Skechers USA Inc Class A (SKX)

Industry Footwear & Accessories

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

$62.00

Buy

$62.05

arrow-down$-0.01 (-0.02%)

Skechers USA Inc manufactures footwear for children, men and women under Skechers GO brand name offering two distinct footwear categories: a lifestyle division and performance footwear. Its products include branded apparel, bags, eyewear, toys, and more.
Prices updated at 06 Jun 2025, 00:10 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
4,164m4,642m5,220m4,613m6,310m7,445m8,000m8,969m
1,939m2,224m2,491m2,206m3,124m3,515m4,152m4,767m
383m438m518m134m598m547m785m904m
9.199.439.932.909.487.349.8110.08
179m301m347m99m742m373m546m639m
487m547m630m276m738m700m967m1,116m
Sales, General and administrative1,573m1,806m1,995m2,072m2,526m2,969m3,368m3,863m
Interest expenses7m6m------
Provision for income taxes149m61m89m9m-246m93m151m148m
Operating expenses1,556m1,786m1,973m2,072m2,526m2,969m3,368m3,863m
Income before taxes384m432m516m155m570m522m801m878m
Net income available to common shareholders179m301m347m99m742m373m546m639m
1.151.932.260.644.772.43.534.21
Net interest income-4m4m------
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)1.141.922.250.644.732.383.494.16
Free cash flow per share0.98161.69021.8454-0.90761.2499-2.68735.53412.5777
Book value/share12.043913.187514.168115.536118.209422.273625.827729.2094
Debt equity ratio0.0388740.0433030.4385920.7030140.4167070.3585890.3361380.291011

Balance sheet

20172018201920202021202220232024
Current assets2,105m2,472m2,820m3,344m3,372m3,646m3,953m4,449m
Current liabilities597m850m1,238m1,213m1,446m1,613m1,661m2,256m
Total capital1,900m2,123m2,364m3,161m3,523m3,786m4,262m4,346m
Total debt81m97m1,278m2,004m1,662m1,642m1,684m1,929m
Total equity1,829m2,035m2,315m2,481m3,259m3,570m4,019m4,277m
Total non current liabilities--------
Loans71m88m49m679m263m216m243m68m
Total assets2,735m3,228m4,893m5,812m6,491m6,893m7,547m8,456m
Total liabilities--------
Cash and cash equivalents736m872m825m1,371m796m616m1,190m1,117m
Common stock156m154m153m155m156m155m153m149m

Cash flow

20172018201920202021202220232024
Cash at beginning of period719m736m872m825m1,371m796m616m1,190m
Cash dividends paid--------
23m426m190m22m-98m-121m907m271m
Investments (gains) losses-138m-319m-344m-312m-345m-287m-418m-485m
736m872m825m1,371m796m616m1,190m1,117m
Net income--------
159m569m427m331m212m238m1,231m687m
-136m-143m-236m-310m-310m-359m-324m-417m
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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