LVS Las Vegas Sands Corp.

Price (delayed)

$48.62

Market cap

$37.14B

P/E Ratio

110.5

Dividend/share

$3.1

EPS

$0.44

Enterprise value

$47.94B

Sector: Consumer Cyclical
Industry: Resorts & Casinos
Las Vegas Sands Corp. engages in the development of destination properties. Its properties feature accommodations, gaming, entertainment and retail, convention and exhibition facilities, celebrity chef restaurants, and other amenities. It operates through the following geographic segments: Macao, Singapore, and United States. The Macao segment handles the operations of The Venetian Macao; Sands Cotai Central; The Parisian Macao; The Plaza Macao and Four Seasons Hotel Macao; and Sands Macao. The Singapore segment includes the Marina Bay Sands. The United States segment consists of Las Vegas Operating Properties and Sands Bethlehem. The company was founded by Sheldon G. Adelson in August 2004 and is headquartered in Las Vegas, NV.

Highlights

The quick ratio has increased by 13% QoQ but it has decreased by 3.8% YoY
LVS's price to earnings (P/E) is 173% more than its last 4 quarters average of 40.5
Las Vegas Sands's EPS has shrunk by 84% QoQ and by 83% YoY

Key stats

What are the main financial stats of LVS
Market
Shares outstanding
763.8M
Market cap
$37.14B
Enterprise value
$47.94B
Valuations
Price to earnings (P/E)
110.5
Price to book (P/B)
9.98
Price to sales (P/S)
4.3
EV/EBIT
48.97
EV/EBITDA
22.52
EV/Sales
5.55
Earnings
Revenue
$8.64B
EBIT
$979M
EBITDA
$2.13B
Free cash flow
-$340M
Per share
EPS
$0.44
Free cash flow per share
-$0.45
Book value per share
$4.87
Revenue per share
$11.31
TBVPS
$28.35
Balance sheet
Total assets
$21.7B
Total liabilities
$17.17B
Debt
$13.84B
Equity
$3.72B
Working capital
$1.4B
Liquidity
Debt to equity
3.72
Current ratio
1.59
Quick ratio
1.52
Net debt/EBITDA
5.08
Margins
EBITDA margin
24.6%
Gross margin
45.6%
Net margin
3.9%
Operating margin
11.6%
Efficiency
Return on assets
1.5%
Return on equity
7.3%
Return on invested capital
3.4%
Return on capital employed
5.1%
Return on sales
11.3%
Dividend
Dividend yield
6.38%
DPS
$3.1
Payout ratio
704.5%

LVS stock price

How has the Las Vegas Sands stock price performed over time

Financial performance

How have Las Vegas Sands's revenue and profit performed over time
Revenue
$8.64B
Gross profit
$3.94B
Operating income
$1B
Net income
$341M
Gross margin
45.6%
Net margin
3.9%
The net income has dropped by 84% since the previous quarter and by 82% year-on-year
Las Vegas Sands's net margin has shrunk by 78% QoQ and by 72% YoY
The company's operating income has shrunk by 73% YoY and by 64% QoQ
The operating margin has plunged by 56% YoY and by 51% from the previous quarter

Valuation

What is Las Vegas Sands stock price valuation
P/E
110.5
P/B
9.98
P/S
4.3
EV/EBIT
48.97
EV/EBITDA
22.52
EV/Sales
5.55
LVS's price to earnings (P/E) is 173% more than its last 4 quarters average of 40.5
Las Vegas Sands's EPS has shrunk by 84% QoQ and by 83% YoY
The equity has contracted by 33% YoY and by 17% from the previous quarter
LVS's price to book (P/B) is 33% higher than its 5-year quarterly average of 7.5 and 13% higher than its last 4 quarters average of 8.8
Las Vegas Sands's revenue has decreased by 38% YoY and by 27% QoQ
The price to sales (P/S) is 23% higher than the last 4 quarters average of 3.5 and 19% higher than the 5-year quarterly average of 3.6

Efficiency

How efficient is Las Vegas Sands business performance
Las Vegas Sands's return on assets has shrunk by 84% QoQ and by 82% YoY
LVS's return on equity has dropped by 82% since the previous quarter and by 78% year-on-year
The return on invested capital has dropped by 75% year-on-year and by 69% since the previous quarter
Las Vegas Sands's return on sales has shrunk by 57% YoY and by 56% QoQ

Dividends

What is LVS's dividend history
DPS
$3.1
Dividend yield
6.38%
Payout ratio
704.5%
Recent dividends

Financial health

How did Las Vegas Sands financials performed over time
The company's total assets is 26% higher than its total liabilities
The quick ratio has increased by 13% QoQ but it has decreased by 3.8% YoY
The company's current ratio rose by 10% QoQ but it fell by 3% YoY
The company's debt to equity has surged by 72% YoY and by 36% QoQ
The equity has contracted by 33% YoY and by 17% from the previous quarter

All financial data is based on trailing twelve months (TTM) periods - updated quarterly, unless otherwise specified.