US Stock MarketDetailed Quotes

LPSN LivePerson

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  • 0.971
  • +0.022+2.36%
Close Nov 29 13:00 ET
  • 0.951
  • -0.020-2.06%
Post 17:01 ET
88.17MMarket Cap-1294P/E (TTM)

LivePerson Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-33.03%142.1M
-31.72%145.96M
-47.05%127.06M
-46.20%210.78M
-46.20%210.78M
-46.05%212.19M
-49.81%213.76M
-50.08%239.98M
-24.92%391.78M
-24.92%391.78M
-Cash and cash equivalents
-33.03%142.1M
-31.72%145.96M
-47.05%127.06M
-46.20%210.78M
-46.20%210.78M
-46.05%212.19M
-49.81%213.76M
-50.08%239.98M
-24.92%391.78M
-24.92%391.78M
Receivables
-45.48%54.45M
-42.45%60.53M
-37.59%75.53M
-4.95%86.2M
-4.95%86.2M
-0.87%99.87M
-13.60%105.17M
11.53%121.03M
-3.32%90.69M
-3.32%90.69M
-Accounts receivable
-49.99%49.95M
-46.42%56.35M
-41.04%71.37M
-5.47%81.8M
-5.47%81.8M
-0.87%99.87M
-13.60%105.17M
11.53%121.03M
-7.75%86.54M
-7.75%86.54M
-Taxes receivable
--4.51M
--4.18M
--4.17M
5.87%4.4M
5.87%4.4M
----
----
----
--4.16M
--4.16M
Prepaid assets
--12.32M
--10.95M
--11.63M
-10.20%13.83M
-10.20%13.83M
----
----
----
--15.4M
--15.4M
Restricted cash
--0
--0
-83.93%1.96M
413.91%2.14M
413.91%2.14M
--2.14M
--2.68M
--12.2M
--417K
--417K
Other current assets
-89.37%4.38M
-90.81%3M
-82.63%5.15M
108.70%8.76M
108.70%8.76M
29.08%41.2M
21.86%32.66M
-1.47%29.67M
-79.66%4.2M
-79.66%4.2M
Total current assets
-39.99%213.26M
-37.78%220.44M
-45.06%221.34M
-39.69%321.71M
-39.69%321.71M
-32.43%355.4M
-38.33%354.27M
-34.95%402.87M
-16.16%533.47M
-16.16%533.47M
Non current assets
Net PPE
-17.70%105.22M
-16.06%107.21M
-7.60%121.32M
-3.62%123.46M
-3.62%123.46M
-7.42%127.85M
-6.62%127.72M
-3.34%131.31M
1.10%128.1M
1.10%128.1M
-Gross PPE
2.53%315.27M
3.16%310.18M
7.76%317.36M
10.00%312.18M
10.00%312.18M
9.49%307.5M
9.52%300.69M
9.72%294.5M
12.54%283.81M
12.54%283.81M
-Accumulated depreciation
-16.93%-210.05M
-17.35%-202.97M
-20.13%-196.04M
-21.20%-188.72M
-21.20%-188.72M
-25.84%-179.64M
-25.55%-172.97M
-23.10%-163.19M
-24.08%-155.71M
-24.08%-155.71M
Goodwill and other intangible assets
-4.68%332.23M
-9.44%333.68M
-9.35%336.97M
-7.23%347.26M
-7.23%347.26M
-8.77%348.54M
-5.34%368.48M
-6.04%371.73M
-0.65%374.32M
-0.65%374.32M
-Goodwill
-0.50%282.33M
-5.47%280.73M
-5.34%280.96M
-3.57%285.63M
-3.57%285.63M
-5.60%283.76M
-2.08%296.97M
-2.83%296.79M
1.72%296.21M
1.72%296.21M
-Other intangible assets
-22.97%49.9M
-25.94%52.96M
-25.26%56.01M
-21.10%61.63M
-21.10%61.63M
-20.47%64.78M
-16.86%71.5M
-16.91%74.94M
-8.71%78.1M
-8.71%78.1M
Investments and advances
----
----
----
--0
--0
--0
-75.90%880K
-41.18%1.64M
--2.26M
--2.26M
Non current deferred assets
-0.17%40.37M
-6.77%41.31M
-7.74%43.8M
-13.16%41.88M
-13.16%41.88M
-9.07%40.44M
-7.67%44.31M
-0.92%47.47M
5.51%48.23M
5.51%48.23M
Other non current assets
-21.70%949K
-56.99%1.13M
-49.38%1.26M
-52.87%1.21M
-52.87%1.21M
-51.27%1.21M
4.48%2.63M
-3.92%2.5M
113.76%2.56M
113.76%2.56M
Total non current assets
-7.58%478.77M
-11.16%483.33M
-9.25%503.35M
-7.50%513.81M
-7.50%513.81M
-9.29%518.05M
-6.24%544.02M
-5.15%554.64M
0.93%555.47M
0.93%555.47M
Total assets
-20.77%692.03M
-21.65%703.77M
-24.32%724.69M
-23.27%835.51M
-23.27%835.51M
-20.38%873.45M
-22.20%898.29M
-20.48%957.52M
-8.23%1.09B
-8.23%1.09B
Liabilities
Current liabilities
Payables
20.81%18.24M
44.38%14.43M
-22.53%15.08M
-46.65%14.11M
-46.65%14.11M
14.61%15.1M
-58.01%10M
-28.55%19.47M
48.10%26.45M
48.10%26.45M
-accounts payable
25.41%17.68M
67.06%13.88M
-20.51%14.53M
-46.43%13.56M
-46.43%13.56M
17.73%14.1M
-63.27%8.31M
-29.87%18.28M
49.35%25.3M
49.35%25.3M
-Total tax payable
-44.23%556K
-67.10%556K
-53.51%556K
-51.57%556K
-51.57%556K
-16.64%997K
41.42%1.69M
0.08%1.2M
25.05%1.15M
25.05%1.15M
Current accrued expenses
-50.19%59.63M
-43.55%60.49M
-50.62%73.26M
-26.05%91.16M
-26.05%91.16M
7.89%119.71M
-5.43%107.15M
49.26%148.35M
27.02%123.27M
27.02%123.27M
Current debt and capital lease obligation
-99.66%255K
-99.49%376K
-96.35%2.74M
1,552.55%78.15M
1,552.55%78.15M
1,024.85%74.61M
828.13%73.44M
766.51%74.91M
-33.56%4.73M
-33.56%4.73M
-Current debt
----
----
----
--72.39M
--72.39M
--72.25M
--72.1M
--71.96M
----
----
-Current capital lease obligation
-89.22%255K
-72.07%376K
-7.19%2.74M
21.72%5.76M
21.72%5.76M
-64.33%2.37M
-82.99%1.35M
-65.90%2.95M
-33.56%4.73M
-33.56%4.73M
Current deferred liabilities
-21.88%75.61M
-20.97%79.36M
-15.82%92.41M
-3.12%81.86M
-3.12%81.86M
-6.24%96.78M
-9.20%100.42M
-2.27%109.78M
-14.49%84.49M
-14.49%84.49M
Other current liabilities
557.44%14.8M
--7.08M
-39.95%1.59M
-82.01%2.27M
-82.01%2.27M
-21.10%2.25M
----
9.54%2.64M
387.29%12.61M
387.29%12.61M
Current liabilities
-45.36%168.53M
-44.42%161.74M
-47.89%185.08M
6.36%267.55M
6.36%267.55M
30.24%308.45M
12.69%291.01M
42.05%355.15M
12.59%251.56M
12.59%251.56M
Non current liabilities
Long term debt and capital lease obligation
-8.50%470.3M
-8.31%468.67M
0.57%513.54M
-30.40%513.74M
-30.40%513.74M
-30.28%513.99M
-30.62%511.15M
-30.75%510.63M
27.93%738.11M
27.93%738.11M
-Long term debt
-7.97%470.3M
-8.20%468.67M
0.40%512.08M
-30.63%511.57M
-30.63%511.57M
-30.61%511.06M
-30.59%510.55M
-30.57%510.02M
28.42%737.42M
28.42%737.42M
-Long term capital lease obligation
--0
--0
141.52%1.47M
218.62%2.17M
218.62%2.17M
320.06%2.93M
-48.41%602K
-78.28%607K
-75.05%682K
-75.05%682K
Non current deferred liabilities
7.42%3.39M
0.56%3.08M
8.57%3M
14.90%2.93M
14.90%2.93M
19.42%3.16M
20.35%3.06M
5.94%2.77M
21.26%2.55M
21.26%2.55M
Other non current liabilities
40.72%3.9M
25.58%3.68M
-83.81%3.88M
-88.97%3.16M
-88.97%3.16M
-91.04%2.77M
-91.96%2.93M
-28.90%23.97M
-17.51%28.64M
-17.51%28.64M
Total non current liabilities
-8.14%477.59M
-8.07%475.42M
-3.15%520.43M
-32.43%519.83M
-32.43%519.83M
-32.54%519.91M
-33.33%517.14M
-30.55%537.37M
25.33%769.29M
25.33%769.29M
Total liabilities
-22.00%646.12M
-21.16%637.16M
-20.95%705.51M
-22.87%787.38M
-22.87%787.38M
-17.79%828.36M
-21.84%808.14M
-12.82%892.51M
21.93%1.02B
21.93%1.02B
Shareholders'equity
Share capital
14.81%93K
15.00%92K
16.46%92K
16.67%91K
16.67%91K
3.85%81K
2.56%80K
2.60%79K
4.00%78K
4.00%78K
-common stock
14.81%93K
15.00%92K
16.46%92K
16.67%91K
16.67%91K
3.85%81K
2.56%80K
2.60%79K
4.00%78K
4.00%78K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-7.69%-879.13M
-11.50%-850.82M
-15.34%-892.62M
-23.78%-856.99M
-23.78%-856.99M
-25.47%-816.37M
-25.63%-763.06M
-45.47%-773.88M
-33.96%-692.36M
-33.96%-692.36M
Paid-in capital
6.83%932.6M
7.53%927.53M
8.63%921.9M
18.48%913.52M
18.48%913.52M
15.29%872.96M
16.54%862.55M
17.94%848.62M
-11.56%771.05M
-11.56%771.05M
Less: Treasury stock
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
Gains losses not affecting retained earnings
33.93%-7.65M
-8.10%-10.19M
-3.78%-10.18M
20.54%-8.48M
20.54%-8.48M
32.22%-11.58M
21.86%-9.43M
-35.08%-9.81M
-91.89%-10.68M
-91.89%-10.68M
Total stockholders'equity
1.83%45.91M
-26.11%66.61M
-70.49%19.18M
-29.30%48.14M
-29.30%48.14M
-49.64%45.08M
-25.35%90.15M
-63.96%65M
-80.51%68.09M
-80.51%68.09M
Total equity
1.83%45.91M
-26.11%66.61M
-70.49%19.18M
-29.30%48.14M
-29.30%48.14M
-49.64%45.08M
-25.35%90.15M
-63.96%65M
-80.51%68.09M
-80.51%68.09M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
--
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -33.03%142.1M-31.72%145.96M-47.05%127.06M-46.20%210.78M-46.20%210.78M-46.05%212.19M-49.81%213.76M-50.08%239.98M-24.92%391.78M-24.92%391.78M
-Cash and cash equivalents -33.03%142.1M-31.72%145.96M-47.05%127.06M-46.20%210.78M-46.20%210.78M-46.05%212.19M-49.81%213.76M-50.08%239.98M-24.92%391.78M-24.92%391.78M
Receivables -45.48%54.45M-42.45%60.53M-37.59%75.53M-4.95%86.2M-4.95%86.2M-0.87%99.87M-13.60%105.17M11.53%121.03M-3.32%90.69M-3.32%90.69M
-Accounts receivable -49.99%49.95M-46.42%56.35M-41.04%71.37M-5.47%81.8M-5.47%81.8M-0.87%99.87M-13.60%105.17M11.53%121.03M-7.75%86.54M-7.75%86.54M
-Taxes receivable --4.51M--4.18M--4.17M5.87%4.4M5.87%4.4M--------------4.16M--4.16M
Prepaid assets --12.32M--10.95M--11.63M-10.20%13.83M-10.20%13.83M--------------15.4M--15.4M
Restricted cash --0--0-83.93%1.96M413.91%2.14M413.91%2.14M--2.14M--2.68M--12.2M--417K--417K
Other current assets -89.37%4.38M-90.81%3M-82.63%5.15M108.70%8.76M108.70%8.76M29.08%41.2M21.86%32.66M-1.47%29.67M-79.66%4.2M-79.66%4.2M
Total current assets -39.99%213.26M-37.78%220.44M-45.06%221.34M-39.69%321.71M-39.69%321.71M-32.43%355.4M-38.33%354.27M-34.95%402.87M-16.16%533.47M-16.16%533.47M
Non current assets
Net PPE -17.70%105.22M-16.06%107.21M-7.60%121.32M-3.62%123.46M-3.62%123.46M-7.42%127.85M-6.62%127.72M-3.34%131.31M1.10%128.1M1.10%128.1M
-Gross PPE 2.53%315.27M3.16%310.18M7.76%317.36M10.00%312.18M10.00%312.18M9.49%307.5M9.52%300.69M9.72%294.5M12.54%283.81M12.54%283.81M
-Accumulated depreciation -16.93%-210.05M-17.35%-202.97M-20.13%-196.04M-21.20%-188.72M-21.20%-188.72M-25.84%-179.64M-25.55%-172.97M-23.10%-163.19M-24.08%-155.71M-24.08%-155.71M
Goodwill and other intangible assets -4.68%332.23M-9.44%333.68M-9.35%336.97M-7.23%347.26M-7.23%347.26M-8.77%348.54M-5.34%368.48M-6.04%371.73M-0.65%374.32M-0.65%374.32M
-Goodwill -0.50%282.33M-5.47%280.73M-5.34%280.96M-3.57%285.63M-3.57%285.63M-5.60%283.76M-2.08%296.97M-2.83%296.79M1.72%296.21M1.72%296.21M
-Other intangible assets -22.97%49.9M-25.94%52.96M-25.26%56.01M-21.10%61.63M-21.10%61.63M-20.47%64.78M-16.86%71.5M-16.91%74.94M-8.71%78.1M-8.71%78.1M
Investments and advances --------------0--0--0-75.90%880K-41.18%1.64M--2.26M--2.26M
Non current deferred assets -0.17%40.37M-6.77%41.31M-7.74%43.8M-13.16%41.88M-13.16%41.88M-9.07%40.44M-7.67%44.31M-0.92%47.47M5.51%48.23M5.51%48.23M
Other non current assets -21.70%949K-56.99%1.13M-49.38%1.26M-52.87%1.21M-52.87%1.21M-51.27%1.21M4.48%2.63M-3.92%2.5M113.76%2.56M113.76%2.56M
Total non current assets -7.58%478.77M-11.16%483.33M-9.25%503.35M-7.50%513.81M-7.50%513.81M-9.29%518.05M-6.24%544.02M-5.15%554.64M0.93%555.47M0.93%555.47M
Total assets -20.77%692.03M-21.65%703.77M-24.32%724.69M-23.27%835.51M-23.27%835.51M-20.38%873.45M-22.20%898.29M-20.48%957.52M-8.23%1.09B-8.23%1.09B
Liabilities
Current liabilities
Payables 20.81%18.24M44.38%14.43M-22.53%15.08M-46.65%14.11M-46.65%14.11M14.61%15.1M-58.01%10M-28.55%19.47M48.10%26.45M48.10%26.45M
-accounts payable 25.41%17.68M67.06%13.88M-20.51%14.53M-46.43%13.56M-46.43%13.56M17.73%14.1M-63.27%8.31M-29.87%18.28M49.35%25.3M49.35%25.3M
-Total tax payable -44.23%556K-67.10%556K-53.51%556K-51.57%556K-51.57%556K-16.64%997K41.42%1.69M0.08%1.2M25.05%1.15M25.05%1.15M
Current accrued expenses -50.19%59.63M-43.55%60.49M-50.62%73.26M-26.05%91.16M-26.05%91.16M7.89%119.71M-5.43%107.15M49.26%148.35M27.02%123.27M27.02%123.27M
Current debt and capital lease obligation -99.66%255K-99.49%376K-96.35%2.74M1,552.55%78.15M1,552.55%78.15M1,024.85%74.61M828.13%73.44M766.51%74.91M-33.56%4.73M-33.56%4.73M
-Current debt --------------72.39M--72.39M--72.25M--72.1M--71.96M--------
-Current capital lease obligation -89.22%255K-72.07%376K-7.19%2.74M21.72%5.76M21.72%5.76M-64.33%2.37M-82.99%1.35M-65.90%2.95M-33.56%4.73M-33.56%4.73M
Current deferred liabilities -21.88%75.61M-20.97%79.36M-15.82%92.41M-3.12%81.86M-3.12%81.86M-6.24%96.78M-9.20%100.42M-2.27%109.78M-14.49%84.49M-14.49%84.49M
Other current liabilities 557.44%14.8M--7.08M-39.95%1.59M-82.01%2.27M-82.01%2.27M-21.10%2.25M----9.54%2.64M387.29%12.61M387.29%12.61M
Current liabilities -45.36%168.53M-44.42%161.74M-47.89%185.08M6.36%267.55M6.36%267.55M30.24%308.45M12.69%291.01M42.05%355.15M12.59%251.56M12.59%251.56M
Non current liabilities
Long term debt and capital lease obligation -8.50%470.3M-8.31%468.67M0.57%513.54M-30.40%513.74M-30.40%513.74M-30.28%513.99M-30.62%511.15M-30.75%510.63M27.93%738.11M27.93%738.11M
-Long term debt -7.97%470.3M-8.20%468.67M0.40%512.08M-30.63%511.57M-30.63%511.57M-30.61%511.06M-30.59%510.55M-30.57%510.02M28.42%737.42M28.42%737.42M
-Long term capital lease obligation --0--0141.52%1.47M218.62%2.17M218.62%2.17M320.06%2.93M-48.41%602K-78.28%607K-75.05%682K-75.05%682K
Non current deferred liabilities 7.42%3.39M0.56%3.08M8.57%3M14.90%2.93M14.90%2.93M19.42%3.16M20.35%3.06M5.94%2.77M21.26%2.55M21.26%2.55M
Other non current liabilities 40.72%3.9M25.58%3.68M-83.81%3.88M-88.97%3.16M-88.97%3.16M-91.04%2.77M-91.96%2.93M-28.90%23.97M-17.51%28.64M-17.51%28.64M
Total non current liabilities -8.14%477.59M-8.07%475.42M-3.15%520.43M-32.43%519.83M-32.43%519.83M-32.54%519.91M-33.33%517.14M-30.55%537.37M25.33%769.29M25.33%769.29M
Total liabilities -22.00%646.12M-21.16%637.16M-20.95%705.51M-22.87%787.38M-22.87%787.38M-17.79%828.36M-21.84%808.14M-12.82%892.51M21.93%1.02B21.93%1.02B
Shareholders'equity
Share capital 14.81%93K15.00%92K16.46%92K16.67%91K16.67%91K3.85%81K2.56%80K2.60%79K4.00%78K4.00%78K
-common stock 14.81%93K15.00%92K16.46%92K16.67%91K16.67%91K3.85%81K2.56%80K2.60%79K4.00%78K4.00%78K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -7.69%-879.13M-11.50%-850.82M-15.34%-892.62M-23.78%-856.99M-23.78%-856.99M-25.47%-816.37M-25.63%-763.06M-45.47%-773.88M-33.96%-692.36M-33.96%-692.36M
Paid-in capital 6.83%932.6M7.53%927.53M8.63%921.9M18.48%913.52M18.48%913.52M15.29%872.96M16.54%862.55M17.94%848.62M-11.56%771.05M-11.56%771.05M
Less: Treasury stock 0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K
Gains losses not affecting retained earnings 33.93%-7.65M-8.10%-10.19M-3.78%-10.18M20.54%-8.48M20.54%-8.48M32.22%-11.58M21.86%-9.43M-35.08%-9.81M-91.89%-10.68M-91.89%-10.68M
Total stockholders'equity 1.83%45.91M-26.11%66.61M-70.49%19.18M-29.30%48.14M-29.30%48.14M-49.64%45.08M-25.35%90.15M-63.96%65M-80.51%68.09M-80.51%68.09M
Total equity 1.83%45.91M-26.11%66.61M-70.49%19.18M-29.30%48.14M-29.30%48.14M-49.64%45.08M-25.35%90.15M-63.96%65M-80.51%68.09M-80.51%68.09M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------

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