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Las Vegas Sands (LVS)

Las Vegas Sands (LVS)
44.40 x 8 44.80 x 1
Post-market by (Cboe BZX)
44.71 +0.97 (+2.22%) 02/28/25 [NYSE]
44.40 x 8 44.80 x 1
Post-market 44.58 -0.13 (-0.29%) 19:43 ET
Financial Summary for Fri, Feb 28th, 2025
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Las Vegas Sands is a leading international developer of multi-use integrated resorts primarily operating in the U.S. and Asia. In the U.S., the company in its Las Vegas Operations has 3 properties' The Venetian Casino, Las Vegas, The Palazzo, Las Vegas and an Expo and Convention Center. In Asia, the company owns and operates several properties in Macao, China and one in Singapore. These properties are as follows: Macao Operations: Las Vegas Sands' integrated resort properties and other assets in Macao are owned and operated by Sands China Ltd., which is a majority-owned subsidiary of the company. The company's Macao business comprises the following resorts: Sands Macao, The Venetian Macao, Four Seasons Macao, The Parisian Macao and Sands Cotai Central (under development). Sands Cotai Centralis Las Vegas Sands' master-planned resort-casino project under development in the Cotai Strip, Macao. In 2016, the company opened The Parisian Macao, an integrated resort. Marina Bay Sands, Singapore: was opened in 2010.

Fiscal Year End Date: 12/31

(Values in U.S. Thousands) Dec, 2024 Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020
Sales 11,298,000 10,372,000 4,110,000 4,234,000 3,612,000
Sales Growth +8.93% +152.36% -2.93% +17.22% -73.71%
Net Income 1,446,000 1,221,000 1,832,000 -961,000 -1,685,000
Net Income Growth +18.43% -33.35% +290.63% +42.97% -162.45%
(Values in U.S. Thousands) Dec, 2024 Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020
Total Assets 20,666,000 21,778,000 22,039,000 20,059,000 20,807,000
Total Assets Growth -5.11% -1.18% +9.87% -3.59% -10.31%
Total Liabilities 17,506,000 17,674,000 18,383,000 17,811,000 17,269,000
Total Liabilities Growth -0.95% -3.86% +3.21% +3.14% +3.46%
(Values in U.S. Thousands) Dec, 2024 Dec, 2023 Dec, 2022 Dec, 2021 Dec, 2020
Operating Cash Flow 3,204,000 3,227,000 -944,000 -243,000 -1,312,000
Operating Cash Flow Growth -0.71% +441.84% -288.48% +81.48% -143.19%
Net Cash Flow -1,454,000 -1,207,000 4,511,000 -267,000 -2,105,000
Change in Net Cash Flow -20.46% -126.76% +1,789.51% +87.32% -402.39%
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