LVMH 2024 . Performance measures
162 163
OPERATING INVESTMENTS
(EUR millions)
2023 2024
7,478
5,531
2022
4,969
NET PROFIT, GROUP SHARE
(EUR millions)
2023 2024
15,174
12,550
2022
14,084
NET FINANCIAL DEBT
(EUR millions)
2023 2024
10,746
9,228
2022
9,201
EQUITY AND RATIO OF
NET FINANCIAL DEBT TO EQUITY
(EUR millions and %)
2023 2024
62,701
69,287
2022
56,604
SIMPLIFIED BALANCE SHEET AS OF 12/31/2024
(EUR billions and % of balance sheet total)
149
OPERATING FREE CASH FLOW
(EUR millions)
2023 2024
8,104
10,478
2022
10,113
Further information can be found in the 2024 Universal Registration Document
163
171
133
68%
Non-current
assets
16% Inventories
16%Other
current assets
46%
Equity
31%
Non-current
liabilities
23%
Current
liabilities
Assets Liabilities
and equity
149
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