Skechers U.S.A.
NYSE:SKX
$ 63,13
$-0,07 (-0,11%)
63,13 $
$-0,07 (-0,11%)
End-of-day quote: 09/11/2025

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

This stock is no longer listed on the stock exchange.

$4,16
Earnings Per Share
$60,06
Revenue Per Share
53,15%
Gross Margin %
$9,49 B
Market Cap
$0,07 B
Long-Term Debt
Earnings Per Share
$4,16
Revenue Per Share
$60,06
Gross Margin %
53,15%
Market Cap
$9,49 B
Long-Term Debt
$0,07 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $4,16 $3,49 $2,38 $2,59 $0,65 $2,25 $1,92 $1,78 $1,57 $1,64 $0,91 $0,37 $0,07 $-0,19 $0,93 $0,39 $0,40 $0,54 $0,52
Earnings Earnings $621,30M $534,95M $369,57M $395,73M $102,54M $353,05M $302,28M $285,19M $248,56M $256,38M $142,01M $56,43M $10,62M $-28,50M $134,52M $54,53M $55,43M $74,29M $70,89M
RPS Revenue Per Share $60,06 $52,19 $47,94 $41,14 $29,14 $33,27 $29,48 $25,99 $22,51 $20,13 $15,23 $12,11 $10,28 $10,71 $13,87 $10,27 $10,40 $10,13 $8,84
Revenue Revenue $8,97B $8,00B $7,44B $6,29B $4,60B $5,22B $4,64B $4,16B $3,56B $3,15B $2,38B $1,85B $1,56B $1,61B $2,01B $1,44B $1,44B $1,39B $1,21B
OCF Operating Cash Flow $687,39M $1,23B $238,33M $212,15M $331,45M $426,55M $568,55M $159,34M $361,62M $232,21M $163,88M $98,98M $0,00M $164,92M $-47,38M $0,00M $0,00M $101,36M $0,00M
FCF Free Cash Flow $270,60M $907,44M $-120,67M $-97,52M $21,54M $190,44M $425,52M $23,36M $242,15M $114,07M $106,98M $57,68M $-55,90M $42,68M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 10,08% 9,83% 7,34% 9,48% 2,90% 9,89% 9,39% 9,16% 10,36% 11,11% 8,76% 5,05% 1,42% -5,37% 9,78% 5,10% 4,13% 8,08% 9,31%
GM % Gross Margin % 53,15% 51,90% 47,22% 49,51% 47,81% 47,95% 48,13% 46,77% 46,08% 45,45% 45,29% 44,58% 44,05% 39,12% 45,56% 43,30% 41,46% 43,21% 43,61%
FCFS Free Cash Flow Per Share $1,78 $5,87 $-0,78 $-0,63 $0,14 $1,24 $2,73 $0,15 $1,57 $0,75 $0,70 $0,38 $-0,38 $0,29 $-0,91 $0,54 $-0,68 $0,52 $-0,01
LT Debt Long-Term Debt $68,45M $242,94M $216,49M $263,45M $679,42M $49,18M $88,12M $71,10M $67,16M $68,94M $15,08M $116,49M $128,52M $76,53M $51,65M $15,64M $16,19M $16,46M $106,81M
Sha. Stocks 149,35M 153,28M 155,28M 152,79M 157,75M 156,91M 157,44M 160,22M 158,32M 156,33M 156,06M 152,5M 151,78M 149,99M 144,65M 139,81M 138,58M 137,58M 136,33M
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