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LVMUY LVMH Moet Hennessy Louis Vuitton

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  • 132.310
  • -0.230-0.17%
15min DelayClose Dec 27 16:00 ET
  • 132.310
  • 0.0000.00%
Post 16:04 ET
330.48BMarket Cap20.93P/E (TTM)

LVMH Moet Hennessy Louis Vuitton 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
6.89%11.08B
3.80%11.26B
3.80%11.26B
-0.28%10.37B
2.72%10.85B
2.72%10.85B
19.51%10.4B
-49.00%10.57B
-49.00%10.57B
-43.43%8.7B
-Cash and cash equivalents
16.44%7.16B
6.49%7.77B
6.49%7.77B
-22.21%6.15B
-8.99%7.3B
-8.99%7.3B
9.24%7.9B
-59.82%8.02B
-59.82%8.02B
-49.88%7.23B
-Short-term investments
-7.01%3.93B
-1.75%3.49B
-1.75%3.49B
69.06%4.22B
39.62%3.55B
39.62%3.55B
70.05%2.5B
238.30%2.54B
238.30%2.54B
54.14%1.47B
-Accounts receivable
6.59%4.45B
11.04%4.73B
11.04%4.73B
2.33%4.17B
12.44%4.26B
12.44%4.26B
38.19%4.08B
37.41%3.79B
37.41%3.79B
24.10%2.95B
-Taxes receivable
21.94%2.71B
19.68%2.37B
19.68%2.37B
17.24%2.22B
27.71%1.98B
27.71%1.98B
46.49%1.9B
14.84%1.55B
14.84%1.55B
-31.30%1.3B
-Other receivables
17.03%811M
-2.86%850M
-2.86%850M
4.37%693M
12.61%875M
12.61%875M
23.42%664M
35.37%777M
35.37%777M
-8.19%538M
Inventory
7.32%24.3B
12.96%22.95B
12.96%22.95B
19.65%22.64B
22.79%20.32B
22.79%20.32B
17.84%18.92B
27.15%16.55B
27.15%16.55B
14.04%16.06B
Prepaid assets
224.38%1.17B
0.80%1.01B
0.80%1.01B
36.74%361M
22.13%999M
22.13%999M
53.49%264M
291.39%818M
291.39%818M
-18.10%172M
Current deferred assets
----
----
----
4.26%710M
----
----
42.47%681M
----
----
-2.65%478M
Other current assets
-150.00%-1M
----
----
300.00%2M
---2M
---2M
50.00%-1M
----
----
-300.00%-2M
Total current assets
6.96%44.92B
9.99%43.71B
9.99%43.71B
12.63%42B
15.86%39.74B
15.86%39.74B
21.81%37.29B
-14.19%34.3B
-14.19%34.3B
-15.15%30.61B
Non current assets
Net PPE
12.54%43.9B
-17.83%42.37B
-17.83%42.37B
11.16%39.01B
9.03%51.57B
9.03%51.57B
7.86%35.09B
57.05%47.3B
57.05%47.3B
4.55%32.54B
-Gross PPE
12.47%73.77B
1.92%70.17B
1.92%70.17B
9.56%65.59B
45.56%68.85B
45.56%68.85B
12.79%59.87B
57.05%47.3B
57.05%47.3B
12.06%53.08B
-Accumulated depreciation
-12.38%-29.88B
-60.87%-27.8B
-60.87%-27.8B
-7.30%-26.59B
---17.28B
---17.28B
-20.62%-24.78B
----
----
-26.45%-20.54B
Goodwill and other intangible assets
-6.15%47.59B
-1.12%49.93B
-1.12%49.93B
-1.08%50.71B
-0.52%50.5B
-0.52%50.5B
7.94%51.26B
52.13%50.76B
52.13%50.76B
53.11%47.49B
-Goodwill
-14.83%21.38B
-3.07%24.02B
-3.07%24.02B
-1.76%25.1B
-4.33%24.78B
-4.33%24.78B
-14.62%25.55B
61.48%25.9B
61.48%25.9B
121.94%29.93B
-Other intangible assets
2.35%26.21B
0.76%25.91B
0.76%25.91B
-0.40%25.61B
3.45%25.72B
3.45%25.72B
46.38%25.71B
43.47%24.86B
43.47%24.86B
0.18%17.56B
Financial assets
-20.15%107M
2.06%99M
2.06%99M
44.09%134M
76.36%97M
76.36%97M
-2.11%93M
-50.00%55M
-50.00%55M
-35.37%95M
Non current prepaid assets
6.70%589M
4.15%577M
4.15%577M
7.60%552M
14.94%554M
14.94%554M
9.85%513M
17.85%482M
17.85%482M
7.85%467M
Other non current assets
7.53%100M
100.68%99M
100.68%99M
-3.13%93M
-6.79%-14.52B
-6.79%-14.52B
118.18%96M
-30,324.44%-13.6B
-30,324.44%-13.6B
2.33%44M
Total non current assets
2.21%99.53B
5.35%99.98B
5.35%99.98B
3.57%97.37B
4.28%94.91B
4.28%94.91B
9.36%94.02B
32.48%91.01B
32.48%91.01B
27.25%85.97B
Total assets
3.64%144.45B
6.72%143.69B
6.72%143.69B
6.14%139.38B
7.45%134.65B
7.45%134.65B
12.63%131.31B
15.31%125.31B
15.31%125.31B
12.49%116.59B
Liabilities
Current liabilities
Payables
2.44%10.96B
2.93%11.59B
2.93%11.59B
7.72%10.7B
19.10%11.26B
19.10%11.26B
34.99%9.93B
42.34%9.45B
42.34%9.45B
37.93%7.36B
-accounts payable
-0.17%8.21B
2.97%9.05B
2.97%9.05B
8.65%8.22B
24.02%8.79B
24.02%8.79B
33.68%7.57B
39.00%7.09B
39.00%7.09B
34.81%5.66B
-Total tax payable
11.12%2.75B
2.79%2.54B
2.79%2.54B
4.74%2.47B
4.39%2.47B
4.39%2.47B
39.35%2.36B
53.37%2.37B
53.37%2.37B
49.47%1.7B
Current provisions
5.54%1.07B
2.65%1.24B
2.65%1.24B
-20.89%1.01B
-2.97%1.21B
-2.97%1.21B
22.77%1.28B
27.79%1.25B
27.79%1.25B
36.97%1.04B
Current debt and capital lease obligation
-16.72%14.96B
12.40%13.84B
12.40%13.84B
12.94%17.97B
14.14%12.31B
14.14%12.31B
0.63%15.91B
-22.04%10.79B
-22.04%10.79B
18.66%15.81B
-Current debt
-14.58%11.77B
14.11%10.68B
14.11%10.68B
24.98%13.78B
15.89%9.36B
15.89%9.36B
-8.95%11.02B
-24.08%8.08B
-24.08%8.08B
39.90%12.11B
-Current capital lease obligation
-23.75%3.19B
6.98%3.16B
6.98%3.16B
-14.23%4.19B
8.93%2.95B
8.93%2.95B
32.00%4.88B
-15.23%2.71B
-15.23%2.71B
-20.72%3.7B
Other current liabilities
157.08%1.74B
-16.41%1.88B
-16.41%1.88B
12.44%678M
-11.04%2.25B
-11.04%2.25B
-17.51%603M
369.02%2.53B
369.02%2.53B
47.98%731M
Current liabilities
-5.15%32.53B
5.08%33.15B
5.08%33.15B
7.38%34.29B
12.70%31.54B
12.70%31.54B
14.34%31.93B
10.55%27.99B
10.55%27.99B
20.34%27.93B
Non current liabilities
Long term provisions
-41.74%903M
0.00%1.53B
0.00%1.53B
69.21%1.55B
-13.66%1.53B
-13.66%1.53B
30.30%916M
20.31%1.77B
20.31%1.77B
13.57%703M
Long term debt and capital lease obligation
18.07%25.77B
8.13%25.04B
8.13%25.04B
-5.66%21.82B
-3.73%23.16B
-3.73%23.16B
-3.55%23.13B
-2.74%24.05B
-2.74%24.05B
-7.77%23.98B
-Long term debt
29.33%11.54B
8.17%11.23B
8.17%11.23B
-15.17%8.92B
-14.68%10.38B
-14.68%10.38B
-11.88%10.52B
-13.51%12.17B
-13.51%12.17B
-19.57%11.94B
-Long term capital lease obligation
10.29%14.23B
8.09%13.81B
8.09%13.81B
2.28%12.9B
7.48%12.78B
7.48%12.78B
4.71%12.61B
11.46%11.89B
11.46%11.89B
7.94%12.05B
Derivative product liabilities
-46.64%119M
-36.89%130M
-36.89%130M
92.24%223M
357.78%206M
357.78%206M
182.93%116M
-96.19%45M
-96.19%45M
-77.84%41M
Other non current liabilities
-29.13%9.45B
-4.29%12.57B
-4.29%12.57B
-0.69%13.34B
-8.36%13.13B
-8.36%13.13B
-0.98%13.43B
29.39%14.33B
29.39%14.33B
58.01%13.57B
Total non current liabilities
-0.42%45.44B
2.90%47.85B
2.90%47.85B
-2.20%45.64B
-3.95%46.5B
-3.95%46.5B
1.37%46.66B
8.73%48.41B
8.73%48.41B
7.30%46.03B
Total liabilities
-2.45%77.97B
3.78%80.99B
3.78%80.99B
1.69%79.93B
2.15%78.04B
2.15%78.04B
6.27%78.6B
9.39%76.4B
9.39%76.4B
11.88%73.96B
Shareholders'equity
Share capital
-0.66%150M
0.00%151M
0.00%151M
-0.66%151M
-0.66%151M
-0.66%151M
0.00%152M
0.00%152M
0.00%152M
0.00%152M
-common stock
-0.66%150M
0.00%151M
0.00%151M
-0.66%151M
-0.66%151M
-0.66%151M
0.00%152M
0.00%152M
0.00%152M
0.00%152M
Retained earnings
-14.31%7.27B
7.74%15.17B
7.74%15.17B
-81.66%8.48B
17.02%14.08B
17.02%14.08B
774.12%46.23B
-65.96%12.04B
-65.96%12.04B
913.22%5.29B
Paid-in capital
--0
-58.88%530M
-58.88%530M
-76.18%530M
-42.07%1.29B
-42.07%1.29B
0.00%2.23B
0.00%2.23B
0.00%2.23B
-3.22%2.23B
Less: Treasury stock
-82.39%350M
51.04%1.95B
51.04%1.95B
-12.47%1.99B
41.78%1.29B
41.78%1.29B
360.45%2.27B
250.77%912M
250.77%912M
25.13%493M
Other equity interest
----
-200.00%-1M
-200.00%-1M
0.00%-1M
--1M
--1M
0.00%-1M
----
----
---1M
Total stockholders'equity
12.28%64.81B
10.72%61.02B
10.72%61.02B
13.72%57.72B
16.96%55.11B
16.96%55.11B
23.24%50.75B
25.95%47.12B
25.95%47.12B
15.00%41.18B
Noncontrolling interests
-3.29%1.68B
12.79%1.68B
12.79%1.68B
-11.59%1.73B
-16.59%1.49B
-16.59%1.49B
35.95%1.96B
26.32%1.79B
26.32%1.79B
-16.27%1.44B
Total equity
11.83%66.48B
10.77%62.7B
10.77%62.7B
12.78%59.45B
15.73%56.6B
15.73%56.6B
23.67%52.71B
25.96%48.91B
25.96%48.91B
13.57%42.62B
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 6.89%11.08B3.80%11.26B3.80%11.26B-0.28%10.37B2.72%10.85B2.72%10.85B19.51%10.4B-49.00%10.57B-49.00%10.57B-43.43%8.7B
-Cash and cash equivalents 16.44%7.16B6.49%7.77B6.49%7.77B-22.21%6.15B-8.99%7.3B-8.99%7.3B9.24%7.9B-59.82%8.02B-59.82%8.02B-49.88%7.23B
-Short-term investments -7.01%3.93B-1.75%3.49B-1.75%3.49B69.06%4.22B39.62%3.55B39.62%3.55B70.05%2.5B238.30%2.54B238.30%2.54B54.14%1.47B
-Accounts receivable 6.59%4.45B11.04%4.73B11.04%4.73B2.33%4.17B12.44%4.26B12.44%4.26B38.19%4.08B37.41%3.79B37.41%3.79B24.10%2.95B
-Taxes receivable 21.94%2.71B19.68%2.37B19.68%2.37B17.24%2.22B27.71%1.98B27.71%1.98B46.49%1.9B14.84%1.55B14.84%1.55B-31.30%1.3B
-Other receivables 17.03%811M-2.86%850M-2.86%850M4.37%693M12.61%875M12.61%875M23.42%664M35.37%777M35.37%777M-8.19%538M
Inventory 7.32%24.3B12.96%22.95B12.96%22.95B19.65%22.64B22.79%20.32B22.79%20.32B17.84%18.92B27.15%16.55B27.15%16.55B14.04%16.06B
Prepaid assets 224.38%1.17B0.80%1.01B0.80%1.01B36.74%361M22.13%999M22.13%999M53.49%264M291.39%818M291.39%818M-18.10%172M
Current deferred assets ------------4.26%710M--------42.47%681M---------2.65%478M
Other current assets -150.00%-1M--------300.00%2M---2M---2M50.00%-1M---------300.00%-2M
Total current assets 6.96%44.92B9.99%43.71B9.99%43.71B12.63%42B15.86%39.74B15.86%39.74B21.81%37.29B-14.19%34.3B-14.19%34.3B-15.15%30.61B
Non current assets
Net PPE 12.54%43.9B-17.83%42.37B-17.83%42.37B11.16%39.01B9.03%51.57B9.03%51.57B7.86%35.09B57.05%47.3B57.05%47.3B4.55%32.54B
-Gross PPE 12.47%73.77B1.92%70.17B1.92%70.17B9.56%65.59B45.56%68.85B45.56%68.85B12.79%59.87B57.05%47.3B57.05%47.3B12.06%53.08B
-Accumulated depreciation -12.38%-29.88B-60.87%-27.8B-60.87%-27.8B-7.30%-26.59B---17.28B---17.28B-20.62%-24.78B---------26.45%-20.54B
Goodwill and other intangible assets -6.15%47.59B-1.12%49.93B-1.12%49.93B-1.08%50.71B-0.52%50.5B-0.52%50.5B7.94%51.26B52.13%50.76B52.13%50.76B53.11%47.49B
-Goodwill -14.83%21.38B-3.07%24.02B-3.07%24.02B-1.76%25.1B-4.33%24.78B-4.33%24.78B-14.62%25.55B61.48%25.9B61.48%25.9B121.94%29.93B
-Other intangible assets 2.35%26.21B0.76%25.91B0.76%25.91B-0.40%25.61B3.45%25.72B3.45%25.72B46.38%25.71B43.47%24.86B43.47%24.86B0.18%17.56B
Financial assets -20.15%107M2.06%99M2.06%99M44.09%134M76.36%97M76.36%97M-2.11%93M-50.00%55M-50.00%55M-35.37%95M
Non current prepaid assets 6.70%589M4.15%577M4.15%577M7.60%552M14.94%554M14.94%554M9.85%513M17.85%482M17.85%482M7.85%467M
Other non current assets 7.53%100M100.68%99M100.68%99M-3.13%93M-6.79%-14.52B-6.79%-14.52B118.18%96M-30,324.44%-13.6B-30,324.44%-13.6B2.33%44M
Total non current assets 2.21%99.53B5.35%99.98B5.35%99.98B3.57%97.37B4.28%94.91B4.28%94.91B9.36%94.02B32.48%91.01B32.48%91.01B27.25%85.97B
Total assets 3.64%144.45B6.72%143.69B6.72%143.69B6.14%139.38B7.45%134.65B7.45%134.65B12.63%131.31B15.31%125.31B15.31%125.31B12.49%116.59B
Liabilities
Current liabilities
Payables 2.44%10.96B2.93%11.59B2.93%11.59B7.72%10.7B19.10%11.26B19.10%11.26B34.99%9.93B42.34%9.45B42.34%9.45B37.93%7.36B
-accounts payable -0.17%8.21B2.97%9.05B2.97%9.05B8.65%8.22B24.02%8.79B24.02%8.79B33.68%7.57B39.00%7.09B39.00%7.09B34.81%5.66B
-Total tax payable 11.12%2.75B2.79%2.54B2.79%2.54B4.74%2.47B4.39%2.47B4.39%2.47B39.35%2.36B53.37%2.37B53.37%2.37B49.47%1.7B
Current provisions 5.54%1.07B2.65%1.24B2.65%1.24B-20.89%1.01B-2.97%1.21B-2.97%1.21B22.77%1.28B27.79%1.25B27.79%1.25B36.97%1.04B
Current debt and capital lease obligation -16.72%14.96B12.40%13.84B12.40%13.84B12.94%17.97B14.14%12.31B14.14%12.31B0.63%15.91B-22.04%10.79B-22.04%10.79B18.66%15.81B
-Current debt -14.58%11.77B14.11%10.68B14.11%10.68B24.98%13.78B15.89%9.36B15.89%9.36B-8.95%11.02B-24.08%8.08B-24.08%8.08B39.90%12.11B
-Current capital lease obligation -23.75%3.19B6.98%3.16B6.98%3.16B-14.23%4.19B8.93%2.95B8.93%2.95B32.00%4.88B-15.23%2.71B-15.23%2.71B-20.72%3.7B
Other current liabilities 157.08%1.74B-16.41%1.88B-16.41%1.88B12.44%678M-11.04%2.25B-11.04%2.25B-17.51%603M369.02%2.53B369.02%2.53B47.98%731M
Current liabilities -5.15%32.53B5.08%33.15B5.08%33.15B7.38%34.29B12.70%31.54B12.70%31.54B14.34%31.93B10.55%27.99B10.55%27.99B20.34%27.93B
Non current liabilities
Long term provisions -41.74%903M0.00%1.53B0.00%1.53B69.21%1.55B-13.66%1.53B-13.66%1.53B30.30%916M20.31%1.77B20.31%1.77B13.57%703M
Long term debt and capital lease obligation 18.07%25.77B8.13%25.04B8.13%25.04B-5.66%21.82B-3.73%23.16B-3.73%23.16B-3.55%23.13B-2.74%24.05B-2.74%24.05B-7.77%23.98B
-Long term debt 29.33%11.54B8.17%11.23B8.17%11.23B-15.17%8.92B-14.68%10.38B-14.68%10.38B-11.88%10.52B-13.51%12.17B-13.51%12.17B-19.57%11.94B
-Long term capital lease obligation 10.29%14.23B8.09%13.81B8.09%13.81B2.28%12.9B7.48%12.78B7.48%12.78B4.71%12.61B11.46%11.89B11.46%11.89B7.94%12.05B
Derivative product liabilities -46.64%119M-36.89%130M-36.89%130M92.24%223M357.78%206M357.78%206M182.93%116M-96.19%45M-96.19%45M-77.84%41M
Other non current liabilities -29.13%9.45B-4.29%12.57B-4.29%12.57B-0.69%13.34B-8.36%13.13B-8.36%13.13B-0.98%13.43B29.39%14.33B29.39%14.33B58.01%13.57B
Total non current liabilities -0.42%45.44B2.90%47.85B2.90%47.85B-2.20%45.64B-3.95%46.5B-3.95%46.5B1.37%46.66B8.73%48.41B8.73%48.41B7.30%46.03B
Total liabilities -2.45%77.97B3.78%80.99B3.78%80.99B1.69%79.93B2.15%78.04B2.15%78.04B6.27%78.6B9.39%76.4B9.39%76.4B11.88%73.96B
Shareholders'equity
Share capital -0.66%150M0.00%151M0.00%151M-0.66%151M-0.66%151M-0.66%151M0.00%152M0.00%152M0.00%152M0.00%152M
-common stock -0.66%150M0.00%151M0.00%151M-0.66%151M-0.66%151M-0.66%151M0.00%152M0.00%152M0.00%152M0.00%152M
Retained earnings -14.31%7.27B7.74%15.17B7.74%15.17B-81.66%8.48B17.02%14.08B17.02%14.08B774.12%46.23B-65.96%12.04B-65.96%12.04B913.22%5.29B
Paid-in capital --0-58.88%530M-58.88%530M-76.18%530M-42.07%1.29B-42.07%1.29B0.00%2.23B0.00%2.23B0.00%2.23B-3.22%2.23B
Less: Treasury stock -82.39%350M51.04%1.95B51.04%1.95B-12.47%1.99B41.78%1.29B41.78%1.29B360.45%2.27B250.77%912M250.77%912M25.13%493M
Other equity interest -----200.00%-1M-200.00%-1M0.00%-1M--1M--1M0.00%-1M-----------1M
Total stockholders'equity 12.28%64.81B10.72%61.02B10.72%61.02B13.72%57.72B16.96%55.11B16.96%55.11B23.24%50.75B25.95%47.12B25.95%47.12B15.00%41.18B
Noncontrolling interests -3.29%1.68B12.79%1.68B12.79%1.68B-11.59%1.73B-16.59%1.49B-16.59%1.49B35.95%1.96B26.32%1.79B26.32%1.79B-16.27%1.44B
Total equity 11.83%66.48B10.77%62.7B10.77%62.7B12.78%59.45B15.73%56.6B15.73%56.6B23.67%52.71B25.96%48.91B25.96%48.91B13.57%42.62B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.