PYPL

PayPal Holdings, Inc.

Ticker: PYPLIndustrialsBusiness ServicesS&P 500
HQ SAN JOSE, CACIK 1633917FY end 12-31Book / share $22.00Shares 901M
Revenue (FY)
$33.17B+4.32%
TTM $34.13B
Op. margin
18.28%+1.54%
TTM 17.42%
Net income
$5.23B+26.19%
TTM $4.90B
Operating cash
$6.42B-13.88%
TTM $7.47B
Free cash flow
$5.56B-17.78%
TTM $6.59B
Return on equity
27.18%+5.14%
TTM 24.73%
Debt / equity
0.49+0.01%
TTM 0.68
Shares outstanding
968.0M-6.83%
TTM 901.0M

The business

PayPal (Europe) S.à r.l. et Cie, S.C.A. operates as a receivables manager and seller within PayPal's broader financial services ecosystem. The company specializes in the origination and management of consumer loan receivables across multiple European markets, including the United Kingdom, Germany, France, Spain, and Italy. Through its securitization platform, PayPal facilitates the sale of these receivables to specialized purchasing entities, enabling efficient capital management and funding diversification.

The core business involves originating consumer loans through PayPal's lending products and subsequently selling the resulting receivables to ALPS Partners S.à r.l., a Luxembourg-based securitization undertaking. This receivables purchase and management framework allows PayPal to maintain liquidity while expanding its lending capacity across European markets. The company manages loan administration duties including borrower servicing, collections, and portfolio monitoring through its receivables management operations.

PayPal's European lending operations serve individual consumers seeking short-term credit facilities. The receivables portfolio encompasses loans originated across multiple jurisdictions, with concentration limits and eligibility criteria designed to maintain portfolio quality and diversification. The company maintains sophisticated underwriting policies and standard documentation frameworks to ensure consistent loan origination standards across all markets.

The securitization structure involves multiple parties including BNY Mellon Corporate Trustee Services Limited as security agent and ALPS Partners (Holding) S.à r.l. as a Class C lender, creating a layered capital structure that supports the funding of ongoing lending operations. PayPal UK Ltd serves as an additional receivables manager, reflecting the company's significant lending presence in the United Kingdom market.

The business model relies on continuous receivables origination, portfolio management, and securitization execution to fund growth in European consumer lending. PayPal's competitive advantages include its established brand recognition, integrated payment and lending platform, sophisticated risk management capabilities, and access to capital markets through securitization infrastructure. The company operates through a network of European entities coordinated under Luxembourg securitization regulations, enabling efficient cross-border lending operations and regulatory compliance across multiple jurisdictions.

Sector
Industrials
Industry
Business Services
HQ
SAN JOSE, CA
FY end
12-31
CIK
1633917
SIC
7389
Financial performance · annual
20152025
$-3.41B$6.83B$17.06B$27.30B$37.54B20152016201720182019202020212022202320242025TTMTTMTTM

Ownership

Who holds PayPal Holdings, Inc. — across funds, superinvestors and bonds · N-PORT 2026Q2 · 13F 2026-06-30

801
funds hold it
2 of 35
superinvestors hold it
$10.79B
fund-held value
28.4%
of shares held by funds
16
bond issues held by funds

Top fund holders

Fund% of fundValue
VANGUARD TOTAL STOCK MARKET INDEX FUND
VTI · VANGUARD INDEX FUNDS
0.05%$1.13B
VANGUARD 500 INDEX FUND
VOO · VANGUARD INDEX FUNDS
0.05%$917.64M
Invesco QQQ Trust, Series 1
QQQ
0.16%$808.53M
Fidelity 500 Index Fund
FXAIX · Fidelity Concord Street Trust
0.06%$527.23M
iShares Core S&P 500 ETF
IVV · iShares Trust
0.06%$523.95M

Superinvestors in PayPal Holdings, Inc.

David EinhornNEW
DME Capital Management (Greenlight)
1.6%
Norbert LouUNCHANGED
Punch Card Management
10.6%

Share of each manager's reported 13F portfolio.

Bonds held by funds

Funds report holding 16 issues of PayPal Holdings, Inc.'s debt, $1.37B at fund-held market value — what funds hold, not the company's debt outstanding. Weighted-average coupon 4.22%, maturing 20262062.

IssueCouponMaturesFundsFund-held
PayPal Holdings, Inc.4.320%Floating2028-03-0632$201.89M
PYPL 2.85 10/01/292.850%2029-10-0172$174.07M
PayPal Holdings Inc5.150%2034-06-0148$163.48M
PYPL 2.3 06/01/302.300%2030-06-0160$115.69M
PayPal Holdings Inc4.400%2032-06-0147$107.43M
PayPal Holdings Inc4.950%2031-06-0140$106.89M
PayPal Holdings, Inc.5.550%2036-06-0140$91.28M
PAYPAL HOLDINGS INC 5.1% 04/01/20355.100%2035-04-0142$91.14M
PYPL 4.45 03/06/284.450%2028-03-0641$64.66M
PayPal Holdings, Inc.3.250%2050-06-0141$47.56M

The 10 largest by fund-held value, of 16.

Fund ownership counts N-PORT filers only, so it is a floor rather than a census — pensions, insurers and direct holders are not visible here, and the remainder is not “held by individuals”.

Fund ownership is a subset of institutional 13F ownership — the two describe overlapping populations and must not be added together.

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15 years of PayPal Holdings, Inc.'s financials

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