0001065088-23-000036.txt : 20231107 0001065088-23-000036.hdr.sgml : 20231107 20231107160757 ACCESSION NUMBER: 0001065088-23-000036 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20231107 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20231107 DATE AS OF CHANGE: 20231107 FILER: COMPANY DATA: COMPANY CONFORMED NAME: EBAY INC CENTRAL INDEX KEY: 0001065088 STANDARD INDUSTRIAL CLASSIFICATION: SERVICES-BUSINESS SERVICES, NEC [7389] IRS NUMBER: 770430924 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-37713 FILM NUMBER: 231383734 BUSINESS ADDRESS: STREET 1: 2025 HAMILTON AVENUE CITY: SAN JOSE STATE: CA ZIP: 95125 BUSINESS PHONE: 408-376-7400 MAIL ADDRESS: STREET 1: 2025 HAMILTON AVENUE CITY: SAN JOSE STATE: CA ZIP: 95125 8-K 1 ebay-20231107.htm 8-K ebay-20231107
0001065088False00010650882023-11-072023-11-07

    

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM 8-K

CURRENT REPORT
Pursuant to Section 13 or 15(d) of
the Securities Exchange Act of 1934

Date of Report (Date of earliest event reported): November 7, 2023
ebaynotma08.jpg
eBay Inc.
(Exact name of registrant as specified in its charter)
Delaware001-3771377-0430924
(State or other jurisdiction(Commission File Number)(I.R.S. Employer
of incorporation)Identification No.)

2025 Hamilton Avenue
San Jose, California 95125
(Address of principal executive offices)

(408) 376-7108
(Registrant's telephone number, including area code)

Not Applicable.
(Former name or former address, if changed since last report.)

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:

    Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)

    Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)

    Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))

    Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
 
Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading symbol(s)Name of exchange on which registered
Common stockEBAYThe Nasdaq Global Select Market

Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).

Emerging growth company

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.






The information in this report, including Exhibit 99.1, is being furnished and shall not be deemed “filed” for the purposes of Section 18 of the Securities Exchange Act of 1934, as amended (the “Exchange Act”), and is not to be incorporated by reference into any filing by eBay Inc. (the “Company”, the "company" or “eBay”), under the Securities Act of 1933, as amended, or the Exchange Act, regardless of any general incorporation language contained in such filing, unless otherwise expressly stated in such filing.

Item 2.02. Results of Operations and Financial Condition.

On November 7, 2023, the company announced its financial results for the quarter ended September 30, 2023. A copy of the company's press release announcing its financial results and certain other information is attached as Exhibit 99.1 to this report.

 
Item 9.01. Financial Statements and Exhibits

(d) Exhibits.

The following exhibit is furnished with this report:
99.1Press release dated November 7, 2023
104
Cover Page Interactive Data File (embedded within the Inline XBRL document)

INDEX TO EXHIBITS
Exhibit NumberDescription
Press release dated November 7, 2023




SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.

                                    
 eBay Inc.
 (Registrant)
Date: November 7, 2023
/s/ Molly Finn
Name: Molly Finn
 Title: Vice President & Deputy General Counsel, Corporate & Assistant Secretary


EX-99.1 2 exhibit991erebayq32023.htm EX-99.1 Document


Exhibit 99.1
ebaynotma03.jpg
eBay Inc. Reports Third Quarter 2023 Results

Revenue of $2.5 billion, up 5% on an as-reported basis and up 5% on an FX-Neutral basis
Gross Merchandise Volume of $18.0 billion, up 2% on an as-reported basis and roughly flat on an FX-Neutral basis
GAAP and Non-GAAP earnings per diluted share of $2.46 and $1.03, respectively, on a continuing operations basis
GAAP and Non-GAAP operating margin of 18.2% and 26.4%, respectively
Returned $783 million to shareholders in Q3, including $651 million of share repurchases and $132 million paid in cash dividends


San Jose, California, November 7, 2023 eBay Inc. (Nasdaq: EBAY), a global commerce leader that connects millions of buyers and sellers around the world, today reported financial results for its third quarter ended September 30, 2023.

"We delivered another quarter of solid results, and have accelerated the pace of innovation across eBay,” said Jamie Iannone, Chief Executive Officer at eBay. “The strategic investments in our marketplace and the team’s strong execution are driving increased customer satisfaction, especially in focus categories. In the face of macroeconomic uncertainty, we continue to make meaningful progress against our ambitious vision to reinvent the future of ecommerce for enthusiasts.”

“In Q3, we met or exceeded expectations across all of our key financial metrics,” said Steve Priest, Chief Financial Officer at eBay. “Our strong balance sheet and operational rigor enable us to adapt to the evolving changes in this dynamic macro environment. We will continue to be prudent with cost efficiencies, saving to invest for the future, while remaining good stewards of capital for our shareholders. I’m proud of our teams for laying the groundwork for long-term, sustainable growth.”

Third Quarter Financial Highlights

Revenue was $2.5 billion, up 5% on an as-reported basis and up 5% on a foreign exchange (FX) neutral basis.
Gross Merchandise Volume (GMV) was $18.0 billion, up 2% on an as-reported basis and roughly flat on an FX-Neutral basis.
GAAP net income from continuing operations was $1.3 billion, or $2.46 per diluted share.
Non-GAAP net income from continuing operations was $545 million, or $1.03 per diluted share.
GAAP and Non-GAAP operating margin was 18.2% and 26.4%, respectively.
Generated $862 million of operating cash flow and $777 million of free cash flow from continuing operations.
Returned $783 million to shareholders, including $651 million of share repurchases and $132 million paid in cash dividends.

Business Highlights

Revenue Initiatives

eBay's first-party advertising products, primarily driven by Promoted Listings, delivered $345 million of revenue in the third quarter, up 39% on an as-reported basis and up 36% on an FX-Neutral basis.
The company's total advertising offerings generated approximately $366 million in revenue in the third quarter, representing roughly 2.0% of GMV.

Strategic Initiatives

Following the success of the eBay Guaranteed Fit program in the U.S., the company launched similar programs in the U.K. and Germany, enabling tens of millions of Motors Parts & Accessories shoppers to buy auto parts with confidence.
eBay Motors partnered with several renowned car builders to produce over 70 pieces of content for @eBay’s TikTok channel, building awareness of eBay Guaranteed Fit and engaging with the #CarTok community.
The company introduced a new consignment service, which gives users direct access to expert sellers who will list and sell their luxury items on their behalf. Launching initially for designer handbags, the service is expected to expand next year to include additional luxury categories, including jewelry and watches.
eBay expanded Authenticity Guarantee for fine jewelry to the U.K. and hosted The Authenticity Lab, a first-of-its-kind multi-sensory experience for sneakerheads in London.



During the quarter, eBay authenticated its millionth trading card: a Magic: The Gathering All Hallow’s Eve (Legends) card.
eBay also expanded its vault offering for collectors with a new submission service for trading cards, which allows collectors to submit graded trading cards valued at $250+ from their personal collections directly to the eBay vault, regardless of where they were purchased.
eBay launched the first phase of its magical listing experience to all mobile app users in the U.S., U.K. and Germany, enabling sellers to use generative AI (GenAI) to instantly populate item descriptions.
The company also launched two GenAI features in the eBay Motors app, providing upgrade recommendations and engine code lookup for a more personalized shopping experience.
eBay and self-professed “Air Fryer King” Nathan Anthony opened the U.K.’s first air fryer restaurant in Shoreditch, offering a 12-plate tasting menu of dishes cooked using only refurbished air fryers from eBay to highlight the value and quality of refurbished kitchen technology.
The company launched eBay Lokal in Germany, a new buying and selling experience for purchasing and selling products within local neighborhoods. Through this initiative, eBay has significantly enhanced the visibility and discoverability of locally available items in search and across the entire German platform, including the introduction of a new central page dedicated to local search and browsing.
eBay France launched a repair platform to help customers extend the lifespans of their household appliances, gardening equipment, tools and high-tech products. The service includes diagnostics, repair tutorials and access to experts through chatbot and video assistance.
Impact
eBay announced the recipients of its fourth annual Up & Running Grants program, which annually awards 50 U.S. sellers with $10,000 each plus customized mentorship, training and tools to scale and grow their businesses.
The eBay Foundation announced its 2023 Global Give grantees, awarding nearly $3 million to 32 nonprofit grantees across the globe.
eBay Australia announced the Circular Fashion Fund, supported by the Australian Fashion Council. The initiative offers 200,000 AUD in funding for Australian start-ups specializing in circular fashion solutions.
During the quarter, eBay for Charity contributed $40 million globally.
The company was recognized as a Top Corporate Philanthropist by the Silicon Valley Business Journal and San Francisco Business Times.
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Third Quarter 2023 Financial Highlights (presented in millions, except per share data and percentages)
Third Quarter
20232022Change
eBay Inc.
Net revenues$2,500 $2,380 $120 %
GAAP – Continuing Operations
Income (loss) from continuing operations$1,306 $(70)$1,376 **
Earnings (loss) per diluted share from continuing operations$2.46 $(0.13)$2.59 **
Non-GAAP – Continuing Operations
Net income$545 $552 $(7)(1)%
Earnings per diluted share$1.03 $1.00 $0.03 %
** Not meaningful

Other Selected Financial and Operational Results
Operating margin – GAAP operating margin decreased to 18.2% for the third quarter of 2023, compared to 23.9% for the same period last year. Non-GAAP operating margin decreased to 26.4% for the third quarter of 2023, compared to 28.9% for the same period last year.
Taxes – The GAAP effective tax rate for continuing operations for the third quarter of 2023 was 21.4%, compared to (29.9)% for the third quarter of 2022. The non-GAAP effective tax rate for continuing operations for the third quarter of 2023 was 16.5%(1).
Cash flow – The company generated $862 million of operating cash flow and $777 million of free cash flow from continuing operations during the third quarter of 2023.
Capital returns – The company repurchased $651 million of its common stock, or nearly 15 million shares, in the third quarter of 2023. The company's total repurchase authorization remaining as of September 30, 2023 was approximately $1.7 billion. The company also paid cash dividends of $132 million during the third quarter of 2023.
Cash and cash equivalents and non-equity investments – The company's cash and cash equivalents and non-equity investments portfolio totaled $5.4 billion as of September 30, 2023.

Business Outlook
eBay is providing the following guidance for continuing operations for the fourth quarter and full year 2023.
In billions, except per share data and percentagesQ4 2023 GuidanceFull Year 2023 Guidance
Revenue$2.47 - $2.53$10.02 - $10.08
FX-Neutral Y/Y Growth(1)% - 2%3% - 4%
Diluted GAAP EPS$0.70 - $0.75$4.53 - $4.58
Diluted Non-GAAP EPS$1.00 - $1.05$4.17 - $4.22

Dividend Declaration
eBay's Board of Directors has declared a cash dividend of $0.25 per share of the company's common stock. The dividend is payable on December 15, 2023 to stockholders of record as of December 1, 2023.

(1) We use a non-GAAP effective tax rate for evaluating our operating results. Based on our current long-term projections, we are using a non-GAAP tax rate of 16.5%. This non-GAAP tax rate could change for various reasons including significant changes in our geographic earnings mix or fundamental tax law changes in major jurisdictions in which we operate.
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Quarterly Conference Call and Webcast

eBay Inc. will host a conference call to discuss third quarter 2023 results at 2:00 p.m. Pacific Time today. Investors and participants can access the call by dialing (888) 655-9638 in the U.S. and (646) 960-0687 internationally. The passcode for the conference line is 7435074. A live webcast of the conference call, together with a slide presentation that includes supplemental financial information and reconciliations of certain non-GAAP measures to their nearest comparable GAAP measures, can be accessed through the company's Investor Relations website at https://investors.ebayinc.com. In addition, an archive of the webcast will be accessible for at least three months through the same link.

eBay Inc. uses its Investor Relations website at https://investors.ebayinc.com as a means of disclosing material non-public information and for complying with its disclosure obligations under Regulation FD. Accordingly, investors should monitor this website, in addition to following our press releases, SEC filings, public conference calls and webcasts.

About eBay

eBay Inc. (Nasdaq: EBAY) is a global commerce leader that connects people and builds communities to create economic opportunity for all. Our technology empowers millions of buyers and sellers in more than 190 markets around the world, providing everyone the opportunity to grow and thrive. Founded in 1995 in San Jose, California, eBay is one of the world's largest and most vibrant marketplaces for discovering great value and unique selection. In 2022, eBay enabled nearly $74 billion of gross merchandise volume. For more information about the company and its global portfolio of online brands, visit www.ebayinc.com.

Presentation

All growth rates represent year-over-year comparisons, except as otherwise noted. All amounts in tables are presented in U.S. dollars, rounded to the nearest million, except as otherwise noted. As a result, certain amounts may not sum or recalculate using the rounded dollar amounts provided. References to “revenue” refer to “net revenues” as reported in the company’s consolidated statement of income.

Non-GAAP Financial Measures

This press release includes the following financial measures defined as “non-GAAP financial measures” by the Securities and Exchange Commission (SEC): non-GAAP net income, non-GAAP earnings per diluted share, non-GAAP operating income, non-GAAP effective tax rate, free cash flow and FX-Neutral basis. These non-GAAP financial measures are presented on a continuing operations basis. These measures may be different from non-GAAP financial measures used by other companies. The presentation of this financial information, which is not prepared under any comprehensive set of accounting rules or principles, is not intended to be considered in isolation of, or as a substitute for, the financial information prepared and presented in accordance with generally accepted accounting principles (GAAP). For a reconciliation of these non-GAAP financial measures, except for figures in this press release presented on an “FX-Neutral basis,” to the nearest comparable GAAP measures, see “Business Outlook,” “Non-GAAP Measures of Financial Performance,” “Reconciliation of GAAP Operating Income to Non-GAAP Operating Income,” “Reconciliation of GAAP Net Income to Non-GAAP Net Income and Reconciliation of GAAP Effective Tax Rate to Non-GAAP Effective Tax Rate” and “Reconciliation of Operating Cash Flow to Free Cash Flow” included in this press release. For figures in this press release reported “on an FX-Neutral basis,” we calculate the year-over-year impact of foreign currency movements using prior period foreign currency rates, excluding hedging activity, applied to current year transactional currency amounts.

Forward-Looking Statements

This press release contains forward-looking statements relating to, among other things, the future performance of eBay Inc. and its consolidated subsidiaries that are based on the company's current expectations, forecasts and assumptions and involve risks and uncertainties. These statements include, but are not limited to, statements regarding the future performance of eBay Inc. and its consolidated subsidiaries, including management's vision for the future of eBay and our ability to accomplish our vision, expected financial results for the fourth quarter and full year 2023 and the future growth in our business, the effects of geopolitical events, foreign currency volatility, and inflationary pressure on our business and operations and our ability to respond to such effects, operating efficiency and margins, reinvestments, dividends and share repurchases. Actual results could differ materially from those expressed or implied and reported results should not be considered as an indication of future performance. Factors that could cause or contribute to such differences include, but are not limited to: changes in political, business and economic conditions, including impacts from the ongoing war in Ukraine, rising inflation and interest rates, decreases in consumer confidence, any regional or general economic downturn or crisis and any conditions that affect ecommerce growth or cross-border trade; the company’s ability to realize expected growth opportunities in payments intermediation and advertising; fluctuations in foreign currency exchange rates; the company’s need to successfully react to the increasing importance of mobile commerce and the increasing social aspect of commerce; an increasingly competitive environment for the company's business; changes to the company’s capital allocation, including the timing, declaration, amount and payment of any future dividends or levels of the company’s share repurchases, or management of operating cash; the company's ability to increase operating efficiency to drive margin improvements and enable reinvestments; the company’s ability to manage its indebtedness, including managing exposure to interest rates and maintaining its credit ratings; the company’s need to manage a large enterprise with a
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broad range of businesses of varying degrees of maturity and in many different geographies; the ability to successfully intermediate payments on our marketplace platform; the company’s need and ability to manage regulatory, tax, data security and litigation risks, including those that may result from the company's use of artificial intelligence; the ultimate resolution of ongoing investigations and other legal matters involving the company; the company’s ability to timely upgrade and develop its technology systems, infrastructure and customer service capabilities at reasonable cost while maintaining site stability and performance and adding new products and features; and the company’s ability to integrate, manage and grow businesses that have been acquired or may be acquired in the future.

The forward-looking statements in this release do not include the potential impact of any acquisitions or divestitures that may be announced and/or completed after the date hereof.

More information about factors that could affect the company's operating results is included under the captions “Risk Factors” and “Management's Discussion and Analysis of Financial Condition and Results of Operations” in the company's most recent Annual Report on Form 10-K and subsequent Quarterly Reports on Form 10-Q, copies of which may be obtained by visiting the company's Investor Relations website at https://investors.ebayinc.com or the SEC's website at www.sec.gov. Undue reliance should not be placed on the forward-looking statements in this press release, which are based on information available to the company on the date hereof. The company assumes no obligation to update such statements.
  
Investor Relations Contact:John Egbertir@ebay.com
Media Relations Contact:Trina Somerapress@ebay.com
Company News:https://www.ebayinc.com/stories/news/ 
Investor Relations website:https://investors.ebayinc.com 


5


eBay Inc.
Unaudited Condensed Consolidated Balance Sheet
 
 September 30,
2023
December 31,
2022
 (In millions)
ASSETS
Current assets:  
Cash and cash equivalents$2,550 $2,154 
Short-term investments2,144 2,625 
Equity investment in Adevinta4,023 2,692 
Customer accounts and funds receivable908 763 
Other current assets689 1,056 
Total current assets10,314 9,290 
Long-term investments1,352 1,797 
Property and equipment, net1,201 1,238 
Goodwill4,238 4,262 
Operating lease right-of-use assets446 513 
Deferred tax assets3,086 3,169 
Other assets547 581 
Total assets$21,184 $20,850 
LIABILITIES AND STOCKHOLDERS' EQUITY
Current liabilities:  
Short-term debt$750 $1,150 
Accounts payable303 261 
Customer accounts and funds payable986 768 
Accrued expenses and other current liabilities1,967 1,866 
Income taxes payable776 226 
Total current liabilities4,782 4,271 
Operating lease liabilities355 418 
Deferred tax liabilities2,264 2,245 
Long-term debt6,973 7,721 
Other liabilities911 1,042 
Total liabilities15,285 15,697 
Total stockholders' equity5,899 5,153 
Total liabilities and stockholders' equity$21,184 $20,850 

6


eBay Inc.
Unaudited Condensed Consolidated Statement of Income

 Three Months Ended
September 30,
Nine Months Ended
September 30,
 2023202220232022
 (In millions, except per share amounts)
Net revenues$2,500 $2,380 $7,550 $7,285 
Cost of net revenues (1)
705 647 2,123 1,999 
Gross profit1,795 1,733 5,427 5,286 
Operating expenses:
Sales and marketing (1)
567 538 1,644 1,582 
Product development (1)
401 345 1,145 990 
General and administrative (1)
283 212 831 675 
Provision for transaction losses85 69 259 251 
Amortization of acquired intangible assets17 
Total operating expenses1,340 1,165 3,896 3,501 
Income from operations455 568 1,531 1,785 
Gain (loss) on equity investments and warrant, net1,212 (593)1,196 (4,105)
Interest and other, net(6)(29)(51)(110)
Income (loss) from continuing operations before income taxes1,661 (54)2,676 (2,430)
Income tax benefit (provision)(355)(16)(629)485 
Income (loss) from continuing operations1,306 (70)2,047 (1,945)
Income (loss) from discontinued operations, net of income taxes(1)(4)
Net income (loss)$1,305 $(69)$2,043 $(1,941)
Income (loss) per share – basic:  
Continuing operations$2.47 $(0.13)$3.84 $(3.45)
Discontinued operations0.00 0.00 (0.01)0.01 
Net income (loss) per share – basic$2.47 $(0.13)$3.83 $(3.44)
Income (loss) per share – diluted:
Continuing operations$2.46 $(0.13)$3.81 $(3.45)
Discontinued operations0.00 0.00 (0.01)0.01 
Net income (loss) per share – diluted$2.46 $(0.13)$3.80 $(3.44)
Weighted average shares:  
Basic529 548 533 563 
Diluted532 548 537 563 
(1) Includes stock-based compensation as follows:
Cost of net revenues$13 $13 $40 $38 
Sales and marketing23 17 68 57 
Product development69 53 202 160 
General and administrative39 35 116 111 
$144 $118 $426 $366 
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eBay Inc.
Unaudited Condensed Consolidated Statement of Cash Flows
 Three Months Ended
September 30,
Nine Months Ended
September 30,
 2023202220232022
 (In millions)
Cash flows from operating activities:  
Net income (loss)$1,305 $(69)$2,043 $(1,941)
(Income) loss from discontinued operations, net of income taxes(1)(4)
Adjustments:
Provision for transaction losses85 69 259 251 
Depreciation and amortization97 104 305 335 
Stock-based compensation144 118 426 366 
Loss (gain) on investments and other, net(3)— (6)
Deferred income taxes173 (112)95 (807)
Change in fair value of warrant109 27 40 246 
Change in fair value of equity investment in Adevinta(1,367)501 (1,331)2,973 
Change in fair value of equity investment in Adyen— (24)— 261 
Change in fair value of equity investment in Gmarket43 40 83 299 
Change in fair value of equity investment in KakaoBank50 11 321 
Changes in assets and liabilities, net of acquisition effects271 32 379 (366)
Net cash provided by continuing operating activities862 735 2,308 1,941 
Net cash used in discontinued operating activities— (6)(4)(371)
Net cash provided by operating activities862 729 2,304 1,570 
Cash flows from investing activities:  
Purchases of property and equipment(85)(102)(330)(296)
Purchases of investments(2,920)(5,077)(10,607)(15,223)
Maturities and sales of investments3,117 5,066 11,499 18,247 
Proceeds from sale of shares in Adyen— 120 — 800 
Proceeds from sale of shares in KakaoBank— 287 
Other(17)(18)(43)(62)
Net cash provided by (used in) continuing investing activities96 (11)520 3,753 
Net cash provided by discontinued investing activities— — 
Net cash provided by (used in) investing activities96 (9)520 3,755 
Cash flows from financing activities:  
Proceeds from issuance of common stock— — 48 55 
Repurchases of common stock(626)(286)(1,118)(2,828)
Payments for taxes related to net share settlements of restricted stock units and awards24 (32)(136)(130)
Payments for dividends(132)(120)(399)(370)
Repayment of debt— — (1,150)(1,355)
Net funds receivable and payable activity121 84 684 92 
Net cash used in financing activities(613)(354)(2,071)(4,536)
Effect of exchange rate changes on cash, cash equivalents and restricted cash(10)(32)(16)(89)
Net increase in cash, cash equivalents and restricted cash335 334 737 700 
Cash, cash equivalents and restricted cash at beginning of period2,674 1,772 2,272 1,406 
Cash, cash equivalents and restricted cash at end of period$3,009 $2,106 $3,009 $2,106 

8


eBay Inc.
Unaudited Summary of Consolidated Net Revenues

Three Months Ended
September 30,
2023
June 30,
2023
March 31,
2023
December 31,
2022
September 30,
2022
(In millions, except percentages)
Total net revenues (1)(2)(3)
$2,500 $2,540 $2,510 $2,510 $2,380 
Current quarter vs prior year quarter%%%(4)%(5)%
Percent from international50 %50 %50 %51 %50 %
(1) Hedge gain/(loss)$$14 $29 $89 $36 
(2) Foreign currency impact$43 $(9)$(45)$(67)$(100)
(3)Beginning in the fourth quarter of 2022, we present revenues generated from both Marketplace GMV and non-GMV based businesses as “Net revenues” in order to more closely align our presentation of net revenues with how our business is operated. We formerly presented such amounts as “Net transaction revenues” and “Marketing services and other (MS&O) revenues,” and those line items for such prior periods have been conformed to current period presentation. Consolidated net revenues are unchanged.

eBay Inc.
Unaudited Supplemental Operating Data

Three Months Ended
September 30,
2023
June 30,
2023
March 31,
2023
December 31,
2022
September 30,
2022
(In millions, except percentages)
Active Buyers (1)
132 132 133 134 135 
Current quarter vs prior year quarter(3)%(4)%(7)%(9)%(11)%
Active Buyers excluding GittiGidiyor and TCGplayer (2)
131 131 131 132 133 
Current quarter vs prior year quarter(1)%(3)%(5)%(8)%(10)%
Gross Merchandise Volume (3)
U.S.$8,638 $8,702 $9,010 $8,894 $8,699 
Current quarter vs prior year quarter(1)%(3)%(3)%(9)%(7)%
International$9,353 $9,512 $9,400 $9,333 $9,016 
Current quarter vs prior year quarter%(1)%(7)%(15)%(15)%
Total Gross Merchandise Volume$17,991 $18,214 $18,410 $18,227 $17,715 
Current quarter vs prior year quarter%(2)%(5)%(12)%(11)%

(1)Active Buyers consist of all buyers who paid for a transaction on our platforms within the previous 12-month period. Buyers may register more than once, and as a result, may have more than one account.
(2)On June 20, 2022 we announced the closure of our marketplace business in Turkey, GittiGidiyor. On October 31, 2022, we completed the acquisition of TCGplayer.
(3)Gross Merchandise Volume consists of the total value of all paid transactions between users on our platforms during the applicable period inclusive of shipping fees and taxes.



9


eBay Inc.
Business Outlook

The guidance figures provided below and elsewhere in this press release are forward-looking statements, reflect a number of estimates, assumptions and other uncertainties, and are approximate in nature because the company's future performance is difficult to predict. Such guidance is based on information available on the date of this press release, and the company assumes no obligation to update it.
The company's future performance involves risks and uncertainties, and the company's actual results could differ materially from the information below and elsewhere in this press release. Some of the factors that could affect the company's operating results are set forth under the caption “Forward-Looking Statements” above in this press release. More information about factors that could affect the company's operating results is included under the captions “Risk Factors” and “Management's Discussion and Analysis of Financial Condition and Results of Operations” in the company's most recent Annual Report on Form 10-K and subsequent Quarterly Reports on Form 10-Q, copies of which may be obtained by visiting eBay's investor relations website at https://investors.ebayinc.com or the SEC's website at www.sec.gov.
eBay Inc.
Three Months Ending
December 31, 2023
(In billions, except per share amounts)GAAP
Non-GAAP (a)
Net revenues$2.47 - $2.53$2.47 - $2.53
Diluted EPS from continuing operations$0.70 - $0.75$1.00 - $1.05
Twelve Months Ending
December 31, 2023
(In billions, except per share amounts)GAAP
Non-GAAP (b)
Net Revenue$10.02 - $10.08$10.02 - $10.08
Diluted EPS from continuing operations$4.53 - $4.58$4.17 - $4.22
(a) Estimated non-GAAP amounts above for the three months ending December 31, 2023 reflect adjustments that exclude the estimated amortization of acquired intangible assets of approximately $8 - $13 million, estimated stock-based compensation expense and associated employer payroll tax expense of approximately $140 - $150 million and estimated adjustment between our GAAP and non-GAAP tax rate of approximately $20 - $30 million. The estimated GAAP diluted EPS above does not assume any gains or losses on our equity investments.
(b) Estimated non-GAAP amounts above for the twelve months ending December 31, 2023 reflect adjustments that exclude the estimated amortization of acquired intangible assets of approximately $35 - $40 million, estimated stock-based compensation expense and associated employer payroll tax expense of approximately $577 - $587 million and estimated adjustment between our GAAP and non-GAAP tax rate of approximately $105 - $115 million. The estimated GAAP diluted EPS above does not assume any future gains or losses on our equity investments.



10


eBay Inc.
Non-GAAP Measures of Financial Performance
To supplement the company's condensed consolidated financial statements presented in accordance with generally accepted accounting principles, or GAAP, the company uses non-GAAP measures of certain components of financial performance. These non-GAAP measures include non-GAAP net income, non-GAAP earnings per diluted share, non-GAAP operating income, non-GAAP effective tax rate, free cash flow and figures in this press release presented on an "FX-Neutral basis." These non-GAAP financial measures are presented on a continuing operations basis.
These non-GAAP measures are not in accordance with, or an alternative to, measures prepared in accordance with GAAP and may be different from non-GAAP measures used by other companies. In addition, these non-GAAP measures are not based on any comprehensive set of accounting rules or principles. Non-GAAP measures have limitations in that they do not reflect all of the amounts associated with the company's results of operations as determined in accordance with GAAP. These measures should only be used to evaluate the company's results of operations in conjunction with the corresponding GAAP measures.
Reconciliation to the nearest GAAP measure of all non-GAAP measures included in this press release, except for figures in this press release presented on an “FX-Neutral basis,” can be found in the tables included in this press release. For figures in this press release reported “on an FX-Neutral basis,” the company calculates the year-over-year impact of foreign currency movements using prior period foreign currency rates, excluding hedging activity, applied to current year transactional currency amounts.
These non-GAAP measures are provided to enhance investors' overall understanding of the company's current financial performance and its prospects for the future. Specifically, the company believes the non-GAAP measures provide useful information to both management and investors by excluding certain expenses, gains and losses, or net purchases of property and equipment, as the case may be, that may not be indicative of its core operating results and business outlook. In addition, because the company has historically reported certain non-GAAP results to investors, the company believes that the inclusion of non-GAAP measures provides consistency in the company's financial reporting.
For its internal budgeting process, and as discussed further below, the company's management uses financial measures that do not include stock-based compensation expense, employer payroll taxes on stock-based compensation, amortization or impairment of acquired intangible assets, impairment of goodwill, amortization of deferred tax assets associated with the realignment of its legal structure and related foreign exchange effects, significant gains or losses from the disposal/acquisition of a business, certain gains and losses on investments including changes in fair value, changes in foreign currency exchange rates and the impact of any related foreign exchange derivative instruments, gains or losses associated with a warrant agreement that the company entered into with Adyen, restructuring-related charges and the income taxes associated with the foregoing. In addition to the corresponding GAAP measures, the company's management also uses the foregoing non-GAAP measures in reviewing the financial results of the company.
The company excludes the following items from non-GAAP net income, non-GAAP earnings per diluted share, non-GAAP operating income and non-GAAP effective tax rate:
Stock-based compensation expense and related employer payroll taxes. This expense consists of expenses for stock options, restricted stock and employee stock purchases. The company excludes stock-based compensation expense from its non-GAAP measures primarily because they are non-cash expenses that management does not believe are reflective of ongoing operating results. The related employer payroll taxes are dependent on the company's stock price and the vesting of restricted stock by employees and the timing and size of stock option exercises, over which management has limited to no control, and as such management does not believe it correlates to the company's operation of the business.
Amortization or impairment of acquired intangible assets, impairment of goodwill, certain amortization of deferred tax assets and related foreign exchange effects, significant gains or losses and transaction expenses from the acquisition or disposal of a business and certain gains or losses on investments. The company incurs amortization or impairment of acquired intangible assets and goodwill in connection with acquisitions and may incur significant gains or losses from the acquisition or disposal of a business and therefore excludes these amounts from its non-GAAP measures. The company also excludes certain gains and losses on investments. The company excludes the non-cash amortization of deferred tax assets associated with the realignment of its legal structure, which is not reduced by the effects of the Tax Cuts and Jobs Act, and related foreign exchange effects. The company excludes these items because management does not believe they correlate to the ongoing operating results of the company's business.
Restructuring. These charges consist of expenses for employee severance and other exit and disposal costs. The company excludes significant restructuring charges primarily because management does not believe they are reflective of ongoing operating results.
Other certain significant gains, losses, or charges that are not indicative of the company’s core operating results. These are significant gains, losses, or charges during a period that are the result of isolated events or transactions which have not occurred frequently in the past and are not expected to occur regularly or be repeated in the future. The company excludes these amounts from its results primarily because management does not believe they are indicative of its current or ongoing operating results. These amounts include changes in fair value and the related change in foreign currency exchange rates of equity securities with readily determinable fair values, globally.
Change in fair market value of warrant. These are gains or losses associated with a warrant agreement that the company entered into with Adyen, which are attributable to changes in fair value during the period.
Income tax effects and adjustments. We use a non-GAAP tax rate for evaluating our operating results. Based on our current long-term projections, we are using a non-GAAP tax rate of 16.5%. This non-GAAP tax rate could change for various reasons including significant changes in our geographic earnings mix or fundamental tax law changes in major jurisdictions in which we operate.
In addition to the non-GAAP measures discussed above, the company also uses free cash flow. Free cash flow represents operating cash flows less purchases of property and equipment. The company considers free cash flow to be a liquidity measure that provides useful information to management and investors about the amount of cash generated by the business after the purchases of property, buildings, and equipment, which can then be used to, among other things, invest in the company's business, make strategic acquisitions, repurchase stock and pay dividends. A limitation of the utility of free cash flow as a measure of financial performance is that it does not represent the total increase or decrease in the company's cash balance for the period and does not exclude certain non-discretionary expenditures, such as mandatory debt service requirements.
11


eBay Inc.
Reconciliation of GAAP Operating Income to Non-GAAP Operating Income*

Three Months Ended
September 30,
Nine Months Ended
September 30,
2023202220232022
(In millions, except percentages)
GAAP operating income$455 $568 $1,531 $1,785 
Stock-based compensation expense and related employer payroll taxes146 120 436 377 
Amortization of acquired intangible assets within cost of net revenues and operating expenses26 
Restructuring(1)— 38 — 
Legal matters50 — 50 — 
Other general and administrative expenses— — 23 
Total non-GAAP operating income adjustments203 122 555 404 
Non-GAAP operating income$658 $690 $2,086 $2,189 
Non-GAAP operating margin26.4 %28.9 %27.7 %30.0 %
*Presented on a continuing operations basis

12


Reconciliation of GAAP Net Income to Non-GAAP Net Income and
GAAP Effective Tax Rate to Non-GAAP Effective Tax Rate

Three Months Ended
September 30,
Nine Months Ended
September 30,
2023202220232022
(In millions, except per share amounts and percentages)
GAAP income (loss) from continuing operations before income taxes$1,661 $(54)$2,676 $(2,430)
GAAP (provision) benefit for income taxes(355)(16)(629)485 
GAAP net income (loss) from continuing operations$1,306 $(70)$2,047 $(1,945)
Non-GAAP adjustments to net income (loss) from continuing operations:
Non-GAAP operating income from continuing operations adjustments (see table above)$203 $122 $555 $404 
Change in fair value of equity investment in Adevinta(1,367)501 (1,331)2,973 
Change in fair market value of warrant109 27 40 246 
Change in fair market value of other equity investments46 90 95 663 
Realized change in fair market value of equity investments— (24)— 218 
Other significant gains, losses or charges— (1)— (1)
Income tax effects and adjustments248 (93)294 (827)
Non-GAAP net income from continuing operations$545 $552 $1,700 $1,731 
Diluted net income (loss) from continuing operations per share:
GAAP$2.46 $(0.13)$3.81 $(3.45)
Non-GAAP$1.03 $1.00 $3.17 $3.04 
Shares used in GAAP diluted net income (loss) per share calculation532 548 537 563 
Shares used in non-GAAP diluted net income per share calculation532 551 537 568 
GAAP effective tax rate – Continuing operations21.4 %(29.9)%23.5 %20.0 %
Income tax effects and adjustments to net income (loss) from continuing operations(4.9)%46.4 %(7.0)%(3.5)%
Non-GAAP effective tax rate – Continuing operations16.5 %16.5 %16.5 %16.5 %

13


Reconciliation of Operating Cash Flow to Free Cash Flow

Three Months Ended
September 30,
Nine Months Ended
September 30,
2023202220232022
(In millions)
Net cash provided by continuing operating activities$862 $735 $2,308 $1,941 
Less: Purchases of property and equipment(85)(102)(330)(296)
Free cash flow$777 $633 $1,978 $1,645 
14
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Cover
Nov. 07, 2023
Cover [Abstract]  
Document Type 8-K
Document Period End Date Nov. 07, 2023
Entity Registrant Name eBay Inc.
Entity Incorporation, State or Country Code DE
Entity File Number 001-37713
Entity Tax Identification Number 77-0430924
Entity Address, Address Line One 2025 Hamilton Avenue
Entity Address, City or Town San Jose
Entity Address, State or Province CA
Entity Address, Postal Zip Code 95125
City Area Code (408)
Local Phone Number 376-7108
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Title of 12(b) Security Common stock
Trading Symbol EBAY
Security Exchange Name NASDAQ
Entity Emerging Growth Company false
Entity Central Index Key 0001065088
Amendment Flag false
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