Live Nation Entertainment, Inc.

NYSE:LYV

102.8 (USD) • At close September 18, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operationele Activiteiten:
Nettowinst 734.317409.193-608.786-1,827.79118.21290.347.77420.297-15.769-104.45-36.015-161.897-70.403-208.036-49.734-231.765-11.936-31.442-130.61916.2657.032
Afschrijvingen & Amortisatie 516.797449.976416.277485.025443.991386.529455.534403.651397.241368.143368.923429.557343.018321.666162.694152.186122.923128.90364.63164.09563.436
Uitgestelde Inkomstenbelasting -44.0187.199-9.639-37.877-0.465-6.247-71.539-7.891-9.611-17.664-15.888-10.957-45.603-25.021-8.6988.1327.64910.334114.51354.41179.607
Aandelen Gebaseerde Vergoedingen 115.959110.049209.337116.88948.78545.58242.75532.72333.36139.02928.41537.06350.04552.39516.67534.55603.4321.25600
Verandering in Werkkapitaal -159.985637.8531,773.99379.457-287.907266.328128.98982.19-141.331-140.30851.47757.996-147.709-25.019-18.428-150.338-49.79-85.4730.58537.49229.207
Vorderingen -550.67-463.977-485.211490.588-159.792-135.429-133.02-146.128-67.235-14.35611.544-20.319-79.807-4.58134.4852.130-53.554-15.91100
Voorraden -202.834095.533141.631-170.486-266.241-239.065-129.748-122.872-231.56-111.108-110.8829.20920.862-13.959-25.6030-34.056-49.52200
Crediteuren 460.4961,002.1581,315.722-1,379.461-45.92323.459474.301193.775-4.17231.878114.25364.4376.8170.386-4.586-48.47303.90241.94600
Overig Werkkapitaal 133.02399.672847.949826.69988.291344.53926.773164.29152.94873.7336.788124.76-83.928-41.686-34.368-78.392-49.79-1.76254.07237.49229.207
Overige Niet-Contante Posten 207.724217.793-0.614101.658147.167159.05459.49366.5236.311124.65920.5615.3366.35742.533-45.234134.39329.191-9.037-66.453-52.36-90.569
Kasstroom uit Operationele Activiteiten 1,370.7941,832.0631,780.568-1,082.638469.783941.586623.006597.49300.202269.409417.472367.098135.705158.51857.275-52.83649.8116.7213.913119.898138.713
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -475.257-353.286-159.834-222.609-365.827-275.463-249.412-180.061-142.491-142.937-135.39-138.373-110.091-77.368-92.13-252.38-164.417-417.563-92.52-73.435-69.936
Netto Overnames -70.932-344.514-404.408-33.322-292.351-166.725-73.116-240.546-121.778-229.843-103.165-79.429-39.465488.957-12.786-19.657-124.285-351.858-8.46700
Aankoop van Beleggingen -37.198-91.186-6.854-19.003-57.28-46.497-25.17-28.922-21.9980-9.6280-15.770-0.555-0.25-5.261-18.395000
Verkoop/verval van Beleggingen 0.5455.226.85419.00357.280000022.995028.64600.695198.6653.6166.17000
Overige Investeringsactiviteiten -112.963-0.925-2.7231.869-32.822-54.721-5.058-5.87-26.716-11.51481.52514.011-15.33741.398174.8656.026149.288406.483-5.062-10.64117.976
Kasstroom uit Investeringsactiviteiten -695.805-784.691-566.962-224.062-691-496.909-327.586-426.477-290.985-384.294-143.663-203.791-152.017452.98770.089-67.596-141.059-375.163-106.049-84.076-51.96
Financieringsactiviteiten:
Schuldaflossingen -330.383-45.792-109.705-30.987-437.267-400.396-110.855-606.831-63.569-253.773-886.597-525.06-55.145-1,233.02-705.795000-220.981-7.55-56.894
Uitgifte van Gewone Aandelen 19.26435.775449.6330.64714.10422.56851.06920.29916.2800076.49201.5536.090.466019.500
Terugkoop van Gewone Aandelen -9.484-76.925-45.845-47.539-15.353-55.005-5.452-4.10700000-40-8.47-28.6280-24.717-18.00300
Uitgekeerde Dividenden 000000000000000000-76.70500
Overige Financieringsactiviteiten -342.76220.527923.0971,414.103768.654589.18-16.228706.04327.1494.637919.581505.169-65.7261,322.1061,198.48956.522109.722293.011641.62730.8040
Kasstroom uit Financieringsactiviteiten 6.885-143.341,171.3321,349.332328.889188.784-127.08399.212-36.469240.86432.984-19.891-44.37949.086-116.96433.984110.188268.294345.43823.254-56.894
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 38.874-179.45-43.58529.565-11.633-84.08130.394-46.759-51.652-43.134-8.66413.38612.186-4.78826.895-52.8836.1720.313-28.7233.701-18.396
Netto Kasstroomverandering 626.582724.5822,341.35372.19796.039549.381298.731223.466-78.90482.845298.129156.802-48.505655.80337.295-139.33125.111-89.836224.57962.77711.463
Kaspositie aan het Einde van de Periode 6,238.9565,612.3744,887.7922,546.4392,474.2422,378.2031,825.3221,526.5911,303.1251,382.0291,299.1841,001.055844.253892.758236.955199.66338.991313.88403.716179.137116.36