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PDD Holdings Inc

PDD

105.130USD

+0.070+0.07%
Close 07/16, 16:00ETQuotes delayed by 15 min
149.25BMarket Cap
1.50P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
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FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-26.35%15.52B
-19.91%29.55B
-15.41%27.52B
87.18%43.79B
1474.50%21.07B
38.95%36.89B
179.25%32.54B
20.76%23.40B
114.76%1.34B
61.89%26.55B
33.37%11.65B
162.83%19.37B
-143.47%-9.07B
9.72%16.40B
4.98%8.74B
34.14%7.37B
-556.81%-3.72B
55.73%14.95B
217.84%8.32B
32.48%5.50B
63.25%-567.07M
47.02%9.60B
948.37%2.62B
1049.33%4.15B
-345.38%-1.54B
-24.92%6.53B
136.61%249.74M
-71.88%360.90M
61.27%628.92M
--8.69B
---682.12M
--1.28B
--389.98M
Net income from continuing operations
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3.23%-201.02M
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---207.72M
Operating gains losses
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7537.73%41.70M
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--546.00K
Other non-cash items
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55.73%14.95B
217.84%8.32B
32.48%5.50B
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47.02%9.60B
948.37%2.62B
1049.33%4.15B
---1.54B
-24.92%6.53B
136.61%249.74M
-71.88%360.90M
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--8.69B
---682.12M
--1.28B
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Change in working capital
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30.54%776.47M
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--594.79M
-Change in receivables
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-423.53%-97.94M
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---18.71M
-Change in prepaid expenses
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-1876.52%-78.13M
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---3.95M
-Change in other current assets
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--1.31B
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--0.00
-Change in other current liabilities
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223.23%702.51M
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--217.34M
Cash from non-recurring investing activities
Cash from operating activities
-26.35%15.52B
-19.91%29.55B
-15.41%27.52B
87.18%43.79B
1474.50%21.07B
38.95%36.89B
179.25%32.54B
20.76%23.40B
114.76%1.34B
61.89%26.55B
33.37%11.65B
162.83%19.37B
-143.47%-9.07B
9.72%16.40B
4.98%8.74B
34.14%7.37B
-556.81%-3.72B
55.73%14.95B
217.84%8.32B
32.48%5.50B
63.25%-567.07M
47.02%9.60B
948.37%2.62B
1049.33%4.15B
-345.38%-1.54B
-24.92%6.53B
136.61%249.74M
-71.88%360.90M
61.27%628.92M
--8.69B
---682.12M
--1.28B
--389.98M
Investing cash flow
Net cash from continuing investing activities
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-29.21%1.56M
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--2.20M
Capital expenditures
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-29.21%1.56M
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--2.20M
Net cash flow from disposal of fixed assets
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-29.21%1.56M
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--2.20M
Net cash flow from investment products
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-93.70%-800.00M
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---413.00M
Net cash flow from other investing activities
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-132.27%-26.62B
97.19%-455.05M
-750.94%-9.70B
----
-4703.10%-11.46B
-160.18%-16.18B
-291.35%-1.14B
--457.47M
-1900.96%-238.63M
-2964.92%-6.22B
-141.50%-291.15M
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---11.93M
---202.85M
--701.62M
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Cash from non-current investing activities
Net cash flow from investing activities
77.43%-6.38B
-85.45%-30.55B
-250.56%-16.90B
-269.99%-42.62B
-25.07%-28.29B
-92.42%-16.47B
-1252.58%-4.82B
-34.06%-11.52B
-366.20%-22.62B
32.56%-8.56B
97.41%-356.39M
-146.65%-8.59B
13.68%-4.85B
52.32%-12.69B
-2924.86%-13.76B
64.07%-3.48B
-254.82%-5.62B
-132.27%-26.62B
97.19%-455.05M
-750.94%-9.70B
-446.29%-1.58B
-4703.10%-11.46B
-160.18%-16.18B
-291.35%-1.14B
157.07%457.47M
-1900.96%-238.63M
-2964.92%-6.22B
-141.50%-291.15M
-93.05%-801.56M
---11.93M
---202.85M
--701.62M
---415.20M
Financing cash flow
Cash flow from continuous financing activities
630.00%219.00K
100.00%274.00K
-65.71%132.00K
-89.94%728.00K
-43.40%30.00K
-94403.86%-8.97B
49.22%385.00K
2598.88%7.23M
23.26%53.00K
4827.46%9.51M
76.71%258.00K
100.04%268.00K
100.00%43.00K
-100.00%193.00K
--146.00K
-107.56%-636.62M
-202.77%-1.24B
4618.07%42.17B
-100.00%0.00
--8.42B
-84.92%1.21B
6514.32%893.90M
-39.61%6.97B
100.00%0.00
37.24%7.99B
-4545.33%-13.94M
82211.69%11.54B
-100.59%-3.79M
658.89%5.82B
---300.00K
---14.05M
--645.70M
--767.51M
Net cash flow from preferred stock issuance/repurchase
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658.89%5.82B
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--767.51M
Net cash flow from other financing activities
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4618.07%42.17B
-100.00%0.00
--8.42B
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6514.32%893.90M
-39.61%6.97B
100.00%0.00
--7.99B
-4545.33%-13.94M
82211.69%11.54B
-100.59%-3.79M
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---300.00K
---14.05M
--645.70M
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Net cash from non-recurrent financing activities
Net cash from financing activities
630.00%219.00K
100.00%274.00K
-65.71%132.00K
-89.94%728.00K
-43.40%30.00K
-94403.86%-8.97B
49.22%385.00K
2598.88%7.23M
23.26%53.00K
4827.46%9.51M
76.71%258.00K
100.04%268.00K
100.00%43.00K
-100.00%193.00K
--146.00K
-107.56%-636.62M
-202.77%-1.24B
4618.07%42.17B
-100.00%0.00
--8.42B
-84.92%1.21B
6514.32%893.90M
-39.61%6.97B
100.00%0.00
37.24%7.99B
-4545.33%-13.94M
82211.69%11.54B
-100.59%-3.79M
658.89%5.82B
---300.00K
---14.05M
--645.70M
--767.51M
Net cash flow
Beginning cash balance
3.62%126.19B
12.87%125.69B
39.17%116.12B
62.31%114.70B
31.94%121.78B
49.65%111.35B
32.72%83.43B
35.55%70.67B
39.76%92.30B
19.32%74.41B
-6.69%62.86B
-18.93%52.13B
-11.76%66.04B
40.05%62.36B
83.68%67.37B
97.88%64.31B
124.45%74.84B
29.57%44.53B
-9.80%36.68B
-12.68%32.50B
9.19%33.35B
41.24%34.37B
350.28%40.66B
331.06%37.22B
898.63%30.54B
547.16%24.33B
93.12%9.03B
318.62%8.63B
131.71%3.06B
--3.76B
--4.68B
--2.06B
--1.32B
Current period cash flow changes
228.11%9.06B
-95.15%505.93M
-65.72%9.57B
-88.94%1.41B
67.29%-7.07B
-41.72%10.43B
141.81%27.92B
18.96%12.76B
-55.50%-21.63B
386.02%17.89B
330.65%11.55B
250.87%10.73B
-32.06%-13.91B
-87.86%3.68B
-163.76%-5.01B
-26.82%3.06B
-1143.95%-10.53B
3071.41%30.31B
224.65%7.85B
21.30%4.18B
-112.68%-846.73M
-116.43%-1.02B
-206.22%-6.30B
768.65%3.44B
19.79%6.68B
-28.38%6.21B
746.85%5.93B
-84.83%396.58M
650.80%5.58B
--8.67B
---916.61M
--2.61B
--742.70M
Effect of exchange rate changes
-147.00%-69.52M
246.70%1.50B
-623.39%-1.05B
-72.68%240.74M
142.48%147.92M
-837.20%-1.03B
-19.65%201.06M
1833.13%881.11M
-3526.60%-348.25M
-313.45%-109.37M
1029.18%250.23M
73.58%-50.84M
-80.29%10.16M
85.59%-26.45M
239.65%22.16M
-387.20%-192.41M
-47.96%51.55M
-265.38%-183.64M
-105.42%-15.87M
-109.05%-39.49M
143.35%99.06M
24.95%-50.26M
-18.53%292.53M
31.98%436.37M
-201.45%-228.50M
-403.78%-66.97M
2141.02%359.06M
2021.87%330.62M
-18723.83%-75.80M
---13.29M
---17.59M
---17.20M
--407.00K
Ending cash balance
17.92%135.26B
3.62%126.19B
12.87%125.69B
39.17%116.12B
62.31%114.70B
31.94%121.78B
49.65%111.35B
32.72%83.43B
35.55%70.67B
39.76%92.30B
19.32%74.41B
-6.69%62.86B
-18.93%52.13B
-11.76%66.04B
40.05%62.36B
83.68%67.37B
97.88%64.31B
124.45%74.84B
29.57%44.53B
-9.80%36.68B
-12.68%32.50B
9.19%33.35B
129.72%34.37B
350.28%40.66B
331.06%37.22B
145.71%30.54B
297.91%14.96B
93.12%9.03B
318.62%8.63B
--12.43B
--3.76B
--4.68B
--2.06B
Free cash flow
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55.73%14.95B
217.84%8.32B
32.48%5.50B
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47.02%9.60B
948.37%2.62B
1049.33%4.15B
-345.99%-1.54B
-24.92%6.53B
136.61%249.74M
-71.88%360.90M
61.78%627.37M
--8.69B
---682.12M
--1.28B
--387.78M
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