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JLL
Jones Lang LaSalle Incorporated
318.35
480 x undefined
120 x undefined
bid
ask
+
8.40
2.71%
300 @ 04:00 PM
318.35 +0.00 (0.00%)
Ytd-5.39%
1y23.93%
308.92
day range
323.64
246.08
52 week range
363.06
Open311.16Prev Close309.95Low308.92High323.64Mkt Cap14.77B
Vol311.41KAvg Vol404.27KEPS18.59P/E17.12Forward P/E11.88
Beta1.29Short Ratio3.03Inst. Own96.40%DividendN/ADiv YieldN/A
Ex Div Date11-14Earning07-3050-d Avg307.67200-d Avg315.301yr Est387.10
Income Statement
Total Revenue6.39B
Revenues (USD)6.39B
Cost of Revenue2.94B
Gross Profit3.45B
Operating Expenses3.25B
Selling, General and Administrative Expense3.18B
Operating Income204.60M
Interest Expense17.00M
Income Tax Expense38.10M
Net Income159.00M
Net Income Common Stock159.00M
Net Income Common Stock (USD)159.00M
Consolidated Income159.40M
Net Income to Non-Controlling Interests400.00K
Earnings per Basic Share3.40
Earnings per Basic Share (USD)3.40
Earnings per Diluted Share3.33
Earning Before Interest & Taxes (EBIT)214.10M
Earning Before Interest & Taxes (USD)214.10M
Weighted Average Shares46.84M
Weighted Average Shares Diluted47.80M
Balance Sheet
Cash and Equivalents436.20M
Cash and Equivalents (USD)436.20M
Investments2.47B
Investments Current1.58B
Investments Non-Current886.60M
Trade and Non-Trade Receivables6.08B
Current Assets8.30B
Property, Plant & Equipment Net1.32B
Total Assets17.89B
Debt Current2.11B
Total Debt3.98B
Current Liabilities7.39B
Debt Non-Current1.87B
Total Liabilities10.46B
Accumulated Retained Earnings (Deficit)7.23B
Accumulated Other Comprehensive Income-584.90M
Shareholders Equity7.31B
Shareholders Equity (USD)7.31B
Assets Non-Current9.58B
Total Debt (USD)3.98B
Goodwill and Intangible Assets5.34B
Liabilities Non-Current3.07B
Trade and Non-Trade Payables3.49B
Tax Assets602.70M
Tax Liabilities61.00M
Cash Flow
Depreciation, Amortization & Accretion57.80M
Net Cash Flow from Financing649.40M
Net Cash Flow / Change in Cash & Cash Equivalents-179.60M
Capital Expenditure-64.90M
Issuance (Purchase) of Equity Shares-300.00M
Issuance (Repayment) of Debt Securities 1.03B
Net Cash Flow from Investing-61.30M
Net Cash Flow - Investment Acquisitions and Disposals4.10M
Net Cash Flow from Operations-755.00M
Effect of Exchange Rate Changes on Cash -12.70M
Share Based Compensation23.30M