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EBAY eBay

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  • 60.620
  • -0.890-1.45%
Trading Nov 6 13:04 ET
29.04BMarket Cap15.35P/E (TTM)

eBay Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-12.41%755M
-39.34%367M
-26.87%615M
-7.46%2.43B
-82.07%123M
17.28%862M
4.85%605M
33.70%841M
-15.07%2.63B
44.42%686M
Net income from continuing operations
-51.30%636M
31.40%226M
-22.85%439M
317.82%2.78B
8.49%728M
1,965.71%1.31B
132.09%172M
142.49%569M
-605.56%-1.27B
175.14%671M
Operating gains losses
83.61%-199M
4.69%223M
147.52%96M
-148.63%-1.84B
-101.89%-640M
-304.38%-1.21B
-82.57%213M
-108.82%-202M
80.99%3.79B
-119.76%-317M
Depreciation and amortization
-5.15%92M
-23.76%77M
-28.97%76M
-8.82%403M
-8.41%98M
-6.73%97M
-10.62%101M
-9.32%107M
-11.95%442M
-12.30%107M
Deferred tax
-106.36%-11M
-407.21%-563M
21.21%40M
132.69%255M
492.59%160M
254.46%173M
65.20%-111M
108.78%33M
-14.71%-780M
103.74%27M
Change In working capital
-99.26%2M
1,271.43%164M
-323.77%-273M
75.07%-94M
-4,200.00%-473M
746.88%271M
88.89%-14M
144.85%122M
-181.34%-377M
60.71%-11M
-Change in payables and accrued expense
----
----
----
31.59%-249M
----
----
----
----
34.77%-364M
----
-Change in other current assets
----
----
----
1,292.31%155M
----
----
----
----
-103.07%-13M
----
Cash from discontinued investing activities
0
98.66%-5M
50.00%-1M
0
14.45%-373M
98.90%-2M
Operating cash flow
-12.41%755M
-38.94%367M
-26.87%615M
7.63%2.43B
-82.16%122M
18.24%862M
163.60%601M
37.19%841M
-15.17%2.25B
133.45%684M
Investing cash flow
Cash flow from continuing investing activities
-48.96%49M
335.38%652M
-64.34%250M
-90.24%240M
78.36%-280M
972.73%96M
-113.91%-277M
-60.44%701M
273.54%2.46B
-974.32%-1.29B
Net PPE purchase and sale
-28.24%-109M
21.24%-89M
-8.33%-143M
-1.56%-456M
17.65%-126M
16.67%-85M
-1.80%-113M
-59.04%-132M
-1.13%-449M
-48.54%-153M
Net business purchase and sale
---7M
----
----
-88.05%106M
153.00%106M
--0
----
----
-63.63%887M
-108.60%-200M
Net investment purchase and sale
-17.26%163M
-866.87%-1.61B
-54.59%391M
-69.98%628M
71.67%-264M
1,890.91%197M
-109.86%-166M
-36.32%861M
161.24%2.09B
54.87%-932M
Net other investing changes
112.50%2M
-3,650.00%-71M
107.14%2M
46.48%-38M
144.44%4M
11.11%-16M
104.26%2M
-1,033.33%-28M
-1,875.00%-71M
0.00%-9M
Cash from discontinued investing activities
Investing cash flow
-48.96%49M
335.38%652M
-64.34%250M
-90.25%240M
78.36%-280M
1,166.67%96M
-113.91%-277M
-60.44%701M
-32.81%2.46B
-146.46%-1.29B
Financing cash flow
Cash flow from continuing financing activities
-64.60%-1.01B
-1,498.57%-1.12B
50.58%-686M
35.39%-2.45B
-150.94%-379M
-73.16%-613M
96.86%-70M
28.89%-1.39B
42.17%-3.79B
122.48%744M
Net issuance payments of debt
---309M
--0
--0
-442.45%-1.15B
--0
--0
--0
-53.33%-1.15B
-116.04%-212M
--1.14B
Net common stock issuance
-20.13%-752M
-382.67%-975M
-87.19%-453M
56.87%-1.32B
12.37%-248M
-118.88%-626M
85.76%-202M
77.34%-242M
56.10%-3.06B
90.73%-283M
Cash dividends paid
0.76%-131M
-1.50%-135M
-3.73%-139M
-7.98%-528M
-8.40%-129M
-10.00%-132M
-9.92%-133M
-3.88%-134M
-4.94%-489M
-11.21%-119M
Net other financing activities
26.21%183M
-103.40%-9M
-168.12%-94M
1,660.00%546M
-166.67%-2M
178.85%145M
411.76%265M
2,860.00%138M
92.24%-35M
102.00%3M
Cash from discontinued financing activities
0
0
Financing cash flow
-64.60%-1.01B
-1,498.57%-1.12B
50.58%-686M
35.39%-2.45B
-150.94%-379M
-73.16%-613M
96.86%-70M
28.89%-1.39B
41.95%-3.79B
122.63%744M
Net cash flow
Beginning cash position
-4.45%2.56B
9.46%2.66B
9.73%2.49B
61.59%2.27B
42.88%3.01B
50.90%2.67B
33.50%2.43B
61.59%2.27B
-11.79%1.41B
29.92%2.11B
Current changes in cash
-159.42%-205M
-139.37%-100M
16.23%179M
-76.60%216M
-500.75%-537M
-5.74%345M
2,640.00%254M
-64.43%154M
535.38%923M
164.11%134M
Effect of exchange rate changes
320.00%22M
45.45%-6M
-320.00%-11M
108.77%5M
-34.38%21M
68.75%-10M
71.79%-11M
127.78%5M
-337.50%-57M
633.33%32M
End cash Position
-21.17%2.37B
-4.45%2.56B
9.46%2.66B
9.73%2.49B
9.73%2.49B
42.88%3.01B
50.90%2.67B
33.50%2.43B
61.59%2.27B
61.59%2.27B
Free cash flow
-16.86%646M
-43.03%278M
-33.43%472M
9.14%1.97B
-100.75%-4M
23.92%777M
317.09%488M
33.77%709M
-18.44%1.81B
179.47%531M
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
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -12.41%755M-39.34%367M-26.87%615M-7.46%2.43B-82.07%123M17.28%862M4.85%605M33.70%841M-15.07%2.63B44.42%686M
Net income from continuing operations -51.30%636M31.40%226M-22.85%439M317.82%2.78B8.49%728M1,965.71%1.31B132.09%172M142.49%569M-605.56%-1.27B175.14%671M
Operating gains losses 83.61%-199M4.69%223M147.52%96M-148.63%-1.84B-101.89%-640M-304.38%-1.21B-82.57%213M-108.82%-202M80.99%3.79B-119.76%-317M
Depreciation and amortization -5.15%92M-23.76%77M-28.97%76M-8.82%403M-8.41%98M-6.73%97M-10.62%101M-9.32%107M-11.95%442M-12.30%107M
Deferred tax -106.36%-11M-407.21%-563M21.21%40M132.69%255M492.59%160M254.46%173M65.20%-111M108.78%33M-14.71%-780M103.74%27M
Change In working capital -99.26%2M1,271.43%164M-323.77%-273M75.07%-94M-4,200.00%-473M746.88%271M88.89%-14M144.85%122M-181.34%-377M60.71%-11M
-Change in payables and accrued expense ------------31.59%-249M----------------34.77%-364M----
-Change in other current assets ------------1,292.31%155M-----------------103.07%-13M----
Cash from discontinued investing activities 098.66%-5M50.00%-1M014.45%-373M98.90%-2M
Operating cash flow -12.41%755M-38.94%367M-26.87%615M7.63%2.43B-82.16%122M18.24%862M163.60%601M37.19%841M-15.17%2.25B133.45%684M
Investing cash flow
Cash flow from continuing investing activities -48.96%49M335.38%652M-64.34%250M-90.24%240M78.36%-280M972.73%96M-113.91%-277M-60.44%701M273.54%2.46B-974.32%-1.29B
Net PPE purchase and sale -28.24%-109M21.24%-89M-8.33%-143M-1.56%-456M17.65%-126M16.67%-85M-1.80%-113M-59.04%-132M-1.13%-449M-48.54%-153M
Net business purchase and sale ---7M---------88.05%106M153.00%106M--0---------63.63%887M-108.60%-200M
Net investment purchase and sale -17.26%163M-866.87%-1.61B-54.59%391M-69.98%628M71.67%-264M1,890.91%197M-109.86%-166M-36.32%861M161.24%2.09B54.87%-932M
Net other investing changes 112.50%2M-3,650.00%-71M107.14%2M46.48%-38M144.44%4M11.11%-16M104.26%2M-1,033.33%-28M-1,875.00%-71M0.00%-9M
Cash from discontinued investing activities
Investing cash flow -48.96%49M335.38%652M-64.34%250M-90.25%240M78.36%-280M1,166.67%96M-113.91%-277M-60.44%701M-32.81%2.46B-146.46%-1.29B
Financing cash flow
Cash flow from continuing financing activities -64.60%-1.01B-1,498.57%-1.12B50.58%-686M35.39%-2.45B-150.94%-379M-73.16%-613M96.86%-70M28.89%-1.39B42.17%-3.79B122.48%744M
Net issuance payments of debt ---309M--0--0-442.45%-1.15B--0--0--0-53.33%-1.15B-116.04%-212M--1.14B
Net common stock issuance -20.13%-752M-382.67%-975M-87.19%-453M56.87%-1.32B12.37%-248M-118.88%-626M85.76%-202M77.34%-242M56.10%-3.06B90.73%-283M
Cash dividends paid 0.76%-131M-1.50%-135M-3.73%-139M-7.98%-528M-8.40%-129M-10.00%-132M-9.92%-133M-3.88%-134M-4.94%-489M-11.21%-119M
Net other financing activities 26.21%183M-103.40%-9M-168.12%-94M1,660.00%546M-166.67%-2M178.85%145M411.76%265M2,860.00%138M92.24%-35M102.00%3M
Cash from discontinued financing activities 00
Financing cash flow -64.60%-1.01B-1,498.57%-1.12B50.58%-686M35.39%-2.45B-150.94%-379M-73.16%-613M96.86%-70M28.89%-1.39B41.95%-3.79B122.63%744M
Net cash flow
Beginning cash position -4.45%2.56B9.46%2.66B9.73%2.49B61.59%2.27B42.88%3.01B50.90%2.67B33.50%2.43B61.59%2.27B-11.79%1.41B29.92%2.11B
Current changes in cash -159.42%-205M-139.37%-100M16.23%179M-76.60%216M-500.75%-537M-5.74%345M2,640.00%254M-64.43%154M535.38%923M164.11%134M
Effect of exchange rate changes 320.00%22M45.45%-6M-320.00%-11M108.77%5M-34.38%21M68.75%-10M71.79%-11M127.78%5M-337.50%-57M633.33%32M
End cash Position -21.17%2.37B-4.45%2.56B9.46%2.66B9.73%2.49B9.73%2.49B42.88%3.01B50.90%2.67B33.50%2.43B61.59%2.27B61.59%2.27B
Free cash flow -16.86%646M-43.03%278M-33.43%472M9.14%1.97B-100.75%-4M23.92%777M317.09%488M33.77%709M-18.44%1.81B179.47%531M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

No Data

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