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BKNG Booking Holdings

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  • 5202.800
  • +101.370+1.99%
Close May 2 16:00 ET
  • 5207.850
  • +5.050+0.10%
Post 20:01 ET
169.30BMarket Cap32.44P/E (TTM)

Booking Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
21.41%3.28B
13.33%8.32B
-46.43%721M
72.96%2.37B
45.37%2.53B
-6.40%2.7B
12.05%7.34B
-38.06%1.35B
68,500.00%1.37B
-35.28%1.74B
Net income from continuing operations
-57.09%333M
37.14%5.88B
381.08%1.07B
0.24%2.52B
17.91%1.52B
191.73%776M
40.26%4.29B
-82.02%222M
50.72%2.51B
50.53%1.29B
Operating gains losses
361.68%437M
-29.59%207M
-13.10%126M
698.08%311M
-250.00%-63M
-205.03%-167M
-56.57%294M
136.71%145M
-115.57%-52M
119.18%42M
Depreciation and amortization
3.95%184M
12.93%751M
16.00%203M
12.43%190M
13.13%181M
9.94%177M
9.56%665M
7.36%175M
16.55%169M
7.38%160M
Deferred tax
-311.43%-144M
120.50%98M
350.72%173M
-265.00%-73M
167.35%33M
89.71%-35M
-85.99%-478M
-527.27%-69M
75.31%-20M
-196.08%-49M
Other non cash items
1,087.50%190M
40.00%7M
----
----
---8M
--16M
-86.84%5M
200.00%2M
----
----
Change In working capital
20.36%2.05B
-78.53%367M
-289.24%-1.14B
43.68%-820M
636.47%626M
-31.18%1.7B
-4.79%1.71B
-41.25%604M
34.68%-1.46B
-94.91%85M
-Change in receivables
46.49%-99M
61.95%-506M
-17.61%145M
121.46%179M
22.29%-645M
-217.09%-185M
-8.31%-1.33B
35.38%176M
-244.63%-834M
-5.06%-830M
-Change in prepaid assets
185.71%84M
-107.74%-12M
-140.68%-24M
-75.81%45M
131.25%65M
-183.05%-98M
171.43%155M
-71.50%59M
176.54%186M
-66.40%-208M
-Change in other working capital
3.98%2.07B
-69.31%885M
-442.55%-1.26B
-29.21%-1.04B
7.39%1.21B
-9.68%1.99B
-10.99%2.88B
-46.60%369M
53.67%-808M
-56.56%1.12B
Cash from discontinued investing activities
Operating cash flow
21.41%3.28B
13.33%8.32B
-46.43%721M
72.96%2.37B
45.37%2.53B
-6.40%2.7B
12.05%7.34B
-38.06%1.35B
68,500.00%1.37B
-35.28%1.74B
Investing cash flow
Cash flow from continuing investing activities
-271.01%-118M
-91.32%129M
-92.31%-75M
90.91%-2M
451.28%137M
-95.65%69M
386.87%1.49B
-107.65%-39M
97.20%-22M
68.03%-39M
Net PPE purchase and sale
6.92%-121M
-24.35%-429M
19.15%-76M
-8.45%-77M
-58.70%-146M
-47.73%-130M
-248.07%-345M
-117.87%-94M
27.55%-71M
-6.98%-92M
Net investment purchase and sale
--0
-69.53%557M
-176.74%-33M
56.25%75M
450.00%297M
-87.05%218M
348.37%1.83B
386.67%43M
106.77%48M
550.00%54M
Net other investing changes
115.79%3M
-66.67%1M
183.33%34M
--0
-1,300.00%-14M
-111.11%-19M
120.00%3M
1,300.00%12M
-95.45%1M
95.83%-1M
Cash from discontinued investing activities
Investing cash flow
-271.01%-118M
-91.32%129M
-92.31%-75M
90.91%-2M
451.28%137M
-95.65%69M
386.87%1.49B
-107.65%-39M
97.20%-22M
68.03%-39M
Financing cash flow
Cash flow from continuing financing activities
-605.99%-3.97B
52.81%-4.2B
105.74%143M
-20.25%-3.17B
-60.49%-1.97B
130.60%784M
-81.93%-8.91B
-619.83%-2.49B
-31.67%-2.63B
1.05%-1.23B
Net issuance payments of debt
-151.71%-1.53B
152.98%3.52B
--1.68B
---1.11B
--0
691.80%2.96B
-19.99%1.39B
--0
--0
--1.89B
Net common stock issuance
-16.92%-2.17B
37.27%-6.51B
50.68%-1.23B
33.18%-1.76B
46.37%-1.66B
13.67%-1.86B
-56.73%-10.38B
-6.19%-2.49B
-32.66%-2.64B
-150.12%-3.1B
Cash dividends paid
-6.69%-319M
---1.17B
---289M
---291M
---295M
---299M
--0
--0
--0
--0
Proceeds from stock option exercised by employees
----
-89.55%14M
-75.00%3M
-84.62%2M
-25.00%3M
-94.29%6M
1,814.29%134M
--12M
550.00%13M
100.00%4M
Net other financing activities
360.00%52M
0.00%-59M
-64.29%-23M
140.00%2M
21.74%-18M
-17.65%-20M
-145.83%-59M
33.33%-14M
54.55%-5M
-2,200.00%-23M
Cash from discontinued financing activities
Financing cash flow
-605.99%-3.97B
52.81%-4.2B
105.74%143M
-20.25%-3.17B
-60.49%-1.97B
130.60%784M
-81.93%-8.91B
-619.83%-2.49B
-31.67%-2.63B
1.05%-1.23B
Net cash flow
Beginning cash position
33.44%16.19B
-0.95%12.14B
18.63%15.81B
11.61%16.33B
10.53%15.66B
-0.95%12.14B
9.85%12.25B
47.31%13.33B
23.28%14.63B
33.98%14.17B
Current changes in cash
-122.55%-802M
5,477.22%4.25B
166.69%789M
38.07%-794M
47.15%696M
85.94%3.56B
-106.94%-79M
-137.41%-1.18B
53.92%-1.28B
-64.27%473M
Effect of exchange rate changes
892.86%222M
-413.51%-190M
-4,950.00%-404M
1,340.91%273M
-106.67%-31M
-450.00%-28M
7.50%-37M
-118.60%-8M
43.59%-22M
57.14%-15M
End cash Position
-0.33%15.61B
33.44%16.19B
33.44%16.19B
18.63%15.81B
11.61%16.33B
10.53%15.66B
-0.95%12.14B
-0.95%12.14B
47.31%13.33B
23.28%14.63B
Free cash flow
22.84%3.16B
12.79%7.89B
-48.48%645M
76.48%2.3B
44.62%2.38B
-8.10%2.57B
13.14%7B
-40.32%1.25B
1,455.21%1.3B
-36.68%1.65B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 21.41%3.28B13.33%8.32B-46.43%721M72.96%2.37B45.37%2.53B-6.40%2.7B12.05%7.34B-38.06%1.35B68,500.00%1.37B-35.28%1.74B
Net income from continuing operations -57.09%333M37.14%5.88B381.08%1.07B0.24%2.52B17.91%1.52B191.73%776M40.26%4.29B-82.02%222M50.72%2.51B50.53%1.29B
Operating gains losses 361.68%437M-29.59%207M-13.10%126M698.08%311M-250.00%-63M-205.03%-167M-56.57%294M136.71%145M-115.57%-52M119.18%42M
Depreciation and amortization 3.95%184M12.93%751M16.00%203M12.43%190M13.13%181M9.94%177M9.56%665M7.36%175M16.55%169M7.38%160M
Deferred tax -311.43%-144M120.50%98M350.72%173M-265.00%-73M167.35%33M89.71%-35M-85.99%-478M-527.27%-69M75.31%-20M-196.08%-49M
Other non cash items 1,087.50%190M40.00%7M-----------8M--16M-86.84%5M200.00%2M--------
Change In working capital 20.36%2.05B-78.53%367M-289.24%-1.14B43.68%-820M636.47%626M-31.18%1.7B-4.79%1.71B-41.25%604M34.68%-1.46B-94.91%85M
-Change in receivables 46.49%-99M61.95%-506M-17.61%145M121.46%179M22.29%-645M-217.09%-185M-8.31%-1.33B35.38%176M-244.63%-834M-5.06%-830M
-Change in prepaid assets 185.71%84M-107.74%-12M-140.68%-24M-75.81%45M131.25%65M-183.05%-98M171.43%155M-71.50%59M176.54%186M-66.40%-208M
-Change in other working capital 3.98%2.07B-69.31%885M-442.55%-1.26B-29.21%-1.04B7.39%1.21B-9.68%1.99B-10.99%2.88B-46.60%369M53.67%-808M-56.56%1.12B
Cash from discontinued investing activities
Operating cash flow 21.41%3.28B13.33%8.32B-46.43%721M72.96%2.37B45.37%2.53B-6.40%2.7B12.05%7.34B-38.06%1.35B68,500.00%1.37B-35.28%1.74B
Investing cash flow
Cash flow from continuing investing activities -271.01%-118M-91.32%129M-92.31%-75M90.91%-2M451.28%137M-95.65%69M386.87%1.49B-107.65%-39M97.20%-22M68.03%-39M
Net PPE purchase and sale 6.92%-121M-24.35%-429M19.15%-76M-8.45%-77M-58.70%-146M-47.73%-130M-248.07%-345M-117.87%-94M27.55%-71M-6.98%-92M
Net investment purchase and sale --0-69.53%557M-176.74%-33M56.25%75M450.00%297M-87.05%218M348.37%1.83B386.67%43M106.77%48M550.00%54M
Net other investing changes 115.79%3M-66.67%1M183.33%34M--0-1,300.00%-14M-111.11%-19M120.00%3M1,300.00%12M-95.45%1M95.83%-1M
Cash from discontinued investing activities
Investing cash flow -271.01%-118M-91.32%129M-92.31%-75M90.91%-2M451.28%137M-95.65%69M386.87%1.49B-107.65%-39M97.20%-22M68.03%-39M
Financing cash flow
Cash flow from continuing financing activities -605.99%-3.97B52.81%-4.2B105.74%143M-20.25%-3.17B-60.49%-1.97B130.60%784M-81.93%-8.91B-619.83%-2.49B-31.67%-2.63B1.05%-1.23B
Net issuance payments of debt -151.71%-1.53B152.98%3.52B--1.68B---1.11B--0691.80%2.96B-19.99%1.39B--0--0--1.89B
Net common stock issuance -16.92%-2.17B37.27%-6.51B50.68%-1.23B33.18%-1.76B46.37%-1.66B13.67%-1.86B-56.73%-10.38B-6.19%-2.49B-32.66%-2.64B-150.12%-3.1B
Cash dividends paid -6.69%-319M---1.17B---289M---291M---295M---299M--0--0--0--0
Proceeds from stock option exercised by employees -----89.55%14M-75.00%3M-84.62%2M-25.00%3M-94.29%6M1,814.29%134M--12M550.00%13M100.00%4M
Net other financing activities 360.00%52M0.00%-59M-64.29%-23M140.00%2M21.74%-18M-17.65%-20M-145.83%-59M33.33%-14M54.55%-5M-2,200.00%-23M
Cash from discontinued financing activities
Financing cash flow -605.99%-3.97B52.81%-4.2B105.74%143M-20.25%-3.17B-60.49%-1.97B130.60%784M-81.93%-8.91B-619.83%-2.49B-31.67%-2.63B1.05%-1.23B
Net cash flow
Beginning cash position 33.44%16.19B-0.95%12.14B18.63%15.81B11.61%16.33B10.53%15.66B-0.95%12.14B9.85%12.25B47.31%13.33B23.28%14.63B33.98%14.17B
Current changes in cash -122.55%-802M5,477.22%4.25B166.69%789M38.07%-794M47.15%696M85.94%3.56B-106.94%-79M-137.41%-1.18B53.92%-1.28B-64.27%473M
Effect of exchange rate changes 892.86%222M-413.51%-190M-4,950.00%-404M1,340.91%273M-106.67%-31M-450.00%-28M7.50%-37M-118.60%-8M43.59%-22M57.14%-15M
End cash Position -0.33%15.61B33.44%16.19B33.44%16.19B18.63%15.81B11.61%16.33B10.53%15.66B-0.95%12.14B-0.95%12.14B47.31%13.33B23.28%14.63B
Free cash flow 22.84%3.16B12.79%7.89B-48.48%645M76.48%2.3B44.62%2.38B-8.10%2.57B13.14%7B-40.32%1.25B1,455.21%1.3B-36.68%1.65B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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