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NASDAQ:TCOM

携程旅行

  • Stock

USD

Last Close

69.98

06/11 21:24

Market Cap

31.55B

Beta: 0.53

Volume Today

1.44M

Avg: 4.56M

PE Ratio

16.34

PFCF: -

Preview

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Mar '15
Jun '15
Dec '16
Dec '17
Jun '18
Dec '18
Jun '19
Dec '19
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
Dec '24
net income
-183.11M
-
98.53M
153.81%
-1.36T
1,378,931.92%
-3.78M
100.00%
2.38B
63,011.91%
-2.30B
196.45%
-403M
82.45%
2.01B
598.26%
1.58B
21.41%
1.00B
36.38%
1.78B
77.29%
-647M
136.35%
-849M
31.22%
-834M
1.77%
-989M
18.59%
69M
106.98%
38.81M
43.75%
289.05M
644.72%
493.28M
70.65%
89.88M
81.78%
636.83M
608.50%
1.30B
103.67%
599.87M
53.75%
3.83B
538.97%
6.76B
76.49%
2.16B
68.12%
depreciation and amortization
62.80M
-
78.20M
24.52%
77.16B
98,571.99%
-176.92M
100.23%
468M
364.52%
-609.00M
230.13%
63M
110.34%
565M
796.83%
31.23M
-
30.35M
2.80%
29.38M
3.21%
29.06M
1.08%
28.15M
3.13%
38.67M
-
deferred income tax
-64.89M
-
-19.94M
69.27%
-4.96B
24,760.94%
93.62M
101.89%
-412M
540.10%
496.83M
220.59%
523M
5.27%
-287M
154.88%
-17.81M
-
stock based compensation
158.91M
-
153.09M
3.66%
54.14B
35,261.98%
-433.65M
100.80%
-312.00M
-
294M
-
366M
24.49%
514M
40.44%
507M
1.36%
223M
56.02%
450M
-
674M
-
459M
31.90%
459M
0%
change in working capital
748.86M
-
380.47M
49.19%
-1.10B
389.46%
-1.10B
0%
-198M
82.02%
-931.33M
370.37%
799M
185.79%
-319M
139.92%
-143.71M
-
accounts receivables
-382.09M
-
-502.78M
31.59%
-83.46B
16,499.78%
946.56M
101.13%
-1.08B
214.41%
1.97B
281.71%
-1.82B
192.43%
1.63B
189.83%
-152.47M
-
inventory
483.39M
-
-794.41M
264.34%
-377.52B
47,422.29%
363.14M
100.10%
-2.27B
-
accounts payables
1.21B
-
278.38M
77.06%
460.36B
165,268.67%
-1.94B
100.42%
-1.69B
12.72%
200.14M
111.83%
-1.96B
1,077.31%
1.09B
155.83%
186.00M
-
other working capital
-82.53M
-
604.88M
832.94%
-472.35M
178.09%
-472.35M
0%
2.58B
645.57%
-833.37M
132.34%
4.57B
648.86%
-3.04B
166.57%
-177.23M
-
other non cash items
8.36M
-
50.39M
502.53%
828.35B
1,643,818.54%
-12.18M
100.00%
-15M
23.19%
-11.87M
20.87%
552M
4,750.53%
1.61B
191.30%
-1.58B
198.13%
-1.00B
36.38%
-2.07B
106.57%
281M
113.55%
335M
19.22%
327M
2.39%
766M
134.25%
-373M
148.69%
-7.59M
97.97%
-258.70M
3,309.51%
-463.90M
79.32%
-60.83M
86.89%
-608.68M
900.70%
-1.75B
187.01%
-91.96M
94.74%
-4.51B
4,801.27%
-7.22B
60.28%
-2.62B
63.79%
net cash provided by operating activities
726.75M
-
715.55M
1.54%
-404.96B
56,694.73%
-1.63B
99.60%
2.22B
236.09%
-3.66B
264.74%
1.53B
141.87%
3.58B
133.05%
62.45M
-
60.71M
2.80%
58.75M
3.21%
58.12M
1.08%
56.30M
3.13%
341.25M
-
investments in property plant and equipment
-214.22M
-
-197.99M
7.58%
-56.05B
28,210.02%
479.83M
100.86%
-350M
172.94%
761.87M
317.68%
-19M
102.49%
-465M
2,347.37%
-427.09M
-
acquisitions net
-617.19M
-
-310.02M
49.77%
1.05B
439.94%
1.05B
0%
927.21M
-
purchases of investments
-404.86M
-
-2.39B
491.46%
-116.42B
4,761.73%
3.03B
102.61%
2.79B
-
-925.40M
-
sales maturities of investments
41.98M
-
343.96B
819,239.65%
-29M
100.01%
-20M
-
365.18M
-
other investing activites
-30.64M
-
-261.33M
752.96%
-6.75B
2,483.03%
297.12M
104.40%
-5.67B
2,006.63%
5.97B
205.32%
3.58B
40.01%
507M
85.83%
382.01M
-
net cash used for investing activites
-1.27B
-
-3.14B
148.16%
165.79B
5,373.48%
4.84B
97.08%
-6.01B
224.41%
10.42B
273.31%
3.56B
65.85%
42M
98.82%
-605.29M
-
debt repayment
-425.10M
-
-425.10M
0%
-230.38M
-
common stock issued
99.19M
-
common stock repurchased
-489.56M
-
593.27M
221.18%
593.27M
0%
279M
52.97%
210.56M
24.53%
-86M
140.84%
274M
418.60%
dividends paid
other financing activites
-11.54M
-
11.13B
96,522.10%
-11.25B
201.10%
-11.25B
0.00%
8.06B
171.68%
-19.17B
337.84%
-8.42B
56.07%
-9.36B
11.12%
net cash used provided by financing activities
-436.64M
-
11.06B
2,633.23%
-10.65B
196.32%
-10.65B
0.00%
8.34B
178.29%
-18.96B
327.36%
-8.51B
55.13%
-9.09B
6.78%
329.57M
-
effect of forex changes on cash
-12.73M
-
-20.38M
60.10%
37.88M
285.86%
37.88M
0%
-39M
202.95%
72.11M
284.90%
34M
52.85%
314M
823.53%
net change in cash
-989.52M
-
8.61B
970.35%
-249.79B
3,000.35%
-12.92B
94.83%
4.51B
134.91%
-21.76B
582.40%
-3.38B
84.46%
-5.16B
52.45%
-762.10M
-
-8.18M
98.93%
1.79B
21,978.40%
622.51M
65.23%
97.91M
84.27%
-6.75M
-
-44.77B
663,457.43%
cash at beginning of period
5.30B
-
4.31B
18.67%
12.92B
199.76%
12.92B
0%
17.25B
33.50%
21.76B
26.15%
22.71B
4.34%
18.33B
19.28%
3.43B
-
2.67B
22.22%
2.66B
0.31%
4.45B
67.31%
5.07B
13.99%
6.20B
-
44.77B
621.96%
cash at end of period
4.31B
-
12.92B
199.76%
-236.86B
1,932.79%
339.30K
100.00%
21.76B
6,414,301.46%
3.14M
99.99%
19.33B
614,617.53%
13.17B
31.83%
2.67B
-
2.66B
0.31%
4.45B
67.31%
5.07B
13.99%
5.17B
1.93%
6.19B
-
operating cash flow
726.75M
-
715.55M
1.54%
-404.96B
56,694.73%
-1.63B
99.60%
2.22B
236.09%
-3.66B
264.74%
1.53B
141.87%
3.58B
133.05%
62.45M
-
60.71M
2.80%
58.75M
3.21%
58.12M
1.08%
56.30M
3.13%
341.25M
-
capital expenditure
-214.22M
-
-197.99M
7.58%
-56.05B
28,210.02%
479.83M
100.86%
-350M
172.94%
761.87M
317.68%
-19M
102.49%
-465M
2,347.37%
-427.09M
-
free cash flow
512.54M
-
517.57M
0.98%
-461.02B
89,173.88%
-1.15B
99.75%
1.87B
262.33%
-2.90B
254.85%
1.51B
152.21%
3.11B
105.28%
62.45M
-
60.71M
2.80%
58.75M
3.21%
58.12M
1.08%
56.30M
3.13%
-85.83M
-

All numbers in USD (except ratios and percentages)