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EBAY eBay

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  • 67.160
  • +0.350+0.52%
Close Mar 28 16:00 ET
  • 67.160
  • 0.0000.00%
Post 20:01 ET
31.30BMarket Cap17.05P/E (TTM)

eBay Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-34.50%5.89B
-34.50%5.89B
-43.73%4.89B
-27.34%5.17B
18.80%8.11B
20.36%8.99B
20.36%8.99B
147.99%8.69B
122.26%7.11B
23.00%6.83B
-Cash and cash equivalents
22.57%2.43B
22.57%2.43B
-37.69%1.59B
-13.45%1.96B
2.31%2.13B
-7.85%1.99B
-7.85%1.99B
22.83%2.55B
30.20%2.27B
15.60%2.08B
-Short-term investments
-50.66%3.46B
-50.66%3.46B
-46.24%3.3B
-33.85%3.2B
26.04%5.98B
31.78%7.01B
31.78%7.01B
329.81%6.14B
232.33%4.84B
26.55%4.75B
Receivables
-1.74%1.19B
-1.74%1.19B
13.61%1.24B
26.23%1.26B
43.30%1.29B
23.69%1.21B
23.69%1.21B
36.19%1.1B
20.31%995M
27.18%903M
-Accounts receivable
51.48%871M
51.48%871M
58.13%797M
25.60%574M
40.21%537M
538.89%575M
538.89%575M
500.00%504M
457.32%457M
340.23%383M
-Taxes receivable
16.16%115M
16.16%115M
25.66%142M
-31.01%89M
120.45%97M
-18.85%99M
-18.85%99M
-10.32%113M
-7.86%129M
--44M
-Other receivables
-62.59%199M
-62.59%199M
-36.19%305M
44.99%593M
38.66%660M
-30.28%532M
-30.28%532M
-19.53%478M
-32.40%409M
-23.60%476M
Prepaid assets
17.24%136M
17.24%136M
-38.02%119M
-45.82%136M
-68.16%149M
-74.56%116M
-74.56%116M
-55.56%192M
-51.92%251M
-4.68%468M
Restricted cash
282.61%88M
282.61%88M
308.00%102M
409.09%112M
92.68%79M
--23M
--23M
-10.71%25M
-15.38%22M
105.00%41M
Other current assets
-31.51%200M
-31.51%200M
-12.02%205M
-18.31%232M
-21.00%237M
5.80%292M
5.80%292M
-4.12%233M
-1.73%284M
-47.92%300M
Total current assets
-31.31%7.57B
-31.31%7.57B
-31.54%7.06B
-16.61%7.27B
21.03%10.41B
18.58%11.02B
18.58%11.02B
95.01%10.31B
72.03%8.72B
17.00%8.6B
Non current assets
Net PPE
-2.65%1.69B
-2.65%1.69B
3.28%1.7B
1.59%1.72B
1.69%1.75B
-0.86%1.74B
-0.86%1.74B
-4.30%1.65B
-0.99%1.7B
-2.33%1.72B
-Gross PPE
-5.48%6.56B
-5.48%6.56B
3.28%1.7B
1.59%1.72B
1.69%1.75B
1.06%6.94B
1.06%6.94B
-4.30%1.65B
-0.99%1.7B
-2.33%1.72B
-Accumulated depreciation
6.42%-4.87B
6.42%-4.87B
----
----
----
-1.72%-5.2B
-1.72%-5.2B
----
----
----
Goodwill and other intangible assets
0.05%4.27B
0.05%4.27B
1.96%4.32B
0.97%4.29B
-1.21%4.24B
0.12%4.27B
0.12%4.27B
4.44%4.24B
3.19%4.24B
3.53%4.29B
-Goodwill
0.05%4.27B
0.05%4.27B
1.96%4.32B
0.97%4.29B
-1.21%4.24B
0.12%4.27B
0.12%4.27B
4.44%4.24B
3.19%4.24B
3.53%4.29B
Investments and advances
116.03%2.44B
116.03%2.44B
154.73%3.44B
142.29%3.63B
-6.70%1.55B
-37.17%1.13B
-37.17%1.13B
-69.17%1.35B
-70.40%1.5B
-72.20%1.66B
Non current deferred assets
-4.95%2.94B
-4.95%2.94B
-3.31%2.98B
-4.20%3.01B
-1.90%3.05B
-2.52%3.09B
-2.52%3.09B
-1.84%3.09B
-2.60%3.14B
-3.50%3.11B
Other non current assets
21.15%464M
21.15%464M
-26.14%404M
-30.34%457M
-31.90%429M
-34.08%383M
-34.08%383M
9.62%547M
40.47%656M
16.02%630M
Total non current assets
11.26%11.8B
11.26%11.8B
18.25%12.85B
16.64%13.11B
-3.45%11.01B
-8.27%10.6B
-8.27%10.6B
-21.28%10.87B
-22.95%11.24B
-27.03%11.41B
Total assets
-10.43%19.37B
-10.43%19.37B
-5.99%19.92B
2.11%20.38B
7.07%21.42B
3.69%21.62B
3.69%21.62B
10.93%21.18B
1.54%19.96B
-12.95%20B
Liabilities
Current liabilities
Payables
45.50%2.93B
45.50%2.93B
14.61%2.79B
27.20%2.72B
25.30%2.21B
25.73%2.01B
25.73%2.01B
76.98%2.43B
52.42%2.14B
2.26%1.76B
-accounts payable
-3.75%257M
-3.75%257M
-6.60%283M
8.50%319M
7.14%300M
2.30%267M
2.30%267M
35.27%303M
18.07%294M
14.29%280M
-Total tax payable
139.02%1.65B
139.02%1.65B
27.43%1.45B
27.34%1.29B
10.56%764M
20.98%692M
20.98%692M
128.20%1.14B
83.85%1.01B
-16.44%691M
-Other payable
-3.42%1.02B
-3.42%1.02B
6.29%1.05B
33.61%1.11B
44.57%1.15B
37.24%1.05B
37.24%1.05B
51.93%986M
37.91%833M
21.47%792M
Current accrued expenses
-18.80%730M
-18.80%730M
-14.13%389M
25.14%433M
24.54%477M
8.57%899M
8.57%899M
-39.28%453M
-54.59%346M
-55.10%383M
Current provisions
-5.60%118M
-5.60%118M
18.87%126M
12.26%119M
24.75%126M
23.76%125M
23.76%125M
9.28%106M
-9.40%106M
-8.18%101M
Current debt and capital lease obligation
106.34%1.79B
106.34%1.79B
57.18%1.36B
1,292.50%1.67B
1,237.60%1.67B
-32.24%868M
-32.24%868M
-33.08%864M
-90.72%120M
-93.42%125M
-Current debt
123.07%1.67B
123.07%1.67B
65.73%1.24B
--1.55B
--1.55B
-34.78%750M
-34.78%750M
-34.78%750M
----
----
-Current capital lease obligation
0.00%118M
0.00%118M
0.88%115M
0.00%120M
-3.20%121M
-9.92%118M
-9.92%118M
-19.15%114M
-16.67%120M
-14.38%125M
Current deferred liabilities
-5.88%32M
-5.88%32M
-5.41%35M
-10.81%33M
-26.67%33M
0.00%34M
0.00%34M
19.35%37M
12.12%37M
18.42%45M
Other current liabilities
----
----
27.96%476M
14.36%470M
-4.55%378M
----
----
--372M
--411M
--396M
Current liabilities
34.91%6.1B
34.91%6.1B
17.92%5.64B
63.12%5.8B
63.23%5.23B
5.83%4.52B
5.83%4.52B
20.33%4.78B
-10.50%3.56B
-35.65%3.21B
Non current liabilities
Long term debt and capital lease obligation
-17.50%6.07B
-17.50%6.07B
-11.29%6.5B
-19.67%6.51B
-19.47%6.54B
-9.57%7.36B
-9.57%7.36B
4.52%7.33B
15.26%8.1B
14.97%8.12B
-Long term debt
-17.51%5.75B
-17.51%5.75B
-11.44%6.18B
-20.04%6.17B
-20.04%6.17B
-9.69%6.97B
-9.69%6.97B
5.99%6.97B
17.36%7.72B
17.38%7.72B
-Long term capital lease obligation
-17.31%320M
-17.31%320M
-8.17%326M
-12.17%332M
-8.35%362M
-7.42%387M
-7.42%387M
-17.82%355M
-15.63%378M
-17.88%395M
Non current deferred liabilities
-41.65%1.41B
-41.65%1.41B
-21.51%1.78B
-15.11%1.81B
8.58%2.42B
7.26%2.41B
7.26%2.41B
1.48%2.26B
-10.96%2.14B
-17.59%2.23B
Other non current liabilities
-32.48%632M
-32.48%632M
-36.55%578M
-18.17%734M
-10.29%959M
-10.17%936M
-10.17%936M
-11.38%911M
-11.28%897M
-9.71%1.07B
Total non current liabilities
-24.24%8.11B
-24.24%8.11B
-15.68%8.86B
-18.67%9.05B
-13.14%9.91B
-6.32%10.7B
-6.32%10.7B
2.27%10.5B
6.66%11.13B
4.27%11.41B
Total liabilities
-6.68%14.21B
-6.68%14.21B
-5.17%14.5B
1.12%14.85B
3.61%15.15B
-3.01%15.22B
-3.01%15.22B
7.31%15.29B
1.93%14.69B
-8.22%14.62B
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
3.89%37.95B
3.89%37.95B
4.08%37.41B
6.19%36.93B
5.99%36.83B
6.46%36.53B
6.46%36.53B
6.44%35.94B
2.40%34.78B
0.37%34.74B
Paid-in capital
2.79%18.29B
2.79%18.29B
2.96%18.16B
3.02%18.06B
3.04%17.89B
2.97%17.79B
2.97%17.79B
2.87%17.64B
2.76%17.53B
2.72%17.36B
Less: Treasury stock
6.60%51.29B
6.60%51.29B
5.27%50.38B
5.13%49.63B
3.54%48.62B
3.02%48.11B
3.02%48.11B
3.15%47.86B
2.39%47.21B
4.79%46.95B
Gains losses not affecting retained earnings
11.35%206M
11.35%206M
29.61%232M
-1.20%165M
-25.97%171M
-28.57%185M
-28.57%185M
-47.35%179M
-48.30%167M
-32.46%231M
Total stockholders'equity
-19.36%5.16B
-19.36%5.16B
-8.12%5.42B
4.88%5.53B
16.45%6.27B
24.12%6.4B
24.12%6.4B
21.55%5.9B
0.48%5.27B
-23.63%5.39B
Total equity
-19.36%5.16B
-19.36%5.16B
-8.12%5.42B
4.88%5.53B
16.45%6.27B
24.12%6.4B
24.12%6.4B
21.55%5.9B
0.48%5.27B
-23.63%5.39B
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
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -34.50%5.89B-34.50%5.89B-43.73%4.89B-27.34%5.17B18.80%8.11B20.36%8.99B20.36%8.99B147.99%8.69B122.26%7.11B23.00%6.83B
-Cash and cash equivalents 22.57%2.43B22.57%2.43B-37.69%1.59B-13.45%1.96B2.31%2.13B-7.85%1.99B-7.85%1.99B22.83%2.55B30.20%2.27B15.60%2.08B
-Short-term investments -50.66%3.46B-50.66%3.46B-46.24%3.3B-33.85%3.2B26.04%5.98B31.78%7.01B31.78%7.01B329.81%6.14B232.33%4.84B26.55%4.75B
Receivables -1.74%1.19B-1.74%1.19B13.61%1.24B26.23%1.26B43.30%1.29B23.69%1.21B23.69%1.21B36.19%1.1B20.31%995M27.18%903M
-Accounts receivable 51.48%871M51.48%871M58.13%797M25.60%574M40.21%537M538.89%575M538.89%575M500.00%504M457.32%457M340.23%383M
-Taxes receivable 16.16%115M16.16%115M25.66%142M-31.01%89M120.45%97M-18.85%99M-18.85%99M-10.32%113M-7.86%129M--44M
-Other receivables -62.59%199M-62.59%199M-36.19%305M44.99%593M38.66%660M-30.28%532M-30.28%532M-19.53%478M-32.40%409M-23.60%476M
Prepaid assets 17.24%136M17.24%136M-38.02%119M-45.82%136M-68.16%149M-74.56%116M-74.56%116M-55.56%192M-51.92%251M-4.68%468M
Restricted cash 282.61%88M282.61%88M308.00%102M409.09%112M92.68%79M--23M--23M-10.71%25M-15.38%22M105.00%41M
Other current assets -31.51%200M-31.51%200M-12.02%205M-18.31%232M-21.00%237M5.80%292M5.80%292M-4.12%233M-1.73%284M-47.92%300M
Total current assets -31.31%7.57B-31.31%7.57B-31.54%7.06B-16.61%7.27B21.03%10.41B18.58%11.02B18.58%11.02B95.01%10.31B72.03%8.72B17.00%8.6B
Non current assets
Net PPE -2.65%1.69B-2.65%1.69B3.28%1.7B1.59%1.72B1.69%1.75B-0.86%1.74B-0.86%1.74B-4.30%1.65B-0.99%1.7B-2.33%1.72B
-Gross PPE -5.48%6.56B-5.48%6.56B3.28%1.7B1.59%1.72B1.69%1.75B1.06%6.94B1.06%6.94B-4.30%1.65B-0.99%1.7B-2.33%1.72B
-Accumulated depreciation 6.42%-4.87B6.42%-4.87B-------------1.72%-5.2B-1.72%-5.2B------------
Goodwill and other intangible assets 0.05%4.27B0.05%4.27B1.96%4.32B0.97%4.29B-1.21%4.24B0.12%4.27B0.12%4.27B4.44%4.24B3.19%4.24B3.53%4.29B
-Goodwill 0.05%4.27B0.05%4.27B1.96%4.32B0.97%4.29B-1.21%4.24B0.12%4.27B0.12%4.27B4.44%4.24B3.19%4.24B3.53%4.29B
Investments and advances 116.03%2.44B116.03%2.44B154.73%3.44B142.29%3.63B-6.70%1.55B-37.17%1.13B-37.17%1.13B-69.17%1.35B-70.40%1.5B-72.20%1.66B
Non current deferred assets -4.95%2.94B-4.95%2.94B-3.31%2.98B-4.20%3.01B-1.90%3.05B-2.52%3.09B-2.52%3.09B-1.84%3.09B-2.60%3.14B-3.50%3.11B
Other non current assets 21.15%464M21.15%464M-26.14%404M-30.34%457M-31.90%429M-34.08%383M-34.08%383M9.62%547M40.47%656M16.02%630M
Total non current assets 11.26%11.8B11.26%11.8B18.25%12.85B16.64%13.11B-3.45%11.01B-8.27%10.6B-8.27%10.6B-21.28%10.87B-22.95%11.24B-27.03%11.41B
Total assets -10.43%19.37B-10.43%19.37B-5.99%19.92B2.11%20.38B7.07%21.42B3.69%21.62B3.69%21.62B10.93%21.18B1.54%19.96B-12.95%20B
Liabilities
Current liabilities
Payables 45.50%2.93B45.50%2.93B14.61%2.79B27.20%2.72B25.30%2.21B25.73%2.01B25.73%2.01B76.98%2.43B52.42%2.14B2.26%1.76B
-accounts payable -3.75%257M-3.75%257M-6.60%283M8.50%319M7.14%300M2.30%267M2.30%267M35.27%303M18.07%294M14.29%280M
-Total tax payable 139.02%1.65B139.02%1.65B27.43%1.45B27.34%1.29B10.56%764M20.98%692M20.98%692M128.20%1.14B83.85%1.01B-16.44%691M
-Other payable -3.42%1.02B-3.42%1.02B6.29%1.05B33.61%1.11B44.57%1.15B37.24%1.05B37.24%1.05B51.93%986M37.91%833M21.47%792M
Current accrued expenses -18.80%730M-18.80%730M-14.13%389M25.14%433M24.54%477M8.57%899M8.57%899M-39.28%453M-54.59%346M-55.10%383M
Current provisions -5.60%118M-5.60%118M18.87%126M12.26%119M24.75%126M23.76%125M23.76%125M9.28%106M-9.40%106M-8.18%101M
Current debt and capital lease obligation 106.34%1.79B106.34%1.79B57.18%1.36B1,292.50%1.67B1,237.60%1.67B-32.24%868M-32.24%868M-33.08%864M-90.72%120M-93.42%125M
-Current debt 123.07%1.67B123.07%1.67B65.73%1.24B--1.55B--1.55B-34.78%750M-34.78%750M-34.78%750M--------
-Current capital lease obligation 0.00%118M0.00%118M0.88%115M0.00%120M-3.20%121M-9.92%118M-9.92%118M-19.15%114M-16.67%120M-14.38%125M
Current deferred liabilities -5.88%32M-5.88%32M-5.41%35M-10.81%33M-26.67%33M0.00%34M0.00%34M19.35%37M12.12%37M18.42%45M
Other current liabilities --------27.96%476M14.36%470M-4.55%378M----------372M--411M--396M
Current liabilities 34.91%6.1B34.91%6.1B17.92%5.64B63.12%5.8B63.23%5.23B5.83%4.52B5.83%4.52B20.33%4.78B-10.50%3.56B-35.65%3.21B
Non current liabilities
Long term debt and capital lease obligation -17.50%6.07B-17.50%6.07B-11.29%6.5B-19.67%6.51B-19.47%6.54B-9.57%7.36B-9.57%7.36B4.52%7.33B15.26%8.1B14.97%8.12B
-Long term debt -17.51%5.75B-17.51%5.75B-11.44%6.18B-20.04%6.17B-20.04%6.17B-9.69%6.97B-9.69%6.97B5.99%6.97B17.36%7.72B17.38%7.72B
-Long term capital lease obligation -17.31%320M-17.31%320M-8.17%326M-12.17%332M-8.35%362M-7.42%387M-7.42%387M-17.82%355M-15.63%378M-17.88%395M
Non current deferred liabilities -41.65%1.41B-41.65%1.41B-21.51%1.78B-15.11%1.81B8.58%2.42B7.26%2.41B7.26%2.41B1.48%2.26B-10.96%2.14B-17.59%2.23B
Other non current liabilities -32.48%632M-32.48%632M-36.55%578M-18.17%734M-10.29%959M-10.17%936M-10.17%936M-11.38%911M-11.28%897M-9.71%1.07B
Total non current liabilities -24.24%8.11B-24.24%8.11B-15.68%8.86B-18.67%9.05B-13.14%9.91B-6.32%10.7B-6.32%10.7B2.27%10.5B6.66%11.13B4.27%11.41B
Total liabilities -6.68%14.21B-6.68%14.21B-5.17%14.5B1.12%14.85B3.61%15.15B-3.01%15.22B-3.01%15.22B7.31%15.29B1.93%14.69B-8.22%14.62B
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 3.89%37.95B3.89%37.95B4.08%37.41B6.19%36.93B5.99%36.83B6.46%36.53B6.46%36.53B6.44%35.94B2.40%34.78B0.37%34.74B
Paid-in capital 2.79%18.29B2.79%18.29B2.96%18.16B3.02%18.06B3.04%17.89B2.97%17.79B2.97%17.79B2.87%17.64B2.76%17.53B2.72%17.36B
Less: Treasury stock 6.60%51.29B6.60%51.29B5.27%50.38B5.13%49.63B3.54%48.62B3.02%48.11B3.02%48.11B3.15%47.86B2.39%47.21B4.79%46.95B
Gains losses not affecting retained earnings 11.35%206M11.35%206M29.61%232M-1.20%165M-25.97%171M-28.57%185M-28.57%185M-47.35%179M-48.30%167M-32.46%231M
Total stockholders'equity -19.36%5.16B-19.36%5.16B-8.12%5.42B4.88%5.53B16.45%6.27B24.12%6.4B24.12%6.4B21.55%5.9B0.48%5.27B-23.63%5.39B
Total equity -19.36%5.16B-19.36%5.16B-8.12%5.42B4.88%5.53B16.45%6.27B24.12%6.4B24.12%6.4B21.55%5.9B0.48%5.27B-23.63%5.39B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------

Market Insights

U.S. Crypto Concept Stocks U.S. Crypto Concept Stocks

Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.

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