Monster Beverage Corp (MNST)

Industry Beverages - Non-Alcoholic

This stock can be held in an Investment ISA and an Investment Account
Sell

$62.45

Buy

$62.93

arrow-up$0.53 (+0.85%)

Monster Beverage Corp develops, markets, sells and distributes energy drink beverages and/or concentrates for energy drink beverages. Its brands include Monster Energy, Java Monster, Monster Rehab, NOS, Full Throttle, Mother, among others.
Prices updated at 17 May 2025, 00:59 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
3,369m3,807m4,201m4,599m5,541m6,311m7,140m7,493m
2,138m2,295m2,519m2,724m3,109m3,175m3,794m4,049m
1,199m1,284m1,403m1,633m1,797m1,585m1,953m1,930m
35.5833.7233.4035.5132.4425.1127.3625.76
821m993m1,108m1,410m1,377m1,192m1,631m1,509m
1,248m1,341m1,464m1,690m1,848m1,646m2,022m2,011m
Sales, General and administrative--------
Interest expenses--------
Provision for income taxes381m300m308m217m424m380m437m480m
Operating expenses939m1,012m1,116m1,091m1,311m1,590m1,841m2,119m
Income before taxes1,202m1,293m1,416m1,626m1,801m1,572m2,068m1,989m
Net income available to common shareholders821m993m1,108m1,410m1,377m1,192m1,631m1,509m
0.7250.891.021.331.3051.131.561.5
Net interest income----4m-13m115m59m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.710.881.0151.321.2851.1151.541.49
Free cash flow per share0.83330.82870.99281.02011.21820.61051.31221.5436
Book value/share3.3273.58053.82714.3835.8996.52487.55895.9393
Debt equity ratio-------0.062767

Balance sheet

20172018201920202021202220232024
Current assets2,086m1,804m2,316m3,141m4,682m4,765m5,589m3,642m
Current liabilities560m601m661m750m965m1,002m1,162m1,098m
Total capital3,895m3,611m4,171m5,161m6,567m7,025m8,229m6,332m
Total debt-------374m
Total equity3,895m3,611m4,171m5,161m6,567m7,025m8,229m5,958m
Total non current liabilities--------
Loans-------374m
Total assets4,791m4,527m5,150m6,203m7,805m8,293m9,687m7,719m
Total liabilities--------
Cash and cash equivalents529m638m798m1,180m1,326m1,307m2,298m1,533m
Common stock1,133m1,087m1,073m1,056m1,059m1,045m1,042m973m

Cash flow

20172018201920202021202220232024
Cash at beginning of period378m529m638m798m1,180m1,326m1,307m2,298m
Cash dividends paid--------
895m1,087m1,003m1,297m1,098m676m1,483m1,622m
Investments (gains) losses-532m273m-327m-472m-992m-161m-193m734m
529m638m798m1,180m1,326m1,307m2,298m1,533m
Net income--------
988m1,162m1,114m1,364m1,156m888m1,718m1,929m
-93m-75m-110m-67m-57m-212m-235m-306m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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