Vipshop Holdings Ltd (VIPS)

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CIK 0001529192 · NYSE · Retail-Catalog & Mail-Order Houses

  • Sector Retail Trade
  • Fiscal year ends Dec 31

In fiscal 2025, Vipshop Holdings Ltd reported revenue of $15.15B. The company was profitable, with a net margin of 7.0% and a gross margin of 23.1%. It held $11.27B in total assets against $4.92B in total liabilities.

Key ratios (FY2025)

23.1%
Gross margin
7.7%
Operating margin
7.0%
Net margin
18.1%
Return on equity
Metric (FY)2025202420232022202120202019201820172016
Revenue$15.15B
Cost of Revenue$11.64B$11.36B$12.27B$11.82B$14.74B$12.35B$10.39B$9.81B
Gross Profit$3.50B$3.49B$3.62B$3.13B$3.63B$3.26B$2.97B$2.48B$2.50B$1.96B
Operating Income$1.16B$1.26B$1.28B$898.55M$876.00M$898.10M$685.65M$352.14M$413.51M$389.99M
Net Income$1.06B$1.07B$1.16B$915.13M$736.41M$907.18M$572.62M$310.30M$290.86M$287.02M
EPS (Diluted)$10.12$9.83$10.16$7.13$5.29$6.56$4.25$2.27$2.45$2.43
Total Assets$11.27B$10.27B$10.19B$9.49B$9.77B$9.03B$6.98B$6.34B$5.84B$3.61B
Total Liabilities$4.92B$4.57B$4.76B$4.55B$4.47B$4.53B$3.78B$3.83B$3.65B$2.78B
Shareholders' Equity$5.86B$5.48B$5.21B$4.75B$5.12B$4.37B$3.14B$2.51B$2.20B$825.61M
Cash & Equivalents$3.29B$3.61B$3.58B$3.18B$2.56B$1.84B$944.27M$1.39B$1.53B$591.90M
Operating Cash Flow$1.07B$1.25B$2.03B$1.53B$1.06B$1.81B$1.77B$835.68M$150.82M
Capital Expenditures$283.96M$373.08M$305.24M$352.43M$428.77M$342.88M$474.47M$366.47M$337.79M$283.40M
Shares Outstanding102.38M107.86M112.55M128.16M138.75M138.04M136.08M140.08M125.72M125.82M
Dividends Per Share$2.15