Las Vegas Sands
NYSE:LVS
$ 54,32
+ $0,44 (0,82%)
54,32 $
+$0,44 (0,82%)
End-of-day quote: 04/01/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$3,01
Earnings Per Share
$19,37
Revenue Per Share
79,98%
Gross Margin %
$36,20 B
Market Cap
$14,58 B
Long-Term Debt
Earnings Per Share
$3,01
Revenue Per Share
$19,37
Gross Margin %
79,98%
Market Cap
$36,20 B
Long-Term Debt
$14,58 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $3,01 $2,27 $1,89 $-1,20 $-1,18 $-2,12 $3,26 $3,32 $3,04 $2,33 $2,55 $3,58 $2,90 $2,14 $2,02 $0,98 $0,07 $0,11 $0,87 $1,42
Earnings Earnings $2,02B $1,63B $1,42B $-917,08M $-901,47M $-1,62B $2,49B $2,57B $2,40B $1,85B $2,03B $2,86B $2,35B $1,76B $1,48B $693,34M $46,22M $71,80M $309,01M $503,28M
RPS Revenue Per Share $19,37 $15,78 $13,76 $5,38 $5,54 $4,73 $17,99 $17,71 $16,32 $14,37 $14,71 $18,28 $16,97 $14,19 $12,86 $9,69 $6,91 $6,73 $8,31 $6,31
Revenue Revenue $13,02B $11,30B $10,37B $4,11B $4,23B $3,61B $13,74B $13,73B $12,88B $11,41B $11,69B $14,58B $13,77B $11,68B $9,41B $6,85B $4,56B $4,39B $2,95B $2,24B
OCF Operating Cash Flow $3,41B $3,20B $3,23B $-1,05B $-243,00M $-1,31B $3,04B $4,70B $4,54B $4,04B $3,45B $4,83B $4,44B $3,06B $2,66B $1,87B $638,61M $127,79M $365,46M $-196,72M
FCF Free Cash Flow $2,13B $1,64B $2,21B $2,87B $-1,07B $-2,64B $858,00M $3,75B $3,71B $2,65B $1,92B $3,65B $3,54B $1,61B $1,15B $-153,83M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 23,55% 21,70% 22,56% -19,05% -15,64% -44,90% 28,42% 28,41% 27,37% 23,60% 24,61% 28,15% 25,18% 22,08% 25,50% 18,02% 4,22% 4,76% 11,22% 25,78%
GM % Gross Margin % 79,98% 79,40% 79,32% 62,90% 66,79% 55,54% 82,11% 78,99% 78,56% 78,30% 75,98% 78,77% 78,38% 77,18% 76,59% 75,41% 70,05% 67,45% 40,83% 47,96%
FCFS Free Cash Flow Per Share $2,58 $2,21 $2,58 $-2,06 $-1,08 $-3,32 $2,55 $4,77 $4,68 $3,27 $2,42 $4,53 $4,25 $1,99 $1,48 $-0,44 $-2,36 $-9,34 $-9,82 $-5,99
LT Debt Long-Term Debt $14,58B $10,47B $12,12B $13,93B $14,71B $13,92B $12,41B $11,86B $9,33B $9,43B $9,25B $9,89B $9,38B $10,13B $9,58B $9,37B $10,85B $10,36B $7,52B $4,14B
Sha. Stocks 671,88M 715,91M 753,6M 764,23M 763,96M 763,83M 763,67M 775,01M 789,41M 793,9M 794,5M 798M 811,65M 823,3M 732,01M 707,49M 660,26M 652,75M 355,18M 354,42M
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