US Stock MarketDetailed Quotes

LECO Lincoln Electric

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  • 179.430
  • -15.350-7.88%
Close Apr 3 16:00 ET
  • 170.640
  • -8.790-4.90%
Pre 08:17 ET
10.05BMarket Cap22.02P/E (TTM)

Lincoln Electric Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-4.20%377.26M
-4.20%377.26M
17.96%404.22M
23.67%272.67M
88.62%374.98M
99.74%393.79M
99.74%393.79M
142.50%342.67M
44.30%220.48M
28.78%198.8M
-Cash and cash equivalents
-4.20%377.26M
-4.20%377.26M
17.96%404.22M
23.67%272.67M
88.62%374.98M
99.74%393.79M
99.74%393.79M
142.50%342.67M
44.30%220.48M
28.78%198.8M
Receivables
-10.55%481.98M
-10.55%481.98M
-3.83%517.04M
-3.69%549.24M
-5.05%544.51M
-0.50%538.83M
-0.50%538.83M
16.09%537.64M
10.02%570.29M
11.09%573.47M
-Accounts receivable
-10.55%481.98M
-10.55%481.98M
-3.83%517.04M
-3.69%549.24M
-5.05%544.51M
-0.50%538.83M
-0.50%538.83M
16.09%537.64M
10.02%570.29M
11.09%573.47M
Inventory
-3.34%544.04M
-3.34%544.04M
0.01%612.41M
-13.64%582.73M
-14.64%567.28M
-15.42%562.86M
-15.42%562.86M
-3.17%612.34M
5.53%674.75M
10.81%664.6M
Other current assets
22.45%242M
22.45%242M
24.37%223.44M
15.40%208.47M
11.15%192.98M
28.62%197.63M
28.62%197.63M
13.27%179.65M
16.82%180.65M
10.27%173.62M
Total current assets
-2.82%1.65B
-2.82%1.65B
5.07%1.76B
-2.01%1.61B
4.30%1.68B
8.69%1.69B
8.69%1.69B
19.84%1.67B
12.35%1.65B
12.79%1.61B
Non current assets
Net PPE
7.62%619.18M
7.62%619.18M
10.34%624.4M
3.67%583.83M
5.20%582.18M
5.59%575.32M
5.59%575.32M
15.49%565.88M
11.94%563.18M
8.11%553.41M
-Gross PPE
2.24%1.48B
2.24%1.48B
1.40%1.51B
-2.01%1.46B
0.15%1.47B
1.18%1.45B
1.18%1.45B
9.75%1.49B
8.24%1.49B
5.45%1.47B
-Accumulated depreciation
1.29%-865.63M
1.29%-865.63M
4.10%-882.32M
5.45%-879.24M
2.91%-885.42M
1.52%-876.99M
1.52%-876.99M
-6.49%-920.05M
-6.11%-929.89M
-3.90%-911.96M
Goodwill and other intangible assets
16.44%1.03B
16.44%1.03B
19.25%818.83M
14.37%791.99M
1.54%689.87M
1.52%881.12M
1.52%881.12M
61.75%686.63M
60.43%692.46M
55.42%679.39M
-Goodwill
15.91%804.93M
15.91%804.93M
19.25%818.83M
14.37%791.99M
1.54%689.87M
4.39%694.45M
4.39%694.45M
61.75%686.63M
60.43%692.46M
55.42%679.39M
-Other intangible assets
18.40%221.01M
18.40%221.01M
----
----
----
-7.91%186.67M
-7.91%186.67M
----
----
----
Non current deferred assets
71.80%77.61M
71.80%77.61M
----
----
----
98.04%45.18M
98.04%45.18M
----
----
----
Other non current assets
-16.67%152.14M
-16.67%152.14M
15.73%464.21M
4.14%426.32M
4.39%427.92M
-2.42%182.58M
-2.42%182.58M
17.25%401.1M
19.73%409.37M
14.02%409.92M
Total non current assets
11.32%1.87B
11.32%1.87B
15.35%1.91B
8.24%1.8B
3.49%1.7B
3.79%1.68B
3.79%1.68B
31.60%1.65B
30.42%1.67B
25.54%1.64B
Total assets
4.23%3.52B
4.23%3.52B
10.18%3.66B
3.14%3.42B
3.89%3.38B
6.19%3.38B
6.19%3.38B
25.41%3.33B
20.77%3.31B
18.89%3.25B
Liabilities
Current liabilities
Payables
-7.42%338.75M
-7.42%338.75M
-1.48%323.58M
-1.87%351.45M
-9.26%327.8M
-5.93%365.89M
-5.93%365.89M
-0.43%328.46M
-1.74%358.16M
-2.21%361.24M
-accounts payable
-8.86%296.59M
-8.86%296.59M
-1.48%323.58M
-1.87%351.45M
-9.26%327.8M
-7.57%325.44M
-7.57%325.44M
-0.43%328.46M
-1.74%358.16M
-2.21%361.24M
-Dividends payable
4.21%42.16M
4.21%42.16M
----
----
----
9.69%40.45M
9.69%40.45M
----
----
----
Current debt and capital lease obligation
4,431.53%110.52M
4,431.53%110.52M
1,354.45%111.99M
-39.90%6.25M
-90.43%4.72M
-97.39%2.44M
-97.39%2.44M
-88.74%7.7M
-91.71%10.41M
-67.23%49.34M
-Current debt
4,431.53%110.52M
4,431.53%110.52M
1,354.45%111.99M
-39.90%6.25M
-90.43%4.72M
-97.39%2.44M
-97.39%2.44M
-88.74%7.7M
-91.71%10.41M
-67.23%49.34M
Other current liabilities
18.71%325.16M
18.71%325.16M
21.32%321.33M
-5.80%266.6M
-4.51%301.59M
4.91%273.91M
4.91%273.91M
11.09%264.87M
5.03%283.02M
6.03%315.84M
Current liabilities
16.46%878.8M
16.46%878.8M
17.72%951.34M
-3.35%783.57M
-10.42%748.87M
-11.52%754.61M
-11.52%754.61M
-1.49%808.14M
-10.28%810.76M
-9.89%835.94M
Non current liabilities
Long term debt and capital lease obligation
4.33%1.15B
4.33%1.15B
4.33%1.15B
-0.50%1.1B
-0.72%1.1B
-0.69%1.1B
-0.69%1.1B
55.06%1.1B
54.84%1.1B
55.33%1.11B
-Long term debt
4.33%1.15B
4.33%1.15B
4.33%1.15B
-0.50%1.1B
-0.72%1.1B
-0.69%1.1B
-0.69%1.1B
55.06%1.1B
54.84%1.1B
55.33%1.11B
Non current deferred liabilities
-20.40%10.46M
-20.40%10.46M
----
----
----
-22.77%13.15M
-22.77%13.15M
----
----
----
Other non current liabilities
-22.75%152.89M
-22.75%152.89M
18.01%223.4M
12.94%220.35M
21.47%220.34M
19.09%197.92M
19.09%197.92M
-3.49%189.31M
-8.07%195.1M
-21.34%181.4M
Total non current liabilities
0.01%1.31B
0.01%1.31B
6.33%1.37B
1.52%1.32B
2.40%1.32B
1.56%1.31B
1.56%1.31B
42.40%1.29B
40.41%1.3B
36.63%1.29B
Total liabilities
6.01%2.19B
6.01%2.19B
10.71%2.33B
-0.35%2.1B
-2.64%2.07B
-3.64%2.07B
-3.64%2.07B
21.56%2.1B
15.36%2.11B
13.60%2.13B
Shareholders'equity
Share capital
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
-common stock
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
0.00%9.86M
-Preferred stock
--0
--0
----
----
----
--0
--0
----
----
----
Retained earnings
8.27%3.99B
8.27%3.99B
8.82%3.89B
10.05%3.83B
11.18%3.77B
11.54%3.69B
11.54%3.69B
10.53%3.58B
10.19%3.48B
10.57%3.39B
Paid-in capital
8.29%566.74M
8.29%566.74M
8.09%561.15M
8.54%559.33M
12.53%560.44M
8.61%523.36M
8.61%523.36M
10.18%519.15M
10.67%515.3M
7.75%498.02M
Less: Treasury stock
9.67%2.94B
9.67%2.94B
10.48%2.89B
10.46%2.84B
10.72%2.79B
7.79%2.68B
7.79%2.68B
6.14%2.62B
5.44%2.57B
4.40%2.52B
Gains losses not affecting retained earnings
-30.58%-300.14M
-30.58%-300.14M
11.29%-235.83M
-5.81%-249.91M
4.54%-239.45M
16.54%-229.85M
16.54%-229.85M
19.31%-265.83M
17.18%-236.19M
3.34%-250.84M
Total stockholders'equity
1.42%1.33B
1.42%1.33B
9.27%1.34B
9.28%1.31B
16.22%1.31B
26.58%1.31B
26.58%1.31B
32.59%1.23B
31.58%1.2B
30.37%1.13B
Noncontrolling interests
----
----
----
----
----
----
----
----
----
8.62%-53K
Total equity
1.42%1.33B
1.42%1.33B
9.27%1.34B
9.28%1.31B
16.23%1.31B
26.58%1.31B
26.58%1.31B
32.61%1.23B
31.59%1.2B
30.38%1.13B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -4.20%377.26M-4.20%377.26M17.96%404.22M23.67%272.67M88.62%374.98M99.74%393.79M99.74%393.79M142.50%342.67M44.30%220.48M28.78%198.8M
-Cash and cash equivalents -4.20%377.26M-4.20%377.26M17.96%404.22M23.67%272.67M88.62%374.98M99.74%393.79M99.74%393.79M142.50%342.67M44.30%220.48M28.78%198.8M
Receivables -10.55%481.98M-10.55%481.98M-3.83%517.04M-3.69%549.24M-5.05%544.51M-0.50%538.83M-0.50%538.83M16.09%537.64M10.02%570.29M11.09%573.47M
-Accounts receivable -10.55%481.98M-10.55%481.98M-3.83%517.04M-3.69%549.24M-5.05%544.51M-0.50%538.83M-0.50%538.83M16.09%537.64M10.02%570.29M11.09%573.47M
Inventory -3.34%544.04M-3.34%544.04M0.01%612.41M-13.64%582.73M-14.64%567.28M-15.42%562.86M-15.42%562.86M-3.17%612.34M5.53%674.75M10.81%664.6M
Other current assets 22.45%242M22.45%242M24.37%223.44M15.40%208.47M11.15%192.98M28.62%197.63M28.62%197.63M13.27%179.65M16.82%180.65M10.27%173.62M
Total current assets -2.82%1.65B-2.82%1.65B5.07%1.76B-2.01%1.61B4.30%1.68B8.69%1.69B8.69%1.69B19.84%1.67B12.35%1.65B12.79%1.61B
Non current assets
Net PPE 7.62%619.18M7.62%619.18M10.34%624.4M3.67%583.83M5.20%582.18M5.59%575.32M5.59%575.32M15.49%565.88M11.94%563.18M8.11%553.41M
-Gross PPE 2.24%1.48B2.24%1.48B1.40%1.51B-2.01%1.46B0.15%1.47B1.18%1.45B1.18%1.45B9.75%1.49B8.24%1.49B5.45%1.47B
-Accumulated depreciation 1.29%-865.63M1.29%-865.63M4.10%-882.32M5.45%-879.24M2.91%-885.42M1.52%-876.99M1.52%-876.99M-6.49%-920.05M-6.11%-929.89M-3.90%-911.96M
Goodwill and other intangible assets 16.44%1.03B16.44%1.03B19.25%818.83M14.37%791.99M1.54%689.87M1.52%881.12M1.52%881.12M61.75%686.63M60.43%692.46M55.42%679.39M
-Goodwill 15.91%804.93M15.91%804.93M19.25%818.83M14.37%791.99M1.54%689.87M4.39%694.45M4.39%694.45M61.75%686.63M60.43%692.46M55.42%679.39M
-Other intangible assets 18.40%221.01M18.40%221.01M-------------7.91%186.67M-7.91%186.67M------------
Non current deferred assets 71.80%77.61M71.80%77.61M------------98.04%45.18M98.04%45.18M------------
Other non current assets -16.67%152.14M-16.67%152.14M15.73%464.21M4.14%426.32M4.39%427.92M-2.42%182.58M-2.42%182.58M17.25%401.1M19.73%409.37M14.02%409.92M
Total non current assets 11.32%1.87B11.32%1.87B15.35%1.91B8.24%1.8B3.49%1.7B3.79%1.68B3.79%1.68B31.60%1.65B30.42%1.67B25.54%1.64B
Total assets 4.23%3.52B4.23%3.52B10.18%3.66B3.14%3.42B3.89%3.38B6.19%3.38B6.19%3.38B25.41%3.33B20.77%3.31B18.89%3.25B
Liabilities
Current liabilities
Payables -7.42%338.75M-7.42%338.75M-1.48%323.58M-1.87%351.45M-9.26%327.8M-5.93%365.89M-5.93%365.89M-0.43%328.46M-1.74%358.16M-2.21%361.24M
-accounts payable -8.86%296.59M-8.86%296.59M-1.48%323.58M-1.87%351.45M-9.26%327.8M-7.57%325.44M-7.57%325.44M-0.43%328.46M-1.74%358.16M-2.21%361.24M
-Dividends payable 4.21%42.16M4.21%42.16M------------9.69%40.45M9.69%40.45M------------
Current debt and capital lease obligation 4,431.53%110.52M4,431.53%110.52M1,354.45%111.99M-39.90%6.25M-90.43%4.72M-97.39%2.44M-97.39%2.44M-88.74%7.7M-91.71%10.41M-67.23%49.34M
-Current debt 4,431.53%110.52M4,431.53%110.52M1,354.45%111.99M-39.90%6.25M-90.43%4.72M-97.39%2.44M-97.39%2.44M-88.74%7.7M-91.71%10.41M-67.23%49.34M
Other current liabilities 18.71%325.16M18.71%325.16M21.32%321.33M-5.80%266.6M-4.51%301.59M4.91%273.91M4.91%273.91M11.09%264.87M5.03%283.02M6.03%315.84M
Current liabilities 16.46%878.8M16.46%878.8M17.72%951.34M-3.35%783.57M-10.42%748.87M-11.52%754.61M-11.52%754.61M-1.49%808.14M-10.28%810.76M-9.89%835.94M
Non current liabilities
Long term debt and capital lease obligation 4.33%1.15B4.33%1.15B4.33%1.15B-0.50%1.1B-0.72%1.1B-0.69%1.1B-0.69%1.1B55.06%1.1B54.84%1.1B55.33%1.11B
-Long term debt 4.33%1.15B4.33%1.15B4.33%1.15B-0.50%1.1B-0.72%1.1B-0.69%1.1B-0.69%1.1B55.06%1.1B54.84%1.1B55.33%1.11B
Non current deferred liabilities -20.40%10.46M-20.40%10.46M-------------22.77%13.15M-22.77%13.15M------------
Other non current liabilities -22.75%152.89M-22.75%152.89M18.01%223.4M12.94%220.35M21.47%220.34M19.09%197.92M19.09%197.92M-3.49%189.31M-8.07%195.1M-21.34%181.4M
Total non current liabilities 0.01%1.31B0.01%1.31B6.33%1.37B1.52%1.32B2.40%1.32B1.56%1.31B1.56%1.31B42.40%1.29B40.41%1.3B36.63%1.29B
Total liabilities 6.01%2.19B6.01%2.19B10.71%2.33B-0.35%2.1B-2.64%2.07B-3.64%2.07B-3.64%2.07B21.56%2.1B15.36%2.11B13.60%2.13B
Shareholders'equity
Share capital 0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M
-common stock 0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M0.00%9.86M
-Preferred stock --0--0--------------0--0------------
Retained earnings 8.27%3.99B8.27%3.99B8.82%3.89B10.05%3.83B11.18%3.77B11.54%3.69B11.54%3.69B10.53%3.58B10.19%3.48B10.57%3.39B
Paid-in capital 8.29%566.74M8.29%566.74M8.09%561.15M8.54%559.33M12.53%560.44M8.61%523.36M8.61%523.36M10.18%519.15M10.67%515.3M7.75%498.02M
Less: Treasury stock 9.67%2.94B9.67%2.94B10.48%2.89B10.46%2.84B10.72%2.79B7.79%2.68B7.79%2.68B6.14%2.62B5.44%2.57B4.40%2.52B
Gains losses not affecting retained earnings -30.58%-300.14M-30.58%-300.14M11.29%-235.83M-5.81%-249.91M4.54%-239.45M16.54%-229.85M16.54%-229.85M19.31%-265.83M17.18%-236.19M3.34%-250.84M
Total stockholders'equity 1.42%1.33B1.42%1.33B9.27%1.34B9.28%1.31B16.22%1.31B26.58%1.31B26.58%1.31B32.59%1.23B31.58%1.2B30.37%1.13B
Noncontrolling interests ------------------------------------8.62%-53K
Total equity 1.42%1.33B1.42%1.33B9.27%1.34B9.28%1.31B16.23%1.31B26.58%1.31B26.58%1.31B32.61%1.23B31.59%1.2B30.38%1.13B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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