Alibaba Group Holding LtdBABA

Market cap
P/E ratio
Mar 31,
2015
Mar 31,
2016
Mar 31,
2017
Mar 31,
2018
Mar 31,
2019
Mar 31,
2020
Mar 31,
2021
Mar 31,
2022
Mar 31,
2023
Mar 31,
2024
Mar 31,
2025
Cash and Cash Equivalent17,45316,56620,88231,77528,30846,67649,03429,95628,11534,36520,049
Short-term investments2,2827294379704864,02223,25740,46447,54136,41931,533
Restricted cash and escrow receivables371-3865451,2692,1865,3745,9085,3045,3046,033
Equity securities and other investments----1,4795981,4971,3687128,3037,411
Prepayments, receivables and other assets2,0942,6404,2226,8918,73011,89519,03423,03019,96019,87927,860
Total current assets22,92520,79226,51640,94940,27265,37798,196100,726101,632104,27092,886
Equity securities and other investments----23,40722,78436,20735,27435,78230,60049,171
Prepayments, receivables and other assets6599321,1692,6944,1758,18915,02417,84916,15216,08011,497
Equity Method Investments----12,58426,78230,55534,64830,19728,13328,962
Property and equipment, net1,4742,1142,93610,60013,71314,60122,49927,10225,63225,64528,022
Intangible assets, net1,0618332,0504,37810,1738,60710,8119,3436,8313,7332,882
Goodwill6,76412,66218,22125,85039,47739,08944,68642,52539,03735,96535,209
Total assets41,20656,52173,630114,326143,801185,429257,978267,467255,263244,426248,629
Current bank borrowings-----7285501,3951,0871,7663,109
Senior Notes, Current--1,300-2,251-1,500-6992,251-
Income tax payable4414338902,1812,6352,8513,8583,4311,8261,2561,604
Accounts Payable and Accrued Liabilities, Current3,1994,2406,85512,94017,54022,81339,82642,82240,18241,25645,825
Merchant deposits----1,6041,9262,2922,3261,9361,76437
Deferred revenue and customer advances1,2771,5972,1873,5554,5895,4159,53810,56610,38110,0859,417
Total current liabilities6,4008,07113,62321,65130,94434,15957,59660,54056,11158,37859,992
Deferred revenue----219286482551518564625
Deferred tax liabilities------9,0979,7348,9917,3426,677
Non-current bank borrowings2602904,4985,4455,2795,6015,8516,0337,5757,7126,878
Senior Notes, Noncurrent7,9038,0026,66513,61011,38511,38514,86314,86914,13411,92316,867
Non-current convertible unsecured senior notes----------4,938
Other liabilities3473351883279223,5674,6945,0284,4244,4142,432
Total liabilities15,70717,76726,54244,27052,10461,19892,58396,75591,75390,33398,409
Mezzanine equity106544344781,0161,2861,3241,5231,4351,4861,613
Common Stock, Value, Issued-----------
Additional paid-in capital18,89720,50423,91129,77534,53748,54160,18364,75560,70255,12252,555
Treasury shares, at cost--410356---3504,1883,8345,006
Statutory reserves4385035936987558611,1211,5521,8902,0402,196
Cumulative translation adjustments-177-163-526-573-386-55-2,889-5,234-1,525503453
Unrealized (losses) gains on interest rate swaps and others5497601,2641,38338-36-2048-515
Retained earnings4,00712,21315,77227,47738,42657,37984,69888,89987,22582,80988,949
Total shareholders' equity23,46233,65240,50458,32073,348106,683143,086149,619144,105136,635139,162
Noncontrolling interests1,9315,0486,15011,25817,33316,26220,98519,57017,97015,9729,445
Total equity25,39338,70046,65469,57890,681122,945164,071169,189162,075152,607148,607
Total liabilities, mezzanine equity and equity41,20656,52173,630114,326143,801185,429257,978267,467255,263244,426248,629