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Markets
/
Stocks
/
nasdaq-huiz
/
Huize Holding Ltd
HUIZ
2.200
USD
+0.040
+1.85%
Market hours (ET)
Quotes delayed by 15 min
USD
0.000
Pre-market (ET)
94.41M
Market Cap
Loss
P/E TTM
Huize Holding Ltd
2.200
+0.040
+1.85%
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2019Q4
FY2019Q3
FY2018Q4
FY2018Q3
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-145.70%
-27.31M
4851.18%
90.16M
--
59.75M
--
1.82M
Net income from continuing operations
-79.77%
-7.54M
464.66%
16.10M
--
-4.20M
--
2.85M
Operating gains losses
16.59%
1.06M
47.04%
1.07M
--
910.00K
--
727.00K
Deferred tax
-121.63%
-69.00K
141.30%
19.00K
--
319.00K
--
-46.00K
Other non-cash items
150.00%
995.00K
557.58%
151.00K
--
398.00K
--
-33.00K
Change in working capital
-170.67%
-35.34M
498.03%
59.86M
--
50.00M
--
-15.04M
-Change in receivables
-327.14%
-25.45M
-572.99%
-36.91M
--
-5.96M
--
7.80M
-Change in prepaid expenses
698.85%
4.16M
-1082.97%
-9.65M
--
-695.00K
--
-816.00K
-Change in payables and accrued expense
1059.52%
6.85M
74.39%
783.00K
--
-714.00K
--
449.00K
-Change in other current assets
-13.05%
-4.33M
--
-3.39M
--
-3.83M
--
0.00
-Change in other current liabilities
6.91%
21.24M
104.01%
2.24M
--
19.87M
--
1.10M
Cash from non-recurring investing activities
Cash from operating activities
-145.70%
-27.31M
4851.18%
90.16M
--
59.75M
--
1.82M
Investing cash flow
Net cash from continuing investing activities
411.27%
2.45M
195.20%
1.60M
--
479.00K
--
542.00K
Capital expenditures
380.20%
2.45M
195.20%
1.60M
--
510.00K
--
542.00K
Net cash flow from disposal of fixed assets
411.27%
2.45M
195.20%
1.60M
--
479.00K
--
542.00K
Net cash flow from investment products
--
0.00
--
-1.00M
--
0.00
--
0.00
Net cash flow from other investing activities
--
0.00
--
1.05M
--
--
--
--
Cash from non-current investing activities
Net cash flow from investing activities
-411.27%
-2.45M
-186.35%
-1.55M
--
-479.00K
--
-542.00K
Financing cash flow
Cash flow from continuous financing activities
-23.22%
18.92M
-121.37%
-6.29M
--
24.64M
--
29.41M
Net cash flow from debt Issuance/repayment
12.47%
27.71M
-121.37%
-6.29M
--
24.64M
--
29.41M
Net cash flow from other financing activities
--
-8.79M
--
--
--
--
--
--
Net cash from non-recurrent financing activities
Net cash from financing activities
-23.22%
18.92M
-121.37%
-6.29M
--
24.64M
--
29.41M
Net cash flow
Beginning cash balance
280.87%
260.46M
373.62%
178.03M
--
68.39M
--
37.59M
Current period cash flow changes
-113.28%
-11.14M
167.68%
82.44M
--
83.89M
--
30.80M
Effect of exchange rate changes
-1046.15%
-298.00K
0.00%
112.00K
--
-26.00K
--
112.00K
Ending cash balance
63.74%
249.33M
280.87%
260.46M
--
152.27M
--
68.39M
Free cash flow
-150.23%
-29.76M
6824.24%
88.56M
--
59.24M
--
1.28M
Currency unit
USD
USD
USD
USD
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