
Lvmuy's financials show a significant increase in revenue, with a 25% growth from 2020 to 2021, reaching $1.5 million in revenue.
This growth is largely due to the company's expansion into new markets, which has allowed them to tap into new customer bases.
Lvmuy's gross profit margin has also improved, increasing from 20% in 2020 to 30% in 2021, indicating a more efficient business model.
The company's net income has also seen a significant increase, from $200,000 in 2020 to $500,000 in 2021, demonstrating a strong bottom-line performance.
Lvmuy's financials suggest a company that is well-positioned for future growth and success.
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Valuation and Performance
LVMUY's valuation metrics are a great place to start when analyzing its financials. The company's Price/Earnings (Normalized) ratio is 22.71, which is significantly higher than KER's 13.96.
The Price/Book Value ratio is also worth noting, with LVMUY's at 5.09 and KER's at 2.01. This suggests that investors are willing to pay a premium for LVMUY's shares.
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In 2024, LVMUY's revenue was 84.68 billion, a decrease of -1.71% compared to the previous year. This is a significant drop, and it's essential to understand the reasons behind it.
Here are some key valuation metrics for LVMUY:
LVMUY's Enterprise Value is a substantial 110.85B USD, indicating a significant market presence. The Trailing P/E ratio is 23.110952, which is a reasonable multiple for a company of its size and industry.
Financial Statements
LVMUY's financial performance in 2024 was a decrease of -1.71% compared to the previous year's revenue of 86.15 billion, with earnings of 12.55 billion, a decrease of -17.29%.
Their revenue per share was 33.81 USD. Quarterly revenue growth was 15.00%. Gross profit was 54.2B USD. EBITDA was 25.2B USD.
Net income available to common was 16.03B USD, and diluted EPS was 7.03. Quarterly earnings growth was 29.79%.
LVMUY's operating cash flow was 17.32B USD, and levered free cash flow was 8.33B USD.
Here are some key statistics:
Stock Information
The stock information for OTCMKTS LVMUY is readily available, and it's a good idea to take a look before making any investment decisions. The current stock price is 145.6 USD per share.
The 52-week range for LVMUY stock is between 138.11 USD and 200.76 USD. You can also check the 50-Day and 200-Day Moving Averages, which are 149.96 USD and 171.12 USD, respectively.
The trading information for LVMUY includes a beta of 0.989, indicating a relatively stable stock. The average volume over the past three months is 211.67K USD, with a current volume of 201.71K USD.
Trading Information
The Trading Information section is a crucial part of understanding a stock's performance.
The Beta (5Y Monthly) of LVMH Moët Hennessy - Louis Vuitton, Société Européenne is 0.989, which indicates a relatively stable stock.
The 52-Week Change is not available for LVMH Moët Hennessy - Louis Vuitton, Société Européenne, but we can look at the S&P500 52-Week Change for context.
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The 52 Week High for LVMH Moët Hennessy - Louis Vuitton, Société Européenne is 200.76 USD, while the 52 Week Low is 138.11 USD.
The 50-Day Moving Average is 149.96 USD, and the 200-Day Moving Average is 171.12 USD.
Here's a summary of the key trading information for LVMH Moët Hennessy - Louis Vuitton, Société Européenne:
Burberry Share Price Surge Post-Earnings
Burberry's share price jumped by 6.50% on Wednesday, a significant increase that caught investors' attention.
This surge can be attributed to the latest earnings from LVMH, the biggest company in the industry, which had a notable impact on Burberry's stock.
The BRBY stock price jumped by 6% to 1,235p, up from last month's low.
This increase is a clear indication that investors are optimistic about Burberry's future prospects.
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Financial Metrics
LVMUY's revenue decreased by 1.71% in 2024, reaching 84.68 billion. The company's earnings also saw a significant decline, dropping by 17.29% to 12.55 billion.
The current market price of LVMUY stock is 145.6 USD, a decrease from the previous close of 164.47 USD. The 52-week range for the stock is between 138.11 USD and 200.76 USD.
Here are some key financial metrics for LVMUY:
The Piotroski F-Score, a measure of financial health, is 8 out of 9, indicating a strong financial position.
Liquidity Ratio
The liquidity ratio is a crucial financial metric that helps investors and analysts assess a company's ability to pay its short-term debts. A high liquidity ratio indicates a company's strong ability to meet its short-term obligations.
The current ratio is a key component of the liquidity ratio, and it measures a company's current assets divided by its current liabilities. In the example, the current ratio is 1.38, which is a relatively healthy sign.
Quick ratio, also known as acid-test ratio, is another important metric that measures a company's ability to pay its short-term debts using only its liquid assets. The quick ratio is 0.63, indicating that the company has some room for improvement in this area.
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Cash ratio is a more specific metric that measures a company's ability to pay its short-term debts using only its cash and cash equivalents. The cash ratio is 0.22, which suggests that the company may not have enough liquid assets to cover its short-term debts.
Here's a summary of the liquidity metrics:
Days inventory outstanding is another important metric that measures how quickly a company sells its inventory. In the example, the days inventory outstanding is 315.65, which is a relatively long period of time.
Days sales outstanding measures how quickly a company collects its receivables. The days sales outstanding is 18.98, which is a relatively short period of time.
Days payable outstanding measures how quickly a company pays its suppliers. The days payable outstanding is 115.1, which is a relatively long period of time.
Broaden your view: Inventory Control
Piotroski F-Score Details
The Piotroski F-Score is a valuable tool for evaluating a company's financial health. It's a score out of 9, and a higher score indicates a more financially stable company.
The Piotroski F-Score is made up of 9 components, each of which is evaluated to determine the score. Here are the components and what they measure:
A high Piotroski F-Score indicates a company is financially healthy, while a low score suggests potential financial issues.
Profitability and Growth
LVMUY's profitability metrics are impressive, with a Return on Assets (Normalized) of 10.45% and a Return on Equity (Normalized) of 24.35%. This suggests that the company is generating significant profits from its assets and equity.
The company's gross margin is a healthy 68.71%, indicating that it has a strong pricing power and can maintain high profit margins even in a competitive market.
Here's a breakdown of LVMUY's profitability metrics:
The company's growth metrics are also noteworthy, with a 3-Year Revenue Growth Rate of 24.8% and a 3-Year EBITDA Growth Rate of 29.6%. This suggests that LVMUY is a growth-oriented company with a strong track record of expanding its revenue and profitability over time.
Growth Rank
In the realm of financial analysis, growth is a crucial aspect to consider. A company's growth rate can indicate its potential for future success.
The 3-Year Revenue Growth Rate stands at 24.8, a significant increase from the industry average. This suggests that the company is expanding its revenue streams at a rapid pace.
The 3-Year EBITDA Growth Rate is even higher, at 29.6. This indicates that the company's profitability is growing faster than its revenue.
However, the 3-Year FCF Growth Rate is relatively low, at 8.2. This suggests that the company's cash flow is not growing as quickly as its revenue or profitability.
Here's a summary of the company's growth rates:
Looking ahead, the Future 3-5Y Total Revenue Growth Rate Estimate is a more modest 3.56. This suggests that the company's growth rate may slow down in the future.
Profitability
Profitability is a crucial aspect of a company's financial health, and it's essential to understand the various metrics that measure it.
The Return on Assets (ROA) for LVMUY is 10.45%, indicating that the company generates 10.45% return on its assets.
Profit margins can give us an idea of a company's pricing power and efficiency. LVMUY's profit margin is not explicitly mentioned, but we can see that its Gross Margin is 68.71%, which is a significant percentage of its revenue.
Operating margins are another key metric, and LVMUY's Operating Margin (ttm) is 27.42%. This suggests that the company is able to maintain a healthy margin after accounting for operating expenses.
Return on Equity (ROE) is a measure of a company's profitability relative to its equity. LVMUY's ROE is 24.35%, indicating that the company generates 24.35% return on its equity.
Here's a summary of the profitability metrics for LVMUY:
These metrics provide a comprehensive view of LVMUY's profitability and help investors make informed decisions.
Market and Industry
The OTCMKTS LVMUY financials are a topic of interest for many investors. LVMUY is a luxury goods company with a strong presence in the global market.
The company's market share in the luxury goods industry is significant, with a presence in over 70 countries. Its portfolio of brands includes Louis Vuitton, Moët & Chandon, and Hennessy, among others.
The company's financial performance is a key indicator of its success, with revenue growth of 10% in 2020 compared to the previous year. This growth is driven by the increasing demand for luxury goods, particularly in Asia.
Other Luxury Brands Tap U.S. Market
Luxury brands are finding success in the U.S. market, particularly for LVMH, the parent company of high-end brands like BVLGARI, Tiffany, and Fendi, which considers America a source of strength for its segments.
This trend suggests that the U.S. market is a significant opportunity for luxury brands to expand their customer base and increase revenue.
LVMH's success in the U.S. is a testament to the growing demand for luxury goods among American consumers, who are willing to spend money on high-end products.
The U.S. market provides a unique platform for luxury brands to showcase their products and connect with customers who appreciate their value and quality.
LVMH's experience in the U.S. highlights the potential for luxury brands to tap into this lucrative market and achieve significant growth.
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European Shares Rise on Growth Returns
European stocks were mostly higher on Wednesday, with French markets outperforming their regional peers, after LVMH, the owner of Louis Vuitton and Christian Dior, unexpectedly returned to growth.
LVMH's return to growth was a major driver of the market's upward trend. French markets were particularly strong, benefiting from LVMH's success.
The owner of Louis Vuitton and Christian Dior is a major player in the luxury goods industry, and its growth is a significant indicator of the market's overall health.
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Investment and Dividends
The dividend history of OTCMKTS: LVMUY is quite impressive. The trailing annual dividend rate is a notable 12.5.
The dividend yield is also noteworthy, standing at 7.60%. This means that for every dollar invested, the investor can expect to receive 7.60 cents in dividend payments.
The 5-year average dividend yield is a staggering 141.00%, indicating a significant increase in dividend payments over the past five years.
The payout ratio is a relatively healthy 0.3763, suggesting that the company is able to maintain a strong balance between dividend payments and reinvestment in the business.
Analysts' Recommendations
As you research investment opportunities, it's essential to consider analysts' recommendations for specific stocks. DZ Bank has maintained a Neutral rating for LVMH since October 20.
DZ Bank isn't the only analyst with a view on LVMH. Berenberg downgraded the stock to Hold on October 16, citing revenue headwinds.
You may be wondering what else analysts have to say about LVMH. Berenberg also lifted their price target for the stock on the same day.
However, not all analysts are bearish on LVMH. UBS upgraded the stock to Buy on October 16, which is a positive sign for investors.
Here's a quick rundown of the analysts' recommendations for LVMH:
Dividends & Splits
The dividend rate and yield are crucial factors to consider when evaluating an investment's potential. A trailing annual dividend rate of 12.5 indicates the company has a history of paying a consistent dividend.
The trailing annual dividend yield of 7.60% is a significant return on investment, especially for those seeking regular income. This means for every dollar invested, you can expect to earn around 8 cents in dividend payments each year.
A 5-year average dividend yield of 141.00% suggests that the company has a history of increasing its dividend payments significantly over time. This can be a sign of a company's financial health and stability.
The payout ratio of 0.3763 indicates that the company is not over-extending itself by paying out too much of its profits as dividends. This suggests a healthy balance between rewarding shareholders and investing in the business.
Here's a summary of the dividend-related metrics for easy reference:
Arnault and Earnings
Bernard Arnault, the Chairman and CEO of LVMH, has been instrumental in driving the company's growth and success. He has a net worth of over $200 billion, making him one of the richest people in the world.
LVMH's revenue has consistently increased over the years, with a significant boost in 2020, reaching $53.7 billion. This growth is attributed to the company's diverse portfolio of luxury brands.
Arnault's leadership has helped LVMH expand its presence in various markets, including the US, China, and Europe. The company's strong brand portfolio includes Louis Vuitton, Moët & Chandon, and Fendi.
In 2020, LVMH's operating profit margin was 24.4%, a testament to the company's efficient operations and effective cost management. This margin has been steadily increasing over the years, driven by the company's focus on quality and innovation.
LVMH's strong earnings have enabled the company to invest in new businesses and initiatives, such as the acquisition of Tiffany & Co. in 2021. This strategic move has further diversified LVMH's portfolio and increased its global presence.
Frequently Asked Questions
Is LVMUY the same as LVMH?
No, LVMUY represents 1/5 share of LVMH, not a full share like LVMHF. Understanding the difference between these two OTC counters can help you make informed investment decisions.
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