Lam Research
NasdaqGS:LRCX
$ 228,36
$-5,63 (-2,41%)
228,36 $
$-5,63 (-2,41%)
End-of-day quote: 03/20/2026

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

$4,14
Earnings Per Share
$14,57
Revenue Per Share
48,71%
Gross Margin %
$285,17 B
Market Cap
$3,72 B
Long-Term Debt
Earnings Per Share
$4,14
Revenue Per Share
$14,57
Gross Margin %
48,71%
Market Cap
$285,17 B
Long-Term Debt
$3,72 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 $4,14 $3,03 $3,41 $3,31 $2,73 $1,60 $1,46 $1,79 $1,00 $0,64 $0,51 $0,44 $0,22 $0,21 $0,59 $0,29 $-0,10 $0,39 $0,47 $0,25
Earnings Earnings $5,24B $3,94B $4,52B $4,53B $3,88B $2,33B $2,11B $2,82B $1,62B $1,03B $806,75M $713,13M $358,93M $382,84M $730,33M $360,10M $-126,64M $489,17M $580,61M $354,65M
RPS Revenue Per Share $14,57 $11,48 $13,15 $12,58 $10,30 $6,90 $6,68 $7,03 $4,93 $3,67 $3,32 $2,84 $2,21 $1,46 $2,62 $1,72 $0,88 $1,97 $2,08 $1,16
Revenue Revenue $18,44B $14,91B $17,43B $17,23B $14,63B $10,04B $9,65B $11,08B $8,01B $5,89B $5,26B $4,61B $3,60B $2,67B $3,24B $2,13B $1,12B $2,47B $2,57B $1,64B
OCF Operating Cash Flow $6,17B $4,65B $5,18B $3,10B $3,59B $2,13B $3,18B $2,66B $2,03B $1,35B $785,50M $717,05M $719,93M $499,03M $881,03M $350,71M $-78,13M $588,16M $823,56M $0,00M
FCF Free Cash Flow $5,41B $4,26B $4,68B $2,55B $3,24B $1,92B $2,87B $2,38B $1,87B $1,17B $587,24M $571,55M $559,14M $391,76M $753,53M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 32,01% 29,02% 30,38% 31,24% 30,64% 26,62% 25,53% 29,01% 23,86% 18,25% 16,68% 14,88% 3,28% 8,88% 25,20% 21,10% -10,29% 21,43% 30,34% 24,65%
GM % Gross Margin % 48,71% 47,61% 45,07% 45,69% 46,53% 45,88% 45,15% 46,63% 44,97% 44,49% 43,62% 43,57% 38,99% 40,64% 46,24% 45,62% 36,72% 47,92% 50,85% 50,36%
FCFS Free Cash Flow Per Share $4,21 $3,24 $3,45 $1,83 $2,26 $1,33 $1,88 $1,47 $1,15 $0,74 $0,37 $0,35 $0,33 $0,32 $0,61 $0,25 $-0,10 $0,41 $0,55 $0,23
LT Debt Long-Term Debt $3,72B $4,47B $4,96B $4,96B $4,96B $4,96B $3,77B $1,78B $1,79B $3,38B $993,96M $806,90M $964,32M $939,64M $738,49M $17,65M $40,89M $276,50M $250,00M $350,00M
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