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EBAY eBay

Watchlist
41.290 -0.190-0.46% Close 12/08 16:00 ET
41.2900.0000.00% Post 17:01 ET
41.720High41.160Low7.24MVolume

eBay Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
Assets
Current assets
Cash, cash equivalents and short term investments
147.99%8.69B
122.26%7.11B
23.00%6.83B
2.02%7.47B
2.02%7.47B
-75.93%3.51B
-81.42%3.2B
64.89%5.55B
109.65%7.32B
109.65%7.32B
-Cash and cash equivalents
22.83%2.55B
30.20%2.27B
15.60%2.08B
56.20%2.15B
56.20%2.15B
66.48%2.08B
-18.14%1.74B
8.04%1.8B
25.25%1.38B
25.25%1.38B
-Short-term investments
329.81%6.14B
232.33%4.84B
26.55%4.75B
-10.55%5.32B
-10.55%5.32B
-89.27%1.43B
-90.35%1.46B
120.65%3.75B
148.49%5.94B
148.49%5.94B
Receivables
36.19%1.1B
20.31%995M
27.18%903M
9.92%975M
9.92%975M
22.37%804M
32.96%827M
-47.95%710M
36.04%887M
36.04%887M
-Accounts receivable
500.00%504M
457.32%457M
340.23%383M
-8.16%90M
-8.16%90M
-9.68%84M
-40.15%82M
-75.00%87M
-72.93%98M
-72.93%98M
-Taxes receivable
-10.32%113M
-7.86%129M
--44M
12.96%122M
12.96%122M
--126M
--140M
----
--108M
--108M
-Other receivables
-19.53%478M
-32.40%409M
-23.60%476M
12.04%763M
12.04%763M
5.32%594M
24.74%605M
-38.68%623M
134.83%681M
134.83%681M
Prepaid assets
-55.56%192M
-51.92%251M
-4.68%468M
-19.58%456M
-19.58%456M
--432M
--522M
--491M
20.13%567M
20.13%567M
Restricted cash
-10.71%25M
-15.38%22M
105.00%41M
----
----
--28M
--26M
--20M
----
----
Other current assets
-4.12%233M
-1.73%284M
-47.92%300M
11.29%276M
11.29%276M
-74.82%243M
-64.10%289M
-27.00%576M
-19.48%248M
-19.48%248M
Total current assets
95.01%10.31B
72.03%8.72B
17.00%8.6B
1.96%9.29B
1.96%9.29B
-70.21%5.29B
-74.74%5.07B
9.83%7.35B
26.72%9.11B
26.72%9.11B
Non current assets
Net PPE
-4.30%1.65B
-0.99%1.7B
-2.33%1.72B
14.82%1.75B
14.82%1.75B
10.11%1.72B
5.41%1.71B
-2.00%1.76B
-11.44%1.53B
-11.44%1.53B
-Gross PPE
-4.30%1.65B
-0.99%1.7B
-2.33%1.72B
7.48%6.87B
7.48%6.87B
10.11%1.72B
5.41%1.71B
-2.00%1.76B
0.20%6.39B
0.20%6.39B
-Accumulated depreciation
----
----
----
-5.18%-5.12B
-5.18%-5.12B
----
----
----
-4.51%-4.86B
-4.51%-4.86B
Goodwill and other intangible assets
4.44%4.24B
3.19%4.24B
3.53%4.29B
2.01%4.26B
2.01%4.26B
-2.00%4.06B
-2.42%4.11B
-9.90%4.14B
-2.77%4.18B
-2.77%4.18B
-Goodwill
4.44%4.24B
3.19%4.24B
3.53%4.29B
2.01%4.26B
2.01%4.26B
-1.93%4.06B
-2.35%4.11B
-9.80%4.14B
-2.50%4.18B
-2.50%4.18B
Investments and advances
-69.17%1.35B
-70.40%1.5B
-72.20%1.66B
-77.44%1.8B
-77.44%1.8B
370.10%4.39B
282.84%5.07B
462.89%5.96B
856.30%7.97B
856.30%7.97B
Non current deferred assets
-1.84%3.09B
-2.60%3.14B
-3.50%3.11B
-2.64%3.17B
-2.64%3.17B
-4.64%3.14B
-3.47%3.23B
-6.50%3.22B
-7.97%3.26B
-7.97%3.26B
Other non current assets
9.62%547M
40.47%656M
16.02%630M
-1.69%581M
-1.69%581M
275.19%499M
253.79%467M
337.90%543M
-13.09%591M
-13.09%591M
Total non current assets
-21.28%10.87B
-22.95%11.24B
-27.03%11.41B
-34.00%11.56B
-34.00%11.56B
20.06%13.81B
24.01%14.59B
29.83%15.63B
44.51%17.52B
44.51%17.52B
Total assets
10.93%21.18B
1.54%19.96B
-12.95%20B
-21.69%20.85B
-21.69%20.85B
-34.73%19.1B
-38.24%19.65B
22.68%22.98B
37.89%26.63B
37.89%26.63B
Liabilities
Current liabilities
Payables
76.98%2.43B
52.42%2.14B
2.26%1.76B
-7.78%1.6B
-7.78%1.6B
29.28%1.37B
1.59%1.4B
12.53%1.72B
51.35%1.74B
51.35%1.74B
-accounts payable
35.27%303M
18.07%294M
14.29%280M
-0.38%261M
-0.38%261M
-15.47%224M
-12.63%249M
-24.38%245M
-5.76%262M
-5.76%262M
-Total tax payable
128.20%1.14B
83.85%1.01B
-16.44%691M
-25.42%572M
-25.42%572M
184.09%500M
6.17%551M
512.59%827M
56.53%767M
56.53%767M
-Other payable
51.93%986M
37.91%833M
21.47%792M
8.63%768M
8.63%768M
4.51%649M
4.50%604M
-39.24%652M
86.54%707M
86.54%707M
Current accrued expenses
-39.28%453M
-54.59%346M
-55.10%383M
23.77%828M
23.77%828M
-59.98%746M
-62.72%762M
-53.87%853M
-12.89%669M
-12.89%669M
Current provisions
9.28%106M
-9.40%106M
-8.18%101M
-12.93%101M
-12.93%101M
--97M
--117M
--110M
--116M
--116M
Current debt and capital lease obligation
-33.08%864M
-90.72%120M
-93.42%125M
-14.88%1.28B
-14.88%1.28B
-4.72%1.29B
69.91%1.29B
62.20%1.9B
846.54%1.51B
846.54%1.51B
-Current debt
-34.78%750M
----
----
-15.13%1.15B
-15.13%1.15B
-15.13%1.15B
50.99%1.15B
49.74%1.76B
22,483.33%1.36B
22,483.33%1.36B
-Current capital lease obligation
-19.15%114M
-16.67%120M
-14.38%125M
-12.67%131M
-12.67%131M
--141M
--144M
--146M
-1.96%150M
-1.96%150M
Current deferred liabilities
19.35%37M
12.12%37M
18.42%45M
-56.96%34M
-56.96%34M
-63.53%31M
-63.33%33M
-66.67%38M
-19.39%79M
-19.39%79M
Other current liabilities
--372M
--411M
--396M
----
----
----
----
----
----
----
Current liabilities
20.33%4.78B
-10.50%3.56B
-35.65%3.21B
-7.59%4.27B
-7.59%4.27B
-24.96%3.97B
-21.55%3.97B
-2.88%4.98B
15.49%4.62B
15.49%4.62B
Non current liabilities
Long term debt and capital lease obligation
4.52%7.33B
15.26%8.1B
14.97%8.12B
2.67%8.14B
2.67%8.14B
-11.82%7.01B
-18.07%7.03B
13.87%7.06B
-1.48%7.93B
-1.48%7.93B
-Long term debt
5.99%6.97B
17.36%7.72B
17.38%7.72B
-0.08%7.72B
-0.08%7.72B
-14.86%6.58B
-20.94%6.58B
12.35%6.58B
-0.04%7.73B
-0.04%7.73B
-Long term capital lease obligation
-17.82%355M
-15.63%378M
-17.88%395M
109.00%418M
109.00%418M
92.86%432M
75.69%448M
39.83%481M
-36.71%200M
-36.71%200M
Non current deferred liabilities
1.48%2.26B
-10.96%2.14B
-17.59%2.23B
-27.95%2.25B
-27.95%2.25B
-42.85%2.23B
-40.03%2.4B
13.44%2.7B
31.59%3.12B
31.59%3.12B
Other non current liabilities
-11.38%911M
-11.28%897M
-9.71%1.07B
-11.92%1.04B
-11.92%1.04B
-11.46%1.03B
-12.54%1.01B
-5.36%1.18B
-6.11%1.18B
-6.11%1.18B
Total non current liabilities
2.27%10.5B
6.66%11.13B
4.27%11.41B
-6.54%11.43B
-6.54%11.43B
-21.10%10.27B
-24.05%10.44B
11.32%10.94B
4.08%12.23B
4.08%12.23B
Total liabilities
7.31%15.29B
1.93%14.69B
-8.22%14.62B
-6.83%15.7B
-6.83%15.7B
-22.21%14.24B
-23.38%14.41B
6.45%15.93B
6.98%16.85B
6.98%16.85B
Shareholders'equity
Share capital
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
-common stock
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
0.00%2M
Retained earnings
6.44%35.94B
2.40%34.78B
0.37%34.74B
-4.92%34.32B
-4.92%34.32B
-1.36%33.77B
-0.37%33.96B
47.45%34.62B
57.18%36.09B
57.18%36.09B
Paid-in capital
2.87%17.64B
2.76%17.53B
2.72%17.36B
3.72%17.28B
3.72%17.28B
2.37%17.15B
2.30%17.06B
2.16%16.9B
0.98%16.66B
0.98%16.66B
Less: Treasury stock
3.15%47.86B
2.39%47.21B
4.79%46.95B
7.68%46.7B
7.68%46.7B
14.41%46.4B
20.34%46.1B
21.74%44.81B
18.78%43.37B
18.78%43.37B
Gains losses not affecting retained earnings
-47.35%179M
-48.30%167M
-32.46%231M
-34.92%259M
-34.92%259M
-34.87%340M
-42.32%323M
-38.16%342M
-35.39%398M
-35.39%398M
Total stockholders'equity
21.55%5.9B
0.48%5.27B
-23.63%5.39B
-47.30%5.15B
-47.30%5.15B
-55.66%4.85B
-59.72%5.24B
87.11%7.05B
174.59%9.78B
174.59%9.78B
Total equity
21.55%5.9B
0.48%5.27B
-23.63%5.39B
-47.30%5.15B
-47.30%5.15B
-55.66%4.85B
-59.72%5.24B
87.11%7.05B
174.59%9.78B
174.59%9.78B
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
--
(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31
Assets
Current assets
Cash, cash equivalents and short term investments 147.99%8.69B122.26%7.11B23.00%6.83B2.02%7.47B2.02%7.47B-75.93%3.51B-81.42%3.2B64.89%5.55B109.65%7.32B109.65%7.32B
-Cash and cash equivalents 22.83%2.55B30.20%2.27B15.60%2.08B56.20%2.15B56.20%2.15B66.48%2.08B-18.14%1.74B8.04%1.8B25.25%1.38B25.25%1.38B
-Short-term investments 329.81%6.14B232.33%4.84B26.55%4.75B-10.55%5.32B-10.55%5.32B-89.27%1.43B-90.35%1.46B120.65%3.75B148.49%5.94B148.49%5.94B
Receivables 36.19%1.1B20.31%995M27.18%903M9.92%975M9.92%975M22.37%804M32.96%827M-47.95%710M36.04%887M36.04%887M
-Accounts receivable 500.00%504M457.32%457M340.23%383M-8.16%90M-8.16%90M-9.68%84M-40.15%82M-75.00%87M-72.93%98M-72.93%98M
-Taxes receivable -10.32%113M-7.86%129M--44M12.96%122M12.96%122M--126M--140M------108M--108M
-Other receivables -19.53%478M-32.40%409M-23.60%476M12.04%763M12.04%763M5.32%594M24.74%605M-38.68%623M134.83%681M134.83%681M
Prepaid assets -55.56%192M-51.92%251M-4.68%468M-19.58%456M-19.58%456M--432M--522M--491M20.13%567M20.13%567M
Restricted cash -10.71%25M-15.38%22M105.00%41M----------28M--26M--20M--------
Other current assets -4.12%233M-1.73%284M-47.92%300M11.29%276M11.29%276M-74.82%243M-64.10%289M-27.00%576M-19.48%248M-19.48%248M
Total current assets 95.01%10.31B72.03%8.72B17.00%8.6B1.96%9.29B1.96%9.29B-70.21%5.29B-74.74%5.07B9.83%7.35B26.72%9.11B26.72%9.11B
Non current assets
Net PPE -4.30%1.65B-0.99%1.7B-2.33%1.72B14.82%1.75B14.82%1.75B10.11%1.72B5.41%1.71B-2.00%1.76B-11.44%1.53B-11.44%1.53B
-Gross PPE -4.30%1.65B-0.99%1.7B-2.33%1.72B7.48%6.87B7.48%6.87B10.11%1.72B5.41%1.71B-2.00%1.76B0.20%6.39B0.20%6.39B
-Accumulated depreciation -------------5.18%-5.12B-5.18%-5.12B-------------4.51%-4.86B-4.51%-4.86B
Goodwill and other intangible assets 4.44%4.24B3.19%4.24B3.53%4.29B2.01%4.26B2.01%4.26B-2.00%4.06B-2.42%4.11B-9.90%4.14B-2.77%4.18B-2.77%4.18B
-Goodwill 4.44%4.24B3.19%4.24B3.53%4.29B2.01%4.26B2.01%4.26B-1.93%4.06B-2.35%4.11B-9.80%4.14B-2.50%4.18B-2.50%4.18B
Investments and advances -69.17%1.35B-70.40%1.5B-72.20%1.66B-77.44%1.8B-77.44%1.8B370.10%4.39B282.84%5.07B462.89%5.96B856.30%7.97B856.30%7.97B
Non current deferred assets -1.84%3.09B-2.60%3.14B-3.50%3.11B-2.64%3.17B-2.64%3.17B-4.64%3.14B-3.47%3.23B-6.50%3.22B-7.97%3.26B-7.97%3.26B
Other non current assets 9.62%547M40.47%656M16.02%630M-1.69%581M-1.69%581M275.19%499M253.79%467M337.90%543M-13.09%591M-13.09%591M
Total non current assets -21.28%10.87B-22.95%11.24B-27.03%11.41B-34.00%11.56B-34.00%11.56B20.06%13.81B24.01%14.59B29.83%15.63B44.51%17.52B44.51%17.52B
Total assets 10.93%21.18B1.54%19.96B-12.95%20B-21.69%20.85B-21.69%20.85B-34.73%19.1B-38.24%19.65B22.68%22.98B37.89%26.63B37.89%26.63B
Liabilities
Current liabilities
Payables 76.98%2.43B52.42%2.14B2.26%1.76B-7.78%1.6B-7.78%1.6B29.28%1.37B1.59%1.4B12.53%1.72B51.35%1.74B51.35%1.74B
-accounts payable 35.27%303M18.07%294M14.29%280M-0.38%261M-0.38%261M-15.47%224M-12.63%249M-24.38%245M-5.76%262M-5.76%262M
-Total tax payable 128.20%1.14B83.85%1.01B-16.44%691M-25.42%572M-25.42%572M184.09%500M6.17%551M512.59%827M56.53%767M56.53%767M
-Other payable 51.93%986M37.91%833M21.47%792M8.63%768M8.63%768M4.51%649M4.50%604M-39.24%652M86.54%707M86.54%707M
Current accrued expenses -39.28%453M-54.59%346M-55.10%383M23.77%828M23.77%828M-59.98%746M-62.72%762M-53.87%853M-12.89%669M-12.89%669M
Current provisions 9.28%106M-9.40%106M-8.18%101M-12.93%101M-12.93%101M--97M--117M--110M--116M--116M
Current debt and capital lease obligation -33.08%864M-90.72%120M-93.42%125M-14.88%1.28B-14.88%1.28B-4.72%1.29B69.91%1.29B62.20%1.9B846.54%1.51B846.54%1.51B
-Current debt -34.78%750M---------15.13%1.15B-15.13%1.15B-15.13%1.15B50.99%1.15B49.74%1.76B22,483.33%1.36B22,483.33%1.36B
-Current capital lease obligation -19.15%114M-16.67%120M-14.38%125M-12.67%131M-12.67%131M--141M--144M--146M-1.96%150M-1.96%150M
Current deferred liabilities 19.35%37M12.12%37M18.42%45M-56.96%34M-56.96%34M-63.53%31M-63.33%33M-66.67%38M-19.39%79M-19.39%79M
Other current liabilities --372M--411M--396M----------------------------
Current liabilities 20.33%4.78B-10.50%3.56B-35.65%3.21B-7.59%4.27B-7.59%4.27B-24.96%3.97B-21.55%3.97B-2.88%4.98B15.49%4.62B15.49%4.62B
Non current liabilities
Long term debt and capital lease obligation 4.52%7.33B15.26%8.1B14.97%8.12B2.67%8.14B2.67%8.14B-11.82%7.01B-18.07%7.03B13.87%7.06B-1.48%7.93B-1.48%7.93B
-Long term debt 5.99%6.97B17.36%7.72B17.38%7.72B-0.08%7.72B-0.08%7.72B-14.86%6.58B-20.94%6.58B12.35%6.58B-0.04%7.73B-0.04%7.73B
-Long term capital lease obligation -17.82%355M-15.63%378M-17.88%395M109.00%418M109.00%418M92.86%432M75.69%448M39.83%481M-36.71%200M-36.71%200M
Non current deferred liabilities 1.48%2.26B-10.96%2.14B-17.59%2.23B-27.95%2.25B-27.95%2.25B-42.85%2.23B-40.03%2.4B13.44%2.7B31.59%3.12B31.59%3.12B
Other non current liabilities -11.38%911M-11.28%897M-9.71%1.07B-11.92%1.04B-11.92%1.04B-11.46%1.03B-12.54%1.01B-5.36%1.18B-6.11%1.18B-6.11%1.18B
Total non current liabilities 2.27%10.5B6.66%11.13B4.27%11.41B-6.54%11.43B-6.54%11.43B-21.10%10.27B-24.05%10.44B11.32%10.94B4.08%12.23B4.08%12.23B
Total liabilities 7.31%15.29B1.93%14.69B-8.22%14.62B-6.83%15.7B-6.83%15.7B-22.21%14.24B-23.38%14.41B6.45%15.93B6.98%16.85B6.98%16.85B
Shareholders'equity
Share capital 0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M
-common stock 0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M0.00%2M
Retained earnings 6.44%35.94B2.40%34.78B0.37%34.74B-4.92%34.32B-4.92%34.32B-1.36%33.77B-0.37%33.96B47.45%34.62B57.18%36.09B57.18%36.09B
Paid-in capital 2.87%17.64B2.76%17.53B2.72%17.36B3.72%17.28B3.72%17.28B2.37%17.15B2.30%17.06B2.16%16.9B0.98%16.66B0.98%16.66B
Less: Treasury stock 3.15%47.86B2.39%47.21B4.79%46.95B7.68%46.7B7.68%46.7B14.41%46.4B20.34%46.1B21.74%44.81B18.78%43.37B18.78%43.37B
Gains losses not affecting retained earnings -47.35%179M-48.30%167M-32.46%231M-34.92%259M-34.92%259M-34.87%340M-42.32%323M-38.16%342M-35.39%398M-35.39%398M
Total stockholders'equity 21.55%5.9B0.48%5.27B-23.63%5.39B-47.30%5.15B-47.30%5.15B-55.66%4.85B-59.72%5.24B87.11%7.05B174.59%9.78B174.59%9.78B
Total equity 21.55%5.9B0.48%5.27B-23.63%5.39B-47.30%5.15B-47.30%5.15B-55.66%4.85B-59.72%5.24B87.11%7.05B174.59%9.78B174.59%9.78B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
Paper Trade Start
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Types
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