VIPS

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Symbol:
NYSE / Sector: Consumer Cyclical / Sub-Sector: Specialty Retail / Stock Type:
# of Employee: 29,720 / Fiscal Year End: 2016-12-31 / Stock Type:
CNY / Exchange Rate: 6.895052805 at 2016-11-22 /

Vipshop Holdings Ltd through its subsidiaries operates an online platform that offers products to consumers in the People's Republic of China through flash sales on its vipshop.com and vip.com website.

Competitors

Competitors List | Key Matrix Details

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

Finance Highlights

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

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2011-12-25Annual-45.30%-3.60%-0.00.019.10%-47.20%-47.20%.123.942
2012-12-25Annual120.10%14.30%0.20.222.30%-1.40%-1.40%.261.828
2013-12-25Annual170.50%24.40%0.60.424.00%3.10%3.10%.294.799
2014-12-25Annual60.70%6.60%0.40.624.90%3.30%3.60%.177.768
2015-12-25Annual-10.90%-1.00%-0.10.924.60%3.80%4.00%.2151.001

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual-64.40%-72.95%-40.73%66.22%3.75%15.15%16.13%12.64%-3.88%
2012-12-25Annual365.12%497.22%1,110.00%273.33%16.75%97.03%97.03%112.20%-12.10%
2013-12-25Annual41.97%70.63%212.38%120.24%7.62%321.43%321.43%12.64%-3.50%
2014-12-25Annual-64.40%-72.95%-40.73%66.22%3.75%6.45%16.13%-39.80%-3.88%
2015-12-25Annual-117.96%-115.15%-124.87%38.86%-1.20%15.15%11.11%21.47%30.34%


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

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2011-12-25Annual207,045,982.0167,539,164.6450,756.4-97,780,474.6-97,780,474.6373,173,70519.10%-47.20%-47.20%
2012-12-25Annual626,541,631.0486,701,621.2201,753.2-8,574,682.1-8,574,682.1444,246,03022.30%-1.40%-1.40%
2013-12-25Annual1,491,249,493.31,132,847,904.20.045,967,700.445,967,700.4577,475,86524.00%3.10%3.10%
2014-12-25Annual3,394,946,797.72,550,768,982.211,045,060.9110,466,508.7123,484,994.6601,137,92024.90%3.30%3.60%
2015-12-25Annual5,830,733,025.64,395,430,163.512,438,193.4218,810,797.6230,551,534.4600,840,31524.60%3.80%4.00%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual127.66%125.16%0.00%98.08%91.23%4.10%3.75%15.15%16.13%
2012-12-25Annual202.61%190.50%-55.24%91.23%91.23%19.05%16.75%97.03%97.03%
2013-12-25Annual138.01%132.76%-100.00%636.09%636.09%29.99%7.62%321.43%321.43%
2014-12-25Annual127.66%125.16%0.00%140.31%168.63%4.10%3.75%6.45%16.13%
2015-12-25Annual71.75%72.32%12.61%98.08%86.70%-0.05%-1.20%15.15%11.11%


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

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2011-12-25Annual16,671,030.3135,950,134.1144,274,093.0135,950,134.10.0.123.942
2012-12-25Annual74,758,852.5286,364,542.1345,765,659.5286,364,542.10.0.261.828
2013-12-25Annual213,803,452.8728,457,721.5911,400,159.2728,457,721.50.0.294.799
2014-12-25Annual369,726,270.82,088,110,749.71,916,916,057.31,472,478,751.0615,631,998.8.177.768
2015-12-25Annual513,293,242.22,392,489,007.61,762,608,115.61,764,447,550.4628,041,457.2.2151.001

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual72.93%110.64%110.33%102.14%0.00%12.64%-3.88%
2012-12-25Annual348.44%110.64%139.66%110.64%0.00%112.20%-12.10%
2013-12-25Annual185.99%154.38%163.59%154.38%0.00%12.64%-3.50%
2014-12-25Annual72.93%186.65%110.33%102.14%0.00%-39.80%-3.88%
2015-12-25Annual38.83%14.58%-8.05%19.83%2.02%21.47%30.34%


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

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2011-12-25Annual1,191,155.5-8,743,475.5-7,552,319.8-21,706,606.760,876,751.2
2012-12-25Annual100,999,049.7-11,207,250.189,791,799.4-75,332,470.045,417,440.8
2013-12-25Annual384,162,484.1-19,555,204.0364,607,280.1-282,042,871.081,210,670.6
2014-12-25Annual454,914,182.1-230,333,317.7224,580,864.4-597,567,958.1558,572,012.7
2015-12-25Annual277,747,837.3-333,787,727.4-56,039,890.0-426,002,394.9-78,191,424.6

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual18.42%-74.49%-38.40%-247.05%-25.39%
2012-12-25Annual8,379.08%-28.18%1,288.93%-247.05%-25.39%
2013-12-25Annual280.36%-74.49%306.06%-274.40%78.81%
2014-12-25Annual18.42%-1,077.86%-38.40%-111.87%587.81%
2015-12-25Annual-38.95%-44.92%-124.95%28.71%-114.00%



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: Revenue0001915135121610478714275929754320037619102822439752340833738040203212k
2: Cost of revenue000175902061948286691155191384335583337078110460991758768678030306723k
3: Gross profit000156114521276118272401591964204249247119787658206506009896489k
4: Operating expenses00010988919767673499443801401038753762214499479849769059017825940k
5: Sales, General and administrative0001069009273560843913255695963347753195294101044536472967057851k
6: Other operating expenses00029882732065063112444575406009192053788523258605768089k
7: Operating income000-9427774-55491231-671978549-745495133262030788437446992070549k
8: Interest Expense000003107989139109907615627885762k
9: Other income (expense)00032137418850042122552410316282930554508865733k
10: Income before income taxes000-9427453-55487490-674201534-5471508842936590710731335092050520k
11: Provision for income taxes0000004407797112416185247988031457745k
12: Minority interest00000000-89763147-80953k
13: Other income000000-1-1-153236216-165016k
14: Net income from continuing operations000-9427453-55487490-674201534-591228863169497217616724091508712k
15: Net income from discontinuing ops0000000000
16: Extraordinary items0000000000
17: Cumulative effect of accounting changes0000000000
18: Other000000008976314780953k
19: Net income000-9427453-55487490-674201534-591228863169497218514355561589665k
20: Preferred dividend000003093161300000
21: Net income available to common shareholders000-9427453-55487490-983517664-591228863169497218514355561589665k
22: Earnings per share0000000000
23: Basic00000-2.6397-0.13730.58181.50112.748
24: Diluted00000-2.6397-0.137320.5454221.4143052.646
25: Weighted average shares outstanding0000000000
26: Basic00000373173705444246030544813185566553410578680460
27: Diluted00000373173705444246030577475865601137920600840315
28: EBITDA000-9145321-54798202-662462499-2503658648432227815107667442720112k
29: Total operating expenses00010988919767673499443801401038753762214499479849769059017825940k


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: Assets0001870756511363462110523309852489964868649694053616946916k20035522k
2: Current assets00017643840103255540994777487238407247462841522081321723740412153276k
3: Cash00019645497369444282540779776934500436674620147895850215131787k
4: Cash and cash equivalents00019645497369444282540779776934500202845334647895850213324384k
5: Short-term investments0000000233829285501807403k
6: Receivables000328868713388082984419421668528121183957457360332511247700k
7: Inventories0001049847149132691438329727898595504163703023835874312034566746k
8: Deferred income taxes000000067430151233091596202003k
9: Prepaid expenses000189213133365321861263714287349945498701032747671005040k
10: Other current assets0002289338668537402309337678215660
11: Non-current assets0001063725103790815755349810589239421278832837296785967882246k
12: Property, plant and equipment00010581269063780574961987888129214726030419109878222949604k
13: Land0000000000
14: Buildings and improvements0000000000
15: Fixtures and equipment00011033345798315580366701006136822027520805360221071150315k
16: Other properties00025676742432398625854163788223836822215823549312298130k
17: Property and equipment, at cost0001360101100415546666252411699250424112030221183770383448445k
18: Accumulated Depreciation000-301974-977774-9166326-38111212-93859997-207389216-498841k
19: Equity and other investments000000003900871641012304k
20: Goodwill0000000059985145108781k
21: Intangible assets000000001120667k941831k
22: Deferred income taxes0000000000
23: Prepaid pension costs0000000000
24: Other long-term assets000559913153015730027011102655280242479514652869726k
25: Liabilities and stockholders' equity000187075661136346221052330985248996486864969405361694691599920035522k
26: Liabilities00029290697180700896937383351197449863450227544431439763384516496338k
27: Current liabilities00029290697180700896937383351197449863450227544431015281871612165959k
28: Short-term debt000007988687500095m
29: Capital leases0000000000
30: Accounts payable0007214645550759565532080631207514515288981260261197660326645262k
31: Deferred income taxes0000000000
32: Taxes payable0001038680531476465257312593832320554764216544667k
33: Accrued liabilities000200781118837383102341652269413116118979188317854217662261360k
34: Deferred revenues00030104647701161502818062899893017249216171007512114109k
35: Other current liabilities000189994571008250921205391683575587731297746675765951505561k
36: Non-current liabilities0000000042448151294330379k
37: Long-term debt0000000038540477404058181k
38: Capital leases0000000000
39: Deferred taxes liabilities00000000242637463175416k
40: Accrued liabilities0000000000
41: Deferred revenues00000000022699k
42: Pensions and other benefits0000000000
43: Minority interest0000000014812992574083k
44: Other long-term liabilities0000000010
45: Stockholders' equity000-10583131-67066274114947634515466234147418609325492821543539184k
46: Preferred stock0000000000
47: Common stock00032624316904689863217676747105076k
48: Other Equity0000000000
49: Additional paid-in capital00099555596706911664962131612686762220120831124966661362838591k
50: Retained earnings000-11613810-66768987-1046787245-1098716696-749806054839553181616209k
51: Treasury stock000000000-844711k
52: Accumulated other comprehensive income0002500-1296046-4808232143295122716162-31410350-70981k
53: Total assets0001870756511363462110523309852489964868649694053616946916k20035522k
54: Total liabilities and stockholders' equity000187075661136346221052330985248996486864969405361694691599920035522k
55: Total cash00019645497369444282540779776934500436674620147895850215131787k
56: Total current assets00017643840103255540994777487238407247462841522081321723740412153276k
57: Property, plant and equipment, net00010581269063780574961987888129214726030419109878222949604k
58: Total non-current assets0001063725103790815755349810589239421278832837296785967882246k
59: Total current liabilities00029290697180700896937383351197449863450227544431015281871612165959k
60: Total non-current liabilities0000000042448151294330379k
61: Total liabilities00029290697180700896937383351197449863450227544431439763384516496338k
62: Total stockholders' equity000-10583131-67066274114947634515466234147418609325492821543539184k


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 Activities000-9328440-435996668213080696393779264882060731366572991915086k
2: Net income000-9427453-55487490-674201534-591228863169497217616724091508712k
3: Depreciation & amortization00028213268928886310452828740254956371361476956583830k
4: Amortization of debt discount/premium and issuance costs000000002669487933453k
5: Investment/asset impairment charges000002751101002314401499749k
6: Investments losses (gains)0000000000
7: Deferred income taxes0000000000
8: (Gain) Loss from discontinued operations0000000000
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation000004646368644741871275487943228214453302941k
12: Accounts receivable000-2980772-6207760-17459447-1789140522976981-136107946-279165k
13: Inventory000-10261301-56188499-402421014-539219916-969913522-2090464163-1272336k
14: Prepaid expenses000-1852488-31527323-5450974820287717-33256615-871944410
15: Accounts payable00071789964806774450101867365810805217174238612782517786643370k
16: Accrued liabilities00029595582119282514471264616234910987056k1113683418537300k
17: Interest payable0000000000
18: Income taxes payable0000000000
19: Other working capital00045566321807300824020987325120210411884109-15970148-501322k
20: Other non-cash items000216256177885411103350771056784181751756168990082258554k
21: Cash Flows From Investing Activities000-635269-10097056-149668199-519421357-1944700484-4120262615-2937309k
22: Investments in property, plant, and equipment000-629663-10076309-60286725-77274581-134834164-1588160384-2183228k
23: Property, plant, and equipment reductions000001997312466141346590204k
24: Acquisitions, net00000000-1202168903-39198k
25: Purchases of investments000000-632308903-3728523692-6315962517-6358596k
26: Sales/Maturities of investments000000101312728194660070350195522697633963k
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles000000000-118256k
30: Sales of intangibles0000000000
31: Other investing charges000-5606-20747-8940144788724738-32077990-33523080-1872198k
32: Cash Flows From Financing Activities00011841120606037144197484133131556525599518613851383513-539134k
33: Short-term borrowing0000079886875-79337899000
34: Long-term debt issued000000003835176700669463k
35: Long-term debt repayment000000000-574463k
36: Excess tax benefit from stock based compensation0000000000
37: Common stock issued000069427462054753245400
38: Preferred stock issued000003251043830000
39: Warrant issued0000000000
40: Redemption of preferred stock0000000000
41: Repurchases of treasury stock00000-11548687000-650197k
42: Cash dividends paid0000000000
43: Dividend payable0000000000
44: Other financing activities000118411206060370816878380392493551124194071620681316063k
45: Effect of exchange rate changes0003441-1445884-2735722620724210047356-15446056394990k
46: Net change in cash0001880852546110827555757249633531612741193402713317634-1466367k
47: Cash at beginning of period000836971908337698320628059918275433400520762673874790751k
48: Cash at end of period00019645497369445282540778776934498202845334547895850213324384k
49: Free Cash Flow0000000000
50: Operating cash flow000-9328440-435996668213080696393779264882060731366572991915086k
51: Capital expenditure000-629663-10076309-60286725-77274581-134834164-1588160384-2301484k
52: Free cash flow000-9958104-53675976-5207364461911919725139864431548496915-386398k
53: Supplemental schedule of cash flow data0000000000
54: Cash paid for income taxes000000000446621k
55: Cash paid for interest00000000085775k
56: Net cash provided by operating activities000-9328440-435996668213080696393779264882060731366572991915086k
57: Net cash used for investing activities000-635269-10097056-149668199-519421357-1944700484-4120262615-2937309k
58: Net cash provided by (used for) financing activities00011841120606037144197484133131556525599518613851383513-539134k



Note