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TTEN·K/calls

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Research and education only — not financial advice. TENKis not a registered investment adviser or broker-dealer and gives no personalized advice. Every call is impersonal — identical for all users, generated on a schedule from SEC filings plus a delayed/third-party price feed — may be wrong or out of date, and is not a recommendation to buy or sell any security. The operator and an affiliated trading operation may hold or trade the securities TENK rates; see Disclosures. Past performance does not guarantee future results. Do your own research.

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Home›Coverage›JOYY
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OverviewFinancialsValuationQualitySmart moneyFilings
JOYY logo

JOYYJOYY Inc.

Next earnings Aug 24, 2026 · consensus $1.41 EPS, $587M rev

Hold
$70.54
▼ -1.70%
Rating
Hold
Quality
B+
Valuation
Fair value
How to read this →
HoldStrong net margin (98.8%); but revenue declined -5.1% YoY.Revenue (FY2025) $2.12BFull call ↓
$70.54▲ +45.96%
over 1Y
L $46.83H $71.76
Our buy Our hold Our sell Earnings Dividend Split Congress buy Congress sellGrouped by date · hover a pin to expand
Today
-1.7%
1W
+1.7%
1M
+3.4%
3M
+20.2%
YTD
+11.5%
1Y
+46.0%
OverviewFinancialsValuationQualitySmart moneyFilings
Hold
Conviction
Horizon
Medium (3–12mo)
Street · 20 analysts
Buy

Strong net margin (98.8%); but revenue declined -5.1% YoY.

Revenue (FY2025) $2.12B · FY2025

This call stands until the filings change it — the engine re-rates on new 10-K/10-Q/8-K facts, never on price moves. Hit Watch above to follow JOYY (Pro alerts fire the moment a rating flips), or catch every change in Saturday’s Flip Side. How to read a call

JOYY Inc. shows $2.12B in FY2025 revenue (-5.1% YoY), a 98.8% net margin, and 32.1% ROE.

Supporting the case: strong net margin (98.8%); high return on equity (32.1%); conservative balance sheet (liabilities/equity 0.15x).

Is JOYY a buy? The one-page verdict, explained →

The options angle

model · matches our verdict
Covered call~60d expiry
  • Long 100 shares @ ~70.54
  • Short call 74 @ ~4.84 est
debit $6,570max +$830max −$6,569BE 65.70

HOLD means own it, don't chase it — harvesting premium against the position matches the verdict.

Open in the calculator →
Browse all model plays →

Educational template, not a trade recommendation. Strikes and premiums are Black-Scholes model estimates from the last close and 30-day realized volatility — real chains, spreads and IV will differ. Options involve substantial risk.

Financialsannual, by fiscal year

Line itemFY21FY22FY23FY24FY25
Revenue$2.62B$2.41B$2.27B$2.24B$2.12B
Gross profit$838M$852M$813M$806M$763M
Operating income-$107M$50.7M$28.8M-$406M$55.8M
Net income-$80.3M$129M$302M-$146M$2.10B
Diluted EPS-$0.06$0.08$0.24-$0.13$1.97
Net margin-3.1%5.3%13.3%-6.5%98.8%

10-year statements — income, cash flow, balance sheet & CSV export →

Annual figures from SEC 10-K XBRL filings. Open the filing links below for full statement detail.

Key statistics

Valuation

Enterprise value$3.20B
EV / EBITDA—
EV / Sales1.5
EV / FCF20.1
P / FCF22.4
PEG (trailing)0.02
Earnings yield58.9%
FCF yield4.5%

Quality & risk

ROIC (est.)0.7%
Free cash flow$159M
Total debt$10.7M
Net cash$364M
Altman Z-Score3.54 safe
Piotroski F-Score5/8

Capital returns

Buyback yield3.7%
Dividend yield (est.)4.4%
Shareholder yield8.1%
Shares Δ YoY-9.1%

Computed from SEC XBRL annual figures + the current quote. EV and ROIC use long-term + current debt where filed; estimates, not investment advice.

Recent filings

all on EDGAR ↗
6-KPeriod ending 2026-05-262026-05-26open ↗20-FPeriod ending 2025-12-312026-04-28open ↗3/APeriod ending 2026-03-232026-04-20open ↗3Period ending 2026-03-232026-03-23open ↗3Period ending 2026-03-182026-03-18open ↗3Period ending 2026-03-182026-03-18open ↗3Period ending 2026-03-182026-03-18open ↗3Period ending 2026-03-182026-03-18open ↗3Period ending 2026-03-182026-03-18open ↗3Period ending 2026-03-182026-03-18open ↗6-KPeriod ending 2026-03-112026-03-11open ↗6-KPeriod ending 2025-11-202025-11-20open ↗

Quality score

B+
ValueGrowthProfitHealthMom.
ValueC+
GrowthB-
ProfitabilityB+
Financial healthA
MomentumA
  • ✗Revenue growing year-over-year
  • ✓Profitable (positive net income)
  • ✓Net margin above 10%
  • ✓Return on equity above 15%
  • ✓Liabilities below 2× equity
  • ✗P/E below 25
45.7852-week71.76
Revenue
$2.12B
-5.1% YoY
Net margin
98.8%
ROE
32.1%
P/E
35.8

SEC fundamentals · FY 2025

'21'22'23'24'25

■ revenue · ■ net income, by fiscal year

Revenue$2.12B-5.1%
Net income$2.10B+1535.0%
Gross profit$763M-5.4%
Operating income$55.8M+113.8%
Diluted EPS$1.97+1615.4%
Cash & equivalents$374M-15.9%
Total assets$7.55B+0.3%
Total liabilities$950M-65.4%
Stockholders' equity$6.54B+38.8%
Gross: 35.9%Op.: 2.6%L/E: 0.15x

Frequently asked

Is JOYY Inc. (JOYY) a buy?
JOYY currently carries a Hold rating with 3/5 conviction, derived from its latest SEC filings. Strong net margin (98.8%); but revenue declined -5.1% YoY.
What is JOYY Inc.'s quality score?
JOYY scores 75.48530194749152/100 (grade B+) on a SEC-grounded quality model spanning value, growth, profitability, financial health and momentum.

Sources: SEC EDGAR (CIK 0001530238, latest 6-K filed 2026-05-26) · EODHD · as of 7/11/2026, 10:37:59 AM.

›About this recommendation — produced by TENK/calls (tenkcalls.com), Luxembourg · not investment advice

Rule-based analysis, generated automatically from SEC filing data.

Investment recommendation produced by TENK/calls (tenkcalls.com), Luxembourg. Completed Jul 11, 2026, 6:37 AM ET. Ratings & methodology: definitions · All recommendations to date: track record · Conflicts: disclosures. Not investment advice.

Research and education only — not financial advice. TENKis not a registered investment adviser or broker-dealer and gives no personalized advice. Every call is impersonal — identical for all users, generated on a schedule from SEC filings plus a delayed/third-party price feed — may be wrong or out of date, and is not a recommendation to buy or sell any security. The operator and an affiliated trading operation may hold or trade the securities TENK rates; see Disclosures. Past performance does not guarantee future results. Do your own research.

Intraday
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NVDA$210.96▲4.03%AAPL$315.32▼0.28%GOOGL$357.18▼0.48%GOOG$355.03▼0.34%MSFT$385.10▲0.19%AMZN$245.34▼0.69%TSM$434.11▼0.65%SPCX$145.30▼4.51%AVGO$399.97▼0.28%META$669.21▲5.97%TSLA$407.76▲0.30%MU$979.30▼1.24%LLY$1,188.58▼2.33%BRK-B$493.71▼0.35%BRK-A$739,750.00▼0.17%JPM$336.47▲0.30%WMT$113.90▲1.51%AMD$557.89▲2.04%ASML$1,797.32▼0.38%V$348.97▲0.22%JNJ$256.98▼0.82%XOM$138.88▲1.03%INTC$109.84▼2.40%AMAT$602.50▲2.35%CSCO$121.31▲2.54%MA$526.74▲0.68%LRCX$350.33▼0.80%ABBV$248.08▼0.73%CAT$952.41▲1.49%BAC$59.67▲0.71%
Intraday
NVDA$210.96▲4.03%AAPL$315.32▼0.28%GOOGL$357.18▼0.48%GOOG$355.03▼0.34%MSFT$385.10▲0.19%AMZN$245.34▼0.69%TSM$434.11▼0.65%SPCX$145.30▼4.51%AVGO$399.97▼0.28%META$669.21▲5.97%TSLA$407.76▲0.30%MU$979.30▼1.24%LLY$1,188.58▼2.33%BRK-B$493.71▼0.35%BRK-A$739,750.00▼0.17%JPM$336.47▲0.30%WMT$113.90▲1.51%AMD$557.89▲2.04%ASML$1,797.32▼0.38%V$348.97▲0.22%JNJ$256.98▼0.82%XOM$138.88▲1.03%INTC$109.84▼2.40%AMAT$602.50▲2.35%CSCO$121.31▲2.54%MA$526.74▲0.68%LRCX$350.33▼0.80%ABBV$248.08▼0.73%CAT$952.41▲1.49%BAC$59.67▲0.71%
NVDA$210.96▲4.03%AAPL$315.32▼0.28%GOOGL$357.18▼0.48%GOOG$355.03▼0.34%MSFT$385.10▲0.19%AMZN$245.34▼0.69%TSM$434.11▼0.65%SPCX$145.30▼4.51%AVGO$399.97▼0.28%META$669.21▲5.97%TSLA$407.76▲0.30%MU$979.30▼1.24%LLY$1,188.58▼2.33%BRK-B$493.71▼0.35%BRK-A$739,750.00▼0.17%JPM$336.47▲0.30%WMT$113.90▲1.51%AMD$557.89▲2.04%ASML$1,797.32▼0.38%V$348.97▲0.22%JNJ$256.98▼0.82%XOM$138.88▲1.03%INTC$109.84▼2.40%AMAT$602.50▲2.35%CSCO$121.31▲2.54%MA$526.74▲0.68%LRCX$350.33▼0.80%ABBV$248.08▼0.73%CAT$952.41▲1.49%BAC$59.67▲0.71%
Smart money○○○→

Smart moneyinsiders · Congress · funds

○○○

Disclosed smart-money activity in JOYY, but no clear buy consensus.

—
Corporate insiders
No recent Form 4 activity
Form 4
—
Congress
No disclosed trades
STOCK Act · ~45d lag
—
Institutions
1 tracked fund hold · $2.45M
13F · quarterly

Different disclosure clocks — Form 4s file within days, Congress PTRs lag up to ~45 days, and 13F holdings are a quarterly snapshot (up to ~4.5 months old). A disclosed-accumulation view, not live correlation.

Held by tracked fundsForm 13F · SEC · quarterly

Dodge & Cox42.0K sh$2.45M

As of each fund’s latest quarterly 13F — a delayed snapshot, not a live position. All tracked funds →

Fails-to-deliver

SEC · settled 2026-06-11
880.00shares failed to deliver0.5× median

JOYY fails-to-deliver history — every published settlement day →

Aggregate CNS settlement fails on the latest published day, vs this name’s trailing median. From SEC fails-to-deliver data (published twice monthly) — a settlement metric, not short interest.

Dividends

Quarterly
Yield (TTM)
6.8%
Annual / share
$4.80
Last ex-date
2026-06-29
Last amount
$1.50
ex 2026-06-29paid 2026-07-14$1.50
ex 2026-04-22paid 2026-05-08$1.38
ex 2026-01-02paid 2026-01-13$0.97
ex 2025-09-22paid 2025-10-10$0.95
ex 2025-06-23paid 2025-07-03$0.94
ex 2025-04-17paid 2025-04-30$0.93

Source: EODHD. Yield = trailing-12-month dividends ÷ price.

Recent news

market news →
JOYY Recognized as “Most Honored Company” in Extel’s 2026 Asia Executive Team SurveyBullish
finance.yahoo.com· 2026-06-30
JOYY Inc (JOYY) Q1 2026 Earnings Call Highlights: Strong Revenue Growth and Strategic ...Bullish
finance.yahoo.com· 2026-06-17
JOYY’s US$900m Dividend Plan Puts Capital Returns Under The MicroscopeBullish
finance.yahoo.com· 2026-06-08
Sharp Net Income Drop Amid Higher Sales Could Be A Game Changer For JOYY (JOYY)Bullish
finance.yahoo.com· 2026-06-08
Asian Equities Traded in US as ADRs Fall in Wednesday Trading
finance.yahoo.com· 2026-05-27
Asian Equities Traded in the US as American Depositary Receipts Rise Sharply in Tuesday Trading
finance.yahoo.com· 2026-05-26

Vs tracked universe

compare →

1184 tracked peers · median

TENK Score75 vs 67
Revenue growth-5.1% vs 7.6%
Net margin98.8% vs 10.0%
Return on equity32.1% vs 12.0%
P/E35.8 vs 26.5

News sentiment

EODHD · 8d
Bearish
-0.29
vs typical · 16 articles
↓ cooling

Recent news tone vs the market's typical (which skews positive). A soft signal, not a recommendation.