Live Nation Entertainment, Inc.

NYSE:LYV

127.02 (USD) • At close November 13, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,231.8665,606.4574,884.7292,537.7872,470.3622,371.541,825.3221,526.5911,303.1251,382.0291,299.1841,001.055844.253892.758236.955199.66338.991313.88403.716179.137116.3600
Kortetermijnbeleggingen 00000000000000000000000
Liquide middelen en kortetermijnbeleggingen 6,231.8665,606.4574,884.7292,537.7872,470.3622,371.541,825.3221,526.5911,303.1251,382.0291,299.1841,001.055844.253892.758236.955199.66338.991313.88403.716179.137116.3600
Nettovorderingen 2,112.91,465.3831,066.573486.7341,029.448844.52725.304568.936452.6419.301439.151415.79389.346329.947176.179217.286264.316248.772190.207167.868180.38700
Voorraad 45.14138.72533.8262216.10612.57517.46715.11414.38812.82412.2712.03412.947348.309277.599194.35520.18812.369115.055180.863180.93100
Overige vlottende activa 1,187.8471,048.957698.965603.247676.983619.439584.649562.91518.202453.537409.499383.933330.244380.792304.732222.872210.913163.088161.769107.677126.8700
Totaal vlottende activa 9,577.7548,159.5226,684.0933,649.7684,192.8993,848.0743,152.7422,673.5512,288.3152,267.6912,160.1041,812.8121,576.791,603.497717.866639.818834.408738.109755.692472.557423.61700
Niet-vlottende activa:
Materiële vaste activa, netto 3,707.8523,059.0582,630.842,525.6372,519.951946.593885.936751.536731.282695.337706.8721.786720.136737.064749.984887.735915.045876.172808.919793.316782.15400
Goodwill 2,691.4662,529.382,590.8692,129.2031,998.4981,822.9431,754.5891,747.0881,604.3151,479.0371,466.9831,357.8271,257.6441,226.416204.672205.296471.542423.169137.1144.813127.07600
Immateriële activa 1,538.971,419.3341,395.3661,224.6581,239.0951,030.3051,098.2881,180.7971,147.081,052.1931,053.31,101.9261,250.8721,372.482470.889514.469382.99973.398149.46114.83815.63300
Goodwill en immateriële activa 4,230.4363,948.7143,986.2353,353.8613,237.5932,853.2482,852.8772,927.8852,751.3952,531.232,520.2832,459.7532,508.5162,598.898675.561719.765854.541496.567149.46159.651142.70900
Langetermijnbeleggingen 447.494408.789293.645170.494167.603137.211105.27182.03281.811127.22239.77846.1655.79630.0772.07718.51923.44361.34230.6627.00219.71700
Belastingvorderingen 00259.052498.262722.424137.067137.635197.811199.472196.759161.637199.596186.298219.1430.206-18.519-23.443-61.342-30.667.119.19800
Overige niet-vlottende activa 1,110.509884.758548.453391.281135.145574.693369.802131.451103.966170.12294.91950.69940.2356.881196.065231.339148.109114.15462.512119.07118.3200
Totaal niet-vlottende activa 9,496.2918,301.3197,718.2256,939.5356,782.7164,648.8124,351.5214,090.7153,867.9263,720.673,523.4173,477.9943,510.9813,592.0631,623.8931,838.8391,917.6951,486.8931,020.8921,006.1491,072.09800
Totaal activa 19,074.04516,460.84114,402.31810,589.30310,975.6158,496.8867,504.2636,764.2666,156.2415,988.3615,683.5215,290.8065,087.7715,195.562,341.7592,478.6572,752.1032,225.0021,776.5841,478.7061,495.7151,518.6445,391.088
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 267.493180.076110.62386.356100.2371,127.4151,034.303781.505721.548732.259767.573660.671561.583539.17750.84453.56379.27340.64637.65431.4441.29800
Kortlopende schulden 1,451.228900.496832.684267.709281.69582.142347.59353.31742.35247.485278.40362.0552.63254.1541.03248.63736.34531.72125.7051.2141.28300
Belastingschulden 00000000000000000000000
Uitgestelde opbrengsten 3,398.0283,134.82,774.7921,839.3231,391.0321,227.797925.22804.973618.64543.122486.433402.002273.536335.539284.536225.664259.868230.179232.7540335.800
Overige kortlopende verplichtingen 4,843.1544,087.9433,137.6231,603.1812,334.6351,312.5121,269.884820.549718.666687.915723.109643.449604.802545.355375.822443.373529.984471.414405.507546.691505.1700
Totaal kortlopende verplichtingen 9,959.9038,303.3156,855.7223,796.5694,107.5993,749.8663,5772,460.3442,101.2062,010.7812,255.5181,768.1721,492.5531,474.221752.234771.237905.47773.96701.62579.345547.75100
Langlopende verplichtingen:
Langetermijnschulden 7,138.9176,937.9926,751.5486,300.774,645.7432,732.8781,952.3662,259.7362,002.6622,024.9151,530.4841,677.9551,663.0561,677.714699.037837.076786.261607.425341.136649.461616.55500
Uitgestelde opbrengsten niet-vlottend 60.55556.953116.68288.64134.3927.5049.5695.5066.1284.7685.1023.6015.1190000000000
Uitgestelde belastingverplichtingen niet-vlottend 324.698305.524236.549170.759178.173137.067137.635197.811199.472196.759161.637199.596186.298219.143000000000
Overige niet-vlottende verplichtingen 109.10693.49478.3593.86796.258177.473164.822144.285136.13998.43679.93390.808115.574215.273165.047186.36131.465128.7970.76683.44139.40300
Totaal niet-vlottende verplichtingen 7,633.2767,393.9637,183.1296,654.0374,954.5643,074.9222,264.3922,607.3382,344.4012,324.8781,777.1561,971.961,970.0472,112.13864.0841,023.436917.726736.215411.902738.458755.95800
Totaal passiva 17,593.17915,697.27814,038.85110,450.6069,062.1636,824.7885,841.3925,067.6824,445.6074,335.6594,032.6743,740.1323,462.63,586.3511,616.3181,794.6731,823.1961,510.1751,113.5221,317.8031,303.7091,287.730
Eigen vermogen:
Preferente aandelen 0000000000000040404040400000
Gewone aandelen 2.2982.2852.222.1452.1132.0912.0692.0342.022.0041.9781.8771.8681.7240.860.7850.7490.6720.6720000
Ingehouden winsten -2,407.949-2,971.229-3,327.737-2,676.833-949.334-1,019.223-1,079.472-1,073.457-1,075.111-1,042.603-951.796-908.418-745.191-662.175-433.785-362.706-130.941-119.005-87.563-4,187.855-4,204.11500
Overige gereserveerde algehele resultaten 27.45-90.076-147.964-177.009-145.713-145.231-108.542-176.707-111.657-70.01-2.37-10.923-36.374-22.2444.199-0.96156.4120.719-6.417-13.5214.95100
Overige totale aandeelhoudersvermogen 2,361.0532,691.4512,890.832,379.9252,238.7542,261.3442,367.1412,374.1462,421.7012,407.5632,361.4162,272.8822,240.82,047.1111,001.043975.703917.258656.276650.00804,387.447230.9143,701.975
Totaal eigen vermogen van aandeelhouders -17.148-367.569-582.651-471.7721,145.821,098.9811,181.1961,126.0161,236.9531,296.9541,409.2281,355.4181,461.1031,364.416652.317622.262867.066638.662636.7156.976188.283230.9143,701.975
Totaal eigen vermogen 1,480.866763.563363.467138.6971,913.4521,672.0981,662.8711,696.5841,710.6341,652.7021,650.8471,550.6741,625.1711,609.209725.441683.984928.907714.827663.062160.903192.006230.9143,701.975
Totaal passiva en aandeelhoudersvermogen 19,074.04516,460.84114,402.31810,589.30310,975.6158,496.8867,504.2636,764.2666,156.2415,988.3615,683.5215,290.8065,087.7715,195.562,341.7592,478.6572,752.1032,225.0021,776.5841,478.7061,495.7151,518.6445,391.088