Pinduoduo

48,80 USD -0,82 (-1,65%)
Bid 48,90 USD
Ask 48,95 USD

Firmenbeschreibung

Pinduoduo Inc. betreibt eine große chinesische E-Commerce-Plattform mit integrierten sozialen Netzwerken. Als Pionier von dynamischen online-Einkaufserlebnissen baute das Unternehmen eine Plattform auf, die Onlinehandel mit sozialen Netzwerken kombiniert. Pinduoduo gehört zu den größten chinesischen E-Commerce-Plattformen und betreibt einen interaktiven virtuellen Marktplatz, auf dem sich die Nutzer austauschen können, während Sie sich nach Produkten umsehen. Über Pinduoduo können Käufer Produktinformationen mit sozialen Netzwerken teilen und Freunde, Familie und soziale Kontakte einladen, um gemeinsam online einzukaufen. Die eigene IT-Ifrastruktur verbindet Käufer und Verkäufer nahtlos. Außerdem baut das Unternehmen seine Kompetenzen in big data analytics, künstlicher Intelligenz und machine learning für die Optimierung von Dienstleistungen und Anwendungen aus.

KeyData

endOfFinancialYear: 31.12.2022 00:00
stockholderStructure: Freefloat (35.3%),Entities affiliated with Zheng Huang (28.1%),Entities affiliated with Tencent (15.6%),Entities affiliated with Pinduoduo Partnership (7.4%),Banyan Partners Funds (7.2%),Sequoia Funds (6.4%)
sharesOutstanding: 5057543000.0000
ceo: Lei Chen
board: Jianchong Zhu, Junyun Xiao, Zhenwei Zheng
supervisoryBoard: Lei Chen, Anthony Kam Ping Leung, George Yong-Boon Yeo, Haifeng Lin, Nanpeng Shen, Qi Lu
countryID: 50
faceValueCurrencyID: 4
faceValueCurrency: USD
sectorName: Internet
industryName: Internet
subsectorName: Internetsoftware und Dienstleistungen
country: Kaimaninseln
countryName: Kaimaninseln

Kontakt

email: investor@pinduoduo.com
irWebSite: https://investor.pinduoduo.com/

Adresse

street: 28/F, No. 533 Loushanguan Road
city: Changning District, Shanghai, 200051, China
phone: +86-21-526-613-00
webSite: https://en.pinduoduo.com/

Finanzen (kurz)

year: 2019 cash: 828.5000
balanceSheetTotal: 10925.0000 liabilities: 7384.7000
shareCapital: 0.0210 totalShareholdersEquity: 3540.3000
sales: 4329.6000 investment: 221.5000
incomeBeforeTaxes: -1005.0000 netIncome: -1000.8000
cashFlow: 403.1000 employees: 5828
currencyID: 4 units: 1000000
currency: USD
year: 2020 cash: 3436.2000
balanceSheetTotal: 24353.8000 liabilities: 15131.5000
shareCapital: 0.0240 totalShareholdersEquity: 9222.4000
sales: 9117.5000 investment: 376.3000
incomeBeforeTaxes: -1113.2000 netIncome: -1100.3000
cashFlow: -21.4000 employees: 7986
currencyID: 4 units: 1000000
currency: USD
year: 2021 cash: 1008.5000
balanceSheetTotal: 28435.8000 liabilities: 16648.6000
shareCapital: 0.0250 totalShareholdersEquity: 11787.1000
sales: 14742.8000 investment: 480.4000
incomeBeforeTaxes: 1483.8000 netIncome: 1219.1000
cashFlow: -1380.9000 employees: 9762
currencyID: 4 units: 1000000
currency: USD

Finanzen (kurz)

year: 2019
cash: 828.5000
balanceSheetTotal: 10925.0000
liabilities: 7384.7000
shareCapital: 0.0210
totalShareholdersEquity: 3540.3000
sales: 4329.6000
investment: 221.5000
incomeBeforeTaxes: -1005.0000
netIncome: -1000.8000
cashFlow: 403.1000
employees: 5828
currencyID: 4
units: 1000000
currency: USD
year: 2020
cash: 3436.2000
balanceSheetTotal: 24353.8000
liabilities: 15131.5000
shareCapital: 0.0240
totalShareholdersEquity: 9222.4000
sales: 9117.5000
investment: 376.3000
incomeBeforeTaxes: -1113.2000
netIncome: -1100.3000
cashFlow: -21.4000
employees: 7986
currencyID: 4
units: 1000000
currency: USD
year: 2021
cash: 1008.5000
balanceSheetTotal: 28435.8000
liabilities: 16648.6000
shareCapital: 0.0250
totalShareholdersEquity: 11787.1000
sales: 14742.8000
investment: 480.4000
incomeBeforeTaxes: 1483.8000
netIncome: 1219.1000
cashFlow: -1380.9000
employees: 9762
currencyID: 4
units: 1000000
currency: USD

Finanzen (ausführlich)

year: 2020 currencyID: 4
units: 1000000 balanceSheetTotal: 24353.8000
cash: 3436.2000 currentAssets: 22915.5000
liabilities: 12855.5000 totalLiabilitiesEquity: 24353.8000
totalShareholdersEquity: 9222.4000 employees: 7986
property: 31.1000 intangibleAssets: 195.7000
accountsPayable: 8250.4000 liabilitiesBanks: 4172.4000
liabilitiesTotal: 15131.5000 longTermDebt: 2211.9000
shortTermDebt: 1960.5000 commonStock: 0.0240
sales: 9117.5000 netIncome: -1100.3000
operatingResult: -1437.6000 incomeInterest: 260.2000
investments: 1056.2000 incomeTaxes: 0.0000
costGoodsSold: 2954.6000 grossProfit: 6162.9000
revenuePerEmployee: 1141685.4495 cashFlow: 4321.3000
cashFlowInvesting: -5878.6000 cashFlowFinancing: 7938.5000
cashFlowTotal: -21.4000 accountingStandard: US GAAP
equityRatio: 37.8684 debtEquityRatio: 164.0723
liquidityI: 26.7294 liquidityII: 26.7294
netMargin: -12.0680 grossMargin: 67.5942
cashFlowMargin: 47.3957 ebitMargin: -15.7675
ebitdaMargin: 0.0000 preTaxROE: -12.0706
preTaxROA: -4.5709 roe: -11.9307
roa: -4.5180 netIncomeGrowth: 9.9420
revenuesGrowth: 110.5853 taxExpenseRate: 0.0000
equityTurnover: 0.9886 epsBasic: -0.2300
epsDiluted: -0.2300 epsBasicGrowth: 4.5455
shareCapital: 0.0240 incomeBeforeTaxes: -1113.2000
fiscalYearBegin: 01.01.2020 00:00 fiscalYearEnd: 31.12.2020 00:00
associatedPartyReceivables: 649.8000 otherReceivablesAssets: 790.7000
otherNonCurrentAssets: 1115.0000 capitalReserves: 13287.2000
otherComprehensiveIncome: -160.6000 otherNonCurrentLiabilities: 0.4000
relatedPartiesPayables: 518.9000 otherCurrentLiabilities: 1715.5000
debtTotal: 4172.4000 administrativeExpenses: 231.0000
interest: 376.3000 interestExpenses: 116.1000
operatingIncomeBeforeTaxes: -1113.2000 incomeAfterTaxes: -1113.2000
incomeContinuingOperations: -1100.3000 dividendsPaid: 0.0000
cashAtYearEnd: 11470.3000 intensityOfInvestments: 0.0000
intensityOfCapitalExpenditure: 0.0010 intensityOfPPEInvestments: 0.1277
intensityOfCapitalInvestments: 0.0000 intensityOfCurrentAssets: 94.0941
intensityOfLiquidAssets: 14.1095 debtRatio: 62.1316
provisionsRatio: 0.0000 fixedToCurrentAssetsRatio: 0.0000
dynamicDebtEquityRatioI: 350.1585 liquidityIIICurrentRatio: 178.2544
bookValue: 38426666.6667 personnelExpensesRate: 0.0000
costsOfMaterialsRate: 0.0000 researchAndDevCostsRate: 11.5843
interestExpensesRate: 1.2734 totalCapitalTurnover: 0.3744
netIncomePerEmployee: -137778.6126 totalAssetsPerEmployee: 3049561.7330
preTaxMargin: -12.2095 employeesGrowth: 37.0281
grossProfitGrowth: 80.2492 ebitGrowth: 17.2211
calcEBITDA: -971.3000 liquidAssetsGrowth: 314.7495
cashFlowGrowthRate: 102.9828 roi: -451.7981
netDebtI: 736.2000 netDebtII: 11695.2000
dividendYield: 0.0000 marketCap: 847191500810.0000
earningsYield: -0.1295 dividendsPerShare: 0.0000
marketCapPerEmployee: 106084585.6261 priceEPSDiluted: -772.4783
dilutedEPSGrowth: 4.5455 payoutRatio: 0.0000
sharesOutstanding: 4768343000.0000 sharesOutstandingDiluted: 4768343000.0000
dividendYieldRegular: 0.0000 dividendPSRegular: 0.0000
currency: USD
year: 2021 currencyID: 4
units: 1000000 balanceSheetTotal: 28435.8000
cash: 1008.5000 currentAssets: 25250.2000
liabilities: 14708.2000 totalLiabilitiesEquity: 28435.8000
totalShareholdersEquity: 11787.1000 employees: 9762
property: 345.7000 intangibleAssets: 110.0000
accountsPayable: 9809.1000 liabilitiesBanks: 1849.9000
liabilitiesTotal: 16648.6000 longTermDebt: 1849.9000
shortTermDebt: 0.0000 commonStock: 0.0250
sales: 14742.8000 netIncome: 1219.1000
operatingResult: 1082.3000 incomeInterest: 287.2000
investments: 1411.1000 incomeTaxes: 303.4000
costGoodsSold: 4977.3000 grossProfit: 9765.5000
revenuePerEmployee: 1510223.3149 cashFlow: 4516.7000
cashFlowInvesting: -5580.5000 cashFlowFinancing: -294.3000
cashFlowTotal: -1380.9000 accountingStandard: US GAAP
equityRatio: 41.4516 debtEquityRatio: 141.2451
liquidityI: 6.8567 liquidityII: 6.8567
netMargin: 8.2691 grossMargin: 66.2391
cashFlowMargin: 30.6366 ebitMargin: 7.3412
ebitdaMargin: 0.0000 preTaxROE: 12.5883
preTaxROA: 5.2181 roe: 10.3427
roa: 4.2872 revenuesGrowth: 61.6978
taxExpenseRate: 20.4475 equityTurnover: 1.2508
epsBasic: 0.2400 epsDiluted: 0.2100
shareCapital: 0.0250 incomeBeforeTaxes: 1483.8000
fiscalYearBegin: 01.01.2021 00:00 fiscalYearEnd: 31.12.2021 00:00
associatedPartyReceivables: 666.9000 otherReceivablesAssets: 537.4000
otherNonCurrentAssets: 2582.5000 capitalReserves: 14961.1000
otherComprehensiveIncome: -395.4000 otherNonCurrentLiabilities: 5.1000
relatedPartiesPayables: 0.0000 otherCurrentLiabilities: 4832.0000
debtTotal: 1849.9000 administrativeExpenses: 241.8000
interest: 480.4000 interestExpenses: 193.2000
operatingIncomeBeforeTaxes: 1483.8000 incomeAfterTaxes: 1180.4000
incomeContinuingOperations: 1219.1000 cashAtYearEnd: 10363.7000
intensityOfInvestments: 0.0000 intensityOfCapitalExpenditure: 0.0111
intensityOfPPEInvestments: 1.2157 intensityOfCapitalInvestments: 0.0000
intensityOfCurrentAssets: 88.7972 intensityOfLiquidAssets: 3.5466
debtRatio: 58.5484 provisionsRatio: 0.0000
fixedToCurrentAssetsRatio: 0.0000 dynamicDebtEquityRatioI: 368.6032
liquidityIIICurrentRatio: 171.6743 bookValue: 47148400.0000
personnelExpensesRate: 0.0000 costsOfMaterialsRate: 0.0000
researchAndDevCostsRate: 9.5715 interestExpensesRate: 1.3105
totalCapitalTurnover: 0.5185 netIncomePerEmployee: 124882.1963
totalAssetsPerEmployee: 2912907.1911 preTaxMargin: 10.0646
employeesGrowth: 22.2389 grossProfitGrowth: 58.4562
calcEBITDA: 1754.4000 liquidAssetsGrowth: -70.6507
cashFlowGrowthRate: 4.5218 roi: 428.7201
netDebtI: 841.4000 netDebtII: 15640.2000
priceEarningsRatioCompany: 242.9167 marketCap: 269770307400.0000
earningsYield: 0.4117 marketCapPerEmployee: 27634737.4923
priceEPSDiluted: 277.6190 sharesOutstanding: 4627278000.0000
sharesOutstandingDiluted: 4627278000.0000 currency: USD
year: 2022 currencyID: 4
priceEarningsRatioCompany: 203.3333 marketCap: 56452791600.0000
earningsYield: 0.4918 marketCapPerEmployee: 5782912.4770
sharesOutstanding: 5031859750.0000 currency: USD

Finanzen (ausführlich)

year: 2020
currencyID: 4
units: 1000000
balanceSheetTotal: 24353.8000
cash: 3436.2000
currentAssets: 22915.5000
liabilities: 12855.5000
totalLiabilitiesEquity: 24353.8000
totalShareholdersEquity: 9222.4000
employees: 7986
property: 31.1000
intangibleAssets: 195.7000
accountsPayable: 8250.4000
liabilitiesBanks: 4172.4000
liabilitiesTotal: 15131.5000
longTermDebt: 2211.9000
shortTermDebt: 1960.5000
commonStock: 0.0240
sales: 9117.5000
netIncome: -1100.3000
operatingResult: -1437.6000
incomeInterest: 260.2000
investments: 1056.2000
incomeTaxes: 0.0000
costGoodsSold: 2954.6000
grossProfit: 6162.9000
revenuePerEmployee: 1141685.4495
cashFlow: 4321.3000
cashFlowInvesting: -5878.6000
cashFlowFinancing: 7938.5000
cashFlowTotal: -21.4000
accountingStandard: US GAAP
equityRatio: 37.8684
debtEquityRatio: 164.0723
liquidityI: 26.7294
liquidityII: 26.7294
netMargin: -12.0680
grossMargin: 67.5942
cashFlowMargin: 47.3957
ebitMargin: -15.7675
ebitdaMargin: 0.0000
preTaxROE: -12.0706
preTaxROA: -4.5709
roe: -11.9307
roa: -4.5180
netIncomeGrowth: 9.9420
revenuesGrowth: 110.5853
taxExpenseRate: 0.0000
equityTurnover: 0.9886
epsBasic: -0.2300
epsDiluted: -0.2300
epsBasicGrowth: 4.5455
shareCapital: 0.0240
incomeBeforeTaxes: -1113.2000
fiscalYearBegin: 01.01.2020 00:00
fiscalYearEnd: 31.12.2020 00:00
associatedPartyReceivables: 649.8000
otherReceivablesAssets: 790.7000
otherNonCurrentAssets: 1115.0000
capitalReserves: 13287.2000
otherComprehensiveIncome: -160.6000
otherNonCurrentLiabilities: 0.4000
relatedPartiesPayables: 518.9000
otherCurrentLiabilities: 1715.5000
debtTotal: 4172.4000
administrativeExpenses: 231.0000
interest: 376.3000
interestExpenses: 116.1000
operatingIncomeBeforeTaxes: -1113.2000
incomeAfterTaxes: -1113.2000
incomeContinuingOperations: -1100.3000
dividendsPaid: 0.0000
cashAtYearEnd: 11470.3000
intensityOfInvestments: 0.0000
intensityOfCapitalExpenditure: 0.0010
intensityOfPPEInvestments: 0.1277
intensityOfCapitalInvestments: 0.0000
intensityOfCurrentAssets: 94.0941
intensityOfLiquidAssets: 14.1095
debtRatio: 62.1316
provisionsRatio: 0.0000
fixedToCurrentAssetsRatio: 0.0000
dynamicDebtEquityRatioI: 350.1585
liquidityIIICurrentRatio: 178.2544
bookValue: 38426666.6667
personnelExpensesRate: 0.0000
costsOfMaterialsRate: 0.0000
researchAndDevCostsRate: 11.5843
interestExpensesRate: 1.2734
totalCapitalTurnover: 0.3744
netIncomePerEmployee: -137778.6126
totalAssetsPerEmployee: 3049561.7330
preTaxMargin: -12.2095
employeesGrowth: 37.0281
grossProfitGrowth: 80.2492
ebitGrowth: 17.2211
calcEBITDA: -971.3000
liquidAssetsGrowth: 314.7495
cashFlowGrowthRate: 102.9828
roi: -451.7981
netDebtI: 736.2000
netDebtII: 11695.2000
dividendYield: 0.0000
marketCap: 847191500810.0000
earningsYield: -0.1295
dividendsPerShare: 0.0000
marketCapPerEmployee: 106084585.6261
priceEPSDiluted: -772.4783
dilutedEPSGrowth: 4.5455
payoutRatio: 0.0000
sharesOutstanding: 4768343000.0000
sharesOutstandingDiluted: 4768343000.0000
dividendYieldRegular: 0.0000
dividendPSRegular: 0.0000
currency: USD
year: 2021
currencyID: 4
units: 1000000
balanceSheetTotal: 28435.8000
cash: 1008.5000
currentAssets: 25250.2000
liabilities: 14708.2000
totalLiabilitiesEquity: 28435.8000
totalShareholdersEquity: 11787.1000
employees: 9762
property: 345.7000
intangibleAssets: 110.0000
accountsPayable: 9809.1000
liabilitiesBanks: 1849.9000
liabilitiesTotal: 16648.6000
longTermDebt: 1849.9000
shortTermDebt: 0.0000
commonStock: 0.0250
sales: 14742.8000
netIncome: 1219.1000
operatingResult: 1082.3000
incomeInterest: 287.2000
investments: 1411.1000
incomeTaxes: 303.4000
costGoodsSold: 4977.3000
grossProfit: 9765.5000
revenuePerEmployee: 1510223.3149
cashFlow: 4516.7000
cashFlowInvesting: -5580.5000
cashFlowFinancing: -294.3000
cashFlowTotal: -1380.9000
accountingStandard: US GAAP
equityRatio: 41.4516
debtEquityRatio: 141.2451
liquidityI: 6.8567
liquidityII: 6.8567
netMargin: 8.2691
grossMargin: 66.2391
cashFlowMargin: 30.6366
ebitMargin: 7.3412
ebitdaMargin: 0.0000
preTaxROE: 12.5883
preTaxROA: 5.2181
roe: 10.3427
roa: 4.2872
revenuesGrowth: 61.6978
taxExpenseRate: 20.4475
equityTurnover: 1.2508
epsBasic: 0.2400
epsDiluted: 0.2100
shareCapital: 0.0250
incomeBeforeTaxes: 1483.8000
fiscalYearBegin: 01.01.2021 00:00
fiscalYearEnd: 31.12.2021 00:00
associatedPartyReceivables: 666.9000
otherReceivablesAssets: 537.4000
otherNonCurrentAssets: 2582.5000
capitalReserves: 14961.1000
otherComprehensiveIncome: -395.4000
otherNonCurrentLiabilities: 5.1000
relatedPartiesPayables: 0.0000
otherCurrentLiabilities: 4832.0000
debtTotal: 1849.9000
administrativeExpenses: 241.8000
interest: 480.4000
interestExpenses: 193.2000
operatingIncomeBeforeTaxes: 1483.8000
incomeAfterTaxes: 1180.4000
incomeContinuingOperations: 1219.1000
cashAtYearEnd: 10363.7000
intensityOfInvestments: 0.0000
intensityOfCapitalExpenditure: 0.0111
intensityOfPPEInvestments: 1.2157
intensityOfCapitalInvestments: 0.0000
intensityOfCurrentAssets: 88.7972
intensityOfLiquidAssets: 3.5466
debtRatio: 58.5484
provisionsRatio: 0.0000
fixedToCurrentAssetsRatio: 0.0000
dynamicDebtEquityRatioI: 368.6032
liquidityIIICurrentRatio: 171.6743
bookValue: 47148400.0000
personnelExpensesRate: 0.0000
costsOfMaterialsRate: 0.0000
researchAndDevCostsRate: 9.5715
interestExpensesRate: 1.3105
totalCapitalTurnover: 0.5185
netIncomePerEmployee: 124882.1963
totalAssetsPerEmployee: 2912907.1911
preTaxMargin: 10.0646
employeesGrowth: 22.2389
grossProfitGrowth: 58.4562
calcEBITDA: 1754.4000
liquidAssetsGrowth: -70.6507
cashFlowGrowthRate: 4.5218
roi: 428.7201
netDebtI: 841.4000
netDebtII: 15640.2000
priceEarningsRatioCompany: 242.9167
marketCap: 269770307400.0000
earningsYield: 0.4117
marketCapPerEmployee: 27634737.4923
priceEPSDiluted: 277.6190
sharesOutstanding: 4627278000.0000
sharesOutstandingDiluted: 4627278000.0000
currency: USD
year: 2022
currencyID: 4
priceEarningsRatioCompany: 203.3333
marketCap: 56452791600.0000
earningsYield: 0.4918
marketCapPerEmployee: 5782912.4770
sharesOutstanding: 5031859750.0000
currency: USD