PYPL Financial Analysis
Quarterly
FY2024Q4 | FY2024Q3 | FY2024Q2 | FY2024Q1 | FY2023Q4 | FY2023Q3 | FY2023Q2 | FY2023Q1 | FY2022Q4 | FY2022Q3 | FY2022Q2 | FY2022Q1 | FY2021Q4 | FY2021Q3 | FY2021Q2 | FY2021Q1 | FY2020Q4 | FY2020Q3 | FY2020Q2 | FY2020Q1 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Cash Flow from Operating Activities | 2.39B -8.42% | 1.61B 28.20% | 1.53B -862.50% | 1.92B 63.85% | 2.61B 64.30% | 1.26B -28.26% | -200.00M -116.00% | 1.17B -3.86% | 1.59B 30.41% | 1.76B 15.99% | 1.25B -4.29% | 1.22B -30.77% | 1.22B -24.32% | 1.51B 110.14% | 1.31B -22.68% | 1.76B 16.89% | 1.61B 108.27% | 720.00M -34.31% | 1.69B 43.87% | 1.50B |
Funds from Operations | 2.70B -20.48% | 1.77B 74.51% | 2.08B 335.15% | 1.80B 5.13% | 3.39B 117.52% | 1.01B -46.62% | 478.00M -60.59% | 1.71B 2.63% | 1.56B -12.77% | 1.90B 8.47% | 1.21B -28.61% | 1.67B -24.40% | 1.79B -4.90% | 1.75B -2.51% | 1.70B -7.86% | 2.21B 71.11% | 1.88B 57.02% | 1.79B 35.02% | 1.84B 43.28% | 1.29B |
Change in Working Capital | -301.00M -61.16% | -152.00M -161.54% | -555.00M -18.14% | 115.00M -121.14% | -775.00M -2448.48% | 247.00M -275.18% | -678.00M -1932.43% | -544.00M 20.09% | 33.00M -105.83% | -141.00M -40.00% | 37.00M -109.41% | -453.00M 0.44% | -566.00M 112.78% | -235.00M -78.10% | -393.00M 153.55% | -451.00M -311.74% | -266.00M -36.97% | -1.07B 362.50% | -155.00M 37.17% | 213.00M |
Net Cash Flow from Investing Activities | 2.46B -560.11% | 2.80B -1011.73% | -4.65B -398.08% | 980.00M 540.52% | -534.00M 1269.23% | -307.00M -122.36% | 1.56B -139.87% | 153.00M -120.35% | -39.00M -98.60% | 1.37B 321.17% | -3.91B 255.78% | -752.00M -52.50% | -2.79B -14.82% | 326.00M -110.21% | -1.10B -85.38% | -1.58B -38.36% | -3.28B 703.68% | -3.19B -612.52% | -7.52B 585.14% | -2.57B |
Capital Expenditures - Net | 202.00M 40.28% | 169.00M 9.74% | 157.00M 41.44% | 154.00M -8.88% | 144.00M -8.86% | 154.00M -15.38% | 111.00M -35.84% | 169.00M -10.11% | 158.00M -25.12% | 182.00M -19.11% | 173.00M -29.67% | 188.00M -14.93% | 211.00M -6.64% | 225.00M -6.64% | 246.00M 28.12% | 221.00M 154.02% | 226.00M 29.89% | 241.00M 54.49% | 192.00M 38.13% | 87.00M |
Acquisition & Disposal of Business Sold/(Acquired) | 0.00 -100.00% | 0.00 | 0.00 | 0.00 | 466.00M | 0.00 | 0.00 | 0.00 | 0.00 -100.00% | 0.00 | 0.00 -100.00% | 0.00 | -2.29B | 0.00 -100.00% | -469.00M | 0.00 -100.00% | 0.00 -100.00% | 3.00M | 0.00 | -3.61B |
Net Cash Flow from Financing Activities | -3.59B -219.50% | -2.53B -4245.90% | 200.00M -105.90% | -2.36B -15.07% | 3.00B 283.63% | 61.00M -102.05% | -3.39B -304.95% | -2.78B 315.70% | 782.00M -310.78% | -2.97B 264.09% | 1.66B -940.10% | -669.00M -180.89% | -371.00M -115.19% | -816.00M -154.66% | -197.00M -102.82% | 827.00M -63.10% | 2.44B 597.71% | 1.49B 11.50% | 6.98B 601.10% | 2.24B |
Stock - Total - Issuance/(Retirement) - Net | -1.23B 118.68% | -1.78B 23.85% | -1.45B -0.14% | -1.50B 4.89% | -562.00M -41.03% | -1.43B 52.72% | -1.45B 117.09% | -1.43B -4.41% | -953.00M -33.26% | -939.00M 169.05% | -667.00M 490.27% | -1.50B 13.32% | -1.43B 614.00% | -349.00M -5.42% | -113.00M -13.08% | -1.32B 65.33% | -200.00M -18.37% | -369.00M 6.65% | -130.00M -294.03% | -799.00M |
Debt - LT & ST - Issuance/(Retirement) | -1.25B -312.59% | 132.00M 21.10% | 1.25B -531.49% | -244.00M -464.18% | 588.00M 355.81% | 109.00M 87.93% | -289.00M -120.35% | 67.00M -63.19% | 129.00M -244.94% | 58.00M | 1.42B | 182.00M | -89.00M | 0.00 | 0.00 -100.00% | 0.00 -100.00% | 0.00 -100.00% | 0.00 -100.00% | 966.00M 93.20% | 3.00B |
Net Change in Cash | 956.00M -81.79% | 2.08B 114.46% | -2.92B 40.31% | 441.00M -130.16% | 5.25B 115.91% | 968.00M 2320.00% | -2.08B 79.38% | -1.46B 686.02% | 2.43B -225.36% | 40.00M -95.79% | -1.16B -6538.89% | -186.00M -119.38% | -1.94B -311.33% | 951.00M -207.82% | 18.00M -98.57% | 960.00M -3.90% | 918.00M 20.95% | -882.00M -129.30% | 1.26B 17.83% | 999.00M |
Free Cash Flow | 2.19B -11.26% | 1.45B 31.24% | 1.37B -490.86% | 1.76B 76.30% | 2.47B 72.30% | 1.10B -30.01% | -350.00M -132.56% | 1,000M -2.53% | 1.43B 42.30% | 1.57B 22.32% | 1.08B 1.51% | 1.03B -33.25% | 1.01B -27.34% | 1.29B 168.48% | 1.06B -29.21% | 1.54B 18.41% | 1.39B 131.00% | 479.00M -48.10% | 1.50B 44.54% | 1.30B |
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What is PYPL's PE Ratio in 2025/4/4?
PYPL's PE ratio in April 4, 2025 is 14.63. This indicates the price investors are willing to pay for $1 of earnings.
What is PYPL's PS Ratio in 2025/4/4?
PYPL's PS ratio in April 4, 2025 is 1.82. This indicates how much investors are willing to pay for each dollar of the company's sales.
What is PYPL's Dividend Yield in 2024/Q4?
PYPL's Dividend Yield in 2024/Q4 is 0.00%. This represents the return on investment from dividends relative to the stock price.
What is PYPL's Gross Margin in 2024/Q4?
PYPL's Gross Margin in 2024/Q4 is 41.64. Gross Margin is typically calculated as (Revenue - Cost of Goods Sold) / Revenue and is a key indicator of a company's financial health and efficiency in managing production costs.
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