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NASDAQ:PYPL

PayPal

  • Stock

USD

Last Close

73.16

30/08 20:00

Market Cap

61.61B

Beta: 1.31

Volume Today

9.53M

Avg: 11.89M

PE Ratio

17.92

PFCF: 24.17

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
955M
-
419M
56.13%
1.23B
193.08%
1.40B
14.09%
1.79B
28.12%
2.06B
14.60%
2.46B
19.54%
4.20B
70.88%
4.17B
0.79%
2.42B
41.98%
4.25B
75.53%
depreciation and amortization
453M
-
516M
13.91%
608M
17.83%
724M
19.08%
805M
11.19%
776M
3.60%
912M
17.53%
1.19B
30.37%
1.26B
6.39%
1.32B
4.11%
1.07B
18.60%
deferred income tax
52M
-
680M
1,207.69%
127M
81.32%
52M
59.06%
-1.30B
2,598.08%
-171M
86.84%
-269M
57.31%
165M
161.34%
-482M
392.12%
-811M
68.26%
-668M
17.63%
stock based compensation
253M
-
299M
18.18%
347M
16.05%
444M
27.95%
744M
67.57%
871M
17.07%
1.05B
20.55%
1.41B
34.38%
1.42B
0.71%
1.31B
7.46%
1.48B
12.17%
change in working capital
1M
-
-13M
1,400%
-22M
69.23%
-77M
250%
12M
115.58%
-59M
591.67%
-120M
103.39%
-100M
16.67%
-222M
122%
-163M
26.58%
-1.31B
706.13%
accounts receivables
1M
-
-13M
1,400%
-22M
69.23%
-77M
250%
12M
115.58%
-59M
591.67%
-120M
103.39%
-100M
16.67%
-222M
122%
-163M
26.58%
-114M
30.06%
inventory
-619M
-
-268M
56.70%
-298M
11.19%
1.26B
524.50%
-19M
101.50%
accounts payables
4M
-
-4M
200%
-31M
675%
-35M
12.90%
7M
120%
other working capital
615M
-
272M
55.77%
329M
20.96%
-1.23B
473.86%
-1.19B
3.41%
other non cash items
682M
-
1.41B
107.33%
876M
38.05%
1.24B
41.67%
223M
82.03%
2.01B
799.55%
39M
98.06%
-648M
1,761.54%
-354M
45.37%
1.74B
590.40%
32M
98.16%
net cash provided by operating activities
1.99B
-
2.22B
11.39%
2.55B
14.68%
3.16B
24.04%
2.53B
19.85%
5.48B
116.52%
4.07B
25.71%
6.22B
52.76%
5.80B
6.79%
5.81B
0.28%
4.84B
16.69%
investments in property plant and equipment
-391M
-
-492M
25.83%
-722M
46.75%
-669M
7.34%
-667M
0.30%
-823M
23.39%
-704M
14.46%
-866M
23.01%
-908M
4.85%
-706M
22.25%
-623M
11.76%
acquisitions net
-53M
-
-3.49B
6,483.02%
-2.76B
20.95%
-3.19B
15.74%
466M
114.60%
purchases of investments
-27.88B
-
-41.51B
48.89%
-40.12B
3.37%
-20.22B
49.60%
-21.98B
8.71%
sales maturities of investments
24.88B
-
30.91B
24.24%
39.70B
28.44%
23.41B
41.03%
24.30B
3.78%
other investing activites
-1.33B
-
-2.39B
79.62%
-7.32B
206.24%
-5.24B
28.44%
-3.82B
27.07%
1.64B
143.06%
-1.98B
220.56%
-1.58B
20.03%
-1.06B
32.81%
-2.71B
154.93%
-1.41B
48.21%
net cash used for investing activites
-1.72B
-
-2.88B
67.40%
-8.04B
179.00%
-5.90B
26.55%
-4.49B
24.03%
821M
118.31%
-5.74B
799.39%
-16.55B
188.14%
-5.15B
68.88%
-3.42B
33.56%
752M
121.98%
debt repayment
-133M
-
-862M
-
-21M
97.56%
-1.11B
-
-2.52B
125.65%
-3B
19.24%
-361M
87.97%
-1.69B
367.04%
-1.05B
37.54%
common stock issued
75M
-
109M
45.33%
144M
32.11%
144M
0%
138M
4.17%
137M
0.72%
162M
18.25%
143M
11.73%
127M
11.19%
common stock repurchased
-995M
-
-1.01B
1.11%
-3.52B
249.90%
-1.41B
59.91%
-1.64B
15.88%
-3.37B
106.30%
-4.20B
24.49%
-5.00B
19.12%
dividends paid
-2.08B
-
-5.47B
163.66%
-6.97B
27.33%
-272M
96.10%
-3.48B
1,177.57%
-1.53B
56.03%
other financing activites
48M
-
-30M
162.50%
3.87B
12,986.67%
2.94B
23.82%
4.13B
40.10%
5.30B
28.55%
12.95B
144.12%
23.92B
84.72%
3.29B
86.26%
8.01B
143.81%
4.46B
44.31%
net cash used provided by financing activities
-85M
-
-51M
40%
3.08B
6,137.25%
2.04B
33.81%
4.08B
100.39%
-1.26B
130.90%
3.69B
392.23%
12.45B
237.69%
-557M
104.47%
-1.20B
115.98%
-2.99B
148.79%
effect of forex changes on cash
3M
-
-26M
966.67%
-44M
69.23%
36M
-
-113M
413.89%
-6M
94.69%
169M
2,916.67%
-102M
160.36%
-155M
51.96%
76M
149.03%
net change in cash
190M
-
597M
214.21%
-808M
235.34%
197M
124.38%
1.29B
556.35%
4.95B
282.68%
2.51B
49.27%
2.30B
8.49%
-11M
100.48%
1.13B
10,345.45%
2.68B
137.62%
cash at beginning of period
1.41B
-
1.60B
13.44%
2.20B
37.22%
1.39B
36.71%
1.59B
14.14%
8.29B
421.07%
13.23B
59.72%
15.74B
18.97%
18.04B
14.59%
18.03B
0.06%
19.16B
6.25%
cash at end of period
1.60B
-
2.20B
37.22%
1.39B
36.71%
1.59B
14.14%
2.88B
81.32%
13.23B
359.00%
15.74B
18.97%
18.04B
14.59%
18.03B
0.06%
19.16B
6.25%
21.83B
13.98%
operating cash flow
1.99B
-
2.22B
11.39%
2.55B
14.68%
3.16B
24.04%
2.53B
19.85%
5.48B
116.52%
4.07B
25.71%
6.22B
52.76%
5.80B
6.79%
5.81B
0.28%
4.84B
16.69%
capital expenditure
-391M
-
-492M
25.83%
-722M
46.75%
-669M
7.34%
-667M
0.30%
-823M
23.39%
-704M
14.46%
-866M
23.01%
-908M
4.85%
-706M
22.25%
-623M
11.76%
free cash flow
1.60B
-
1.73B
7.87%
1.82B
5.56%
2.49B
36.46%
1.86B
25.11%
4.66B
149.84%
3.37B
27.70%
5.35B
58.98%
4.89B
8.67%
5.11B
4.46%
4.22B
17.37%

All numbers in USD (except ratios and percentages)