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LVS Stock Annual Cash Flow. Download in Excel

Las Vegas Sands Corp. logo

Las Vegas Sands Corp.

Sector: Consumer Cyclical   

Industry: Resorts & Casinos

50.07
 
USD
  
0.16
  
(0.32%)
Previous close: 49.91  Open: 49.41  Bid: 50.05  Ask: 50.44
52 week range    
36.62   
   55.66
Mkt Cap: 35,657 M  Avg Vol (90 Days): 6,545,928
Peers   
WYNN / 
MGM / 
CNTY / 
BYD / 
MCRI / 
Last updated: Friday 22nd November 2024

Stock Rankings

49
MarketXLS Rank
75
Value
38
Technical
36
Quality
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Financials

LVS Cash Flow

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in inventories-30000.0-1 M
(Increase) Decrease in other current assets-36 M22 M-40 M-63 M-6 M
(Increase) Decrease in other current liabilities-295 M246 M178 M390 M-53 M-848 M-116 M229 M581 M
(Increase) Decrease in other working capital6 M-36 M22 M-25 M-63 M14 M-5 M2 M-50 M
(Increase) Decrease in payables55 M-1000000.019 M40 M8 M-26 M-42 M-11 M11 M76 M
(Increase) Decrease in receivables37 M49 M319 M83 M-119 M-150 M339 M43 M-78 M-217 M
Amortization of intangibles37 M35 M34 M33 M30 M46 M55 M56 M55 M58 M
AssetImpairmentCharge187 M156 M173 M96 M5 M30 M86 M3 M15 M4 M
CapitalExpenditureReported1,179 M1,529 M1,445 M837 M949 M1,269 M1,227 M828 M651 M1,017 M
Cash at beginning of period3,600 M3,506 M2,179 M2,138 M2,430 M4,661 M4,242 M2,137 M1,925 M6,436 M
Cash at end of period3,506 M2,179 M2,128 M2,430 M4,661 M4,242 M2,137 M1,870 M6,436 M5,229 M
Cash flow4,833 M3,450 M4,044 M4,543 M4,701 M3,038 M-1,191 M-243 M-944 M3,227 M
Cash from disc. financing activities205 M-179 M-5,032 M
Cash from disc. investing activities-103 M-63 M4,883 M
CashFlowFromContinuingInvestingActivities-1,177 M-1,528 M-1,442 M-822 M-930 M-103 M-1,226 M-832 M-721 M-1,254 M
CashFromDiscontinuedOperatingActivities-121 M258 M149 M
ChangeInAccountPayable-5 M-1000000.019 M40 M8 M-26 M-42 M-11 M11 M76 M
ChangeInAccruedExpense-177 M-290 M
ChangeInIncomeTaxPayable61 M-4 M
ChangeInInterestPayable2 M-6 M
ChangeInPayablesAndAccruedExpense-121 M-1000000.019 M40 M8 M-26 M-42 M-11 M11 M76 M
ChangeInPrepaidAssets-27 M12 M
ChangeInTaxPayable61 M-4 M
ChangeInWorkingCapital-110 M-241 M548 M323 M254 M-292 M-537 M-89 M164 M390 M
ChangesInAccountReceivables37 M49 M319 M83 M-119 M-150 M339 M43 M-78 M-217 M
CommonStockDividendPaid-2,924 M-2,943 M-2,979 M-3,000 M-911 M-305 M
CommonStockPayments-1,677 M-205 M-375 M-905 M-754 M-505 M
Current deferred income taxes-3 M19 M24 M-497 M113 M157 M24 M-45 M-2 M44 M
Deferred income taxes-3 M19 M24 M-497 M113 M157 M24 M-45 M-2 M44 M
Depreciation1,032 M999 M1,111 M1,171 M1,111 M1,165 M997 M1,041 M1,036 M1,208 M
Depreciation unreconciled1,119 M1,078 M1,189 M1,246 M1,176 M1,244 M1,095 M1,149 M1,148 M1,327 M
DepreciationAndAmortization1,119 M1,078 M1,189 M1,246 M1,176 M1,244 M1,052 M1,097 M1,091 M1,266 M
Effect of exchange rate changes-29 M-42 M-22 M58 M-18 M14 M-24 M-16 M22 M8 M
ExcessTaxBenefitFromStockBasedCompensation-4 M-9 M-1000000.0
FinancingCashFlow-3,722 M-3,207 M-2,631 M-3,487 M-1,522 M-3,368 M560 M863 M1,122 M-3,188 M
Free cash flow3,656 M1,923 M2,604 M3,721 M3,771 M1,774 M-2,538 M-1,064 M-1,586 M2,213 M
GainLossOnSaleOfBusiness-556 M
GainLossOnSaleOfPPE7 M35 M79 M
IssuanceOfDebt292 M-321 M276 M-204 M2,415 M464 M1,478 M835 M1,134 M-2,069 M
Net cash from financing activities-3,722 M-3,207 M-2,631 M-3,487 M-1,522 M-3,368 M355 M863 M6,154 M-3,188 M
Net cash from investing activities-1,177 M-1,528 M-1,442 M-822 M-930 M-103 M-1,329 M-832 M4,162 M-1,254 M
Net cash from operating activities4,833 M3,450 M4,044 M4,543 M4,701 M3,038 M-1,312 M-243 M-795 M3,227 M
Net change in cash & cash equivalents-94 M-1,327 M-51 M292 M2,231 M-433 M-2,081 M-196 M4,489 M-1,215 M
Net income from continuing operations3,588 M2,386 M2,016 M3,263 M2,951 M3,304 M-1,900 M-1,469 M-1,541 M1,431 M
NetBusinessPurchaseAndSale1,161 M
NetCommonStockIssuance-1,677 M-205 M-375 M-905 M-754 M-505 M
NetForeignCurrencyExchangeGainLoss-12 M-21 M-21 M53 M-26 M-21 M-20 M34 M-10 M7 M
NetIntangiblesPurchaseAndSale-47 M-53 M
NetInvestmentPropertiesPurchaseAndSale270000.0-1000000.0-2 M-1000000.0-11 M-79 M-240 M
NetInvestmentPurchaseAndSale270000.0-1000000.0-2 M-1000000.0-11 M-79 M-240 M
NetIssuancePaymentsOfDebt292 M-321 M276 M-204 M2,415 M464 M1,478 M835 M1,134 M-2,069 M
NetLongTermDebtIssuance292 M-321 M276 M-204 M2,415 M464 M1,478 M835 M1,134 M-2,069 M
NetPPEPurchaseAndSale-1,177 M-1,527 M-1,393 M-822 M-930 M-1,211 M-1,226 M-821 M-642 M-1,014 M
Operating (gains) losses-5 M14 M-21 M53 M-26 M-577 M-20 M34 M-10 M7 M
Other financing charges net-2,393 M-2,698 M-2,923 M-205 M178 M5,031 M-281 M
Other investing changes net270000.0-1000000.0-2 M-1000000.0-11 M-79 M-240 M
Other non-cash items244 M194 M288 M155 M233 M-798 M147 M177 M-703 M28 M
Payment of cash dividends2,924 M2,943 M2,979 M3,000 M911 M305 M
ProceedsFromStockOptionExercised56 M17 M17 M40 M79 M54 M24 M19 M4 M
Purchase of property plant & equipment-1,177 M-1,527 M-1,440 M-822 M-930 M-1,264 M-1,226 M-821 M-642 M-1,014 M
Purchase of short term investments2,498 M2,089 M2,296 M654 M7,593 M4,000 M1,945 M2,702 M1,200 M
PurchaseOfIntangibles-47 M-53 M
PurchaseOfPPE-1,179 M-1,529 M-1,398 M-837 M-949 M-1,216 M-1,227 M-828 M-651 M-1,017 M
Repayment of debt-2,206 M-2,410 M-2,020 M-858 M-5,178 M-3,536 M-467 M-1,867 M-66 M-2,069 M
RepaymentOfDebt-2,206 M-2,410 M-2,020 M-858 M-5,178 M-3,536 M-467 M-1,867 M-66 M-2,069 M
Repurchase of capital stock-1,677 M-205 M-375 M-905 M-754 M-505 M
Revenue per share88 M79 M78 M75 M65 M79 M98 M108 M112 M119 M
SaleOfBusiness1,161 M
SaleOfPPE2 M2 M5 M15 M19 M5 M1000000.07 M9 M3 M
StockBasedCompensation48 M46 M34 M34 M30 M35 M22 M22 M39 M44 M
UnrealizedGainLossOnInvestmentSecurities-1000000.01000000.0-1000000.0
Call: 1-877-778-8358
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