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L'Oreal S.A. (UK) (GB:0NZM)
:0NZM
UK Market

L'Oreal (0NZM) Financial Statements

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L'Oreal Financial Overview

L'Oreal's market cap is currently €190.21B. The company's EPS TTM is €11.986; its P/E ratio is 29.80; and it has a dividend yield of 1.85%. L'Oreal is scheduled to report earnings on February 6, 2025, and the estimated EPS forecast is €7.38. See an overview of income statement, balance sheet, and cash flow financials.
Dec 24Dec 23Dec 22Dec 21Dec 20
Income Statement
Total Revenue€ 43.49B€ 41.18B€ 38.26B€ 32.29B€ 27.99B
Gross Profit€ 32.26B€ 30.42B€ 27.36B€ 23.82B€ 20.47B
Operating Income€ 8.25B€ 8.14B€ 7.04B€ 6.15B€ 5.22B
EBITDA€ 10.11B€ 9.66B€ 9.16B€ 7.54B€ 6.47B
Net Income€ 6.41B€ 6.18B€ 5.71B€ 4.60B€ 3.56B
Balance Sheet
Cash & Short-Term Investments€ 4.05B€ 4.32B€ 2.62B€ 2.71B€ 6.41B
Total Assets€ 56.35B€ 51.86B€ 46.84B€ 43.01B€ 43.61B
Total Debt€ 8.49B€ 8.69B€ 5.65B€ 6.30B€ 2.55B
Net Debt€ 4.44B€ 4.40B€ 3.03B€ 3.59B€ -3.86B
Total Liabilities€ 23.22B€ 22.77B€ 19.66B€ 19.42B€ 14.61B
Stockholders' Equity€ 33.13B€ 29.07B€ 27.18B€ 23.59B€ 28.99B
Cash Flow
Free Cash Flow€ 6.64B€ 6.12B€ 4.93B€ 5.65B€ 5.48B
Operating Cash Flow€ 8.29B€ 7.60B€ 6.28B€ 6.73B€ 6.45B
Investing Cash Flow€ -3.70B€ -4.14B€ -2.22B€ -1.63B€ -2.64B
Financing Cash Flow€ -4.79B€ -1.61B€ -4.08B€ -8.86B€ -2.59B
Currency in EUR

L'Oreal Earnings and Revenue History

L'Oreal Debt to Assets

L'Oreal Cash Flow

L'Oreal Forecast EPS vs Actual EPS

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