Paris - Delayed Quote EUR
L'Air Liquide S.A. (AI.PA)
At close: October 25 at 5:39 PM GMT+2
Breakdown
TTM
12/31/2023
12/31/2022
12/31/2021
12/31/2020
12/31/2019
Total Revenue
27,607,600.00
27,607,600.00
29,934,000.00
23,334,800.00
20,485,200.00
--
Cost of Revenue
11,146,800.00
11,146,800.00
13,813,000.00
9,388,700.00
7,197,700.00
--
Gross Profit
16,460,800.00
16,460,800.00
16,121,000.00
13,946,100.00
13,287,500.00
--
Operating Expense
11,392,800.00
11,392,800.00
11,259,200.00
9,785,800.00
9,497,900.00
--
Operating Income
5,068,000.00
5,068,000.00
4,861,800.00
4,160,300.00
3,789,600.00
--
Net Non Operating Interest Income Expense
-416,200.00
-416,200.00
-386,000.00
-408,300.00
-439,900.00
--
Pretax Income
4,155,300.00
4,155,300.00
3,905,100.00
3,601,300.00
3,210,200.00
--
Tax Provision
971,800.00
971,800.00
1,002,300.00
914,800.00
678,200.00
--
Net Income Common Stockholders
3,078,000.00
3,078,000.00
2,758,800.00
2,572,200.00
2,435,100.00
--
Diluted NI Available to Com Stockholders
3,078,000.00
3,078,000.00
2,758,800.00
2,572,200.00
2,435,100.00
--
Basic EPS
5.36
--
4.80
4.49
4.26
3.93
Diluted EPS
5.34
--
4.79
4.47
4.25
3.91
Basic Average Shares
574,321.07
--
574,275.92
572,911.44
570,640.12
570,170.11
Diluted Average Shares
576,438.34
--
576,317.66
575,423.42
573,684.96
573,142.94
Total Operating Income as Reported
4,571,500.00
4,571,500.00
4,291,100.00
4,009,600.00
3,650,100.00
--
Total Expenses
22,539,600.00
22,539,600.00
25,072,200.00
19,174,500.00
16,695,600.00
--
Net Income from Continuing & Discontinued Operation
3,078,000.00
3,078,000.00
2,758,800.00
2,572,200.00
2,435,100.00
--
Normalized Income
3,458,319.00
3,458,319.00
3,182,830.10
2,684,622.20
2,545,165.50
--
Interest Income
69,400.00
69,400.00
33,000.00
12,200.00
15,800.00
--
Interest Expense
73,100.00
73,100.00
44,800.00
333,900.00
420,400.00
--
Net Interest Income
-416,200.00
-416,200.00
-386,000.00
-408,300.00
-439,900.00
--
EBIT
4,228,400.00
4,228,400.00
3,949,900.00
3,935,200.00
3,630,600.00
--
EBITDA
6,710,400.00
6,710,400.00
6,415,800.00
6,107,700.00
5,768,500.00
--
Reconciled Cost of Revenue
11,146,800.00
11,146,800.00
13,813,000.00
9,388,700.00
7,197,700.00
--
Reconciled Depreciation
2,482,000.00
2,482,000.00
2,465,900.00
2,172,500.00
2,137,900.00
--
Net Income from Continuing Operation Net Minority Interest
3,078,000.00
3,078,000.00
2,758,800.00
2,572,200.00
2,435,100.00
--
Total Unusual Items Excluding Goodwill
-496,500.00
-496,500.00
-570,700.00
-150,700.00
-139,500.00
--
Total Unusual Items
-496,500.00
-496,500.00
-570,700.00
-150,700.00
-139,500.00
--
Normalized EBITDA
7,206,900.00
7,206,900.00
6,986,500.00
6,258,400.00
5,908,000.00
--
Tax Rate for Calcs
0.00
0.00
0.00
0.00
0.00
--
Tax Effect of Unusual Items
-116,181.00
-116,181.00
-146,669.90
-38,277.80
-29,434.50
--
12/31/2019 - 1/3/2000
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