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LVS Las Vegas Sands

Watchlist
  • 45.090
  • -0.340-0.75%
Close Mar 4 16:00 ET
  • 45.300
  • +0.210+0.47%
Pre 07:00 ET
32.28BMarket Cap23.01P/E (TTM)

Las Vegas Sands Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-28.50%3.65B
-28.50%3.65B
-24.51%4.21B
-18.33%4.71B
-24.13%4.96B
-19.11%5.11B
-19.11%5.11B
-4.49%5.57B
-10.60%5.77B
1.59%6.53B
-Cash and cash equivalents
-28.50%3.65B
-28.50%3.65B
-24.51%4.21B
-18.33%4.71B
-24.13%4.96B
-19.11%5.11B
-19.11%5.11B
-4.49%5.57B
-10.60%5.77B
1.59%6.53B
Receivables
-13.84%417M
-13.84%417M
5.90%413M
29.76%436M
28.05%420M
81.27%484M
81.27%484M
85.71%390M
112.66%336M
123.13%328M
-Accounts receivable
-13.84%417M
-13.84%417M
5.90%413M
29.76%436M
28.05%420M
81.27%484M
81.27%484M
85.71%390M
112.66%336M
123.13%328M
Inventory
7.89%41M
7.89%41M
17.14%41M
15.63%37M
39.29%39M
35.71%38M
35.71%38M
52.17%35M
33.33%32M
21.74%28M
Other current assets
21.33%182M
21.33%182M
-5.78%163M
-3.90%148M
11.02%141M
8.70%150M
8.70%150M
25.36%173M
28.33%154M
16.51%127M
Total current assets
-25.74%4.29B
-25.74%4.29B
-21.82%4.83B
-15.23%5.33B
-20.80%5.56B
-14.34%5.78B
-14.34%5.78B
-0.56%6.17B
-7.09%6.29B
4.31%7.02B
Non current assets
Net PPE
2.24%14B
2.24%14B
3.86%14.17B
-1.47%13.47B
-0.58%13.39B
0.80%13.69B
0.80%13.69B
2.43%13.64B
0.57%13.67B
-2.86%13.46B
-Gross PPE
3.80%26.55B
3.80%26.55B
3.86%14.17B
-1.47%13.47B
-0.58%13.39B
4.57%25.58B
4.57%25.58B
2.43%13.64B
0.57%13.67B
-2.86%13.46B
-Accumulated depreciation
-5.59%-12.56B
-5.59%-12.56B
----
----
----
-9.28%-11.89B
-9.28%-11.89B
----
----
----
Goodwill and other intangible assets
-8.86%545M
-8.86%545M
-8.05%560M
-9.35%572M
7.16%584M
834.38%598M
834.38%598M
882.26%609M
841.79%631M
2,768.42%545M
-Goodwill
-0.97%102M
-0.97%102M
----
----
----
930.00%103M
930.00%103M
--102M
--110M
----
-Other intangible assets
-10.51%443M
-10.51%443M
----
----
----
816.67%495M
816.67%495M
--507M
--521M
--545M
Long-term notes receivables
5.86%1.26B
5.86%1.26B
5.06%1.25B
4.16%1.23B
3.33%1.21B
2.49%1.19B
2.49%1.19B
-1.82%1.19B
-1.75%1.18B
-2.33%1.17B
Non current deferred assets
0.83%122M
0.83%122M
1.57%129M
-8.82%124M
-10.37%121M
-7.63%121M
-7.63%121M
-23.03%127M
-28.04%136M
-27.42%135M
Other non current assets
12.50%450M
12.50%450M
9.79%426M
6.52%392M
0.78%387M
12.36%400M
12.36%400M
-23.77%388M
50.20%368M
50.00%384M
Total non current assets
2.34%16.38B
2.34%16.38B
3.62%16.53B
-1.25%15.78B
-0.07%15.69B
4.62%16B
4.62%16B
4.52%15.95B
4.52%15.98B
1.15%15.7B
Total assets
-5.11%20.67B
-5.11%20.67B
-3.48%21.35B
-5.20%21.11B
-6.47%21.25B
-1.18%21.78B
-1.18%21.78B
3.05%22.12B
0.96%22.27B
2.10%22.72B
Liabilities
Current liabilities
Payables
0.93%972M
0.93%972M
35.47%699M
37.32%666M
22.13%563M
76.05%963M
76.05%963M
-12.84%516M
-32.26%485M
-57.28%461M
-accounts payable
-1.80%164M
-1.80%164M
-7.33%139M
10.37%149M
44.44%156M
87.64%167M
87.64%167M
64.84%150M
77.63%135M
56.52%108M
-Total tax payable
-16.15%545M
-16.15%545M
4.69%223M
42.69%244M
49.71%256M
141.64%650M
141.64%650M
-34.06%213M
-61.05%171M
-77.65%171M
-Other payable
80.14%263M
80.14%263M
120.26%337M
52.51%273M
-17.03%151M
-22.75%146M
-22.75%146M
-14.04%153M
-10.95%179M
-25.71%182M
Current accrued expenses
4.43%1.06B
4.43%1.06B
8.77%1.92B
3.14%1.77B
15.35%1.66B
19.11%1.02B
19.11%1.02B
37.59%1.77B
39.30%1.72B
169.66%1.44B
Current debt and capital lease obligation
66.32%3.16B
66.32%3.16B
50.06%2.73B
1,209.86%930M
1.24%2.04B
-6.45%1.9B
-6.45%1.9B
20.08%1.82B
-2.74%71M
2,702.78%2.02B
-Current debt
66.32%3.16B
66.32%3.16B
50.06%2.73B
1,209.86%930M
1.24%2.04B
-6.45%1.9B
-6.45%1.9B
20.08%1.82B
-2.74%71M
2,702.78%2.02B
Current deferred liabilities
11.97%608M
11.97%608M
----
----
----
15.29%543M
15.29%543M
----
----
----
Current liabilities
31.18%5.8B
31.18%5.8B
30.42%5.35B
48.09%3.37B
8.88%4.27B
13.33%4.42B
13.33%4.42B
20.97%4.1B
12.46%2.28B
83.22%3.92B
Non current liabilities
Long term debt and capital lease obligation
-12.67%10.59B
-12.67%10.59B
-10.27%11.28B
-13.75%12.81B
-14.72%11.91B
-13.04%12.13B
-13.04%12.13B
-8.73%12.58B
-2.99%14.85B
-6.27%13.97B
-Long term debt
-12.67%10.59B
-12.67%10.59B
-10.27%11.28B
-13.75%12.81B
-14.72%11.91B
-13.04%12.13B
-13.04%12.13B
-8.73%12.58B
-2.99%14.85B
-6.27%13.97B
Non current deferred liabilities
0.53%188M
0.53%188M
23.33%185M
19.31%173M
19.86%175M
23.03%187M
23.03%187M
0.00%150M
-7.64%145M
-10.98%146M
Other non current liabilities
-1.18%925M
-1.18%925M
5.21%888M
3.21%869M
1.65%864M
145.03%936M
145.03%936M
129.35%844M
135.20%842M
134.81%850M
Total non current liabilities
-11.67%11.71B
-11.67%11.71B
-8.94%12.36B
-12.54%13.85B
-13.46%12.95B
-8.49%13.25B
-8.49%13.25B
-5.08%13.57B
0.09%15.84B
-3.01%14.97B
Total liabilities
-0.95%17.51B
-0.95%17.51B
0.20%17.71B
-4.93%17.22B
-8.82%17.22B
-3.86%17.67B
-3.86%17.67B
-0.09%17.67B
1.50%18.11B
7.49%18.89B
Shareholders'equity
Share capital
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
-common stock
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
0.00%1M
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
32.88%3.46B
32.88%3.46B
38.23%3.28B
46.90%3.15B
60.73%2.94B
54.39%2.6B
54.39%2.6B
27.90%2.37B
2.44%2.14B
-23.13%1.83B
Paid-in capital
-3.64%6.25B
-3.64%6.25B
-5.22%6.37B
-2.98%6.51B
-3.00%6.49B
-3.04%6.48B
-3.04%6.48B
0.67%6.72B
0.65%6.71B
0.57%6.69B
Less: Treasury stock
35.42%6.76B
35.42%6.76B
40.68%6.3B
30.55%5.85B
21.54%5.45B
11.38%4.99B
11.38%4.99B
0.00%4.48B
0.00%4.48B
0.00%4.48B
Gains losses not affecting retained earnings
-314.81%-58M
-314.81%-58M
247.37%84M
-29.27%-53M
-445.45%-38M
485.71%27M
485.71%27M
61.49%-57M
52.33%-41M
137.93%11M
Total stockholders'equity
-29.97%2.88B
-29.97%2.88B
-24.75%3.43B
-13.30%3.75B
-2.54%3.95B
6.11%4.12B
6.11%4.12B
16.74%4.55B
3.32%4.33B
-10.44%4.06B
Noncontrolling interests
2,071.43%276M
2,071.43%276M
318.81%221M
181.87%140M
131.72%72M
93.78%-14M
93.78%-14M
15.13%-101M
-812.50%-171M
-253.38%-227M
Total equity
-23.00%3.16B
-23.00%3.16B
-18.08%3.65B
-6.37%3.89B
5.12%4.03B
12.25%4.1B
12.25%4.1B
17.75%4.45B
-1.33%4.16B
-18.13%3.83B
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
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -28.50%3.65B-28.50%3.65B-24.51%4.21B-18.33%4.71B-24.13%4.96B-19.11%5.11B-19.11%5.11B-4.49%5.57B-10.60%5.77B1.59%6.53B
-Cash and cash equivalents -28.50%3.65B-28.50%3.65B-24.51%4.21B-18.33%4.71B-24.13%4.96B-19.11%5.11B-19.11%5.11B-4.49%5.57B-10.60%5.77B1.59%6.53B
Receivables -13.84%417M-13.84%417M5.90%413M29.76%436M28.05%420M81.27%484M81.27%484M85.71%390M112.66%336M123.13%328M
-Accounts receivable -13.84%417M-13.84%417M5.90%413M29.76%436M28.05%420M81.27%484M81.27%484M85.71%390M112.66%336M123.13%328M
Inventory 7.89%41M7.89%41M17.14%41M15.63%37M39.29%39M35.71%38M35.71%38M52.17%35M33.33%32M21.74%28M
Other current assets 21.33%182M21.33%182M-5.78%163M-3.90%148M11.02%141M8.70%150M8.70%150M25.36%173M28.33%154M16.51%127M
Total current assets -25.74%4.29B-25.74%4.29B-21.82%4.83B-15.23%5.33B-20.80%5.56B-14.34%5.78B-14.34%5.78B-0.56%6.17B-7.09%6.29B4.31%7.02B
Non current assets
Net PPE 2.24%14B2.24%14B3.86%14.17B-1.47%13.47B-0.58%13.39B0.80%13.69B0.80%13.69B2.43%13.64B0.57%13.67B-2.86%13.46B
-Gross PPE 3.80%26.55B3.80%26.55B3.86%14.17B-1.47%13.47B-0.58%13.39B4.57%25.58B4.57%25.58B2.43%13.64B0.57%13.67B-2.86%13.46B
-Accumulated depreciation -5.59%-12.56B-5.59%-12.56B-------------9.28%-11.89B-9.28%-11.89B------------
Goodwill and other intangible assets -8.86%545M-8.86%545M-8.05%560M-9.35%572M7.16%584M834.38%598M834.38%598M882.26%609M841.79%631M2,768.42%545M
-Goodwill -0.97%102M-0.97%102M------------930.00%103M930.00%103M--102M--110M----
-Other intangible assets -10.51%443M-10.51%443M------------816.67%495M816.67%495M--507M--521M--545M
Long-term notes receivables 5.86%1.26B5.86%1.26B5.06%1.25B4.16%1.23B3.33%1.21B2.49%1.19B2.49%1.19B-1.82%1.19B-1.75%1.18B-2.33%1.17B
Non current deferred assets 0.83%122M0.83%122M1.57%129M-8.82%124M-10.37%121M-7.63%121M-7.63%121M-23.03%127M-28.04%136M-27.42%135M
Other non current assets 12.50%450M12.50%450M9.79%426M6.52%392M0.78%387M12.36%400M12.36%400M-23.77%388M50.20%368M50.00%384M
Total non current assets 2.34%16.38B2.34%16.38B3.62%16.53B-1.25%15.78B-0.07%15.69B4.62%16B4.62%16B4.52%15.95B4.52%15.98B1.15%15.7B
Total assets -5.11%20.67B-5.11%20.67B-3.48%21.35B-5.20%21.11B-6.47%21.25B-1.18%21.78B-1.18%21.78B3.05%22.12B0.96%22.27B2.10%22.72B
Liabilities
Current liabilities
Payables 0.93%972M0.93%972M35.47%699M37.32%666M22.13%563M76.05%963M76.05%963M-12.84%516M-32.26%485M-57.28%461M
-accounts payable -1.80%164M-1.80%164M-7.33%139M10.37%149M44.44%156M87.64%167M87.64%167M64.84%150M77.63%135M56.52%108M
-Total tax payable -16.15%545M-16.15%545M4.69%223M42.69%244M49.71%256M141.64%650M141.64%650M-34.06%213M-61.05%171M-77.65%171M
-Other payable 80.14%263M80.14%263M120.26%337M52.51%273M-17.03%151M-22.75%146M-22.75%146M-14.04%153M-10.95%179M-25.71%182M
Current accrued expenses 4.43%1.06B4.43%1.06B8.77%1.92B3.14%1.77B15.35%1.66B19.11%1.02B19.11%1.02B37.59%1.77B39.30%1.72B169.66%1.44B
Current debt and capital lease obligation 66.32%3.16B66.32%3.16B50.06%2.73B1,209.86%930M1.24%2.04B-6.45%1.9B-6.45%1.9B20.08%1.82B-2.74%71M2,702.78%2.02B
-Current debt 66.32%3.16B66.32%3.16B50.06%2.73B1,209.86%930M1.24%2.04B-6.45%1.9B-6.45%1.9B20.08%1.82B-2.74%71M2,702.78%2.02B
Current deferred liabilities 11.97%608M11.97%608M------------15.29%543M15.29%543M------------
Current liabilities 31.18%5.8B31.18%5.8B30.42%5.35B48.09%3.37B8.88%4.27B13.33%4.42B13.33%4.42B20.97%4.1B12.46%2.28B83.22%3.92B
Non current liabilities
Long term debt and capital lease obligation -12.67%10.59B-12.67%10.59B-10.27%11.28B-13.75%12.81B-14.72%11.91B-13.04%12.13B-13.04%12.13B-8.73%12.58B-2.99%14.85B-6.27%13.97B
-Long term debt -12.67%10.59B-12.67%10.59B-10.27%11.28B-13.75%12.81B-14.72%11.91B-13.04%12.13B-13.04%12.13B-8.73%12.58B-2.99%14.85B-6.27%13.97B
Non current deferred liabilities 0.53%188M0.53%188M23.33%185M19.31%173M19.86%175M23.03%187M23.03%187M0.00%150M-7.64%145M-10.98%146M
Other non current liabilities -1.18%925M-1.18%925M5.21%888M3.21%869M1.65%864M145.03%936M145.03%936M129.35%844M135.20%842M134.81%850M
Total non current liabilities -11.67%11.71B-11.67%11.71B-8.94%12.36B-12.54%13.85B-13.46%12.95B-8.49%13.25B-8.49%13.25B-5.08%13.57B0.09%15.84B-3.01%14.97B
Total liabilities -0.95%17.51B-0.95%17.51B0.20%17.71B-4.93%17.22B-8.82%17.22B-3.86%17.67B-3.86%17.67B-0.09%17.67B1.50%18.11B7.49%18.89B
Shareholders'equity
Share capital 0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M
-common stock 0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M0.00%1M
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 32.88%3.46B32.88%3.46B38.23%3.28B46.90%3.15B60.73%2.94B54.39%2.6B54.39%2.6B27.90%2.37B2.44%2.14B-23.13%1.83B
Paid-in capital -3.64%6.25B-3.64%6.25B-5.22%6.37B-2.98%6.51B-3.00%6.49B-3.04%6.48B-3.04%6.48B0.67%6.72B0.65%6.71B0.57%6.69B
Less: Treasury stock 35.42%6.76B35.42%6.76B40.68%6.3B30.55%5.85B21.54%5.45B11.38%4.99B11.38%4.99B0.00%4.48B0.00%4.48B0.00%4.48B
Gains losses not affecting retained earnings -314.81%-58M-314.81%-58M247.37%84M-29.27%-53M-445.45%-38M485.71%27M485.71%27M61.49%-57M52.33%-41M137.93%11M
Total stockholders'equity -29.97%2.88B-29.97%2.88B-24.75%3.43B-13.30%3.75B-2.54%3.95B6.11%4.12B6.11%4.12B16.74%4.55B3.32%4.33B-10.44%4.06B
Noncontrolling interests 2,071.43%276M2,071.43%276M318.81%221M181.87%140M131.72%72M93.78%-14M93.78%-14M15.13%-101M-812.50%-171M-253.38%-227M
Total equity -23.00%3.16B-23.00%3.16B-18.08%3.65B-6.37%3.89B5.12%4.03B12.25%4.1B12.25%4.1B17.75%4.45B-1.33%4.16B-18.13%3.83B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------

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