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FTCH Farfetch

Watchlist
1.290 +0.010+0.78% Close 12/04 16:00 ET
1.2900.0000.00% Post 19:23 ET
1.370High1.210Low26.59MVolume

Farfetch Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)2021/09/30
Assets
Current assets
Cash, cash equivalents and short term investments
-32.78%453.82M
-53.17%485.92M
-49.82%734.22M
-49.82%734.22M
-66.38%487.39M
-41.23%675.16M
-16.83%1.04B
-7.01%1.46B
-7.01%1.46B
91.60%1.45B
-Cash and cash equivalents
-21.15%453.82M
-48.19%485.92M
-46.14%734.22M
-46.14%734.22M
-63.89%487.39M
-45.12%575.57M
-24.82%937.97M
-13.37%1.36B
-13.37%1.36B
78.36%1.35B
-Short-term investments
----
----
--0
--0
--0
-0.49%99.59M
--99.64M
--99.97M
--99.97M
--100.14M
Receivables
13.10%527.17M
21.95%533.43M
24.92%456.27M
24.92%456.27M
30.82%467.8M
45.44%466.1M
52.99%437.4M
84.48%365.24M
84.48%365.24M
53.47%357.59M
-Accounts receivable
10.23%501.23M
22.13%515.65M
42.66%89.94M
42.66%89.94M
31.79%460.25M
42.98%454.69M
48.78%422.2M
26.51%63.05M
26.51%63.05M
83.40%349.24M
-Taxes receivable
127.41%25.95M
16.95%17.78M
69.53%216.04M
69.53%216.04M
-9.59%7.55M
362.28%11.41M
610.18%15.21M
343.65%127.44M
343.65%127.44M
-80.38%8.35M
-Other receivables
----
----
-12.43%157.59M
-12.43%157.59M
----
----
----
45.73%179.96M
45.73%179.96M
----
-Recievables adjustments allowances
----
----
-40.30%-7.31M
-40.30%-7.31M
----
----
----
-28.21%-5.21M
-28.21%-5.21M
----
Inventory
49.67%436.41M
16.36%350.38M
35.32%345.97M
35.32%345.97M
45.88%304.71M
41.06%291.59M
73.99%301.12M
75.95%255.66M
75.95%255.66M
63.09%208.87M
Prepaid assets
----
----
166.84%52.49M
166.84%52.49M
----
----
----
40.09%19.67M
40.09%19.67M
----
Total current assets
-0.90%1.43B
-22.65%1.38B
-24.73%1.59B
-24.73%1.59B
-37.22%1.27B
-14.97%1.44B
2.60%1.78B
7.68%2.11B
7.68%2.11B
80.54%2.02B
Non current assets
Net PPE
-3.49%287.75M
1.06%301.92M
-4.73%278.78M
-4.73%278.78M
-10.39%266.78M
4.50%298.17M
16.24%298.75M
9.06%292.61M
9.06%292.61M
35.24%297.71M
-Gross PPE
-3.49%287.75M
1.06%301.92M
1.67%344.09M
1.67%344.09M
-10.39%266.78M
4.50%298.17M
16.24%298.75M
10.77%338.43M
10.77%338.43M
35.24%297.71M
-Accumulated depreciation
----
----
-42.54%-65.31M
-42.54%-65.31M
----
----
----
-23.12%-45.82M
-23.12%-45.82M
----
Goodwill and other intangible assets
-12.62%1.5B
-12.30%1.53B
13.84%1.55B
13.84%1.55B
20.22%1.64B
38.27%1.72B
37.55%1.74B
6.28%1.36B
6.28%1.36B
1.98%1.36B
-Goodwill
----
----
5.24%402.3M
5.24%402.3M
----
----
----
7.23%382.29M
7.23%382.29M
----
-Other intangible assets
----
----
17.20%1.15B
17.20%1.15B
----
----
----
5.91%977.37M
5.91%977.37M
----
Investments and advances
-0.10%217.78M
1,125.34%217.96M
1,116.90%219.12M
1,116.90%219.12M
1,180.31%222.44M
1,153.72%218M
2.41%17.79M
69.92%18.01M
69.92%18.01M
63.95%17.37M
Non current accounts receivable
117.18%40.07M
116.63%39.76M
-32.09%21.2M
-32.09%21.2M
-49.47%17.99M
-60.19%18.45M
-61.19%18.35M
-46.24%31.23M
-46.24%31.23M
153.57%35.6M
Financial assets
--721K
----
----
----
----
----
----
----
----
----
Non current deferred assets
3.01%19.34M
49.71%22.36M
46.74%19.57M
46.74%19.57M
-18.26%16.76M
23.02%18.78M
4.33%14.94M
-1.64%13.33M
-1.64%13.33M
246.24%20.51M
Total non current assets
-9.01%2.07B
0.85%2.11B
21.67%2.09B
21.67%2.09B
24.70%2.16B
41.36%2.27B
30.54%2.09B
5.21%1.71B
5.21%1.71B
9.27%1.73B
Total assets
-5.87%3.5B
-9.94%3.49B
-3.94%3.68B
-3.94%3.68B
-8.67%3.43B
12.46%3.72B
16.03%3.87B
6.56%3.83B
6.56%3.83B
38.79%3.76B
Liabilities
Current liabilities
Payables
14.77%836.17M
-3.74%646.78M
-12.72%383.48M
-12.72%383.48M
4.13%671.83M
17.85%728.58M
18.70%671.88M
17.36%439.39M
17.36%439.39M
30.40%645.18M
-accounts payable
17.23%829.66M
-1.25%640.55M
-9.32%310.96M
-9.32%310.96M
4.09%664.47M
15.23%707.72M
16.63%648.64M
23.44%342.94M
23.44%342.94M
39.06%638.34M
-Total tax payable
-68.83%6.5M
-73.21%6.23M
-29.58%52.28M
-29.58%52.28M
7.53%7.36M
416.49%20.86M
135.45%23.24M
-7.10%74.24M
-7.10%74.24M
-80.85%6.84M
-Other payable
----
----
-8.89%20.23M
-8.89%20.23M
----
----
----
33.45%22.21M
33.45%22.21M
----
Current accrued expenses
----
----
0.42%313.04M
0.42%313.04M
----
----
----
18.12%311.72M
18.12%311.72M
----
Current provisions
-2.66%8.43M
26.60%13.04M
-17.36%12.05M
-17.36%12.05M
-53.65%8.23M
-62.99%8.66M
-51.42%10.3M
-46.27%14.59M
-46.27%14.59M
40.99%17.76M
Current debt and capital lease obligation
13.37%41.61M
23.36%42.48M
10.13%37M
10.13%37M
12.07%36.39M
29.36%36.71M
26.42%34.44M
28.57%33.59M
28.57%33.59M
49.06%32.47M
-Current capital lease obligation
13.37%41.61M
23.36%42.48M
10.13%37M
10.13%37M
12.07%36.39M
29.36%36.71M
26.42%34.44M
28.57%33.59M
28.57%33.59M
49.06%32.47M
Current deferred liabilities
----
----
-16.66%50.41M
-16.66%50.41M
----
----
----
95.39%60.49M
95.39%60.49M
----
Other current liabilities
-42.45%81.02M
-43.76%81.94M
115.64%84.5M
115.64%84.5M
237.12%163.26M
379.72%140.77M
929.66%145.68M
118.37%39.19M
118.37%39.19M
263.45%48.43M
Current liabilities
5.62%969.28M
-9.17%786.29M
-2.69%882.88M
-2.69%882.88M
16.97%883.24M
28.77%917.7M
35.54%865.64M
16.50%907.26M
16.50%907.26M
39.19%755.09M
Non current liabilities
Long term provisions
29.65%15.64M
-42.31%14.55M
-79.91%12.17M
-79.91%12.17M
-84.72%11.96M
-88.34%12.06M
-75.82%25.22M
-53.11%60.55M
-53.11%60.55M
41.61%78.24M
Long term debt and capital lease obligation
53.93%1.11B
53.34%1.1B
53.71%1.07B
53.71%1.07B
-4.32%721.23M
-9.18%722.07M
-9.30%717.88M
-11.03%696.72M
-11.03%696.72M
25.79%753.83M
-Long term debt
70.68%916.92M
71.36%908.42M
73.07%892.7M
73.07%892.7M
-2.30%551.97M
-12.35%537.22M
-16.27%530.12M
-16.51%515.8M
-16.51%515.8M
20.35%564.98M
-Long term capital lease obligation
5.27%194.58M
2.46%192.38M
-1.47%178.25M
-1.47%178.25M
-10.37%169.26M
1.46%184.85M
18.59%187.76M
9.46%180.92M
9.46%180.92M
45.46%188.85M
Non current deferred liabilities
-38.92%88.6M
-35.10%98.06M
-18.38%127.35M
-18.38%127.35M
-15.59%136.19M
-14.13%145.04M
-14.40%151.09M
-14.49%156.03M
-14.49%156.03M
-19.39%161.35M
Employee benefits
-2.89%3.83M
-49.37%3.32M
-77.37%2.93M
-77.37%2.93M
-72.44%4.06M
-81.25%3.95M
-69.16%6.55M
-50.42%12.95M
-50.42%12.95M
-23.22%14.74M
Derivative product liabilities
-15.21%415.58M
-46.14%382.93M
-78.01%375.78M
-78.01%375.78M
-76.40%491.86M
-79.10%490.15M
-73.53%710.91M
-48.91%1.71B
-48.91%1.71B
147.58%2.08B
Other non current liabilities
-6.85%287.36M
-14.13%296.27M
2,131.20%298.24M
2,131.20%298.24M
2,240.26%280.5M
6,467.83%308.49M
7,361.66%345.03M
175.44%13.37M
175.44%13.37M
--11.99M
Total non current liabilities
14.31%1.92B
-3.11%1.9B
-28.74%1.89B
-28.74%1.89B
-46.98%1.65B
-51.09%1.68B
-48.29%1.96B
-40.76%2.65B
-40.76%2.65B
80.94%3.1B
Total liabilities
11.25%2.89B
-4.96%2.68B
-22.09%2.77B
-22.09%2.77B
-34.47%2.53B
-37.38%2.6B
-36.19%2.82B
-32.26%3.56B
-32.26%3.56B
70.91%3.86B
Shareholders'equity
Share capital
----
5.00%16.06M
3.69%15.79M
3.69%15.79M
3.96%15.45M
6.26%15.36M
7.31%15.29M
7.50%15.23M
7.50%15.23M
7.33%14.86M
-common stock
----
5.00%16.06M
3.69%15.79M
3.69%15.79M
3.96%15.45M
6.26%15.36M
7.31%15.29M
7.50%15.23M
7.50%15.23M
7.33%14.86M
Retained earnings
----
-22.01%-1.98B
21.52%-1.87B
21.52%-1.87B
29.64%-1.78B
53.70%-1.54B
52.75%-1.63B
40.53%-2.39B
40.53%-2.39B
-39.49%-2.53B
Paid-in capital
----
2.63%1.69B
2.69%1.69B
2.69%1.69B
16.61%1.65B
57.80%1.65B
77.02%1.64B
76.92%1.64B
76.92%1.64B
59.13%1.42B
Gains losses not affecting retained earnings
----
10.93%930.47M
12.38%919.8M
12.38%919.8M
5.49%849.26M
-34.33%827.98M
-32.27%838.76M
-34.19%818.51M
-34.19%818.51M
-32.40%805.03M
Total stockholders'equity
-51.70%460.57M
-25.51%648.56M
744.41%748.21M
744.41%748.21M
355.64%739.38M
194.69%953.58M
169.08%870.69M
104.85%88.61M
104.85%88.61M
-201.75%-289.23M
Noncontrolling interests
-10.60%145.6M
-12.77%155.19M
-13.52%157.41M
-13.52%157.41M
-12.79%161.96M
1.55%162.86M
2.33%177.9M
7.98%182.01M
7.98%182.01M
13.44%185.71M
Total equity
-45.71%606.17M
-23.35%803.75M
234.65%905.62M
234.65%905.62M
970.72%901.34M
231.86%1.12B
196.50%1.05B
116.32%270.62M
116.32%270.62M
-123.11%-103.52M
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 with Explanatory Notes
--
--
(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(Q3)2021/09/30
Assets
Current assets
Cash, cash equivalents and short term investments -32.78%453.82M-53.17%485.92M-49.82%734.22M-49.82%734.22M-66.38%487.39M-41.23%675.16M-16.83%1.04B-7.01%1.46B-7.01%1.46B91.60%1.45B
-Cash and cash equivalents -21.15%453.82M-48.19%485.92M-46.14%734.22M-46.14%734.22M-63.89%487.39M-45.12%575.57M-24.82%937.97M-13.37%1.36B-13.37%1.36B78.36%1.35B
-Short-term investments ----------0--0--0-0.49%99.59M--99.64M--99.97M--99.97M--100.14M
Receivables 13.10%527.17M21.95%533.43M24.92%456.27M24.92%456.27M30.82%467.8M45.44%466.1M52.99%437.4M84.48%365.24M84.48%365.24M53.47%357.59M
-Accounts receivable 10.23%501.23M22.13%515.65M42.66%89.94M42.66%89.94M31.79%460.25M42.98%454.69M48.78%422.2M26.51%63.05M26.51%63.05M83.40%349.24M
-Taxes receivable 127.41%25.95M16.95%17.78M69.53%216.04M69.53%216.04M-9.59%7.55M362.28%11.41M610.18%15.21M343.65%127.44M343.65%127.44M-80.38%8.35M
-Other receivables ---------12.43%157.59M-12.43%157.59M------------45.73%179.96M45.73%179.96M----
-Recievables adjustments allowances ---------40.30%-7.31M-40.30%-7.31M-------------28.21%-5.21M-28.21%-5.21M----
Inventory 49.67%436.41M16.36%350.38M35.32%345.97M35.32%345.97M45.88%304.71M41.06%291.59M73.99%301.12M75.95%255.66M75.95%255.66M63.09%208.87M
Prepaid assets --------166.84%52.49M166.84%52.49M------------40.09%19.67M40.09%19.67M----
Total current assets -0.90%1.43B-22.65%1.38B-24.73%1.59B-24.73%1.59B-37.22%1.27B-14.97%1.44B2.60%1.78B7.68%2.11B7.68%2.11B80.54%2.02B
Non current assets
Net PPE -3.49%287.75M1.06%301.92M-4.73%278.78M-4.73%278.78M-10.39%266.78M4.50%298.17M16.24%298.75M9.06%292.61M9.06%292.61M35.24%297.71M
-Gross PPE -3.49%287.75M1.06%301.92M1.67%344.09M1.67%344.09M-10.39%266.78M4.50%298.17M16.24%298.75M10.77%338.43M10.77%338.43M35.24%297.71M
-Accumulated depreciation ---------42.54%-65.31M-42.54%-65.31M-------------23.12%-45.82M-23.12%-45.82M----
Goodwill and other intangible assets -12.62%1.5B-12.30%1.53B13.84%1.55B13.84%1.55B20.22%1.64B38.27%1.72B37.55%1.74B6.28%1.36B6.28%1.36B1.98%1.36B
-Goodwill --------5.24%402.3M5.24%402.3M------------7.23%382.29M7.23%382.29M----
-Other intangible assets --------17.20%1.15B17.20%1.15B------------5.91%977.37M5.91%977.37M----
Investments and advances -0.10%217.78M1,125.34%217.96M1,116.90%219.12M1,116.90%219.12M1,180.31%222.44M1,153.72%218M2.41%17.79M69.92%18.01M69.92%18.01M63.95%17.37M
Non current accounts receivable 117.18%40.07M116.63%39.76M-32.09%21.2M-32.09%21.2M-49.47%17.99M-60.19%18.45M-61.19%18.35M-46.24%31.23M-46.24%31.23M153.57%35.6M
Financial assets --721K------------------------------------
Non current deferred assets 3.01%19.34M49.71%22.36M46.74%19.57M46.74%19.57M-18.26%16.76M23.02%18.78M4.33%14.94M-1.64%13.33M-1.64%13.33M246.24%20.51M
Total non current assets -9.01%2.07B0.85%2.11B21.67%2.09B21.67%2.09B24.70%2.16B41.36%2.27B30.54%2.09B5.21%1.71B5.21%1.71B9.27%1.73B
Total assets -5.87%3.5B-9.94%3.49B-3.94%3.68B-3.94%3.68B-8.67%3.43B12.46%3.72B16.03%3.87B6.56%3.83B6.56%3.83B38.79%3.76B
Liabilities
Current liabilities
Payables 14.77%836.17M-3.74%646.78M-12.72%383.48M-12.72%383.48M4.13%671.83M17.85%728.58M18.70%671.88M17.36%439.39M17.36%439.39M30.40%645.18M
-accounts payable 17.23%829.66M-1.25%640.55M-9.32%310.96M-9.32%310.96M4.09%664.47M15.23%707.72M16.63%648.64M23.44%342.94M23.44%342.94M39.06%638.34M
-Total tax payable -68.83%6.5M-73.21%6.23M-29.58%52.28M-29.58%52.28M7.53%7.36M416.49%20.86M135.45%23.24M-7.10%74.24M-7.10%74.24M-80.85%6.84M
-Other payable ---------8.89%20.23M-8.89%20.23M------------33.45%22.21M33.45%22.21M----
Current accrued expenses --------0.42%313.04M0.42%313.04M------------18.12%311.72M18.12%311.72M----
Current provisions -2.66%8.43M26.60%13.04M-17.36%12.05M-17.36%12.05M-53.65%8.23M-62.99%8.66M-51.42%10.3M-46.27%14.59M-46.27%14.59M40.99%17.76M
Current debt and capital lease obligation 13.37%41.61M23.36%42.48M10.13%37M10.13%37M12.07%36.39M29.36%36.71M26.42%34.44M28.57%33.59M28.57%33.59M49.06%32.47M
-Current capital lease obligation 13.37%41.61M23.36%42.48M10.13%37M10.13%37M12.07%36.39M29.36%36.71M26.42%34.44M28.57%33.59M28.57%33.59M49.06%32.47M
Current deferred liabilities ---------16.66%50.41M-16.66%50.41M------------95.39%60.49M95.39%60.49M----
Other current liabilities -42.45%81.02M-43.76%81.94M115.64%84.5M115.64%84.5M237.12%163.26M379.72%140.77M929.66%145.68M118.37%39.19M118.37%39.19M263.45%48.43M
Current liabilities 5.62%969.28M-9.17%786.29M-2.69%882.88M-2.69%882.88M16.97%883.24M28.77%917.7M35.54%865.64M16.50%907.26M16.50%907.26M39.19%755.09M
Non current liabilities
Long term provisions 29.65%15.64M-42.31%14.55M-79.91%12.17M-79.91%12.17M-84.72%11.96M-88.34%12.06M-75.82%25.22M-53.11%60.55M-53.11%60.55M41.61%78.24M
Long term debt and capital lease obligation 53.93%1.11B53.34%1.1B53.71%1.07B53.71%1.07B-4.32%721.23M-9.18%722.07M-9.30%717.88M-11.03%696.72M-11.03%696.72M25.79%753.83M
-Long term debt 70.68%916.92M71.36%908.42M73.07%892.7M73.07%892.7M-2.30%551.97M-12.35%537.22M-16.27%530.12M-16.51%515.8M-16.51%515.8M20.35%564.98M
-Long term capital lease obligation 5.27%194.58M2.46%192.38M-1.47%178.25M-1.47%178.25M-10.37%169.26M1.46%184.85M18.59%187.76M9.46%180.92M9.46%180.92M45.46%188.85M
Non current deferred liabilities -38.92%88.6M-35.10%98.06M-18.38%127.35M-18.38%127.35M-15.59%136.19M-14.13%145.04M-14.40%151.09M-14.49%156.03M-14.49%156.03M-19.39%161.35M
Employee benefits -2.89%3.83M-49.37%3.32M-77.37%2.93M-77.37%2.93M-72.44%4.06M-81.25%3.95M-69.16%6.55M-50.42%12.95M-50.42%12.95M-23.22%14.74M
Derivative product liabilities -15.21%415.58M-46.14%382.93M-78.01%375.78M-78.01%375.78M-76.40%491.86M-79.10%490.15M-73.53%710.91M-48.91%1.71B-48.91%1.71B147.58%2.08B
Other non current liabilities -6.85%287.36M-14.13%296.27M2,131.20%298.24M2,131.20%298.24M2,240.26%280.5M6,467.83%308.49M7,361.66%345.03M175.44%13.37M175.44%13.37M--11.99M
Total non current liabilities 14.31%1.92B-3.11%1.9B-28.74%1.89B-28.74%1.89B-46.98%1.65B-51.09%1.68B-48.29%1.96B-40.76%2.65B-40.76%2.65B80.94%3.1B
Total liabilities 11.25%2.89B-4.96%2.68B-22.09%2.77B-22.09%2.77B-34.47%2.53B-37.38%2.6B-36.19%2.82B-32.26%3.56B-32.26%3.56B70.91%3.86B
Shareholders'equity
Share capital ----5.00%16.06M3.69%15.79M3.69%15.79M3.96%15.45M6.26%15.36M7.31%15.29M7.50%15.23M7.50%15.23M7.33%14.86M
-common stock ----5.00%16.06M3.69%15.79M3.69%15.79M3.96%15.45M6.26%15.36M7.31%15.29M7.50%15.23M7.50%15.23M7.33%14.86M
Retained earnings -----22.01%-1.98B21.52%-1.87B21.52%-1.87B29.64%-1.78B53.70%-1.54B52.75%-1.63B40.53%-2.39B40.53%-2.39B-39.49%-2.53B
Paid-in capital ----2.63%1.69B2.69%1.69B2.69%1.69B16.61%1.65B57.80%1.65B77.02%1.64B76.92%1.64B76.92%1.64B59.13%1.42B
Gains losses not affecting retained earnings ----10.93%930.47M12.38%919.8M12.38%919.8M5.49%849.26M-34.33%827.98M-32.27%838.76M-34.19%818.51M-34.19%818.51M-32.40%805.03M
Total stockholders'equity -51.70%460.57M-25.51%648.56M744.41%748.21M744.41%748.21M355.64%739.38M194.69%953.58M169.08%870.69M104.85%88.61M104.85%88.61M-201.75%-289.23M
Noncontrolling interests -10.60%145.6M-12.77%155.19M-13.52%157.41M-13.52%157.41M-12.79%161.96M1.55%162.86M2.33%177.9M7.98%182.01M7.98%182.01M13.44%185.71M
Total equity -45.71%606.17M-23.35%803.75M234.65%905.62M234.65%905.62M970.72%901.34M231.86%1.12B196.50%1.05B116.32%270.62M116.32%270.62M-123.11%-103.52M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion with Explanatory Notes----
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