US Stock MarketDetailed Quotes

ADYEY Adyen N.V. Unsponsored ADR

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  • 14.730
  • +0.030+0.20%
15min DelayClose Aug 30 16:00 ET
  • 14.730
  • 0.0000.00%
Post 16:07 ET
45.75BMarket Cap50.27P/E (TTM)

Adyen N.V. Unsponsored ADR Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
36.35%8.65B
27.34%8.22B
27.34%8.22B
15.00%6.34B
40.41%6.45B
40.41%6.45B
65.54%5.52B
67.44%4.6B
67.44%4.6B
59.17%3.33B
-Cash and cash equivalents
36.04%8.63B
27.34%8.22B
27.34%8.22B
15.00%6.34B
40.41%6.45B
40.41%6.45B
65.54%5.52B
68.19%4.6B
68.19%4.6B
60.16%3.33B
-Short-term investments
--19.67M
----
----
----
----
----
----
----
----
----
-Accounts receivable
24.35%149.57M
50.28%134.27M
50.28%134.27M
23.17%120.28M
57.16%89.35M
57.16%89.35M
62.74%97.66M
-24.28%56.85M
-24.28%56.85M
5.90%60.01M
-Taxes receivable
-22.50%9.1M
-41.26%7.31M
-41.26%7.31M
-84.77%11.74M
84.07%12.45M
84.07%12.45M
108.47%77.1M
-23.12%6.76M
-23.12%6.76M
185.51%36.99M
-Other receivables
30.14%549.79M
32.77%490.05M
32.77%490.05M
17.97%422.48M
-41.71%369.1M
-41.71%369.1M
-49.24%358.13M
-28.36%633.25M
-28.36%633.25M
21.30%705.51M
Inventory
-27.56%87.17M
18.90%104.5M
18.90%104.5M
121.14%120.33M
297.01%87.89M
297.01%87.89M
201.48%54.41M
13.25%22.14M
13.25%22.14M
32.05%18.05M
Restricted cash
54.77%106.34M
29.60%88.86M
29.60%88.86M
0.65%68.71M
248.86%68.56M
248.86%68.56M
427.45%68.26M
334.53%19.65M
334.53%19.65M
--12.94M
Total current assets
34.77%9.55B
27.71%9.04B
27.71%9.04B
14.83%7.09B
32.73%7.08B
32.73%7.08B
48.16%6.17B
42.76%5.34B
42.76%5.34B
51.02%4.17B
Non current assets
Net PPE
8.81%387.04M
13.13%364.8M
13.13%364.8M
36.18%355.71M
60.40%322.47M
60.40%322.47M
56.76%261.21M
25.59%201.04M
25.59%201.04M
5.10%166.63M
-Gross PPE
18.74%634.72M
21.25%564.4M
21.25%564.4M
43.16%534.53M
60.65%465.49M
60.65%465.49M
54.44%373.38M
31.84%289.75M
31.84%289.75M
17.05%241.77M
-Accumulated depreciation
-38.51%-247.68M
-39.57%-199.6M
-39.57%-199.6M
-59.42%-178.82M
-61.22%-143.01M
-61.22%-143.01M
-49.30%-112.17M
-48.59%-88.71M
-48.59%-88.71M
-56.52%-75.13M
Goodwill and other intangible assets
-8.63%8.67M
7.58%8.76M
7.58%8.76M
-6.21%9.49M
-17.28%8.14M
-17.28%8.14M
-1.52%10.11M
-1.29%9.84M
-1.29%9.84M
32.07%10.27M
-Other intangible assets
----
7.58%8.76M
----
----
-17.28%8.14M
-17.28%8.14M
----
-1.29%9.84M
-1.29%9.84M
----
Total non current assets
-4.68%529.42M
-2.58%525.25M
-2.58%525.25M
16.13%555.41M
22.39%539.15M
22.39%539.15M
12.05%478.26M
4.54%440.51M
4.54%440.51M
-4.63%426.83M
Total assets
31.91%10.08B
25.56%9.57B
25.56%9.57B
14.92%7.64B
31.94%7.62B
31.94%7.62B
44.80%6.65B
38.89%5.78B
38.89%5.78B
43.25%4.59B
Liabilities
Current liabilities
Payables
34.81%6.27B
25.13%6.1B
26.67%6.18B
7.97%4.65B
32.54%4.88B
32.54%4.88B
47.26%4.31B
38.52%3.68B
38.52%3.68B
45.54%2.92B
-accounts payable
22.55%186.65M
-29.17%14.11M
745.28%168.4M
13.70%152.31M
121.63%19.92M
121.63%19.92M
7.46%133.96M
8.20%8.99M
8.20%8.99M
20.69%124.66M
-Total tax payable
503.17%55.45M
122.18%133.38M
9.65%65.83M
210.16%9.19M
-2.06%60.03M
-2.06%60.03M
71.13%2.96M
4.62%61.3M
4.62%61.3M
--1.73M
-Other payable
34.26%6.02B
24.14%5.95B
23.90%5.94B
7.64%4.49B
32.90%4.8B
32.90%4.8B
49.02%4.17B
39.39%3.61B
39.39%3.61B
46.80%2.8B
Current debt and capital lease obligation
21.76%51.88M
52.61%50.67M
52.61%50.67M
57.64%42.61M
44.37%33.2M
44.37%33.2M
69.20%27.03M
71.18%23M
71.18%23M
60.52%15.98M
-Current capital lease obligation
21.76%51.88M
52.61%50.67M
52.61%50.67M
57.64%42.61M
44.37%33.2M
44.37%33.2M
69.20%27.03M
71.18%23M
71.18%23M
60.52%15.98M
Current liabilities
34.69%6.32B
25.18%6.24B
25.01%6.23B
8.28%4.69B
33.13%4.98B
33.13%4.98B
47.38%4.33B
37.05%3.74B
37.05%3.74B
45.62%2.94B
Non current liabilities
Long term debt and capital lease obligation
9.27%179.77M
1.49%172.4M
1.49%172.4M
10.57%164.51M
41.60%169.87M
41.60%169.87M
32.38%148.78M
1.62%119.97M
1.62%119.97M
-8.44%112.39M
-Long term capital lease obligation
9.27%179.77M
1.49%172.4M
1.49%172.4M
10.57%164.51M
41.60%169.87M
41.60%169.87M
32.38%148.78M
1.62%119.97M
1.62%119.97M
-8.44%112.39M
Derivative product liabilities
-96.40%1.42M
-96.00%1.4M
-96.00%1.4M
-19.31%39.54M
-57.16%35M
-57.16%35M
-35.61%49M
19.44%81.7M
19.44%81.7M
25.37%76.1M
Other non current liabilities
-42.08%1.62M
-76.82%1.56M
-76.82%1.56M
-31.17%2.8M
20.37%6.74M
20.37%6.74M
-14.15%4.07M
--5.6M
--5.6M
--4.74M
Total non current liabilities
-14.30%185.42M
-18.45%181.82M
-18.45%181.82M
-0.04%216.35M
-0.32%222.96M
-0.32%222.96M
0.20%216.43M
6.32%223.67M
6.32%223.67M
2.92%215.99M
Total liabilities
32.53%6.5B
23.31%6.42B
23.14%6.41B
7.88%4.91B
31.25%5.2B
31.25%5.2B
44.15%4.55B
34.86%3.97B
34.86%3.97B
41.60%3.16B
Shareholders'equity
Share capital
0.32%311K
0.00%310K
0.00%310K
0.00%310K
0.00%310K
0.00%310K
1.64%310K
1.97%310K
1.97%310K
0.66%305K
-common stock
0.32%311K
0.00%310K
0.00%310K
0.00%310K
0.00%310K
0.00%310K
1.64%310K
1.97%310K
1.97%310K
0.66%305K
Retained earnings
37.50%3.01B
36.42%2.6B
36.88%2.61B
35.04%2.19B
42.63%1.91B
42.63%1.91B
50.19%1.62B
53.09%1.34B
53.09%1.34B
68.98%1.08B
Paid-in capital
11.45%417.92M
10.68%390.04M
10.68%390.04M
9.98%374.99M
4.97%352.4M
4.97%352.4M
71.27%340.97M
72.51%335.73M
72.51%335.73M
5.24%199.09M
Other equity interest
-9.00%147.54M
0.78%151.47M
0.78%151.47M
--162.13M
17.68%150.3M
17.68%150.3M
----
--127.72M
--127.72M
----
Total stockholders'equity
30.79%3.58B
30.41%3.15B
30.78%3.16B
30.17%2.73B
33.45%2.42B
33.45%2.42B
46.23%2.1B
48.62%1.81B
48.62%1.81B
47.02%1.44B
Total equity
30.79%3.58B
30.41%3.15B
30.78%3.16B
30.17%2.73B
33.45%2.42B
33.45%2.42B
46.23%2.1B
48.62%1.81B
48.62%1.81B
47.02%1.44B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 36.35%8.65B27.34%8.22B27.34%8.22B15.00%6.34B40.41%6.45B40.41%6.45B65.54%5.52B67.44%4.6B67.44%4.6B59.17%3.33B
-Cash and cash equivalents 36.04%8.63B27.34%8.22B27.34%8.22B15.00%6.34B40.41%6.45B40.41%6.45B65.54%5.52B68.19%4.6B68.19%4.6B60.16%3.33B
-Short-term investments --19.67M------------------------------------
-Accounts receivable 24.35%149.57M50.28%134.27M50.28%134.27M23.17%120.28M57.16%89.35M57.16%89.35M62.74%97.66M-24.28%56.85M-24.28%56.85M5.90%60.01M
-Taxes receivable -22.50%9.1M-41.26%7.31M-41.26%7.31M-84.77%11.74M84.07%12.45M84.07%12.45M108.47%77.1M-23.12%6.76M-23.12%6.76M185.51%36.99M
-Other receivables 30.14%549.79M32.77%490.05M32.77%490.05M17.97%422.48M-41.71%369.1M-41.71%369.1M-49.24%358.13M-28.36%633.25M-28.36%633.25M21.30%705.51M
Inventory -27.56%87.17M18.90%104.5M18.90%104.5M121.14%120.33M297.01%87.89M297.01%87.89M201.48%54.41M13.25%22.14M13.25%22.14M32.05%18.05M
Restricted cash 54.77%106.34M29.60%88.86M29.60%88.86M0.65%68.71M248.86%68.56M248.86%68.56M427.45%68.26M334.53%19.65M334.53%19.65M--12.94M
Total current assets 34.77%9.55B27.71%9.04B27.71%9.04B14.83%7.09B32.73%7.08B32.73%7.08B48.16%6.17B42.76%5.34B42.76%5.34B51.02%4.17B
Non current assets
Net PPE 8.81%387.04M13.13%364.8M13.13%364.8M36.18%355.71M60.40%322.47M60.40%322.47M56.76%261.21M25.59%201.04M25.59%201.04M5.10%166.63M
-Gross PPE 18.74%634.72M21.25%564.4M21.25%564.4M43.16%534.53M60.65%465.49M60.65%465.49M54.44%373.38M31.84%289.75M31.84%289.75M17.05%241.77M
-Accumulated depreciation -38.51%-247.68M-39.57%-199.6M-39.57%-199.6M-59.42%-178.82M-61.22%-143.01M-61.22%-143.01M-49.30%-112.17M-48.59%-88.71M-48.59%-88.71M-56.52%-75.13M
Goodwill and other intangible assets -8.63%8.67M7.58%8.76M7.58%8.76M-6.21%9.49M-17.28%8.14M-17.28%8.14M-1.52%10.11M-1.29%9.84M-1.29%9.84M32.07%10.27M
-Other intangible assets ----7.58%8.76M---------17.28%8.14M-17.28%8.14M-----1.29%9.84M-1.29%9.84M----
Total non current assets -4.68%529.42M-2.58%525.25M-2.58%525.25M16.13%555.41M22.39%539.15M22.39%539.15M12.05%478.26M4.54%440.51M4.54%440.51M-4.63%426.83M
Total assets 31.91%10.08B25.56%9.57B25.56%9.57B14.92%7.64B31.94%7.62B31.94%7.62B44.80%6.65B38.89%5.78B38.89%5.78B43.25%4.59B
Liabilities
Current liabilities
Payables 34.81%6.27B25.13%6.1B26.67%6.18B7.97%4.65B32.54%4.88B32.54%4.88B47.26%4.31B38.52%3.68B38.52%3.68B45.54%2.92B
-accounts payable 22.55%186.65M-29.17%14.11M745.28%168.4M13.70%152.31M121.63%19.92M121.63%19.92M7.46%133.96M8.20%8.99M8.20%8.99M20.69%124.66M
-Total tax payable 503.17%55.45M122.18%133.38M9.65%65.83M210.16%9.19M-2.06%60.03M-2.06%60.03M71.13%2.96M4.62%61.3M4.62%61.3M--1.73M
-Other payable 34.26%6.02B24.14%5.95B23.90%5.94B7.64%4.49B32.90%4.8B32.90%4.8B49.02%4.17B39.39%3.61B39.39%3.61B46.80%2.8B
Current debt and capital lease obligation 21.76%51.88M52.61%50.67M52.61%50.67M57.64%42.61M44.37%33.2M44.37%33.2M69.20%27.03M71.18%23M71.18%23M60.52%15.98M
-Current capital lease obligation 21.76%51.88M52.61%50.67M52.61%50.67M57.64%42.61M44.37%33.2M44.37%33.2M69.20%27.03M71.18%23M71.18%23M60.52%15.98M
Current liabilities 34.69%6.32B25.18%6.24B25.01%6.23B8.28%4.69B33.13%4.98B33.13%4.98B47.38%4.33B37.05%3.74B37.05%3.74B45.62%2.94B
Non current liabilities
Long term debt and capital lease obligation 9.27%179.77M1.49%172.4M1.49%172.4M10.57%164.51M41.60%169.87M41.60%169.87M32.38%148.78M1.62%119.97M1.62%119.97M-8.44%112.39M
-Long term capital lease obligation 9.27%179.77M1.49%172.4M1.49%172.4M10.57%164.51M41.60%169.87M41.60%169.87M32.38%148.78M1.62%119.97M1.62%119.97M-8.44%112.39M
Derivative product liabilities -96.40%1.42M-96.00%1.4M-96.00%1.4M-19.31%39.54M-57.16%35M-57.16%35M-35.61%49M19.44%81.7M19.44%81.7M25.37%76.1M
Other non current liabilities -42.08%1.62M-76.82%1.56M-76.82%1.56M-31.17%2.8M20.37%6.74M20.37%6.74M-14.15%4.07M--5.6M--5.6M--4.74M
Total non current liabilities -14.30%185.42M-18.45%181.82M-18.45%181.82M-0.04%216.35M-0.32%222.96M-0.32%222.96M0.20%216.43M6.32%223.67M6.32%223.67M2.92%215.99M
Total liabilities 32.53%6.5B23.31%6.42B23.14%6.41B7.88%4.91B31.25%5.2B31.25%5.2B44.15%4.55B34.86%3.97B34.86%3.97B41.60%3.16B
Shareholders'equity
Share capital 0.32%311K0.00%310K0.00%310K0.00%310K0.00%310K0.00%310K1.64%310K1.97%310K1.97%310K0.66%305K
-common stock 0.32%311K0.00%310K0.00%310K0.00%310K0.00%310K0.00%310K1.64%310K1.97%310K1.97%310K0.66%305K
Retained earnings 37.50%3.01B36.42%2.6B36.88%2.61B35.04%2.19B42.63%1.91B42.63%1.91B50.19%1.62B53.09%1.34B53.09%1.34B68.98%1.08B
Paid-in capital 11.45%417.92M10.68%390.04M10.68%390.04M9.98%374.99M4.97%352.4M4.97%352.4M71.27%340.97M72.51%335.73M72.51%335.73M5.24%199.09M
Other equity interest -9.00%147.54M0.78%151.47M0.78%151.47M--162.13M17.68%150.3M17.68%150.3M------127.72M--127.72M----
Total stockholders'equity 30.79%3.58B30.41%3.15B30.78%3.16B30.17%2.73B33.45%2.42B33.45%2.42B46.23%2.1B48.62%1.81B48.62%1.81B47.02%1.44B
Total equity 30.79%3.58B30.41%3.15B30.78%3.16B30.17%2.73B33.45%2.42B33.45%2.42B46.23%2.1B48.62%1.81B48.62%1.81B47.02%1.44B
Currency Unit EUREUREUREUREUREUREUREUREUREUR

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