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Markets
/
Stocks
/
nasdaq-huiz
/
Huize Holding Ltd
HUIZ
3.480
USD
-0.120
-3.33%
Close 11/06, 16:00(ET)
Quotes delayed by 15 min
3.600
USD
+3.600
After-hours 11/07, 20:00 (ET)
149.34M
Market Cap
8.26
P/E TTM
Huize Holding Ltd
3.480
-0.120
-3.33%
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Analysis
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
-144.37%
-3.86M
4774.60%
12.92M
--
8.69M
--
265.14K
Net income from continuing operations
-74.56%
-1.07M
455.92%
2.31M
--
-610.43K
--
415.26K
Operating gains losses
13.21%
149.84K
44.77%
153.24K
--
132.35K
--
105.85K
Deferred tax
-121.00%
-9.74K
140.67%
2.72K
--
46.40K
--
-6.70K
Other non-cash items
142.75%
140.52K
550.50%
21.65K
--
57.89K
--
-4.80K
Change in working capital
-168.63%
-4.99M
491.88%
8.58M
--
7.27M
--
-2.19M
-Change in receivables
-314.76%
-3.59M
-565.67%
-5.29M
--
-866.41K
--
1.14M
-Change in prepaid expenses
681.49%
587.79K
-1064.67%
-1.38M
--
-101.08K
--
-118.81K
-Change in payables and accrued expense
1031.70%
967.55K
71.69%
112.24K
--
-103.85K
--
65.38K
-Change in other current assets
-9.77%
-611.65K
--
-485.96K
--
-557.20K
--
0.00
-Change in other current liabilities
3.81%
3.00M
100.86%
320.82K
--
2.89M
--
159.73K
Cash from non-recurring investing activities
Cash from operating activities
-144.37%
-3.86M
4774.60%
12.92M
--
8.69M
--
265.14K
Investing cash flow
Net cash from continuing investing activities
396.45%
345.86K
190.64%
229.36K
--
69.67K
--
78.92K
Capital expenditures
366.27%
345.86K
190.64%
229.36K
--
74.18K
--
78.92K
Net cash flow from disposal of fixed assets
396.45%
345.86K
190.64%
229.36K
--
69.67K
--
78.92K
Net cash flow from investment products
--
0.00
--
-143.35K
--
0.00
--
0.00
Net cash flow from other investing activities
--
0.00
--
150.23K
--
--
--
--
Cash from non-current investing activities
Net cash flow from investing activities
-396.45%
-345.86K
-181.92%
-222.48K
--
-69.67K
--
-78.92K
Financing cash flow
Cash flow from continuous financing activities
-25.45%
2.67M
-121.04%
-900.96K
--
3.58M
--
4.28M
Net cash flow from debt Issuance/repayment
9.21%
3.91M
-121.04%
-900.96K
--
3.58M
--
4.28M
Net cash flow from other financing activities
--
-1.24M
--
--
--
--
--
--
Net cash from non-recurrent financing activities
Net cash from financing activities
-25.45%
2.67M
-121.04%
-900.96K
--
3.58M
--
4.28M
Net cash flow
Beginning cash balance
269.83%
36.78M
366.29%
25.52M
--
9.95M
--
5.47M
Current period cash flow changes
-112.89%
-1.57M
163.54%
11.82M
--
12.20M
--
4.48M
Effect of exchange rate changes
-1012.92%
-42.09K
-1.55%
16.06K
--
-3.78K
--
16.31K
Ending cash balance
58.99%
35.21M
274.98%
37.34M
--
22.15M
--
9.96M
Free cash flow
-148.77%
-4.20M
6717.14%
12.70M
--
8.62M
--
186.23K
Currency unit
USD
USD
USD
USD
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