US Stock MarketDetailed Quotes

VIPS Vipshop

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  • 16.550
  • +0.090+0.55%
Close Mar 28 16:00 ET
  • 16.560
  • +0.010+0.06%
Post 16:32 ET
8.98BMarket Cap8.14P/E (TTM)

Vipshop Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
(FY)Dec 31, 2013
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
55.97%10.52B
-42.94%6.74B
-3.82%11.82B
113.90%12.29B
485.55%5.75B
-65.34%981.25M
47.85%2.83B
-41.30%1.92B
23.90%3.26B
278.13%2.63B
Net income from continuing operations
34.50%6.31B
-20.72%4.69B
48.49%5.92B
86.85%3.99B
12.74%2.13B
-5.03%1.89B
32.08%1.99B
100.47%1.51B
134.29%752.59M
643.31%321.22M
Operating gains losses
-210.71%-499.69M
79.21%-160.82M
-362.67%-773.52M
-16.04%-167.19M
-284.16%-144.08M
-145.74%-37.51M
-4.39%81.99M
36.30%85.75M
19,317.28%62.91M
151.13%324K
Depreciation and amortization
12.22%1.41B
10.56%1.26B
19.86%1.14B
6.83%950.51M
-20.36%889.73M
10.33%1.12B
73.44%1.01B
61.77%583.83M
548.20%360.9M
96.83%55.68M
Deferred tax
133.07%50.28M
-46.70%-152.02M
-237.84%-103.62M
73.49%-30.67M
---115.71M
----
----
----
----
----
Other non cash items
-12.36%251.83M
-23.69%287.34M
24.65%376.52M
--302.06M
----
-83.39%5.95M
135.98%35.82M
-7.17%-99.57M
-379.56%-92.91M
-202.44%-19.38M
Change In working capital
248.46%1.1B
-120.82%-741.44M
-29.17%3.56B
200.17%5.03B
153.72%1.67B
-157.41%-3.12B
-38.87%-1.21B
-151.05%-872.15M
-14.22%1.71B
227.17%1.99B
-Change in receivables
-967.98%-407.68M
-97.15%46.97M
-67.66%1.65B
141,685.83%5.1B
100.09%3.6M
-74.79%-3.92B
-63.33%-2.24B
-136.75%-1.37B
-1,224.79%-580.42M
-625.85%-43.81M
-Change in inventory
58.61%1.46B
274.01%917.38M
79.92%-527.2M
-999.95%-2.63B
113.02%291.78M
-227.06%-2.24B
46.16%-685.02M
40.24%-1.27B
-125.60%-2.13B
-75.02%-943.73M
-Change in payables and accrued expense
130.74%523.51M
-165.64%-1.7B
-16.64%2.59B
47.98%3.11B
-40.26%2.1B
231.60%3.52B
-19.07%1.06B
-66.77%1.31B
55.05%3.95B
210.76%2.55B
-Change in other current assets
136.08%8.87M
---24.58M
--0
--0
----
----
----
----
----
----
-Change in other current liabilities
-0.69%-318.31M
13.44%-316.14M
-19.01%-365.21M
---306.87M
--0
--0
----
----
----
----
-Change in other working capital
-147.58%-160.75M
61.92%337.83M
181.86%208.64M
64.78%-254.86M
-52.38%-723.58M
-172.32%-474.86M
41.98%656.58M
-1.52%462.45M
8.51%469.6M
36.17%432.77M
Cash from discontinued investing activities
Operating cash flow
55.97%10.52B
-42.94%6.74B
-3.82%11.82B
113.90%12.29B
485.55%5.75B
-65.34%981.25M
47.85%2.83B
-41.30%1.92B
23.90%3.26B
278.13%2.63B
Investing cash flow
Cash flow from continuing investing activities
145.10%1.05B
65.25%-2.33B
18.75%-6.7B
-23.11%-8.24B
-229.32%-6.69B
-21.79%-2.03B
43.18%-1.67B
30.94%-2.94B
-119.04%-4.25B
-273.85%-1.94B
Net PPE purchase and sale
-2.17%-2.39B
-20.99%-2.34B
40.92%-1.93B
-30.02%-3.27B
-14.91%-2.51B
-11.99%-2.19B
10.48%-1.95B
-37.39%-2.18B
-1,124.16%-1.59B
-68.25%-129.8M
Net intangibles purchase and sale
20.61%-671.82M
-2,343.11%-846.25M
96.45%-34.64M
9.21%-974.5M
-289.17%-1.07B
66.28%-275.81M
58.94%-817.86M
-1,466.43%-1.99B
---127.16M
--0
Net business purchase and sale
-116.79%-668.81M
80.82%-308.51M
52.06%-1.61B
-248.15%-3.36B
-268.55%-963.7M
0.20%-261.48M
57.11%-262.01M
48.70%-610.84M
---1.19B
----
Net investment purchase and sale
126.69%3.94B
147.31%1.74B
-376.11%-3.67B
60.34%-770.77M
-369.14%-1.94B
-38.16%722.02M
-36.79%1.17B
240.68%1.85B
26.24%-1.31B
-235.22%-1.78B
Net other investing changes
247.51%841.82M
-203.82%-570.67M
324.29%549.66M
165.18%129.55M
-588.80%-198.74M
-114.60%-28.85M
14,486.20%197.64M
104.04%1.36M
-4.64%-33.53M
-136.12%-32.04M
Cash from discontinued investing activities
Investing cash flow
145.10%1.05B
65.25%-2.33B
18.75%-6.7B
-23.11%-8.24B
-229.32%-6.69B
-21.79%-2.03B
43.18%-1.67B
30.94%-2.94B
-119.04%-4.25B
-273.85%-1.94B
Financing cash flow
Cash flow from continuing financing activities
-9,380.49%-5.57B
-182.11%-58.79M
99.67%-20.84M
-1,165.94%-6.26B
-91.81%586.97M
1,923.79%7.17B
27.08%-393.13M
-114.00%-539.13M
570.94%3.85B
83.34%574.14M
Net issuance payments of debt
-47.19%541.03M
1,262.01%1.02B
98.52%-88.17M
-1,050.98%-5.98B
-61.81%628.4M
1,832.22%1.65B
-200.00%-95M
-97.52%95M
--3.84B
----
Net common stock issuance
-222.76%-6.26B
---1.94B
--0
--0
----
2,997.62%5.61B
70.22%-193.62M
---650.2M
--0
43.51%561.55M
Proceeds from stock option exercised by employees
--0
46,806.59%419.81M
201.35%895K
-92.48%297K
-33.88%3.95M
3.86%5.97M
-9.11%5.75M
-42.26%6.32M
-13.00%10.95M
952.77%12.59M
Net other financing activities
-67.11%143.28M
555.84%435.69M
123.64%66.43M
-519.30%-281.03M
50.73%-45.38M
16.47%-92.1M
-1,231.99%-110.26M
92.00%9.74M
--5.07M
----
Cash from discontinued financing activities
Financing cash flow
-9,380.49%-5.57B
-182.11%-58.79M
99.67%-20.84M
-1,165.94%-6.26B
-91.81%586.97M
1,923.79%7.17B
27.08%-393.13M
-114.00%-539.13M
570.94%3.85B
83.34%574.14M
Net cash flow
Beginning cash position
34.03%17.17B
65.97%12.81B
-23.10%7.72B
-1.80%10.04B
148.74%10.22B
23.62%4.11B
-30.61%3.32B
136.43%4.79B
161.29%2.03B
176.36%775.48M
Current changes in cash
37.53%6B
-14.60%4.36B
331.28%5.1B
-511.22%-2.21B
-105.90%-361.1M
695.35%6.12B
149.27%769.28M
-154.57%-1.56B
126.10%2.86B
158.21%1.27B
Effect of exchange rate changes
-10,998.80%-63.32M
104.64%581K
88.83%-12.53M
-163.13%-112.11M
3,033.20%177.58M
-138.05%-6.05M
-83.25%15.91M
198.00%94.99M
-555.23%-96.93M
-338.32%-14.79M
End cash Position
34.55%23.1B
34.03%17.17B
65.97%12.81B
-23.10%7.72B
-1.80%10.04B
148.74%10.22B
23.62%4.11B
-30.61%3.32B
136.43%4.79B
160.80%2.03B
Free cash flow
134.27%7.42B
-66.84%3.17B
19.17%9.55B
272.21%8.01B
244.25%2.15B
-3,350.77%-1.49B
102.03%45.91M
-246.12%-2.26B
-38.12%1.55B
303.69%2.5B
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
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion with Explanatory Notes
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014(FY)Dec 31, 2013
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 55.97%10.52B-42.94%6.74B-3.82%11.82B113.90%12.29B485.55%5.75B-65.34%981.25M47.85%2.83B-41.30%1.92B23.90%3.26B278.13%2.63B
Net income from continuing operations 34.50%6.31B-20.72%4.69B48.49%5.92B86.85%3.99B12.74%2.13B-5.03%1.89B32.08%1.99B100.47%1.51B134.29%752.59M643.31%321.22M
Operating gains losses -210.71%-499.69M79.21%-160.82M-362.67%-773.52M-16.04%-167.19M-284.16%-144.08M-145.74%-37.51M-4.39%81.99M36.30%85.75M19,317.28%62.91M151.13%324K
Depreciation and amortization 12.22%1.41B10.56%1.26B19.86%1.14B6.83%950.51M-20.36%889.73M10.33%1.12B73.44%1.01B61.77%583.83M548.20%360.9M96.83%55.68M
Deferred tax 133.07%50.28M-46.70%-152.02M-237.84%-103.62M73.49%-30.67M---115.71M--------------------
Other non cash items -12.36%251.83M-23.69%287.34M24.65%376.52M--302.06M-----83.39%5.95M135.98%35.82M-7.17%-99.57M-379.56%-92.91M-202.44%-19.38M
Change In working capital 248.46%1.1B-120.82%-741.44M-29.17%3.56B200.17%5.03B153.72%1.67B-157.41%-3.12B-38.87%-1.21B-151.05%-872.15M-14.22%1.71B227.17%1.99B
-Change in receivables -967.98%-407.68M-97.15%46.97M-67.66%1.65B141,685.83%5.1B100.09%3.6M-74.79%-3.92B-63.33%-2.24B-136.75%-1.37B-1,224.79%-580.42M-625.85%-43.81M
-Change in inventory 58.61%1.46B274.01%917.38M79.92%-527.2M-999.95%-2.63B113.02%291.78M-227.06%-2.24B46.16%-685.02M40.24%-1.27B-125.60%-2.13B-75.02%-943.73M
-Change in payables and accrued expense 130.74%523.51M-165.64%-1.7B-16.64%2.59B47.98%3.11B-40.26%2.1B231.60%3.52B-19.07%1.06B-66.77%1.31B55.05%3.95B210.76%2.55B
-Change in other current assets 136.08%8.87M---24.58M--0--0------------------------
-Change in other current liabilities -0.69%-318.31M13.44%-316.14M-19.01%-365.21M---306.87M--0--0----------------
-Change in other working capital -147.58%-160.75M61.92%337.83M181.86%208.64M64.78%-254.86M-52.38%-723.58M-172.32%-474.86M41.98%656.58M-1.52%462.45M8.51%469.6M36.17%432.77M
Cash from discontinued investing activities
Operating cash flow 55.97%10.52B-42.94%6.74B-3.82%11.82B113.90%12.29B485.55%5.75B-65.34%981.25M47.85%2.83B-41.30%1.92B23.90%3.26B278.13%2.63B
Investing cash flow
Cash flow from continuing investing activities 145.10%1.05B65.25%-2.33B18.75%-6.7B-23.11%-8.24B-229.32%-6.69B-21.79%-2.03B43.18%-1.67B30.94%-2.94B-119.04%-4.25B-273.85%-1.94B
Net PPE purchase and sale -2.17%-2.39B-20.99%-2.34B40.92%-1.93B-30.02%-3.27B-14.91%-2.51B-11.99%-2.19B10.48%-1.95B-37.39%-2.18B-1,124.16%-1.59B-68.25%-129.8M
Net intangibles purchase and sale 20.61%-671.82M-2,343.11%-846.25M96.45%-34.64M9.21%-974.5M-289.17%-1.07B66.28%-275.81M58.94%-817.86M-1,466.43%-1.99B---127.16M--0
Net business purchase and sale -116.79%-668.81M80.82%-308.51M52.06%-1.61B-248.15%-3.36B-268.55%-963.7M0.20%-261.48M57.11%-262.01M48.70%-610.84M---1.19B----
Net investment purchase and sale 126.69%3.94B147.31%1.74B-376.11%-3.67B60.34%-770.77M-369.14%-1.94B-38.16%722.02M-36.79%1.17B240.68%1.85B26.24%-1.31B-235.22%-1.78B
Net other investing changes 247.51%841.82M-203.82%-570.67M324.29%549.66M165.18%129.55M-588.80%-198.74M-114.60%-28.85M14,486.20%197.64M104.04%1.36M-4.64%-33.53M-136.12%-32.04M
Cash from discontinued investing activities
Investing cash flow 145.10%1.05B65.25%-2.33B18.75%-6.7B-23.11%-8.24B-229.32%-6.69B-21.79%-2.03B43.18%-1.67B30.94%-2.94B-119.04%-4.25B-273.85%-1.94B
Financing cash flow
Cash flow from continuing financing activities -9,380.49%-5.57B-182.11%-58.79M99.67%-20.84M-1,165.94%-6.26B-91.81%586.97M1,923.79%7.17B27.08%-393.13M-114.00%-539.13M570.94%3.85B83.34%574.14M
Net issuance payments of debt -47.19%541.03M1,262.01%1.02B98.52%-88.17M-1,050.98%-5.98B-61.81%628.4M1,832.22%1.65B-200.00%-95M-97.52%95M--3.84B----
Net common stock issuance -222.76%-6.26B---1.94B--0--0----2,997.62%5.61B70.22%-193.62M---650.2M--043.51%561.55M
Proceeds from stock option exercised by employees --046,806.59%419.81M201.35%895K-92.48%297K-33.88%3.95M3.86%5.97M-9.11%5.75M-42.26%6.32M-13.00%10.95M952.77%12.59M
Net other financing activities -67.11%143.28M555.84%435.69M123.64%66.43M-519.30%-281.03M50.73%-45.38M16.47%-92.1M-1,231.99%-110.26M92.00%9.74M--5.07M----
Cash from discontinued financing activities
Financing cash flow -9,380.49%-5.57B-182.11%-58.79M99.67%-20.84M-1,165.94%-6.26B-91.81%586.97M1,923.79%7.17B27.08%-393.13M-114.00%-539.13M570.94%3.85B83.34%574.14M
Net cash flow
Beginning cash position 34.03%17.17B65.97%12.81B-23.10%7.72B-1.80%10.04B148.74%10.22B23.62%4.11B-30.61%3.32B136.43%4.79B161.29%2.03B176.36%775.48M
Current changes in cash 37.53%6B-14.60%4.36B331.28%5.1B-511.22%-2.21B-105.90%-361.1M695.35%6.12B149.27%769.28M-154.57%-1.56B126.10%2.86B158.21%1.27B
Effect of exchange rate changes -10,998.80%-63.32M104.64%581K88.83%-12.53M-163.13%-112.11M3,033.20%177.58M-138.05%-6.05M-83.25%15.91M198.00%94.99M-555.23%-96.93M-338.32%-14.79M
End cash Position 34.55%23.1B34.03%17.17B65.97%12.81B-23.10%7.72B-1.80%10.04B148.74%10.22B23.62%4.11B-30.61%3.32B136.43%4.79B160.80%2.03B
Free cash flow 134.27%7.42B-66.84%3.17B19.17%9.55B272.21%8.01B244.25%2.15B-3,350.77%-1.49B102.03%45.91M-246.12%-2.26B-38.12%1.55B303.69%2.5B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--Unqualified Opinion with Explanatory NotesUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion

Analysis

Analyst Rating

No Data

Price Target

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Business Data

Number of active customers

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