JOYY ADR

JOYY · Communication Services · China China

JOYY ADR (JOYY) is a company in the Communication Services sector, based in China. The stock is held in 1 ETF we track – with its largest weight of 0.02 % in IS3N (msci-em-imi). Anyone holding one of these ETFs also owns a small indirect stake in JOYY.

How many funds hold this stock?

Low ETF coverage: 1 of the 95 ETFs we cover holds JOYY, spread across one index. That places it among the least widely held names in index funds — of the 4,334 stocks we cover, none sits in fewer ETFs.

The line counts the funds we cover, not the market. Dashed: how many funds published a holdings list on that date.

Data note 1

Held in1 ETF
Highest weight0.02 %
Indices1
SectorCommunication Services
CountryChina

Data note 2

Price chart

The chart shows the US listing in US dollars. The price on the home exchange can differ: a different currency, different trading hours, and for depositary receipts (ADRs) one receipt is not always one share.

Data note 3

Performance

Performance
Year to date+21.8 %1 year+25.8 %
1 month+5.4 %3 months+20.0 %
52W

Data note 4

Measured in euros, JOYY returned +24.7 % year to date and +29.7 % over one year. The gap to the dollar figures above comes from the exchange rate alone: each daily price is converted at the ECB euro reference rate for the same day.

Data note 5

Risk metrics

Max drawdown-22.8 %
Volatility p.a.39.0 %

Data note 6

Below peak0.0 %
Beta to S&P 5000.68
Correlation to S&P 5000.23

The close on Sep 17, 2026 was the highest since our series begins on Aug 21, 2025. Over the last 215 trading days, on days when the S&P 500 rose or fell 1 %, JOYY moved on average 0.68 % in the same direction. The correlation of 0.23 shows how reliable that average is: the broad market explained only a small share of the daily moves.

Data note 7

Correlated with

The strongest co-movers on top, the most inverse below. Low or negative values improve portfolio diversification.

Data note 8

Key financials

Latest reported fiscal year (FY2025, period end 2025-12-31) as filed with the SEC.

Net income2.1 bn $
Diluted EPS1.97 $
Return on equity32.1 %
Equity ratio86.6 %
Revenue and profit by fiscal year
Fiscal yearRevenueNet incomeMargin
FY20230.3
FY2024-0.1
FY20252.1

Data note 9

What ETF is JOYY in?

What ETF is JOYY in
ETFIndexWeightper €1,000 in the ETF
IS3Nmsci-em-imi0.02 %€0.20

Data note 10

The last column turns the weight into euros: this much of €1,000 invested in one of these funds is allocated to JOYY as of the fund's latest holdings list.

How much JOYY ADR overlaps with other holdings in a portfolio is shown by the What's Inside Your ETF Portfolio and the ETF overlap check.

Stocks with similar ETF exposure

Names that reach a portfolio through largely the same funds as JOYY — the figure counts the ETFs holding both.

Data note 11

Key figures side by side

Key figures compared with stocks of similar ETF exposure
Stock1 yearVolatility p.a.Net marginRevenue growth
JOYY+25.8 %39.0 %
Autohome ADS Representing Inc Cla-29.2 %37.0 %22.4 %-4.3 %
Iqiyi ADS Representing Class A in-58.8 %46.8 %-0.8 %-2.5 %
Hello Group-36.6 %30.0 %+2.4 %

Return and volatility from our daily closing prices in US dollars; margin and growth from the latest SEC annual filing. Fiscal years do not all end on the same date.

Latest Investment Intelligence News: Stocks