213M
9.23%213M
----
--195M
--195M
----
Other current assets
-58.02%497M
103.49%525M
103.49%525M
27.04%1.18B
21.70%258M
21.70%258M
513.16%932M
30.06%212M
30.06%212M
-3.18%152M
Total current assets
11.04%10.07B
12.51%9.72B
12.51%9.72B
-14.80%9.06B
-6.85%8.64B
-6.85%8.64B
-27.70%10.64B
-32.40%9.28B
-32.40%9.28B
12.92%14.71B
Non current assets
Net PPE
8.73%8.57B
6.38%8.25B
6.38%8.25B
3.56%7.88B
8.60%7.76B
8.60%7.76B
48.89%7.61B
40.04%7.14B
40.04%7.14B
-4.66%5.11B
-Gross PPE
84.67%14.55B
5.67%13.91B
5.67%13.91B
3.56%7.88B
9.45%13.17B
9.45%13.17B
-11.38%7.61B
44.97%12.03B
44.97%12.03B
-1.14%8.59B
-Accumulated depreciation
---5.99B
-4.64%-5.66B
-4.64%-5.66B
----
-10.70%-5.41B
-10.70%-5.41B
----
-52.83%-4.89B
-52.83%-4.89B
-4.54%-3.48B
Goodwill and other intangible assets
-1.44%41.35B
-3.68%41.28B
-3.68%41.28B
-4.43%41.95B
2.76%42.86B
2.76%42.86B
32.88%43.89B
27.58%41.7B
27.58%41.7B
-5.13%33.03B
-Goodwill
1.05%30.71B
-1.53%30.27B
-1.53%30.27B
-3.41%30.39B
5.60%30.73B
5.60%30.73B
35.31%31.47B
28.45%29.1B
28.45%29.1B
-2.92%23.26B
-Other intangible assets
-8.00%10.63B
-9.14%11.01B
-9.14%11.01B
-7.00%11.56B
-3.79%12.12B
-3.79%12.12B
27.12%12.43B
25.62%12.6B
25.62%12.6B
-10.00%9.77B
Non current prepaid assets
----
----
----
----
----
----
----
73.15%258M
73.15%258M
----
Defined pension benefit
----
----
----
----
----
----
----
--51M
--51M
----
Other non current assets
-52.34%397M
-1.59%804M
-1.59%804M
11.66%833M
636.04%817M
636.04%817M
88.86%746M
68.18%111M
68.18%111M
2.60%395M
Total non current assets
0.52%51.43B
-2.15%50.8B
-2.15%50.8B
-3.01%51.16B
3.55%51.92B
3.55%51.92B
35.05%52.75B
29.90%50.14B
29.90%50.14B
-4.78%39.06B
Total assets
2.11%61.49B
-0.06%60.52B
-0.06%60.52B
-4.99%60.23B
1.93%60.56B
1.93%60.56B
17.88%63.39B
13.57%59.42B
13.57%59.42B
-0.52%53.77B
Liabilities
Current liabilities
Payables
65.46%5.19B
-2.07%4.82B
-2.07%4.82B
-7.90%3.14B
1.21%4.92B
1.21%4.92B
-11.35%3.41B
41.63%4.87B
41.63%4.87B
34.32%3.84B
-accounts payable
13.37%2.58B
3.66%2.38B
3.66%2.38B
-6.07%2.27B
3.56%2.3B
3.56%2.3B
26.90%2.42B
18.99%2.22B
18.99%2.22B
27.56%1.91B
-Total tax payable
151.45%2.18B
-7.62%1.95B
-7.62%1.95B
-12.36%865M
-8.93%2.11B
-8.93%2.11B
-44.92%987M
51.57%2.32B
51.57%2.32B
31.19%1.79B
-Other payable
--440M
-4.85%490M
-4.85%490M
----
57.01%515M
57.01%515M
----
700.00%328M
700.00%328M
--144M
Current provisions
-8.85%309M
21.91%345M
21.91%345M
5.94%339M
-24.13%283M
-24.13%283M
11.11%320M
37.64%373M
37.64%373M
55.68%288M
Current debt and capital lease obligation
47.30%4.2B
38.51%1.4B
38.51%1.4B
-27.68%2.85B
-37.19%1.01B
-37.19%1.01B
343.97%3.94B
38.62%1.61B
38.62%1.61B
-40.31%887M
-Current debt
66.58%3.35B
240.24%558M
240.24%558M
-34.74%2.01B
-78.73%164M
-78.73%164M
686.96%3.08B
21.80%771M
21.80%771M
-56.41%391M
-Current capital lease obligation
1.19%850M
-0.59%841M
-0.59%841M
-2.44%840M
1.08%846M
1.08%846M
73.59%861M
58.82%837M
58.82%837M
-15.79%496M
Other current liabilities
-63.33%1.31B
7.24%1.51B
7.24%1.51B
-0.14%3.57B
5.07%1.41B
5.07%1.41B
305.91%3.57B
43.16%1.34B
43.16%1.34B
3.90%880M
Current liabilities
15.02%11.38B
7.01%8.44B
7.01%8.44B
-11.97%9.89B
-9.05%7.89B
-9.05%7.89B
79.39%11.24B
40.57%8.67B
40.57%8.67B
8.32%6.26B
Non current liabilities
Long term provisions
-17.34%224M
-22.52%234M
-22.52%234M
-4.58%271M
24.28%302M
24.28%302M
32.09%284M
42.94%243M
42.94%243M
-14.00%215M
Long term debt and capital lease obligation
-13.16%7.73B
-8.36%10.26B
-8.36%10.26B
-13.17%8.9B
-1.88%11.19B
-1.88%11.19B
-2.63%10.25B
6.28%11.41B
6.28%11.41B
-3.84%10.53B
-Long term debt
-22.76%5.07B
-11.28%7.86B
-11.28%7.86B
-17.19%6.56B
-3.50%8.86B
-3.50%8.86B
-13.52%7.93B
-1.56%9.18B
-1.56%9.18B
-2.34%9.16B
-Long term capital lease obligation
13.83%2.66B
2.70%2.4B
2.70%2.4B
0.52%2.34B
4.75%2.34B
4.75%2.34B
70.63%2.32B
58.04%2.23B
58.04%2.23B
-12.80%1.36B
Derivative product liabilities
--4M
-53.59%71M
-53.59%71M
----
135.38%153M
135.38%153M
----
62.50%65M
62.50%65M
103.45%59M
Other non current liabilities
-69.66%27M
-16.28%36M
-16.28%36M
-11.88%89M
-8.51%43M
-8.51%43M
431.58%101M
123.81%47M
123.81%47M
-26.92%19M
Total non current liabilities
-12.38%10.49B
-9.20%13.19B
-9.20%13.19B
-11.64%11.97B
-2.29%14.53B
-2.29%14.53B
3.18%13.55B
11.36%14.87B
11.36%14.87B
-5.54%13.13B
Total liabilities
0.02%21.87B
-3.49%21.63B
-3.49%21.63B
-11.79%21.86B
-4.78%22.41B
-4.78%22.41B
27.79%24.78B
20.59%23.54B
20.59%23.54B
-1.47%19.39B
Shareholders'equity
Share capital
0.00%82M
1.23%82M
1.23%82M
--82M
1.25%81M
1.25%81M
--0
1.27%80M
1.27%80M
1.27%80M
-common stock
0.00%82M
1.23%82M
1.23%82M
--82M
1.25%81M
1.25%81M
--0
1.27%80M
1.27%80M
1.27%80M
Retained earnings
0.29%1.37B
6.37%2.29B
6.37%2.29B
15.93%1.36B
48.62%2.15B
48.62%2.15B
37.47%1.17B
1,603.53%1.45B
1,603.53%1.45B
307.28%854M
Paid-in capital
2.87%23.51B
-0.80%22.88B
-0.80%22.88B
-1.13%22.85B
3.06%23.07B
3.06%23.07B
3.41%23.11B
1.68%22.38B
1.68%22.38B
1.67%22.35B
Less: Treasury stock
-18.28%304M
-13.33%312M
-13.33%312M
-34.39%372M
55.84%360M
55.84%360M
350.00%567M
14.93%231M
14.93%231M
-44.49%126M
Other equity interest
200.00%1M
----
----
---1M
----
----
----
0.00%-1M
0.00%-1M
----
Total stockholders'equity
3.46%39.03B
2.09%38.24B
2.09%38.24B
-0.26%37.72B
6.82%37.46B
6.82%37.46B
11.75%37.82B
8.66%35.06B
8.66%35.06B
-0.01%33.84B
Noncontrolling interests
-6.07%603M
-5.64%653M
-5.64%653M
-18.53%642M
-14.67%692M
-14.67%692M
46.20%788M
53.02%811M
53.02%811M
2.08%539M
Total equity
3.30%39.63B
1.95%38.89B
1.95%38.89B
-0.63%38.36B
6.33%38.15B
6.33%38.15B
12.29%38.61B
9.38%35.88B
9.38%35.88B
0.02%34.38B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 28.26%2.17B30.56%2.56B30.56%2.56B-54.93%1.69B-40.48%1.96B-40.48%1.96B-60.34%3.75B-62.93%3.29B-62.93%3.29B19.49%9.44B
-Cash and cash equivalents 28.26%2.17B30.51%2.56B30.51%2.56B-54.93%1.69B-40.48%1.96B-40.48%1.96B-60.26%3.75B-62.08%3.29B-62.08%3.29B27.82%9.42B
-Short-term investments ------1M--1M-------------------------96.42%19M
-Accounts receivable 11.22%3.35B8.86%2.94B8.86%2.94B6.92%3.01B14.52%2.7B14.52%2.7B18.50%2.82B13.99%2.36B13.99%2.36B13.29%2.38B
-Taxes receivable 114.83%565M3.96%578M3.96%578M-2.95%263M0.18%556M0.18%556M-31.91%271M31.52%555M31.52%555M-0.50%398M
Inventory 2.33%2.98B-1.40%2.75B-1.40%2.75B1.53%2.92B14.07%2.79B14.07%2.79B40.37%2.87B26.68%2.45B26.68%2.45B-5.63%2.05B
Prepaid assets --458M-4.13%116M-4.13%116M----47.56%121M47.56%121M-----57.73%82M-57.73%82M-9.20%237M
Current deferred assets ----7.04%228M7.04%228M----9.23%213M9.23%213M------195M--195M----
Other current assets -58.02%497M103.49%525M103.49%525M27.04%1.18B21.70%258M21.70%258M513.16%932M30.06%212M30.06%212M-3.18%152M
Total current assets 11.04%10.07B12.51%9.72B12.51%9.72B-14.80%9.06B-6.85%8.64B-6.85%8.64B-27.70%10.64B-32.40%9.28B-32.40%9.28B12.92%14.71B
Non current assets
Net PPE 8.73%8.57B6.38%8.25B6.38%8.25B3.56%7.88B8.60%7.76B8.60%7.76B48.89%7.61B40.04%7.14B40.04%7.14B-4.66%5.11B
-Gross PPE 84.67%14.55B5.67%13.91B5.67%13.91B3.56%7.88B9.45%13.17B9.45%13.17B-11.38%7.61B44.97%12.03B44.97%12.03B-1.14%8.59B
-Accumulated depreciation ---5.99B-4.64%-5.66B-4.64%-5.66B-----10.70%-5.41B-10.70%-5.41B-----52.83%-4.89B-52.83%-4.89B-4.54%-3.48B
Goodwill and other intangible assets -1.44%41.35B-3.68%41.28B-3.68%41.28B-4.43%41.95B2.76%42.86B2.76%42.86B32.88%43.89B27.58%41.7B27.58%41.7B-5.13%33.03B
-Goodwill 1.05%30.71B-1.53%30.27B-1.53%30.27B-3.41%30.39B5.60%30.73B5.60%30.73B35.31%31.47B28.45%29.1B28.45%29.1B-2.92%23.26B
-Other intangible assets -8.00%10.63B-9.14%11.01B-9.14%11.01B-7.00%11.56B-3.79%12.12B-3.79%12.12B27.12%12.43B25.62%12.6B25.62%12.6B-10.00%9.77B
Non current prepaid assets ----------------------------73.15%258M73.15%258M----
Defined pension benefit ------------------------------51M--51M----
Other non current assets -52.34%397M-1.59%804M-1.59%804M11.66%833M636.04%817M636.04%817M88.86%746M68.18%111M68.18%111M2.60%395M
Total non current assets 0.52%51.43B-2.15%50.8B-2.15%50.8B-3.01%51.16B3.55%51.92B3.55%51.92B35.05%52.75B29.90%50.14B29.90%50.14B-4.78%39.06B
Total assets 2.11%61.49B-0.06%60.52B-0.06%60.52B-4.99%60.23B1.93%60.56B1.93%60.56B17.88%63.39B13.57%59.42B13.57%59.42B-0.52%53.77B
Liabilities
Current liabilities
Payables 65.46%5.19B-2.07%4.82B-2.07%4.82B-7.90%3.14B1.21%4.92B1.21%4.92B-11.35%3.41B41.63%4.87B41.63%4.87B34.32%3.84B
-accounts payable 13.37%2.58B3.66%2.38B3.66%2.38B-6.07%2.27B3.56%2.3B3.56%2.3B26.90%2.42B18.99%2.22B18.99%2.22B27.56%1.91B
-Total tax payable 151.45%2.18B-7.62%1.95B-7.62%1.95B-12.36%865M-8.93%2.11B-8.93%2.11B-44.92%987M51.57%2.32B51.57%2.32B31.19%1.79B
-Other payable --440M-4.85%490M-4.85%490M----57.01%515M57.01%515M----700.00%328M700.00%328M--144M
Current provisions -8.85%309M21.91%345M21.91%345M5.94%339M-24.13%283M-24.13%283M11.11%320M37.64%373M37.64%373M55.68%288M
Current debt and capital lease obligation 47.30%4.2B38.51%1.4B38.51%1.4B-27.68%2.85B-37.19%1.01B-37.19%1.01B343.97%3.94B38.62%1.61B38.62%1.61B-40.31%887M
-Current debt 66.58%3.35B240.24%558M240.24%558M-34.74%2.01B-78.73%164M-78.73%164M686.96%3.08B21.80%771M21.80%771M-56.41%391M
-Current capital lease obligation 1.19%850M-0.59%841M-0.59%841M-2.44%840M1.08%846M1.08%846M73.59%861M58.82%837M58.82%837M-15.79%496M
Other current liabilities -63.33%1.31B7.24%1.51B7.24%1.51B-0.14%3.57B5.07%1.41B5.07%1.41B305.91%3.57B43.16%1.34B43.16%1.34B3.90%880M
Current liabilities 15.02%11.38B7.01%8.44B7.01%8.44B-11.97%9.89B-9.05%7.89B-9.05%7.89B79.39%11.24B40.57%8.67B40.57%8.67B8.32%6.26B
Non current liabilities
Long term provisions -17.34%224M-22.52%234M-22.52%234M-4.58%271M24.28%302M24.28%302M32.09%284M42.94%243M42.94%243M-14.00%215M
Long term debt and capital lease obligation -13.16%7.73B-8.36%10.26B-8.36%10.26B-13.17%8.9B-1.88%11.19B-1.88%11.19B-2.63%10.25B6.28%11.41B6.28%11.41B-3.84%10.53B
-Long term debt -22.76%5.07B-11.28%7.86B-11.28%7.86B-17.19%6.56B-3.50%8.86B-3.50%8.86B-13.52%7.93B-1.56%9.18B-1.56%9.18B-2.34%9.16B
-Long term capital lease obligation 13.83%2.66B2.70%2.4B2.70%2.4B0.52%2.34B4.75%2.34B4.75%2.34B70.63%2.32B58.04%2.23B58.04%2.23B-12.80%1.36B
Derivative product liabilities --4M-53.59%71M-53.59%71M----135.38%153M135.38%153M----62.50%65M62.50%65M103.45%59M
Other non current liabilities -69.66%27M-16.28%36M-16.28%36M-11.88%89M-8.51%43M-8.51%43M431.58%101M123.81%47M123.81%47M-26.92%19M
Total non current liabilities -12.38%10.49B-9.20%13.19B-9.20%13.19B-11.64%11.97B-2.29%14.53B-2.29%14.53B3.18%13.55B11.36%14.87B11.36%14.87B-5.54%13.13B
Total liabilities 0.02%21.87B-3.49%21.63B-3.49%21.63B-11.79%21.86B-4.78%22.41B-4.78%22.41B27.79%24.78B20.59%23.54B20.59%23.54B-1.47%19.39B
Shareholders'equity
Share capital 0.00%82M1.23%82M1.23%82M--82M1.25%81M1.25%81M--01.27%80M1.27%80M1.27%80M
-common stock 0.00%82M1.23%82M1.23%82M--82M1.25%81M1.25%81M--01.27%80M1.27%80M1.27%80M
Retained earnings 0.29%1.37B6.37%2.29B6.37%2.29B15.93%1.36B48.62%2.15B48.62%2.15B37.47%1.17B1,603.53%1.45B1,603.53%1.45B307.28%854M
Paid-in capital 2.87%23.51B-0.80%22.88B-0.80%22.88B-1.13%22.85B3.06%23.07B3.06%23.07B3.41%23.11B1.68%22.38B1.68%22.38B1.67%22.35B
Less: Treasury stock -18.28%304M-13.33%312M-13.33%312M-34.39%372M55.84%360M55.84%360M350.00%567M14.93%231M14.93%231M-44.49%126M
Other equity interest 200.00%1M-----------1M------------0.00%-1M0.00%-1M----
Total stockholders'equity 3.46%39.03B2.09%38.24B2.09%38.24B-0.26%37.72B6.82%37.46B6.82%37.46B11.75%37.82B8.66%35.06B8.66%35.06B-0.01%33.84B
Noncontrolling interests -6.07%603M-5.64%653M-5.64%653M-18.53%642M-14.67%692M-14.67%692M46.20%788M53.02%811M53.02%811M2.08%539M
Total equity 3.30%39.63B1.95%38.89B1.95%38.89B-0.63%38.36B6.33%38.15B6.33%38.15B12.29%38.61B9.38%35.88B9.38%35.88B0.02%34.38B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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