L'air Liquide (AI)

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AIEuronext Paris
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Financial charts

Total cash / debt

CashTotal debt

Financial statements

6 annual periodsNewest to oldest
202520242023202220212020
Revenue€26.94B€27.06B€27.61B€29.93B€23.33B€20.49B
Operating expenses€12.05B€11.89B€11.39B€11.26B
Operating income€5.23B€4.95B€4.57B€4.29B€4.01B€3.65B
Operating margin19.43%18.28%16.56%14.34%17.18%17.82%
EBITDA€7.53B€7.45B€7.05B€6.76B€6.18B€5.79B
EBITDA margin27.95%27.54%25.55%22.57%26.49%28.25%
Net income€3.52B€3.44B€3.19B€2.90B€2.69B€2.53B
Net profit margin13.06%12.71%11.55%9.70%11.54%12.34%
Basic EPSper basic share€6.10€5.74€5.35€5.28€4.94€5.16
Diluted EPSper diluted share€6.08€5.72€5.33€5.27€4.92€5.14

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