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Mercado Libre Cash Flow Statement

Operating, investing, and financing cash movements

Mercado Libre generated $13.2B in operating cash flow over the trailing twelve months. After $1.3B in capital expenditures, free cash flow was $11.8B. Free cash flow increased 0.8% year-over-year. Based on the Q1 2026 filing.

Latest FilingQ1 2026
Report Date2026-05-08
Market Cap$84.4B
P/E Ratio43.95
ROE31.26%

Operating

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Change in accounts payable$638.0M-$191.0M$614.0M$295.0M$769.0M$340.0M
Change in inventories$3.0M$46.0M$54.0M$87.0M$48.0M$88.0M
Change in other liabilities$120.0M-$223.0M$359.0M$123.0M
Benefit from Receivables$527.0M$603.0M$690.0M$815.0M$983.0M$1.2B
Deferred income taxes-$76.0M-$60.0M-$94.0M-$156.0M-$159.0M-$261.0M
Depreciation and amortization$152.0M$172.0M$199.0M$209.0M$238.0M$246.0M
Change in Derivative Assets and Liabilities$24.0M-$28.0M-$24.0M-$44.0M-$21.0M-$95.0M
Unrealized Foreign Currency Transaction Gain (Loss)-$110.0M$2.0M-$97.0M-$202.0M-$160.0M$66.0M
Unrealized Foreign Currency Transaction Gain (Loss)-$110.0M$2.0M-$97.0M-$202.0M-$160.0M$66.0M
Foreign Currency Transaction Gain (Loss)-$110.0M$2.0M-$97.0M-$202.0M-$160.0M$66.0M
Net cash from operating activities$2.9B$1.0B$2.9B$3.0B$5.2B$2.1B
Net income$639.0M$494.0M$523.0M$421.0M$559.0M$417.0M
Accrued Interest And Financial Income From Investments$128.0M$157.0M$168.0M$525.0M$283.0M
Accrued Interest, Financial Income And Other Revenues From Investments$103.8M$304.0M$304.0M$304.0M$304.0M
Non cash interest expense and amortization of debt issuance costs and other charges$147.0M$68.0M$105.0M$98.0M$125.0M$100.0M
Unrealized Gain (Loss), Foreign Currency Transaction, before Tax-$110.0M$2.0M-$97.0M-$202.0M-$160.0M$66.0M
Amounts payable due to credit and debit card transactions$452.0M$87.0M$328.0M$351.0M$826.0M$523.0M
Increase (Decrease) In Digital Assets At Fair Value$15.0M-$12.0M$16.0M$9.0M$0.0
Funds payable to customers$1.7B$58.0M$1.6B$971.0M$2.7B$585.0M
Increase Decrease In Funds Receivable From Customers$1.1B$71.0M$926.0M$62.0M$887.0M
Operating lease liabilities-$58.0M-$79.0M-$132.0M-$118.0M
Increase (Decrease) in Other Operating Assets$38.0M$247.0M$257.0M$98.0M
Loss Contingency Accrual Provision$65.0M$23.0M$28.0M$20.0M$35.0M$39.0M
Interest received from investments$59.0M$127.0M$93.0M$200.0M$164.0M$68.0M
Accounts Receivable, Credit Loss Expense (Reversal)$527.0M$603.0M$690.0M$815.0M$983.0M$1.2B
Stock Option Plan Expense$51.0M$92.0M$96.0M$64.0M$51.0M$96.0M
Unrealized Foreign Currency Transaction Gain (Loss)-$110.0M$2.0M-$97.0M-$202.0M-$160.0M$66.0M
Impairment of RBH Equity Investment$0.0$4.8M$4.8M$4.8M$4.8M
Unrealized Foreign Currency Gain (Loss)-$110.0M$2.0M-$97.0M-$202.0M-$160.0M$66.0M

Free Cash Flow

MetricQ4 '24Q1 '25Q2 '25Q3 '25Q4 '25Q1 '26
Free cash flow$2.6B$759.0M$2.6B$2.6B$4.8B$1.8B