Live Nation Entertainment Financial Ratios for Analysis 2009-2024 | LYV

Fifteen years of historical annual and quarterly financial ratios and margins for Live Nation Entertainment (LYV).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.960.980.980.961.021.030.881.091.091.130.961.031.061.090.95
0.900.981.041.030.690.670.580.630.580.570.490.530.510.530.49
11.2362.94-30.41-36.702.262.101.621.711.411.381.141.151.051.151.02
23.9926.0430.5124.6526.6826.1425.8627.9528.2828.3527.7528.6629.6227.7519.70
4.694.39-6.67-88.832.812.530.942.491.810.102.16-0.370.34-1.26-1.25
4.694.39-6.67-88.832.812.530.942.491.810.102.16-0.370.34-1.26-1.25
7.407.661.76-58.437.567.045.787.817.457.668.167.306.955.323.17
3.933.03-9.75-99.761.601.22-0.100.620.09-1.45-0.08-2.27-1.79-3.73-2.74
1.390.89-10.70-92.59-0.04-0.16-1.01-0.60-0.91-1.40-0.68-2.81-1.54-4.51-1.44
1.191.010.440.181.051.271.291.161.181.151.141.101.060.971.79
---------------
10.9911.385.883.8211.6113.0113.3613.7616.0116.3814.7514.0013.8315.3523.73
33.2032.0662.1095.4531.4428.0627.3326.5322.8022.2924.7426.0826.4023.7815.38
1254363231,3678.076.730.551.50-1.09-7.04-2.27-10.73-4.35-13.57-17.37
-20.16-10.6114.5852.41-6.66-5.98-0.54-1.291.219.973.8717.027.9018.57-252.63
3.852.49-4.23-17.261.081.060.100.30-0.26-1.75-0.63-3.06-1.39-3.92-5.38
12.157.61-12.28-38.712.502.220.230.56-0.46-3.00-1.15-5.08-2.15-6.41-8.85
2.520.41-0.84-0.616.856.386.826.617.157.387.977.908.538.568.37
5.937.918.20-5.102.244.543.042.961.531.472.221.960.740.960.69
4.046.417.49-6.110.703.381.882.100.820.771.531.300.150.50-0.08

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.920.920.961.141.081.080.981.040.990.980.981.181.051.070.961.081.271.031.020.970.930.941.031.081.011.050.881.111.041.021.091.060.981.011.091.081.011.061.131.251.150.960.961.061.071.031.031.061.001.011.061.141.051.011.091.181.091.030.950.980.820.81
0.900.920.900.880.950.990.980.930.991.031.041.011.121.081.030.950.880.750.690.640.660.690.670.640.660.670.580.580.610.630.630.570.580.590.580.560.580.590.570.550.560.490.490.480.520.540.530.500.520.510.510.490.500.510.530.510.530.490.490.520.540.54
11.2913.2611.237.6317.7983.5462.9414.40164-39.54-30.41-137.23-9.22-13.52-36.7019.847.163.002.261.811.962.252.101.812.012.091.621.431.591.731.711.341.431.451.411.321.411.461.381.231.421.151.141.091.121.211.151.051.121.091.051.001.031.081.151.071.171.001.021.161.231.24
26.8230.3519.8322.3426.0332.3523.2923.4926.3240.5925.6827.0157.7953.9014.3728.95-162.6236.0224.2925.7926.2833.3524.0423.7525.5637.1224.5723.4424.6437.6235.2823.4226.3235.0729.6524.7327.5635.6228.2625.0028.8835.1425.9224.9127.9637.5427.0625.7628.6237.9431.0228.1426.9935.5928.1824.3829.2432.9920.6618.2219.9123.07
7.73-0.96-1.407.596.864.57-2.798.237.191.50-4.615.08-22.10-104.32-163.45-274.13-793.78-12.64-2.876.895.44-1.38-3.476.114.70-0.41-8.715.854.23-1.72-2.936.033.40-2.76-2.335.852.39-2.14-11.896.023.34-1.09-3.165.575.82-3.59-8.795.322.77-4.93-5.625.863.36-8.50-6.955.622.02-14.70-7.536.04-0.78-18.20
7.73-0.96-1.407.596.864.57-2.798.237.191.50-4.615.08-22.10-104.32-163.45-274.13-793.78-12.64-2.876.895.44-1.38-3.476.114.70-0.41-8.715.854.23-1.72-2.936.033.40-2.76-2.335.852.39-2.14-11.896.023.34-1.09-3.165.575.82-3.59-8.795.322.77-4.93-5.625.863.36-8.50-6.955.622.02-14.70-7.536.04-0.78-18.20
--------------------------------------------------------------
7.580.08-2.457.326.622.18-3.667.145.87-2.07-6.663.46-36.14-108.85-186.74-303.97-863.57-15.69-4.495.864.59-2.97-5.005.223.32-2.30-10.055.073.37-3.32-7.184.621.92-4.06-4.094.501.42-5.87-13.424.501.83-2.85-4.762.874.01-6.56-10.934.080.70-7.60-7.794.011.49-11.69-8.964.11-1.77-18.06-8.734.88-2.07-21.87
4.00-3.21-5.945.934.21-1.86-8.155.874.24-2.78-7.791.58-33.81-106.02-183.75-283.62-763.89-14.60-6.414.122.85-3.75-6.593.961.82-3.39-9.903.342.33-3.67-10.363.231.21-3.69-5.613.010.85-5.55-12.224.201.38-2.88-5.121.943.46-6.85-11.112.950.50-7.97-8.392.890.85-5.71-10.052.78-2.59-16.900.063.86-2.60-21.18
0.290.190.310.430.280.170.260.390.270.110.190.200.050.030.020.020.010.120.260.380.300.170.310.450.320.160.310.440.330.160.190.490.310.170.280.420.260.180.260.410.240.180.280.390.280.160.270.360.270.160.230.350.280.160.240.340.230.140.360.670.330.17
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2.441.672.823.262.981.892.933.093.051.492.532.280.890.620.490.330.121.802.913.102.881.883.143.063.021.893.203.473.102.132.234.043.432.513.844.153.372.583.754.122.962.213.673.912.651.903.463.373.152.063.053.663.202.203.753.903.472.744.855.524.182.26
36.8254.0031.8927.6430.2047.6930.7429.1029.5660.4135.5139.4310114518527675150.0530.9828.9931.2747.9228.6929.3929.7947.5928.1325.9329.0142.3440.3522.3026.2135.8223.4521.6626.7234.9124.0121.8430.4440.6524.5023.0134.0047.3726.0426.7428.5843.7529.5524.6028.1740.9023.9923.0725.9432.8418.5616.2921.5339.80
68.28-6.87-30.9862.5189.2155.84-178.7299.7165333.6286.21-207.9436.3181.89347-219.60-89.33-17.14-9.3312.748.25-4.45-10.0711.815.93-2.99-12.259.215.53-3.56-6.898.742.58-3.98-5.106.741.40-4.79-14.566.891.58-1.91-5.113.053.82-4.48-10.964.100.36-4.46-5.923.660.98-3.40-7.683.99-2.07-7.99-8.549.87-4.72-16.50
-10.480.854.99-16.44-8.85-1.134.35-11.43-5.851.193.89-2.675.478.7413.3017.6823.1710.327.70-13.47-7.083.408.95-13.85-5.472.6812.11-11.66-5.503.045.89-10.37-2.544.095.66-8.53-1.526.2320.62-14.61-2.883.138.73-6.58-6.806.7217.39-7.68-0.567.5910.73-7.88-1.855.3810.51-6.853.0112.65-124.2520047.49209
1.84-0.16-0.952.821.660.23-1.022.521.39-0.31-1.130.65-1.72-2.96-4.38-4.98-5.25-1.78-1.241.951.10-0.54-1.592.150.93-0.45-2.321.900.98-0.61-1.372.070.52-0.81-1.201.670.30-1.05-3.621.920.38-0.48-1.430.870.97-1.13-3.131.260.10-1.27-1.881.220.29-0.99-2.221.21-0.56-2.39-2.652.68-0.97-3.81
6.68-0.58-3.017.304.780.67-3.127.204.41-0.98-3.281.54-4.46-6.59-9.82-10.64-11.07-4.32-2.894.602.82-1.40-3.324.282.01-1.00-5.163.862.17-1.33-2.583.791.07-1.65-2.142.950.59-1.98-6.213.120.70-0.97-2.601.581.84-2.07-5.192.040.17-2.17-2.931.860.49-1.66-3.631.97-0.97-4.06-4.354.71-2.19-7.61
2.382.042.563.781.620.350.411.760.16-0.64-0.84-0.19-2.65-1.83-0.611.163.225.726.857.236.695.916.387.406.726.576.827.817.076.526.617.476.976.927.157.657.146.897.388.388.147.857.978.297.797.357.908.728.148.288.539.098.938.808.569.408.588.888.378.777.687.69
5.724.315.933.126.765.077.913.816.355.408.204.585.420.35-5.10-4.50-1.842.992.240.151.332.254.541.182.423.753.041.873.763.742.960.552.452.571.53-0.071.741.741.47-0.031.651.852.221.311.931.431.960.471.641.420.74-0.150.730.720.960.080.990.610.690.804.052.54
4.363.734.041.875.934.556.412.965.825.127.494.115.150.24-6.11-5.38-2.522.590.70-0.880.721.973.380.421.953.531.881.053.163.452.100.002.072.410.82-0.541.411.590.77-0.471.331.731.530.801.541.301.30-0.021.311.270.15-0.520.480.620.50-0.210.810.52-0.080.223.582.24