EBAY

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Symbol:
NASDAQ / Sector: Consumer Cyclical / Sub-Sector: Specialty Retail / Stock Type: Cyclical
# of Employee: 11,600 / Fiscal Year End: 2016-12-31 / Stock Type: Large Value
USD / Exchange Rate: 1 at 2016-11-22 /

eBay Inc is a commerce platform and provides online marketplace for sale of goods. The Company's Marketplace platforms include its online marketplace located at www.ebay.com, its localized counterparts and the eBay mobile apps.

Competitors

Competitors List | Key Matrix Details

AMZN | BABA | ORLY | AZO | ULTA | BBY | GPC | AAP | QVCB | TSCO | QVCA | MELI | BBBY | DKS | PRTY |

Finance Highlights

Key Ratio Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2006-12-25Annual15.90%29.00%1.27.678.90%18.90%18.90%4.211.507
2007-12-25Annual18.70%28.50%1.68.577.00%4.50%4.50%3.197.435
2008-12-25Annual20.90%27.10%1.88.473.90%20.80%20.80%2.458.589
2009-12-25Annual17.00%26.80%1.810.671.60%27.40%27.40%2.984.430
2010-12-25Annual13.20%22.10%1.511.572.00%19.70%19.70%2.283.408
2011-12-25Annual12.90%19.80%1.813.770.30%27.70%27.70%1.909.532
2012-12-25Annual12.40%18.30%2.015.970.00%18.50%18.50%1.287.511
2013-12-25Annual15.80%23.30%2.918.068.60%17.80%17.80%1.325.543
2014-12-25Annual22.10%24.60%3.515.868.00%0.30%0.30%.789.661
2015-12-25Annual51.20%39.20%2.85.479.40%22.70%20.10%.587.286

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual5.53%-3.14%11.43%10.26%-2.16%-14.59%-14.59%-23.75%-4.47%
2007-12-25Annual17.61%-1.72%30.78%11.18%-2.41%-76.19%-76.19%-24.08%-14.20%
2008-12-25Annual11.76%-4.91%11.08%-0.72%-4.03%362.22%362.22%-23.12%35.40%
2009-12-25Annual-18.66%-1.11%1.64%25.12%-3.11%31.73%31.73%21.40%-26.99%
2010-12-25Annual-22.35%-17.54%-15.11%9.12%0.56%-28.10%-28.10%-23.49%-5.12%
2011-12-25Annual-2.27%-10.41%15.56%18.46%-2.36%40.61%40.61%-16.38%30.39%
2012-12-25Annual-3.88%-7.58%11.70%16.37%-0.43%-33.21%-33.21%-32.58%-3.95%
2013-12-25Annual27.42%27.32%45.07%13.33%-2.00%-3.78%-3.78%2.95%6.26%
2014-12-25Annual39.87%5.58%22.41%-12.42%-0.87%-98.31%-98.31%-40.45%21.73%
2015-12-25Annual131.67%59.35%-21.00%-65.83%16.76%7,466.67%6,600.00%-25.60%-56.73%


Income Statement Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2006-12-25Annual5,969,741k1,256,792k5,916k1,125,639k1,125,639k1,425,472,k78.90%18.90%18.90%
2007-12-25Annual7,672,329k1,762,972k16,600k348,251k348,251k1,376,174,k77.00%4.50%4.50%
2008-12-25Annual8,541,261k2,228,069k8,037k1,779,474k1,779,474k1,312,608,k73.90%20.80%20.80%
2009-12-25Annual8,727,362k2,479,762k0.02,389,097k2,389,097k1,304,981,k71.60%27.40%27.40%
2010-12-25Annual9,156,274k2,564,667k0.01,800,961k1,800,961k1,327,417,k72.00%19.70%19.70%
2011-12-25Annual11,651,654k3,460,184k25,030k3,229,387k3,229,387k1,312,950,k70.30%27.70%27.70%
2012-12-25Annual14,072m4,216m63m2,609m2,609m1,313,000,k70.00%18.50%18.50%
2013-12-25Annual16,047m5,036m100m2,856m2,856m1,313,000,k68.60%17.80%17.80%
2014-12-25Annual17,902m5,732m123m46m46m1,262,000,k68.00%0.30%0.30%
2015-12-25Annual8,592m1,771m144m1,947m1,725m1,220,000,k79.40%22.70%20.10%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual11.46%16.95%0.00%-3.28%-3.28%-2.08%-2.16%-14.59%-14.59%
2007-12-25Annual28.52%40.28%180.59%-69.06%-69.06%-3.46%-2.41%-76.19%-76.19%
2008-12-25Annual11.33%26.38%-51.58%410.97%410.97%-4.62%-4.03%362.22%362.22%
2009-12-25Annual2.18%11.30%-100.00%34.26%34.26%-0.58%-3.11%31.73%31.73%
2010-12-25Annual4.91%3.42%0.00%-24.62%-24.62%1.72%0.56%-28.10%-28.10%
2011-12-25Annual27.25%34.92%0.00%79.31%79.31%-1.09%-2.36%40.61%40.61%
2012-12-25Annual20.77%21.84%151.70%-19.21%-19.21%0.00%-0.43%-33.21%-33.21%
2013-12-25Annual14.03%19.45%58.73%9.47%9.47%0.00%-2.00%-3.78%-3.78%
2014-12-25Annual11.56%13.82%23.00%-98.39%-98.39%-3.88%-0.87%-98.31%-98.31%
2015-12-25Annual-52.01%-69.10%17.07%4,132.61%3,650.00%-3.33%16.76%7,466.67%6,600.00%


Balance Sheet Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2006-12-25Annual10,904,632k2,589,379k4,970,586k2,518,395k70,984k4.211.507
2007-12-25Annual11,704,602k3,661,435k7,122,505k3,099,579k561,856k3.197.435
2008-12-25Annual11,083,858k4,508,581k6,286,590k3,705,087k803,494k2.458.589
2009-12-25Annual13,787,648k4,620,672k8,460,208k3,641,968k978,704k2.984.430
2010-12-25Annual15,302,179k6,701,583k11,065,338k4,516,514k2,185,069k2.283.408
2011-12-25Annual17,929,879k9,390,339k12,661,454k6,734,204k2,656,135k1.909.532
2012-12-25Annual20,865m16,209m21,398m10,924m5,285m1.287.511
2013-12-25Annual23,647m17,841m23,283m12,639m5,202m1.325.543
2014-12-25Annual19,906m25,226m26,531m17,531m7,695m.789.661
2015-12-25Annual6,576m11,209m7,904m2,263m8,946m.587.286

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual9.36%32.57%14.21%21.50%33.58%-23.75%-4.47%
2007-12-25Annual7.34%41.40%43.29%23.08%691.52%-24.08%-14.20%
2008-12-25Annual-5.30%23.14%-11.74%19.54%43.01%-23.12%35.40%
2009-12-25Annual24.39%2.49%34.58%-1.70%21.81%21.40%-26.99%
2010-12-25Annual10.98%45.03%30.79%24.01%123.26%-23.49%-5.12%
2011-12-25Annual17.17%40.12%14.42%49.10%21.56%-16.38%30.39%
2012-12-25Annual16.37%72.61%69.00%62.22%98.97%-32.58%-3.95%
2013-12-25Annual13.33%10.07%8.81%15.70%-1.57%2.95%6.26%
2014-12-25Annual-15.82%41.39%13.95%38.71%47.92%-40.45%21.73%
2015-12-25Annual-66.96%-55.57%-70.21%-87.09%16.26%-25.60%-56.73%


Cash Flow Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2006-12-25Annual2,247,791k-515,448k1,732,343k228,853k-1,260,687k
2007-12-25Annual2,641,109k-453,967k2,187,142k-693,146k-693,392k
2008-12-25Annual2,881,995k-565,890k2,316,105k-2,057,346k-1,673,851k
2009-12-25Annual2,908,086k-567,094k2,340,992k-1,149,383k-945,656k
2010-12-25Annual2,745,760k-723,912k2,021,848k-2,282,470k1,234,406k
2011-12-25Annual3,273,674k-963,498k2,310,176k-3,306,862k-838,496k
2012-12-25Annual3,838m-1,257m2,581m-3,763m1,951m
2013-12-25Annual4,995m-1,250m3,745m-6,012m-1,354m
2014-12-25Annual5,677m-1,271m4,406m-2,673m-1,022m
2015-12-25Annual4,033m-668m3,365m-3,611m-4,554m

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual11.64%-11.89%9.13%-51.50%-49.22%
2007-12-25Annual17.50%11.93%26.25%-402.88%45.00%
2008-12-25Annual9.12%-24.65%5.90%-196.81%-141.40%
2009-12-25Annual0.91%-0.21%1.07%44.13%43.50%
2010-12-25Annual-5.58%-27.65%-13.63%-98.58%230.53%
2011-12-25Annual19.23%-33.10%14.26%-44.88%-167.93%
2012-12-25Annual17.24%-30.46%11.72%-13.79%332.68%
2013-12-25Annual30.15%0.56%45.10%-59.77%-169.40%
2014-12-25Annual13.65%-1.68%17.65%55.54%24.52%
2015-12-25Annual-28.96%47.44%-23.63%-35.09%-345.60%



Finance Detail

Income Statement Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2006-122007-122008-122009-122010-122011-122012-122013-122014-122015-12
1: Revenue5969741k7672329k8541261k8727362k9156274k11651654k14072m16047m17902m8592m
2: Cost of revenue1256792k1762972k2228069k2479762k2564667k3460184k4216m5036m5732m1771m
3: Gross profit4712949k5909357k6313192k6247600k6591607k8191470k9856m11011m12170m6821m
4: Operating expenses3289993k5296177k4237510k4790834k4538036k5817981k6968m7640m8656m4624m
5: Sales, General and administrative2598220k3081408k2880422k3304066k3026198k3799269k4480m4763m5430m3389m
6: Other operating expenses691773k2214769k1357088k1486768k1511838k2018712k2488m2877m3226m1235m
7: Operating income1422956k613180k2075682k1456766k2053571k2373489k2888m3371m3514m2197m
8: Interest Expense5916k16600k8037k0025030k63m100m123m144m
9: Other income (expense)130021k154271k115919k1422385k44876k1561587k259m195m140m353m
10: Income before income taxes1547061k750851k2183564k2879151k2098447k3910046k3084m3466m3531m2406m
11: Provision for income taxes421418k402600k404090k490054k297486k680659k475m610m3485m459m
12: Minority interest4k000000000
13: Other income0000000000
14: Net income from continuing operations1125639k348251k1779474k2389097k1800961k3229387k2609m2856m46m1947m
15: Net income from discontinuing ops000000000-222m
16: Extraordinary items0000000000
17: Cumulative effect of accounting changes0000000000
18: Other0000000000
19: Net income1125639k348251k1779474k2389097k1800961k3229387k2609m2856m46m1725m
20: Preferred dividend0000000000
21: Net income available to common shareholders1125639k348251k1779474k2389097k1800961k3229387k2609m2856m46m1725m
22: Earnings per share0000000000
23: Basic0.80.261.371.851.382.52.022.20.041.43
24: Diluted0.790.251.361.831.362.461.992.180.041.42
25: Weighted average shares outstanding0000000000
26: Basic1399251k1358797k1303454k1289848k1305593k1292775k1292m1295m1251m1208m
27: Diluted1425472k1376174k1312608k1304981k1327417k1312950k1313m1313m1262m1220m
28: EBITDA2097529k1369158k2911415k2267712k2816036k4875029k4347m4966m5144m3237m
29: Total operating expenses3289993k5296177k4237510k4790834k4538036k5817981k6968m7640m8656m4624m


Balance Sheet Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2006-122007-122008-122009-122010-122011-122012-122013-122014-122015-12
1: Assets13494011k15366037k15592439k18408320k22003762k27320218k37074m41488m45132m17785m
2: Current assets4970586k7122505k6286590k8460208k11065338k12661454k21398m23283m26531m7904m
3: Cash3204895k4880045k3352662k4943804k6622814k5929402k9408m9025m10098m6131m
4: Cash and cash equivalents2662792k4221191k3188928k3999818k5577411k4691101k6817m4494m6328m1832m
5: Short-term investments542103k658854k163734k943986k1045403k1238301k2591m4531m3770m4299m
6: Receivables792492k907894k2473230k3188298k3961286k6195280k11076m12948m14942m619m
7: Inventories0000000000
8: Deferred income taxes67879k0130908k0047968k0000
9: Prepaid expenses64003k70189k159870k00169491k0000
10: Other current assets841317k1264377k169920k328106k481238k319313k914m1310m1491m1154m
11: Non-current assets8523425k8243532k9305849k9948112k10938424k14658764k15676m18205m18601m9881m
12: Property, plant and equipment998196k1120452k1198714k1314328k1523333k1986216k2491m2760m2902m1554m
13: Land355222k399948k430495k431456k688282k783891k807m931m943m591m
14: Buildings and improvements0000000000
15: Fixtures and equipment1393033k1794136k2103115k2290165k2845324k3518645k4390m5469m6423m4051m
16: Other properties197835k237822k278399k594712k429175k574246k760m720m880m436m
17: Property and equipment, at cost1946090k2431906k2812009k3316333k3962781k4876782k5957m7120m8246m5078m
18: Accumulated Depreciation-947894k-1311454k-1613295k-2002005k-2439448k-2890566k-3466m-4360m-5344m-3524m
19: Equity and other investments00106178k1381765k2492012k2452763k3044m4971m5777m3391m
20: Goodwill6544278k6257153k7025398k6143086k6193163k8364989k8537m9267m9094m4451m
21: Intangible assets682977k596038k736134k767812k540711k1406380k1128m941m564m90m
22: Deferred income taxes0000000000
23: Prepaid pension costs0000000000
24: Other long-term assets297974k269889k239425k341121k189205k448416k476m266m264m395m
25: Liabilities and stockholders' equity13494011k15366037k15592439k18408320k22003762k27320218k37074m41488m45132m17785m
26: Liabilities2589379k3661435k4508581k4620672k6701583k9390339k16209m17841m25226m11209m
27: Current liabilities2518395k3099579k3705087k3641968k4516514k6734204k10924m12639m17531m2263m
28: Short-term debt001000m0300m564601k413m6m850m0
29: Capital leases0000000000
30: Accounts payable83392k156613k170332k192412k184963k283102k301m309m401m349m
31: Deferred income taxes0150080k000035m000
32: Taxes payable00100423k210522k40468k397052k210m107m154m72m
33: Accrued liabilities681669k781726k538616k981784k1343888k877652k1078m2799m5393m1736m
34: Deferred revenues128964k166495k181596k99305k96464k110429k137m158m188m106m
35: Other current liabilities1624370k1844665k1714120k2157945k2550731k4501368k8750m9260m10545m0
36: Non-current liabilities70984k561856k803494k978704k2185069k2656135k5285m5202m7695m8946m
37: Long-term debt00001494227k1525047k4106m4117m6777m6779m
38: Capital leases0000000000
39: Deferred taxes liabilities31784k510557k00645457k1072951k972m841m792m2092m
40: Accrued liabilities0000000000
41: Deferred revenues0000000000
42: Pensions and other benefits0000000000
43: Minority interest0000000000
44: Other long-term liabilities39200k51299k803494k978704k45385k58137k207m244m126m75m
45: Stockholders' equity10904632k11704602k11083858k13787648k15302179k17929879k20865m23647m19906m6576m
46: Preferred stock0000000000
47: Common stock1431k1458k01486k1513k1535k2m2m2m2m
48: Other Equity0000000000
49: Additional paid-in capital8034282k8996303k9585853k9986199k10480709k11144832k12062m13031m13887m14538m
50: Retained earnings3842150k4190546k5970020k8359117k10160078k13389465k15998m18854m18900m7713m
51: Treasury stock-1669428k-3184981k-5376970k-5377258k-6091435k-7155421k-8053m-9396m-14054m-16203m
52: Accumulated other comprehensive income696197k1701276k904955k818104k751314k549468k856m1156m1171m526m
53: Total assets13494011k15366037k15592439k18408320k22003762k27320218k37074m41488m45132m17785m
54: Total liabilities and stockholders' equity13494011k15366037k15592439k18408320k22003762k27320218k37074m41488m45132m17785m
55: Total cash3204895k4880045k3352662k4943804k6622814k5929402k9408m9025m10098m6131m
56: Total current assets4970586k7122505k6286590k8460208k11065338k12661454k21398m23283m26531m7904m
57: Property, plant and equipment, net998196k1120452k1198714k1314328k1523333k1986216k2491m2760m2902m1554m
58: Total non-current assets8523425k8243532k9305849k9948112k10938424k14658764k15676m18205m18601m9881m
59: Total current liabilities2518395k3099579k3705087k3641968k4516514k6734204k10924m12639m17531m2263m
60: Total non-current liabilities70984k561856k803494k978704k2185069k2656135k5285m5202m7695m8946m
61: Total liabilities2589379k3661435k4508581k4620672k6701583k9390339k16209m17841m25226m11209m
62: Total stockholders' equity10904632k11704602k11083858k13787648k15302179k17929879k20865m23647m19906m6576m


Cash Flow Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2006-122007-122008-122009-122010-122011-122012-122013-122014-122015-12
1: Cash Flows From Operating Activities2247791k2641109k2881995k2908086k2745760k3273674k3838m4995m5677m4033m
2: Net income1125639k348251k1779474k2389097k1800961k02609m2856m46m1725m
3: Depreciation & amortization544552k601707k719814k810946k762465k939953k1200m1400m1490m687m
4: Amortization of debt discount/premium and issuance costs0000000000
5: Investment/asset impairment charges0000000000
6: Investments losses (gains)0000000-75m0-195m
7: Deferred income taxes-227850k-123371k-206636k-178813k349595k16958k-35m-31m2808m-32m
8: (Gain) Loss from discontinued operations000000000222m
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation00353323k394807k381492k457188k488m609m675m379m
12: Accounts receivable00-66853k-97494k-111614k-291822k-207m-123m16m-105m
13: Inventory0000000000
14: Prepaid expenses0000000000
15: Accounts payable0014946k-27235k-9263k29424k-16m7m87m226m
16: Accrued liabilities00-220591k-86504k-95522k-202478k-164m-3m-347m-202m
17: Interest payable0000000000
18: Income taxes payable00197555k279975k-501512k131878k9m231m198m-34m
19: Other working capital204674k-172318k-72680k151833k-181191k12867k-378m-466m-139m9m
20: Other non-cash items600776k1986840k383643k-728526k350349k2179706k332m590m843m1353m
21: Cash Flows From Investing Activities228853k-693146k-2057346k-1149383k-2282470k-3306862k-3763m-6012m-2673m-3611m
22: Investments in property, plant, and equipment-515448k-453967k-565890k-567094k-723912k-963498k-1257m-1250m-1271m-668m
23: Property, plant, and equipment reductions0000000000
24: Acquisitions, net-45505k-863565k-1360293k570888k-90568k-3223055k1m-869m-59m-24m
25: Purchases of investments-583263k-270676k-108128k-1142098k-2643514k-2290183k-3128m-7505m-8834m-6744m
26: Sales/Maturities of investments1380227k888757k136200k103572k1436207k3865210k1421m3943m8524m6781m
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles0000000000
30: Sales of intangibles0000000000
31: Other investing charges-7158k6305k-159235k-114651k-260683k-695336k-800m-331m-1033m-2956m
32: Cash Flows From Financing Activities-1260687k-693392k-1673851k-945656k1234406k-838496k1951m-1354m-1022m-4554m
33: Short-term borrowing00-433981k-561709k01618501k-550m000
34: Long-term debt issued00800m01488702k02976m03482m0
35: Long-term debt repayment000-1000m0-199271k0-400m0-850m
36: Excess tax benefit from stock based compensation00-36190k4750k41891k79681k130m201m115m74m
37: Common stock issued313482k506955k135141k102526k235527k242210k483m437m300m221m
38: Preferred stock issued0000000000
39: Warrant issued0000000000
40: Redemption of preferred stock0000000000
41: Repurchases of treasury stock-1666540k-1485397k-2179712k0-711068k-1063986k-898m-1343m-4658m-2149m
42: Cash dividends paid0000000000
43: Dividend payable0000000000
44: Other financing activities92371k285050k40891k508777k179354k-1515631k-190m-249m-261m-1850m
45: Effect of exchange rate changes133255k303828k-183061k-2157k-120103k-14626k100m48m-148m-364m
46: Net change in cash1349212k1558399k-1032263k810890k1577593k-886310k2126m-2323m1834m-4496m
47: Cash at beginning of period1313580k2662792k4221191k3188928k3999818k5577411k4691m6817m4494m6328m
48: Cash at end of period2662792k4221191k3188928k3999818k5577411k4691101k6817m4494m6328m1832m
49: Free Cash Flow0000000000
50: Operating cash flow2247791k2641109k2881995k2908086k2745760k3273674k3838m4995m5677m4033m
51: Capital expenditure-515448k-453967k-565890k-567094k-723912k-963498k-1257m-1250m-1271m-668m
52: Free cash flow1732343k2187142k2316105k2340992k2021848k2310176k2581m3745m4406m3365m
53: Supplemental schedule of cash flow data0000000000
54: Cash paid for income taxes00366824k342173k645783k372528k00343m256m
55: Cash paid for interest007759k6050k54k29200k0099m175m
56: Net cash provided by operating activities2247791k2641109k2881995k2908086k2745760k3273674k3838m4995m5677m4033m
57: Net cash used for investing activities228853k-693146k-2057346k-1149383k-2282470k-3306862k-3763m-6012m-2673m-3611m
58: Net cash provided by (used for) financing activities-1260687k-693392k-1673851k-945656k1234406k-838496k1951m-1354m-1022m-4554m



Note