Markets
News
Analysis
Tools
Learn
Features
English
繁体中文
ไทย
Tiếng việt
简体中文
Español
Português
Deutsch
한국어
日本語
Log in
Sign Up
Markets
/
Stocks
/
nasdaq-sohu
/
Sohu.com Ltd
SOHU
14.850
USD
-0.550
-3.57%
Market hours (ET)
Quotes delayed by 15 min
USD
0.000
Pre-market (ET)
446.47M
Market Cap
4.18
P/E TTM
Sohu.com Ltd
14.850
-0.550
-3.57%
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q4
FY2014Q3
FY2014Q2
FY2014Q1
FY2013Q4
FY2013Q3
FY2013Q2
FY2013Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
158.83%
18.63M
304.21%
102.65M
57.94%
98.83M
-81.74%
16.81M
-153.13%
-31.67M
-82.91%
25.40M
-60.17%
62.58M
-42.61%
92.04M
49.15%
59.61M
158.43%
148.59M
25.57%
157.12M
3348.99%
160.38M
214.21%
39.96M
-55.27%
57.50M
1.19%
125.13M
-95.57%
4.65M
-174.82%
-34.99M
4.67%
128.55M
-14.11%
123.66M
67.89%
104.96M
-36.19%
46.77M
--
122.81M
--
143.97M
--
62.52M
--
73.29M
Net income from continuing operations
-73.18%
-87.20M
-626.88%
-269.58M
-142.68%
-102.02M
-2.69%
-48.05M
-560.05%
-50.35M
-521.59%
-37.09M
-145.12%
-42.04M
-507.49%
-46.79M
337.99%
10.95M
126.86%
8.80M
392.10%
93.17M
122.72%
11.48M
91.79%
-4.60M
-326.58%
-32.75M
-177.63%
-31.90M
-194.91%
-50.53M
-196.35%
-56.04M
-71.72%
14.45M
-20.25%
41.09M
57.76%
53.24M
42.49%
58.16M
--
51.10M
--
51.52M
--
33.75M
--
40.82M
Operating gains losses
-27.20%
40.40M
26.71%
78.52M
115.33%
136.12M
113.31%
112.14M
11.48%
55.50M
17.11%
61.97M
-35.05%
63.21M
-19.53%
52.57M
-37.74%
49.78M
-48.45%
52.91M
73.62%
97.32M
16.93%
65.33M
67.10%
79.96M
147.74%
102.65M
58.83%
56.05M
86.72%
55.88M
72.99%
47.85M
58.20%
41.43M
25.56%
35.29M
-32.82%
29.93M
3.79%
27.66M
--
26.19M
--
28.11M
--
44.54M
--
26.65M
Deferred tax
1086.99%
49.90M
-9085.71%
-6.92M
-79.80%
499.00K
188.25%
2.13M
-18.19%
4.20M
102.14%
77.00K
475.76%
2.47M
-345.73%
-2.42M
-37.32%
5.14M
-427.14%
-3.59M
109.19%
429.00K
111.59%
984.00K
195.70%
8.20M
115.85%
1.10M
-40.46%
-4.67M
-305.89%
-8.49M
-526.43%
-8.57M
8.78%
-6.93M
-265.79%
-3.32M
62.04%
4.12M
-34.02%
2.01M
--
-7.59M
--
2.00M
--
2.54M
--
3.04M
Other non-cash items
-79.61%
348.00K
93.38%
3.85M
390.73%
6.88M
-35.31%
1.14M
119.97%
1.71M
386.35%
1.99M
266.51%
1.40M
-35.65%
1.76M
-60.25%
776.00K
58.79%
-696.00K
-584.55%
-842.00K
72.39%
2.73M
192.21%
1.95M
-136.20%
-1.69M
-104.97%
-123.00K
222.71%
1.58M
-251.08%
-2.12M
241.57%
4.67M
781.27%
2.47M
7.53%
-1.29M
-131.85%
-603.00K
--
-3.30M
--
-363.00K
--
-1.40M
--
1.89M
Change in working capital
164.99%
28.89M
457977.19%
260.99M
101.00%
54.27M
-173.36%
-63.48M
-703.98%
-44.45M
-100.09%
-57.00K
-20.35%
27.00M
40.23%
86.52M
90.36%
-5.53M
260.84%
61.73M
-62.93%
33.90M
1961.21%
61.70M
-187.03%
-57.36M
-153.72%
-38.38M
88.09%
91.44M
-117.35%
-3.31M
50.28%
-19.98M
32.24%
71.44M
-19.28%
48.62M
200.62%
19.11M
-5793.70%
-40.20M
--
54.02M
--
60.23M
--
-18.99M
--
-682.00K
-Change in receivables
165.41%
41.73M
472.55%
34.12M
-446.45%
-23.78M
-349.64%
-76.49M
-17.50%
15.72M
11.05%
5.96M
122.83%
6.86M
188.39%
30.64M
843.29%
19.06M
111.03%
5.37M
-119.77%
-30.06M
-66.14%
-34.66M
-129.20%
-2.56M
-10073.16%
-48.67M
-19.93%
-13.68M
-0.17%
-20.86M
149.64%
8.78M
84.85%
488.00K
-196.42%
-11.40M
23.63%
-20.83M
-4301.43%
-17.69M
--
264.00K
--
11.83M
--
-27.27M
--
421.00K
-Change in prepaid expenses
-872.51%
-8.99M
432.07%
8.94M
123.46%
25.39M
-499.41%
-3.37M
-116.57%
-924.00K
5.25%
-2.69M
224.29%
11.36M
157.39%
843.00K
515.45%
5.58M
-26.33%
-2.84M
-90.21%
3.50M
31.29%
-1.47M
207.86%
906.00K
91.37%
-2.25M
1099.03%
35.80M
87.01%
-2.14M
88.86%
-840.00K
-5457.41%
-26.04M
176.43%
2.99M
-261.77%
-16.46M
-270.70%
-7.54M
--
486.00K
--
-3.91M
--
-4.55M
--
4.42M
-Change in other current liabilities
44.19%
-41.24M
18.60%
-28.66M
23.70%
24.61M
-82.45%
11.99M
-181.21%
-73.90M
-167.49%
-35.21M
-41.68%
19.89M
-30.98%
68.31M
52.44%
-26.28M
185.37%
52.16M
-52.93%
34.11M
149.37%
98.98M
-87.77%
-55.26M
34.64%
18.28M
-0.63%
72.47M
54.47%
39.69M
-127.22%
-29.43M
-25.70%
13.58M
264.23%
72.93M
2440.26%
25.70M
-419.38%
-12.95M
--
18.27M
--
20.02M
--
-1.10M
--
4.05M
Cash from non-recurring investing activities
Cash from operating activities
158.83%
18.63M
304.21%
102.65M
57.94%
98.83M
-81.74%
16.81M
-153.13%
-31.67M
-82.91%
25.40M
-60.17%
62.58M
-42.61%
92.04M
49.15%
59.61M
158.43%
148.59M
25.57%
157.12M
3348.99%
160.38M
214.21%
39.96M
-55.27%
57.50M
1.19%
125.13M
-95.57%
4.65M
-174.82%
-34.99M
4.67%
128.55M
-14.11%
123.66M
67.89%
104.96M
-36.19%
46.77M
--
122.81M
--
143.97M
--
62.52M
--
73.29M
Investing cash flow
Net cash from continuing investing activities
-23.55%
25.85M
-48.27%
33.29M
-57.86%
40.22M
-57.92%
37.04M
-17.62%
33.82M
22.46%
64.35M
53.83%
95.43M
16.96%
88.02M
-23.19%
41.05M
38.14%
52.55M
0.53%
62.04M
4.61%
75.26M
38.83%
53.44M
-42.28%
38.04M
5.78%
61.71M
77.45%
71.94M
-18.20%
38.49M
10.48%
65.91M
67.67%
58.34M
10.66%
40.54M
100.61%
47.06M
--
59.66M
--
34.80M
--
36.64M
--
23.46M
Capital expenditures
-23.55%
25.85M
-48.27%
33.29M
-57.86%
40.22M
-57.92%
37.04M
-17.62%
33.82M
22.46%
64.35M
53.83%
95.43M
16.96%
88.02M
-23.19%
41.05M
38.14%
52.55M
0.53%
62.04M
4.61%
75.26M
38.83%
53.44M
-42.28%
38.04M
5.78%
61.71M
77.45%
71.94M
-18.20%
38.49M
10.48%
65.91M
67.67%
58.34M
10.66%
40.54M
100.61%
47.06M
--
59.66M
--
34.80M
--
36.64M
--
23.46M
Net cash flow from disposal of fixed assets
64.41%
17.27M
-7.47%
13.95M
-41.03%
24.95M
-19.85%
29.32M
-5.47%
10.50M
-11.07%
15.07M
46.72%
42.30M
3.26%
36.58M
-44.10%
11.11M
-2.90%
16.95M
65.99%
28.83M
-22.98%
35.42M
97.11%
19.87M
-41.11%
17.46M
-51.13%
17.37M
123.86%
45.99M
-64.14%
10.08M
-23.16%
29.64M
95.21%
35.55M
3.25%
20.54M
120.75%
28.11M
--
38.58M
--
18.21M
--
19.90M
--
12.73M
Net cash flow from intangible asset transactions
-63.17%
8.59M
-60.75%
19.34M
-71.26%
15.27M
-84.99%
7.72M
-22.13%
23.32M
38.43%
49.28M
60.00%
53.13M
29.13%
51.44M
-10.81%
29.94M
72.95%
35.60M
-25.11%
33.21M
53.50%
39.84M
18.15%
33.57M
-43.24%
20.58M
94.52%
44.34M
29.77%
25.95M
49.97%
28.41M
72.03%
36.27M
37.44%
22.80M
19.46%
20.00M
76.69%
18.95M
--
21.08M
--
16.59M
--
16.74M
--
10.72M
Net cash flow from business transactions
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
100.00%
0.00
100.00%
0.00
--
--
--
--
41.13%
-19.83M
--
-86.54M
--
--
--
--
--
-33.69M
--
0.00
100.00%
0.00
100.00%
0.00
--
0.00
--
0.00
--
-500.00K
--
-183.00K
Net cash flow from investment products
-560.41%
-223.86M
-4667.63%
-496.68M
0.26%
-10.67M
34.80%
-31.46M
-156.88%
-33.90M
-87.11%
10.87M
86.62%
-10.69M
0.60%
-48.25M
128.92%
59.59M
352.84%
84.36M
65.85%
-79.95M
--
-48.54M
820.83%
26.03M
-13.53%
18.63M
-812.50%
-234.10M
100.00%
0.00
115.70%
2.83M
289.81%
21.54M
263.16%
32.86M
-369.30%
-22.67M
-41.61%
-18.01M
--
-11.35M
--
-20.14M
--
8.42M
--
-12.72M
Net cash flow from other investing activities
-92.52%
371.00K
-85.94%
1.66M
-213.03%
-3.23M
-99.33%
139.00K
-97.41%
4.96M
70.34%
11.78M
-97.46%
2.86M
-29.06%
20.67M
345.26%
191.27M
-63.33%
6.92M
285.82%
112.61M
21167.15%
29.14M
-67.54%
42.96M
134.58%
18.86M
-638.48%
-60.60M
100.11%
137.00K
445.37%
132.32M
-267.57%
-54.56M
105.03%
11.25M
-2889.73%
-128.38M
-3355.14%
-38.31M
--
-14.84M
--
-223.62M
--
-4.29M
--
1.18M
Cash from non-current investing activities
Net cash flow from investing activities
-297.32%
-249.34M
-1167.16%
-528.32M
47.59%
-54.12M
40.86%
-68.36M
-129.91%
-62.76M
-207.66%
-41.69M
-251.48%
-103.27M
-22.12%
-115.60M
1249.55%
209.81M
290.04%
38.73M
93.37%
-29.38M
-31.83%
-94.66M
-83.92%
15.55M
84.63%
-20.38M
-3012.36%
-442.95M
62.52%
-71.80M
193.50%
96.66M
-54.47%
-132.61M
94.89%
-14.23M
-480.39%
-191.59M
-193.85%
-103.38M
--
-85.85M
--
-278.55M
--
-33.01M
--
-35.18M
Financing cash flow
Cash flow from continuous financing activities
100.15%
4.00K
217216.62%
744.71M
12498.58%
52.45M
159.95%
7.56M
99.13%
-2.74M
-1243.33%
-343.00K
99.26%
-423.00K
-189.04%
-12.61M
-5242750.00%
-314.56M
100.76%
30.00K
-153.02%
-57.31M
152.71%
14.16M
100.00%
6.00K
-108.87%
-3.92M
-69.79%
108.11M
-152.39%
-26.86M
-1264.56%
-200.13M
141.93%
44.23M
146.73%
357.83M
315.05%
51.28M
259.79%
17.18M
--
18.28M
--
145.03M
--
-23.84M
--
-10.76M
Net cash flow from debt Issuance/repayment
--
--
--
121.66M
--
53.35M
--
7.52M
100.00%
0.00
--
0.00
100.00%
0.00
-100.00%
0.00
--
-314.56M
--
0.00
93.78%
-25.50M
--
12.90M
--
--
--
0.00
--
-410.19M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Net cash flow from common stock issuance/repurchase
--
--
--
--
--
--
--
--
--
--
--
0.00
100.02%
3.00K
-100.00%
0.00
100.00%
0.00
100.00%
0.00
-14476.92%
-13.08M
1528.57%
1.25M
-262.07%
-564.00K
51.91%
-3.48M
101.03%
91.00K
-77.42%
77.00K
-21.44%
348.00K
-1416.55%
-7.24M
-8880.20%
-8.87M
244.44%
341.00K
103.54%
443.00K
--
550.00K
--
101.00K
--
99.00K
--
-12.53M
Net cash flow from preferred stock issuance/repurchase
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-100.00%
0.00
-100.00%
0.00
--
--
--
--
--
1.48M
--
475.47M
--
--
--
--
--
--
--
--
--
--
--
--
Net cash flow from other financing activities
-99.11%
4.00K
181746.36%
623.05M
-113.38%
-909.00K
100.34%
43.00K
--
450.00K
-1243.33%
-343.00K
-118.64%
-426.00K
-180228.57%
-12.61M
-100.00%
0.00
108.52%
30.00K
-99.56%
2.29M
100.29%
7.00K
100.37%
570.00K
-100.70%
-352.00K
576.48%
518.27M
-104.73%
-2.41M
-1015.02%
-153.19M
181.94%
50.00M
-175.05%
-108.77M
2642.92%
50.94M
845.34%
16.74M
--
17.73M
--
144.93M
--
1.86M
--
1.77M
Net cash from non-recurrent financing activities
Net cash from financing activities
100.15%
4.00K
217216.62%
744.71M
12498.58%
52.45M
159.95%
7.56M
99.13%
-2.74M
-1243.33%
-343.00K
99.26%
-423.00K
-189.04%
-12.61M
-5242750.00%
-314.56M
100.76%
30.00K
-153.02%
-57.31M
152.71%
14.16M
100.00%
6.00K
-108.87%
-3.92M
-69.79%
108.11M
-152.39%
-26.86M
-1264.56%
-200.13M
141.93%
44.23M
146.73%
357.83M
315.05%
51.28M
259.79%
17.18M
--
18.28M
--
145.03M
--
-23.84M
--
-10.76M
Net cash flow
Beginning cash balance
30.17%
1.37B
-4.69%
1.04B
-18.67%
933.71M
-19.41%
968.95M
-15.60%
1.05B
1.70%
1.09B
14.58%
1.15B
30.20%
1.20B
42.09%
1.25B
27.71%
1.07B
-4.61%
1.00B
-19.31%
923.49M
-31.92%
876.34M
-32.23%
840.90M
36.31%
1.05B
43.35%
1.14B
54.44%
1.29B
60.43%
1.24B
0.78%
770.54M
4.84%
798.33M
13.78%
833.53M
--
773.47M
--
764.60M
--
761.44M
--
732.61M
Current period cash flow changes
-155.43%
-209.48M
896.20%
327.46M
290.86%
106.85M
35.11%
-35.24M
-91.48%
-82.01M
-124.01%
-41.13M
-177.87%
-55.98M
-169.18%
-54.31M
-190.85%
-42.83M
383.37%
171.33M
134.33%
71.90M
183.45%
78.49M
133.00%
47.15M
-23.69%
35.44M
-144.54%
-209.47M
-238.50%
-94.06M
-305.80%
-142.86M
-22.68%
46.45M
5201.54%
470.30M
-981.04%
-27.79M
-222.08%
-35.20M
--
60.07M
--
8.87M
--
3.15M
--
28.84M
Effect of exchange rate changes
511.20%
21.23M
135.99%
8.31M
310.93%
9.69M
148.26%
8.76M
50.45%
3.47M
-43.51%
-23.08M
65.55%
-4.59M
-762.60%
-18.14M
-2.82%
2.31M
-816.48%
-16.09M
-5370.36%
-13.33M
5925.53%
2.74M
154.02%
2.38M
-64.25%
2.25M
-91.67%
253.00K
-100.62%
-47.00K
-204.17%
-4.40M
30.05%
6.28M
291.86%
3.04M
402.00%
7.57M
185.08%
4.22M
--
4.83M
--
-1.58M
--
-2.51M
--
1.48M
Ending cash balance
19.57%
1.16B
30.20%
1.37B
-4.72%
1.04B
-18.67%
933.71M
-19.41%
968.95M
-15.60%
1.05B
1.70%
1.09B
14.58%
1.15B
30.20%
1.20B
42.09%
1.25B
27.71%
1.07B
-4.61%
1.00B
-19.31%
923.49M
-31.92%
876.34M
-32.23%
840.90M
36.31%
1.05B
43.35%
1.14B
54.44%
1.29B
60.43%
1.24B
0.78%
770.54M
4.84%
798.33M
--
833.53M
--
773.47M
--
764.60M
--
761.44M
Free cash flow
88.97%
-7.22M
278.06%
69.36M
278.41%
58.62M
-602.91%
-20.23M
-452.96%
-65.49M
-140.56%
-38.95M
-134.56%
-32.86M
-95.27%
4.02M
237.64%
18.55M
393.59%
96.04M
49.94%
95.08M
226.50%
85.12M
81.66%
-13.48M
-68.94%
19.46M
-2.92%
63.41M
-204.46%
-67.29M
-25327.34%
-73.48M
-0.81%
62.64M
-40.17%
65.32M
148.92%
64.42M
-100.58%
-289.00K
--
63.15M
--
109.18M
--
25.88M
--
49.84M
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
KeyAI
Please log in to use KeyAI
Log in
Sign Up