US Stock MarketDetailed Quotes

NTES NetEase

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  • 103.470
  • -0.220-0.21%
Close Mar 28 16:00 ET
  • 103.500
  • +0.030+0.03%
Post 19:48 ET
66.73BMarket Cap16.29P/E (TTM)

NetEase Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
27.51%35.33B
31.07%11.81B
31.49%9.84B
15.79%7.68B
30.95%6B
11.16%27.71B
7.65%9.01B
18.97%7.49B
40.41%6.63B
-17.32%4.58B
Net income from continuing operations
52.76%29.36B
75.25%6.68B
17.97%7.81B
82.46%8.16B
55.49%6.71B
13.21%19.22B
-32.72%3.81B
99.22%6.62B
28.64%4.47B
-4.38%4.32B
Operating gains losses
91.14%-412.12M
50.94%714.2M
106.14%201.62M
-57.37%-1.61B
134.78%283.78M
-282.14%-4.65B
826.49%473.16M
-271.75%-3.28B
-1,678.85%-1.02B
-144.74%-816.02M
Depreciation and amortization
6.89%3.06B
-14.22%659.77M
-8.68%651.86M
8.59%661.36M
41.26%1.08B
-12.75%2.86B
-8.00%769.14M
-11.38%713.85M
-25.21%609.04M
-6.54%766.18M
Deferred tax
-73.16%131.44M
-66.48%193.85M
-30.45%-305.7M
-97.23%-334.38M
83.25%577.67M
20.03%489.67M
234.18%578.32M
-176.08%-234.34M
-183.56%-169.54M
-3.92%315.23M
Change In working capital
-89.25%375.88M
9.91%2.56B
-64.02%817.69M
-87.91%134.17M
-41.67%-3.13B
9.70%3.5B
-4.38%2.33B
182.88%2.27B
673.42%1.11B
-1,611.58%-2.21B
-Change in receivables
-365.25%-1.47B
-76.32%53.09M
-3,391.04%-1.18B
836.48%770.55M
-626.36%-1.12B
146.72%554.34M
330.98%224.2M
103.04%35.79M
-85.64%82.28M
143.79%212.08M
-Change in inventory
1,174.73%296.76M
141.28%25.05M
196.23%84.97M
290.14%69.41M
13.26%117.33M
91.96%-27.61M
-182.48%-60.7M
42.69%-88.3M
285.17%17.79M
140.87%103.59M
-Change in prepaid assets
-88.02%87.56M
-50.49%542.59M
-255.59%-573.63M
95.58%-7.23M
122.08%125.83M
14.17%731.1M
25.86%1.1B
1,057.84%368.67M
-127.57%-163.61M
27.43%-569.84M
-Change in payables and accrued expense
-83.82%300.08M
13.00%2.78B
145.72%923.46M
-173.54%-657.36M
-46.35%-2.75B
-32.00%1.85B
-10.38%2.46B
1,835.14%375.82M
192.25%893.94M
-302.32%-1.88B
-Change in other working capital
201.47%1.16B
39.31%-847.56M
-1.25%1.56B
-114.73%-41.2M
726.59%489.99M
-71.48%385.4M
-20.08%-1.4B
-26.65%1.58B
173.32%279.67M
-110.55%-78.2M
Cash from discontinued investing activities
Operating cash flow
27.51%35.33B
31.07%11.81B
31.49%9.84B
15.79%7.68B
30.95%6B
11.16%27.71B
7.65%9.01B
18.97%7.49B
40.41%6.63B
-17.32%4.58B
Investing cash flow
Cash flow from continuing investing activities
-131.26%-17.04B
-377.54%-10.72B
-152.27%-515.91M
1,079.52%11.59B
-57.57%-17.39B
-4.12%-7.37B
124.82%3.86B
-95.33%987.02M
78.66%-1.18B
-54.91%-11.04B
Net PPE purchase and sale
-11.29%-2.29B
-39.81%-484.52M
-15.59%-640.04M
-22.42%-516.25M
11.72%-650.44M
-34.53%-2.06B
10.22%-346.56M
-39.60%-553.72M
-0.55%-421.72M
-124.48%-736.8M
Net intangibles purchase and sale
-263.45%-1.97B
24.81%-121.8M
-387.62%-742.52M
-232.85%-283.32M
-474.74%-826.68M
63.98%-543.22M
45.48%-161.99M
30.20%-152.28M
84.98%-85.12M
66.25%-143.84M
Net business purchase and sale
-91.05%152.56M
--73.86M
-99.08%20.9M
----
----
19,105.38%1.71B
----
--2.28B
----
----
Net investment purchase and sale
-103.39%-12.51B
-327.81%-10.1B
285.78%1.03B
2,118.10%12.42B
-58.14%-15.79B
-63.44%-6.15B
129.99%4.43B
-102.53%-552.83M
87.12%-615.44M
-58.13%-9.99B
Net other investing changes
-30.93%-423.93M
-47.25%-90.64M
-470.33%-181.26M
48.79%-31.19M
28.73%-120.84M
-20.52%-323.78M
38.26%-61.55M
54.22%-31.78M
-35.70%-60.9M
-210.22%-169.55M
Cash from discontinued investing activities
Investing cash flow
-131.26%-17.04B
-377.54%-10.72B
-152.27%-515.91M
1,079.52%11.59B
-57.57%-17.39B
-4.12%-7.37B
124.82%3.86B
-95.33%987.02M
78.66%-1.18B
-54.91%-11.04B
Financing cash flow
Cash flow from continuing financing activities
-109.69%-21.47B
183.12%5.14B
4.61%-6.85B
-2,517.16%-20.33B
-74.99%572.43M
18.66%-10.24B
-475.91%-6.18B
51.76%-7.18B
-57.47%840.87M
62.89%2.29B
Net issuance payments of debt
-271.41%-8.31B
777.88%8B
-14.36%-4.15B
-470.20%-16.03B
-27.10%3.88B
183.63%4.85B
-184.84%-1.18B
52.25%-3.62B
-24.24%4.33B
142.71%5.32B
Net common stock issuance
---5.23B
79.19%-625.83M
84.85%-296.5M
-3.57%-2.2B
-70.17%-2.12B
--0
-42.40%-3.01B
68.99%-1.96B
14.15%-2.12B
38.79%-1.24B
Cash dividends paid
-19.19%-8.01B
-11.88%-2.26B
-49.81%-2.42B
-50.99%-2.12B
27.99%-1.21B
-91.65%-6.72B
-114.66%-2.02B
-57.33%-1.62B
-9.76%-1.4B
-545.40%-1.68B
Net other financing activities
101.03%86.16M
18.60%28.01M
-19.10%11.57M
-33.05%22.23M
123.86%24.35M
22.40%-8.36B
-95.99%23.62M
-58.89%14.31M
306.07%33.2M
-106.77%-102.04M
Cash from discontinued financing activities
Financing cash flow
-109.69%-21.47B
183.12%5.14B
4.61%-6.85B
-2,517.16%-20.33B
-74.99%572.43M
18.66%-10.24B
-475.91%-6.18B
51.76%-7.18B
-57.47%840.87M
62.89%2.29B
Net cash flow
Beginning cash position
58.77%27.59B
-12.89%18.16B
-19.81%15.68B
27.26%16.78B
58.77%27.59B
42.79%17.38B
-18.99%20.84B
48.59%19.55B
9.66%13.19B
42.79%17.38B
Current changes in cash
-131.47%-3.18B
-6.99%6.22B
92.04%2.47B
-116.81%-1.06B
-159.69%-10.82B
91.95%10.1B
180.88%6.69B
-89.74%1.29B
443.63%6.29B
-2,249.11%-4.17B
Effect of exchange rate changes
-283.38%-202.46M
-427.36%-174.28M
20.95%4.2M
-163.92%-47.88M
173.10%15.5M
299.45%110.4M
165.99%53.24M
-75.96%3.47M
398.26%74.9M
-158.91%-21.2M
End cash Position
-12.26%24.21B
-12.26%24.21B
-12.89%18.16B
-19.81%15.68B
27.26%16.78B
58.77%27.59B
58.77%27.59B
-18.99%20.84B
48.59%19.55B
9.66%13.19B
Free cash flow
23.90%31.06B
31.81%11.2B
24.81%8.46B
12.68%6.87B
22.54%4.52B
14.89%25.07B
11.40%8.5B
19.59%6.78B
63.38%6.1B
-22.93%3.69B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 27.51%35.33B31.07%11.81B31.49%9.84B15.79%7.68B30.95%6B11.16%27.71B7.65%9.01B18.97%7.49B40.41%6.63B-17.32%4.58B
Net income from continuing operations 52.76%29.36B75.25%6.68B17.97%7.81B82.46%8.16B55.49%6.71B13.21%19.22B-32.72%3.81B99.22%6.62B28.64%4.47B-4.38%4.32B
Operating gains losses 91.14%-412.12M50.94%714.2M106.14%201.62M-57.37%-1.61B134.78%283.78M-282.14%-4.65B826.49%473.16M-271.75%-3.28B-1,678.85%-1.02B-144.74%-816.02M
Depreciation and amortization 6.89%3.06B-14.22%659.77M-8.68%651.86M8.59%661.36M41.26%1.08B-12.75%2.86B-8.00%769.14M-11.38%713.85M-25.21%609.04M-6.54%766.18M
Deferred tax -73.16%131.44M-66.48%193.85M-30.45%-305.7M-97.23%-334.38M83.25%577.67M20.03%489.67M234.18%578.32M-176.08%-234.34M-183.56%-169.54M-3.92%315.23M
Change In working capital -89.25%375.88M9.91%2.56B-64.02%817.69M-87.91%134.17M-41.67%-3.13B9.70%3.5B-4.38%2.33B182.88%2.27B673.42%1.11B-1,611.58%-2.21B
-Change in receivables -365.25%-1.47B-76.32%53.09M-3,391.04%-1.18B836.48%770.55M-626.36%-1.12B146.72%554.34M330.98%224.2M103.04%35.79M-85.64%82.28M143.79%212.08M
-Change in inventory 1,174.73%296.76M141.28%25.05M196.23%84.97M290.14%69.41M13.26%117.33M91.96%-27.61M-182.48%-60.7M42.69%-88.3M285.17%17.79M140.87%103.59M
-Change in prepaid assets -88.02%87.56M-50.49%542.59M-255.59%-573.63M95.58%-7.23M122.08%125.83M14.17%731.1M25.86%1.1B1,057.84%368.67M-127.57%-163.61M27.43%-569.84M
-Change in payables and accrued expense -83.82%300.08M13.00%2.78B145.72%923.46M-173.54%-657.36M-46.35%-2.75B-32.00%1.85B-10.38%2.46B1,835.14%375.82M192.25%893.94M-302.32%-1.88B
-Change in other working capital 201.47%1.16B39.31%-847.56M-1.25%1.56B-114.73%-41.2M726.59%489.99M-71.48%385.4M-20.08%-1.4B-26.65%1.58B173.32%279.67M-110.55%-78.2M
Cash from discontinued investing activities
Operating cash flow 27.51%35.33B31.07%11.81B31.49%9.84B15.79%7.68B30.95%6B11.16%27.71B7.65%9.01B18.97%7.49B40.41%6.63B-17.32%4.58B
Investing cash flow
Cash flow from continuing investing activities -131.26%-17.04B-377.54%-10.72B-152.27%-515.91M1,079.52%11.59B-57.57%-17.39B-4.12%-7.37B124.82%3.86B-95.33%987.02M78.66%-1.18B-54.91%-11.04B
Net PPE purchase and sale -11.29%-2.29B-39.81%-484.52M-15.59%-640.04M-22.42%-516.25M11.72%-650.44M-34.53%-2.06B10.22%-346.56M-39.60%-553.72M-0.55%-421.72M-124.48%-736.8M
Net intangibles purchase and sale -263.45%-1.97B24.81%-121.8M-387.62%-742.52M-232.85%-283.32M-474.74%-826.68M63.98%-543.22M45.48%-161.99M30.20%-152.28M84.98%-85.12M66.25%-143.84M
Net business purchase and sale -91.05%152.56M--73.86M-99.08%20.9M--------19,105.38%1.71B------2.28B--------
Net investment purchase and sale -103.39%-12.51B-327.81%-10.1B285.78%1.03B2,118.10%12.42B-58.14%-15.79B-63.44%-6.15B129.99%4.43B-102.53%-552.83M87.12%-615.44M-58.13%-9.99B
Net other investing changes -30.93%-423.93M-47.25%-90.64M-470.33%-181.26M48.79%-31.19M28.73%-120.84M-20.52%-323.78M38.26%-61.55M54.22%-31.78M-35.70%-60.9M-210.22%-169.55M
Cash from discontinued investing activities
Investing cash flow -131.26%-17.04B-377.54%-10.72B-152.27%-515.91M1,079.52%11.59B-57.57%-17.39B-4.12%-7.37B124.82%3.86B-95.33%987.02M78.66%-1.18B-54.91%-11.04B
Financing cash flow
Cash flow from continuing financing activities -109.69%-21.47B183.12%5.14B4.61%-6.85B-2,517.16%-20.33B-74.99%572.43M18.66%-10.24B-475.91%-6.18B51.76%-7.18B-57.47%840.87M62.89%2.29B
Net issuance payments of debt -271.41%-8.31B777.88%8B-14.36%-4.15B-470.20%-16.03B-27.10%3.88B183.63%4.85B-184.84%-1.18B52.25%-3.62B-24.24%4.33B142.71%5.32B
Net common stock issuance ---5.23B79.19%-625.83M84.85%-296.5M-3.57%-2.2B-70.17%-2.12B--0-42.40%-3.01B68.99%-1.96B14.15%-2.12B38.79%-1.24B
Cash dividends paid -19.19%-8.01B-11.88%-2.26B-49.81%-2.42B-50.99%-2.12B27.99%-1.21B-91.65%-6.72B-114.66%-2.02B-57.33%-1.62B-9.76%-1.4B-545.40%-1.68B
Net other financing activities 101.03%86.16M18.60%28.01M-19.10%11.57M-33.05%22.23M123.86%24.35M22.40%-8.36B-95.99%23.62M-58.89%14.31M306.07%33.2M-106.77%-102.04M
Cash from discontinued financing activities
Financing cash flow -109.69%-21.47B183.12%5.14B4.61%-6.85B-2,517.16%-20.33B-74.99%572.43M18.66%-10.24B-475.91%-6.18B51.76%-7.18B-57.47%840.87M62.89%2.29B
Net cash flow
Beginning cash position 58.77%27.59B-12.89%18.16B-19.81%15.68B27.26%16.78B58.77%27.59B42.79%17.38B-18.99%20.84B48.59%19.55B9.66%13.19B42.79%17.38B
Current changes in cash -131.47%-3.18B-6.99%6.22B92.04%2.47B-116.81%-1.06B-159.69%-10.82B91.95%10.1B180.88%6.69B-89.74%1.29B443.63%6.29B-2,249.11%-4.17B
Effect of exchange rate changes -283.38%-202.46M-427.36%-174.28M20.95%4.2M-163.92%-47.88M173.10%15.5M299.45%110.4M165.99%53.24M-75.96%3.47M398.26%74.9M-158.91%-21.2M
End cash Position -12.26%24.21B-12.26%24.21B-12.89%18.16B-19.81%15.68B27.26%16.78B58.77%27.59B58.77%27.59B-18.99%20.84B48.59%19.55B9.66%13.19B
Free cash flow 23.90%31.06B31.81%11.2B24.81%8.46B12.68%6.87B22.54%4.52B14.89%25.07B11.40%8.5B19.59%6.78B63.38%6.1B-22.93%3.69B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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Heat List
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