US Stock MarketDetailed Quotes

AIQUF AIR LIQUIDE(L')

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  • 195.510
  • -2.250-1.14%
15min DelayTrading Mar 11 11:13 ET
112.71BMarket Cap31.55P/E (TTM)

AIR LIQUIDE(L') Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
7.41%3.31B
11.57%3.08B
7.25%2.76B
5.63%2.57B
8.64%2.44B
6.06%2.24B
-3.92%2.11B
19.28%2.2B
4.99%1.84B
5.49%1.76B
Deferred tax
29.26%-42.3M
-164.58%-59.8M
-12.81%92.6M
255.26%106.2M
-200.74%-68.4M
22.78%67.9M
115.78%55.3M
-433.08%-350.4M
-1.96%105.2M
26.38%107.3M
Other non cash items
-40.78%276.8M
30.60%467.4M
6.71%357.9M
-10.27%335.4M
-3.61%373.8M
82.58%387.8M
100.95%212.4M
16.03%105.7M
--91.1M
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Change In working capital
-0.45%-155.1M
-191.31%-154.4M
-50.45%169.1M
-56.02%341.3M
643.87%776.1M
-127.26%-142.7M
7.43%523.4M
15.64%487.2M
230.60%421.3M
-507.32%-322.6M
-Change in receivables
---32.9M
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-Change in inventory
---145.5M
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-Change in other current assets
--115.8M
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-205.17%-396.8M
3.57%377.3M
1,092.64%364.3M
-105.99%-36.7M
225.49%612.9M
-43.11%188.3M
228.10%331M
-451.56%-258.4M
Cash from discontinued investing activities
Operating cash flow
0.95%6.32B
7.80%6.26B
4.30%5.81B
7.01%5.57B
10.47%5.21B
-0.09%4.71B
10.87%4.72B
15.08%4.25B
30.51%3.7B
0.10%2.83B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-3.45%-3.45B
-4.69%-3.33B
-12.48%-3.18B
-10.95%-2.83B
-24.19%-2.55B
4.59%-2.05B
-25.83%-2.15B
-19.53%-1.71B
24.65%-1.43B
-13.45%-1.9B
Net business purchase and sale
-165.91%-156M
416.87%236.7M
85.88%-74.7M
-189.69%-528.9M
209.83%589.7M
-315.56%-536.9M
7.98%-129.2M
98.85%-140.4M
-3,064.67%-12.17B
-114.75%-384.4M
Net investment purchase and sale
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-92.16%400K
18.60%5.1M
230.77%4.3M
-7.14%1.3M
-91.14%1.4M
Net other investing changes
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---300K
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Cash from discontinued investing activities
Investing cash flow
-16.38%-3.58B
5.02%-3.08B
3.27%-3.24B
-71.47%-3.35B
24.38%-1.95B
-13.86%-2.58B
-23.00%-2.27B
86.42%-1.85B
-495.95%-13.59B
-24.22%-2.28B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
78.05%-266.8M
-96.79%-1.22B
-3,491.28%-617.7M
96.43%-17.2M
45.90%-482M
22.51%-891M
-5.93%-1.15B
-113.31%-1.09B
1,151.46%8.15B
755.98%651.4M
Net common stock issuance
-518.76%-196.4M
130.49%46.9M
-213.67%-153.8M
2,282.26%135.3M
94.31%-6.2M
-246.17%-108.9M
184.28%74.5M
-102.63%-88.4M
3,737.73%3.36B
-62.57%-92.5M
Cash dividends paid
-8.66%-1.72B
-12.10%-1.58B
-5.67%-1.41B
-2.06%-1.33B
-12.46%-1.31B
-0.31%-1.16B
-12.43%-1.16B
-8.85%-1.03B
-2.50%-947.4M
-10.23%-924.3M
Net other financing activities
76.48%-33.4M
-3,450.00%-142M
89.13%-4M
-130.00%-36.8M
48.88%-16M
-2,135.71%-31.3M
68.18%-1.4M
69.44%-4.4M
-29.73%-14.4M
88.25%-11.1M
Cash from discontinued financing activities
Financing cash flow
19.31%-2.81B
-25.12%-3.48B
-53.16%-2.78B
25.21%-1.82B
12.68%-2.43B
-12.17%-2.78B
-8.85%-2.48B
-121.72%-2.28B
2,553.43%10.48B
55.48%-427.3M
Net cash flow
Beginning cash position
-20.29%1.4B
-17.67%1.76B
24.46%2.14B
91.70%1.72B
-42.11%896.5M
2.17%1.55B
5.96%1.52B
63.41%1.43B
2.40%875.4M
0.22%854.9M
Current changes in cash
76.73%-68.8M
-38.96%-295.7M
-152.74%-212.8M
-51.00%403.5M
226.15%823.5M
-1,921.05%-652.8M
-124.60%-32.3M
-77.58%131.3M
372.34%585.7M
270.15%124M
Effect of exchange rate changes
47.40%-32.4M
62.71%-61.6M
-1,083.33%-165.2M
1,300.00%16.8M
-300.00%-1.4M
-98.93%700K
241.43%65.2M
-50.65%-46.1M
70.43%-30.6M
-227.53%-103.5M
End cash Position
-7.21%1.3B
-20.29%1.4B
-17.67%1.76B
24.46%2.14B
91.70%1.72B
-42.11%896.5M
2.17%1.55B
5.96%1.52B
63.41%1.43B
2.40%875.4M
Free cash flow
-2.53%2.8B
13.11%2.87B
-4.40%2.54B
3.04%2.65B
24.07%2.58B
-15.86%2.08B
19.10%2.47B
44.06%2.07B
78.69%1.44B
-13.28%804.7M
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 7.41%3.31B11.57%3.08B7.25%2.76B5.63%2.57B8.64%2.44B6.06%2.24B-3.92%2.11B19.28%2.2B4.99%1.84B5.49%1.76B
Deferred tax 29.26%-42.3M-164.58%-59.8M-12.81%92.6M255.26%106.2M-200.74%-68.4M22.78%67.9M115.78%55.3M-433.08%-350.4M-1.96%105.2M26.38%107.3M
Other non cash items -40.78%276.8M30.60%467.4M6.71%357.9M-10.27%335.4M-3.61%373.8M82.58%387.8M100.95%212.4M16.03%105.7M--91.1M----
Change In working capital -0.45%-155.1M-191.31%-154.4M-50.45%169.1M-56.02%341.3M643.87%776.1M-127.26%-142.7M7.43%523.4M15.64%487.2M230.60%421.3M-507.32%-322.6M
-Change in receivables ---32.9M------------------------------------
-Change in inventory ---145.5M------------------------------------
-Change in other current assets --115.8M-----205.17%-396.8M3.57%377.3M1,092.64%364.3M-105.99%-36.7M225.49%612.9M-43.11%188.3M228.10%331M-451.56%-258.4M
Cash from discontinued investing activities
Operating cash flow 0.95%6.32B7.80%6.26B4.30%5.81B7.01%5.57B10.47%5.21B-0.09%4.71B10.87%4.72B15.08%4.25B30.51%3.7B0.10%2.83B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -3.45%-3.45B-4.69%-3.33B-12.48%-3.18B-10.95%-2.83B-24.19%-2.55B4.59%-2.05B-25.83%-2.15B-19.53%-1.71B24.65%-1.43B-13.45%-1.9B
Net business purchase and sale -165.91%-156M416.87%236.7M85.88%-74.7M-189.69%-528.9M209.83%589.7M-315.56%-536.9M7.98%-129.2M98.85%-140.4M-3,064.67%-12.17B-114.75%-384.4M
Net investment purchase and sale ---------------------92.16%400K18.60%5.1M230.77%4.3M-7.14%1.3M-91.14%1.4M
Net other investing changes -----------------------------------300K----
Cash from discontinued investing activities
Investing cash flow -16.38%-3.58B5.02%-3.08B3.27%-3.24B-71.47%-3.35B24.38%-1.95B-13.86%-2.58B-23.00%-2.27B86.42%-1.85B-495.95%-13.59B-24.22%-2.28B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 78.05%-266.8M-96.79%-1.22B-3,491.28%-617.7M96.43%-17.2M45.90%-482M22.51%-891M-5.93%-1.15B-113.31%-1.09B1,151.46%8.15B755.98%651.4M
Net common stock issuance -518.76%-196.4M130.49%46.9M-213.67%-153.8M2,282.26%135.3M94.31%-6.2M-246.17%-108.9M184.28%74.5M-102.63%-88.4M3,737.73%3.36B-62.57%-92.5M
Cash dividends paid -8.66%-1.72B-12.10%-1.58B-5.67%-1.41B-2.06%-1.33B-12.46%-1.31B-0.31%-1.16B-12.43%-1.16B-8.85%-1.03B-2.50%-947.4M-10.23%-924.3M
Net other financing activities 76.48%-33.4M-3,450.00%-142M89.13%-4M-130.00%-36.8M48.88%-16M-2,135.71%-31.3M68.18%-1.4M69.44%-4.4M-29.73%-14.4M88.25%-11.1M
Cash from discontinued financing activities
Financing cash flow 19.31%-2.81B-25.12%-3.48B-53.16%-2.78B25.21%-1.82B12.68%-2.43B-12.17%-2.78B-8.85%-2.48B-121.72%-2.28B2,553.43%10.48B55.48%-427.3M
Net cash flow
Beginning cash position -20.29%1.4B-17.67%1.76B24.46%2.14B91.70%1.72B-42.11%896.5M2.17%1.55B5.96%1.52B63.41%1.43B2.40%875.4M0.22%854.9M
Current changes in cash 76.73%-68.8M-38.96%-295.7M-152.74%-212.8M-51.00%403.5M226.15%823.5M-1,921.05%-652.8M-124.60%-32.3M-77.58%131.3M372.34%585.7M270.15%124M
Effect of exchange rate changes 47.40%-32.4M62.71%-61.6M-1,083.33%-165.2M1,300.00%16.8M-300.00%-1.4M-98.93%700K241.43%65.2M-50.65%-46.1M70.43%-30.6M-227.53%-103.5M
End cash Position -7.21%1.3B-20.29%1.4B-17.67%1.76B24.46%2.14B91.70%1.72B-42.11%896.5M2.17%1.55B5.96%1.52B63.41%1.43B2.40%875.4M
Free cash flow -2.53%2.8B13.11%2.87B-4.40%2.54B3.04%2.65B24.07%2.58B-15.86%2.08B19.10%2.47B44.06%2.07B78.69%1.44B-13.28%804.7M
Currency Unit EUREUREUREUREUREUREUREUREUREUR