DOYU Stock Snapshot Price, market cap, P/E, EPS, ROE, debt/equity, 52-week range

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Price $4.45
Market Cap $134M
P/E -4.6
EPS $-0.96
Revenue $3.82B
Div Yield 1601.5%
ROE -0.94%
52W Range $4–$8

DOYU Stock Price Chart Daily OHLCV with technical indicators — pan, zoom, and customize your view

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Stock splits 1
Ex-date Split Type
March 28, 2024 1-for-10 Reverse

10-Year Performance Revenue, net income, margins and EPS trends

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Revenue$3.82B
2017-12-31 → 2025-12-31
EPS$-0.96
2017-12-31 → 2025-12-31
Free Cash Flow$-53M
2019-12-31 → 2025-12-31
Net margin-0.76%
2019-12-31 → 2025-12-31
Valuation & Ratios 07–12

Valuation P/E, P/S, P/B, EV/EBITDA ratios — is the stock expensive or cheap?

Metric 5Y trend DOYU 5Y avg Peer Median Verdict
P/E -4.65Y avg ≈-1.4 ≈-1.4 · ·
P/S 0.05Y avg ≈0.1 ≈0.1 0.7 Undervalued
P/B 0.15Y avg ≈0.1 ≈0.1 0.4 Undervalued
Price / FCF -2.65Y avg ≈-3.7 ≈-3.7 · ·
Price / Cash Flow -2.65Y avg ≈-4.0 ≈-4.0 · ·
Price / Tangible Book 0.15Y avg ≈0.1 ≈0.1 · ·

Peer median is calculated on a standardized basis per metric and may not always match the TTM/MRQ basis shown for this stock.

value · ≈ 5Y avg · industry median · verdict relative to median

Dividends Yield, payout ratio, dividend history, 5Y CAGR

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Dividend Yield1601.5%
Payout Ratio-7395.6%
Annualized Payout≈$19.88Paid semi-annually
Ex-dateAmountCurrencyYield
Feb 21, 2025$9.94USD≈273.6%
Sep 3, 2024$9.76USD≈104.1%

Earnings History EPS actual vs estimate, surprise %, beat rate, next earnings date

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Avg Surprise 669.9%
PeriodReportEPS ActualEPS EstSurprise
June 30, 2026 Aug 20, 2026 $-0.45 $-1.14 60.5%
March 31, 2026 May 28, 2026 $1.02 $0.65 56.2%
Dec. 31, 2025 $0.42 $-0.49 185.8%
Sept. 30, 2025 $0.77 $0.02 4084.8%
June 30, 2025 $0.84 $-0.59 241.5%
March 31, 2025 $-0.69 $-1.86 62.9%
Dec. 31, 2024 $-2.28 $-2.22 -2.5%

Full Fundamentals All metrics by year — income statement, balance sheet, cash flow

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Income Statement 17
Metric Trend 20252024202320222021202020192018
Revenue $3.82B$4.27B$5.53B$7.11B$9.17B$9.60B$7.28B$3.65B
Cost of Revenue $3.33B$3.95B$4.85B$6.12B$8.08B$8.04B$6.09B$3.50B
Gross Profit $490M$324M$684M$990M$1.09B$1.56B$1.20B$151M
R&D Expense $121M$182M$277M$383M$490M$416M$384M$329M
SG&A Expense $138M$204M$238M$288M$376M$376M$446M$197M
Operating Expenses $485M$897M$848M$1.19B$1.74B$1.30B$1.33B$1.01B
Operating Income $5M$-574M$-164M$-199M$-649M$262M$-132M$-859M
Interest Income ····$77M$145M$159M$86M
Other Non-op $-67M$22M$-53M$-80M$-34M$-27M$-23M$-20M
Pretax Income $1M$-287M$68M$-149M$-605M$403M$37M$-869M
Income Tax $28M$15M$1M$3M$0·$0$0
Net Income $-29M$-307M$36M$-75M$-582M$485M$40M$-876M
EPS (Basic) $-0.96$-9.95$1.11$-2.36$-17.88$15.19$1.32$-108.80
EPS (Diluted) $-0.96$-9.95$1.11$-2.36$-17.88$14.71$1.26$-108.80
Shares (Basic) 30,178,85930,832,27131,977,66531,971,24532,544,87831,963,52619,254,6618,115,160
Shares (Diluted) 30,178,85930,832,27131,977,66531,971,24532,544,87833,012,68231,442,9318,115,160
EBITDA $5M$-574M$-164M$-199M$-649M$262M$-132M·
Balance Sheet 25
Metric Trend 20252024202320222021202020192018
Cash & Equivalents $1.76B$1.02B$4.44B$4.04B$4.46B$5.28B$8.09B$5.56B
Receivables $78M$49M$73M$109M$191M$200M$188M$129M
Prepaid Expense $16M$27M$38M$26M$81M$66M$50M$136M
Other Current Assets $185M$231M$348M$337M$376M$237M$204M$226M
Current Assets $2.63B$4.47B$6.69B$7.08B$7.23B$8.03B$8.60B$6.12B
PP&E (Net) $5M$7M$14M$17M$25M$38M$39M$50M
PP&E (Gross) $105M$113M$124M$129M$132M$128M$127M$109M
Accum. Depreciation $100M$106M$110M$112M$107M$90M$88M$58M
Goodwill ···$14M$13M$13M$31M$14M
Intangibles $34M$61M$121M$107M$162M$142M$198M$131M
Other Non-current Assets $58M$77M$163M$99M$65M$19M$9M$49M
Total Assets $3.12B$5.45B$8.07B$8.15B$8.16B$8.91B$9.10B$6.49B
Accounts Payable $554M$499M$534M$667M$824M$986M$890M$800M
Accrued Liabilities $219M$243M$247M$303M$458M$384M$392M$313M
Current Liabilities $1.13B$1.23B$1.38B$1.56B$1.85B$1.88B$1.79B$2.86B
Capital Leases $1M$4M$7M$20M$31M$17M··
Total Liabilities $1.13B$1.24B$1.38B$1.58B$1.90B$1.93B$1.84B$2.86B
Common Stock $20.4K$20.4K$23.3K$23.3K$23.0K$22.6K$22.1K$5.1K
Paid-in Capital $5.36B$7.51B$10.67B$10.67B$10.62B$10.49B$10.32B$49M
Retained Earnings $-3.82B$-3.79B$-3.49B$-3.52B$-3.45B$-2.86B$-3.35B$-3.39B
Treasury Stock ··$911M$911M$802M$695M$169M·
AOCI $445M$487M$415M$322M$-113M$11M$435M$326M
Stockholders' Equity $1.99B$4.21B$6.69B$6.56B$6.26B$6.94B$7.24B$-3.01B
Liabilities + Equity $3.12B$5.45B$8.07B$8.15B$8.16B$8.91B$9.10B$6.49B
Shares Outstanding 30,178,85930,178,85931,977,66531,977,66534,136,62733,445,34632,751,8198,063,790
Cash Flow 11
Metric Trend 20252024202320222021202020192018
Stock-based Comp ···$67M$132M$142M$291M$35M
Amort. of Intangibles $30M$56M$91M$76M$70M$90M$57M$19M
Operating Cash Flow $-52M$-239M$-48M$-68M$-586M$668M$813M$-338M
CapEx $290.9K$709.9K$5M$6M$7M$19M$16M$33M
Investing Cash Flow $2.97B$-1.07B$414M$-609M$-19M$-2.61B$-246M$-265M
Stock Repurchased ····$804.8K···
Net Stock Activity ····$-804.8K···
Dividends Paid $2.15B$2.10B······
Financing Cash Flow $-2.15B$-2.21B$-965$-109M$-107M$-479M$1.90B$5.28B
Net Change in Cash $744M$-3.47B$461M$-419M$-825M$-2.84B$2.57B$5.02B
Free Cash Flow $-53M$-240M$-53M$-74M$-593M$649M$114M·
Profitability 8
Metric Trend 20252024202320222021202020192018
Gross Margin 12.8%7.6%12.4%13.9%11.9%16.2%16.4%·
Operating Margin 0.12%-13.4%-3.0%-2.8%-7.1%2.7%-1.8%·
Net Margin -0.76%-7.2%0.64%-1.1%-6.3%5.1%0.55%·
Pretax Margin 0.03%-6.7%1.2%-2.1%-6.6%4.2%0.50%·
EBITDA Margin 0.12%-13.4%-3.0%-2.8%-7.1%2.7%-1.8%·
ROA -0.68%-4.5%0.44%-0.93%-6.8%5.4%1.0%·
ROE -0.94%-5.6%0.54%-1.2%-8.8%6.9%-4.0%·
ROIC -5.2%-14.3%-2.4%-3.1%····
Liquidity & Solvency 2
Metric Trend 20252024202320222021202020192018
Current Ratio 2.33.64.94.53.94.34.8·
Quick Ratio 1.60.93.32.72.52.94.6·
Efficiency 2
Metric Trend 20252024202320222021202020192018
Asset Turnover 0.90.60.70.91.11.11.9·
Receivables Turnover 60.369.760.647.346.949.593.2·
Per Share 5
Metric Trend 20252024202320222021202020192018
Book Value / Share $65.85$139.50$209.19$205.16$183.34$207.47$31.61·
Revenue / Share $126.54$138.52$172.95$222.33$281.62$290.85$231.63·
Cash Flow / Share $-1.73$-7.75$-1.49$-2.12$-18.01$20.22$3.70·
Cash / Share $58.29$33.70$138.85$126.39$130.55$157.87$35.32·
EPS (TTM) $-0.96$-9.95$1.11$-2.36$-17.88$14.71$1.26·
Valuation (TTM) 13
Metric Trend 20252024202320222021202020192018
Revenue TTM $3.82B$4.27B$5.53B$7.11B$9.17B$9.60B$7.28B·
Net Income TTM $-29M$-307M$36M$-75M$-582M$485M$40M·
Market Cap $205M$338M$304M$448M$901M$3.70B$2.77B·
P/E -7.1-1.18.6-5.9-1.57.567.2·
P/S 0.10.10.10.10.10.40.4·
P/B 0.10.10.00.10.10.52.7·
P / Tangible Book 0.10.10.00.10.10.5··
P / Cash Flow -3.9-1.4-6.4-6.6-1.55.523.9·
P / FCF -3.9-1.4-5.7-6.1-1.55.724.3·
Dividend Yield 1048.1%621.2%······
Earnings Yield -14.1%-88.8%11.7%-16.9%-67.7%13.3%1.5%·
Payout Ratio -7395.6%-684.9%······
Annual Payout $2.15B$2.10B······

Most recent period on the left · null values shown as ·

Financial Statements Income statement, balance sheet, cash flow — annual, last 5 years

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Metric 2025-12-312024-12-312023-12-312022-12-312021-12-31
Revenue $3.82B $4.27B $5.53B $7.11B $9.17B
Gross Margin % 12.8% 7.6% 12.4% 13.9% 11.9%
Operating Margin % 0.12% -13.4% -3.0% -2.8% -7.1%
Net Income $-29M $-307M $36M $-75M $-582M
Diluted EPS $-0.96 $-9.95 $1.11 $-2.36 $-17.88

Institutional owners (13F) 35 filers · $29.2M total · As of June 30, 2026

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Institutions that report holding this stock in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Holders 35
Value held $29.2M
New positions 2
Exited positions 6
Institutional activity — Q2 2026 vs prior quarter
New positions Exited positions Increased Decreased Net shares change
2 (-1 vs prior Q) 6 (+3 vs prior Q) 4 (-1 vs prior Q) 11 (-2 vs prior Q) -293K

Compared to Q1 2026. SEC Form 13F filings are due within 45 days of quarter-end plus a short buffer for late filers — quarters still inside that window are skipped in favor of the most recent fully-reported pair.

Institution Value Shares % of tracked 13F Type
FMR LLC $8,158,616 1,754,541 27.97% Shares
S.A.C. Capital Advisors (Hong Kong) Ltd. $6,318,341 840,205 21.66% Shares
BRIGHT VALLEY CAPITAL Ltd $6,204,165 1,334,229 21.27% Shares
Point72 Asset Management, L.P. $3,908,413 840,519 13.40% Shares
BANK OF AMERICA CORP /DE/ $753,337 162,008 2.58% Shares
RENAISSANCE TECHNOLOGIES LLC $559,200 120,258 1.92% Shares
DIMENSIONAL FUND ADVISORS LP $530,539 114,041 1.82% Shares
SEI INVESTMENTS CO $433,682 93,265 1.49% Shares
MORGAN STANLEY $418,370 89,972 1.43% Shares
Russell Investments Group, Ltd. $402,866 86,638 1.38% Shares
Quinn Opportunity Partners LLC $318,023 68,392 1.09% Shares
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP $283,850 61,043 0.97% Shares
D. E. Shaw & Co., Inc. $207,348 44,591 0.71% Shares
Cubist Systematic Strategies, LLC $180,706 24,030 0.62% Shares
TWO SIGMA ADVISERS, LP $135,524 19,930 0.46% Shares
BNP PARIBAS FINANCIAL MARKETS $88,889 19,116 0.30% Shares
SmartHarvest Portfolios, LLC $74,107 15,937 0.25% Shares
STATE STREET CORP $71,047 15,279 0.24% Shares
UBS Group AG $49,253 10,592 0.17% Shares
Mirae Asset Global Investments Co., Ltd. $26,877 5,780 0.09% Shares
NEW YORK STATE COMMON RETIREMENT FUND $19,186 4,126 0.07% Shares
Federation des caisses Desjardins du Quebec $14,917 3,210 0.05% Shares
RHUMBLINE ADVISERS $7,578 1,630 0.03% Shares
ACADIAN ASSET MANAGEMENT LLC $3,094 671,802 0.01% Shares
CITIGROUP INC $1,083 233 0.00% Shares
SIGNATUREFD, LLC $767 165 0.00% Shares
Arax Advisory Partners $711 153 0.00% Shares
GSA CAPITAL PARTNERS LLP $367 79,011 0.00% Shares
GROUP ONE TRADING LLC $172 37 0.00% Shares
Athos Capital Ltd $111 23,863 0.00% Shares
Eurizon Capital SGR S.p.A. $93 20 0.00% Shares
SBI Securities Co., Ltd. $70 15 0.00% Shares
TD Waterhouse Canada Inc. $47 10 0.00% Shares
Zurcher Kantonalbank (Zurich Cantonalbank) $19 4 0.00% Shares
Caitong International Asset Management Co., Ltd $5 1 0.00% Shares

Activists & 5%+ owners 2 positions

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Investors who filed SEC Schedule 13D — beneficial ownership above 5% with an intent to influence the issuer (activist stakes, board campaigns, M&A). Each row shows the most recent known state of that filer's position.

Filer Filed Stake Status Purpose Filing
HUYA Inc. ×2 filings July 14, 2021 · Initial filing · SEC
Tencent Holdings Limited, Nectarine Investment Limited ×2 filings July 14, 2021 · Initial filing M&A / sale SEC

Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.

DOYU Analyst Consensus Bullish and bearish analyst opinions, 12-month price target, upside

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rating · 7 analysts SELL
Median target $4.82 +8.3%
0 0.0% Strong Buy
0 0.0% Buy
4 57.1% Hold
1 14.3% Sell
2 28.6% Strong Sell

12-Month Price Target

3 analysts · 2026-09-29

Mean target $4.79 +7.5%

← Below all targets Current price $4.45
Low$4.52 Mean$4.79 High$5.02

Peer comparison (GICS sub-industry) Key metrics vs sector peers

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FY basis, prices as of each company's last fiscal year-end close.

Ticker Market Cap P/E Rev YoY Net Margin ROE Gross Margin
DOYU $205M -7.1 · -0.76% -0.94% 12.8%
SOHU $408M 1.1 · 67.4% 35.8% 77.5%
GMHS · 12.3 · 4.1% 11.8% ·
IH $563M 5.8 · 11.8% 9.8% 67.9%

My Metrics Your personal watchlist — selected rows from Full Fundamentals

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Source: SEC 20-F filed Apr 17, 2026