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COM:FUTUHOLDINGS

Futu Holdings Limited

  • Stock

USD

Last Close

84.69

22/11 21:00

Market Cap

3.00B

Beta: -

Volume Today

2.38M

Avg: -

Preview

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Dec '17
Mar '18
Jun '18
Sep '18
Dec '18
Mar '19
Jun '19
Sep '19
Dec '19
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
29.89M
-
45.78M
53.16%
24.24M
47.06%
30.32M
25.10%
38.17M
25.90%
45.54M
19.30%
55.33M
21.49%
20.85M
62.32%
43.94M
110.74%
236.49M
438.18%
401.72M
69.87%
687.31M
71.09%
1.16B
69.11%
533.89M
54.07%
615.21M
15.23%
498.81M
18.92%
571.84M
14.64%
641.68M
12.21%
754.64M
17.60%
958.73M
27.04%
152.08M
84.14%
142.84M
6.07%
139.50M
2.34%
878.23M
529.56%
1.04B
18.21%
1.21B
16.77%
depreciation and amortization
1.16M
-
2.76M
-
16.55M
-
13.57M
17.99%
13.66M
-
34.36M
-
33.83M
1.53%
31.49M
-
42.67M
35.49%
deferred income tax
-8.81M
-
-1.58M
-
-13.15M
-
525K
-
-13.16M
2,607.62%
-11.17M
-
-40.41M
261.63%
stock based compensation
2.37M
-
3.20M
-
15.97M
-
32.57M
-
16.87M
48.20%
16.54M
1.96%
30.88M
86.66%
34.62M
12.11%
50.39M
45.55%
46.86M
7.00%
51.45M
9.80%
55.82M
8.49%
74.08M
-
85.94M
16.01%
86.86M
1.07%
change in working capital
304.97M
-
1.04B
-
-30.94M
-
16.40B
53,106.79%
-16.40B
-
18.94B
-
305.06M
98.39%
-13.01B
-
252.02M
101.94%
accounts receivables
62.21M
-
-86.44M
-
-927.26M
-
-1.82B
96.33%
-3.22B
-
743.47M
-
468.82M
36.94%
2.52B
-
-2.66B
205.32%
inventory
accounts payables
1.25B
-
420.70M
-
3.70B
-
-11.22B
403.55%
44.90B
-
-3.54B
-
-1.60B
54.80%
-14.42B
-
-139.81M
99.03%
other working capital
-1.01B
-
704.83M
-
-2.80B
-
29.44B
1,151.10%
-58.07B
-
21.74B
-
1.44B
93.39%
-1.11B
-
3.05B
375.16%
other non cash items
-3.56M
-
689.06M
19,466.61%
-627.20M
191.02%
3.23B
615.56%
-44K
100.00%
-826.67M
1,878,706.82%
250.42M
130.29%
-737.73M
394.59%
3.12B
522.61%
199.43M
93.60%
-401.72M
301.43%
16.13B
4,114.01%
-1.18B
107.31%
-550.43M
53.32%
-64.90M
88.21%
-51.97M
19.92%
-622.23M
1,097.26%
-688.55M
10.66%
231.39M
133.61%
35.82M
84.52%
-152.08M
524.58%
-142.84M
6.07%
-139.50M
2.34%
-952.30M
582.66%
-1.12B
18.04%
-1.30B
15.57%
net cash provided by operating activities
334.82M
-
734.85M
119.47%
-602.96M
182.05%
3.26B
641.31%
1.07B
67.08%
-781.13M
172.71%
305.75M
139.14%
-716.88M
334.46%
3.16B
541.04%
16.85B
432.90%
446.29M
-
19.56B
-
807.19M
95.87%
-11.95B
-
1.30B
110.92%
investments in property plant and equipment
-724K
-
-5.08M
-
-31.52M
-
31.52M
-
-28.80M
-
-13.04M
54.73%
-12.82M
-
-15.04M
17.23%
acquisitions net
-7.52M
-
purchases of investments
-106.21M
-
-1.19B
-
-15.37M
-
-684.30M
4,352.50%
sales maturities of investments
12.04M
-
30.76M
155.55%
other investing activites
19K
-
-5.50M
29,052.63%
-3.56M
35.28%
-21.66M
508.29%
63.96M
395.36%
28.09M
56.07%
-71.81M
355.58%
-35.39M
50.72%
-80.96M
128.77%
80.28M
199.16%
677K
-
net cash used for investing activites
-705K
-
-5.50M
680.28%
-3.56M
35.28%
-21.66M
508.29%
-47.34M
118.59%
28.09M
159.35%
-71.81M
355.58%
-35.39M
50.72%
-80.96M
128.77%
48.76M
160.23%
32.20M
-
-28.80M
-
-1.21B
4,088.44%
-16.16M
-
-676.10M
4,084.33%
debt repayment
-944.85M
-
-1.96B
-
-13.57B
-
-12.10B
10.87%
-15.47B
-
-19.39B
25.35%
common stock issued
-1K
-
common stock repurchased
11.37M
-
-11.37M
-
-1.18B
-
-65.44M
-
-349.35M
433.87%
dividends paid
-10.51B
-
other financing activites
1.98B
-
835.13M
57.92%
2.29B
174.57%
-2.77B
220.68%
1.63B
159.04%
1.03B
36.75%
-531.69M
151.46%
502.16M
194.45%
147.85M
70.56%
139.90M
5.38%
-287.75M
-
-7.81B
-
21.01B
368.89%
17.66B
-
15.32B
13.23%
net cash used provided by financing activities
1.04B
-
835.13M
19.67%
2.29B
174.57%
-2.77B
220.68%
-325.25M
88.25%
1.03B
417.69%
-531.69M
151.46%
502.16M
194.45%
147.85M
70.56%
151.26M
2.31%
-299.11M
-
-21.39B
-
-2.78B
87.00%
2.13B
-
-4.42B
307.67%
effect of forex changes on cash
3.56M
-
12.98M
264.90%
-14.77M
213.77%
438K
102.97%
8.81M
1,910.73%
88.75M
907.76%
-102.58M
215.58%
13.81M
113.46%
-44.65M
423.34%
-52.58M
17.76%
97.22M
-
57.96M
-
78.55M
35.53%
-197.32M
-
-27.10M
86.27%
net change in cash
1.38B
-
1.58B
14.53%
1.67B
5.98%
475.47M
71.56%
710.58M
49.45%
369.01M
48.07%
-400.32M
208.48%
-236.30M
40.97%
3.18B
1,447.43%
17.00B
433.81%
276.60M
-
-1.80B
-
-3.10B
72.30%
-10.03B
-
-3.81B
61.99%
291.96M
107.65%
-461.56M
258.09%
199.86M
143.30%
cash at beginning of period
6.17B
-
7.55B
22.31%
9.13B
20.89%
10.80B
18.31%
11.28B
4.40%
11.99B
6.30%
12.36B
3.08%
11.96B
3.24%
11.72B
1.98%
24.11B
105.77%
64.19B
-
62.39B
2.80%
69.56B
-
59.53B
14.43%
644.48M
98.92%
936.44M
45.30%
474.87M
49.29%
cash at end of period
7.55B
-
9.13B
20.89%
10.80B
18.31%
11.28B
4.40%
11.99B
6.30%
12.36B
3.08%
11.96B
3.24%
11.72B
1.98%
14.90B
27.17%
41.11B
175.85%
276.60M
-
62.39B
-
59.29B
4.97%
59.53B
-
55.72B
6.41%
936.44M
98.32%
474.87M
49.29%
674.74M
42.09%
operating cash flow
334.82M
-
734.85M
119.47%
-602.96M
182.05%
3.26B
641.31%
1.07B
67.08%
-781.13M
172.71%
305.75M
139.14%
-716.88M
334.46%
3.16B
541.04%
16.85B
432.90%
446.29M
-
19.56B
-
807.19M
95.87%
-11.95B
-
1.30B
110.92%
capital expenditure
-724K
-
-5.08M
-
-31.52M
-
31.52M
-
-28.80M
-
-13.04M
54.73%
-12.82M
-
-15.04M
17.23%
free cash flow
334.10M
-
734.85M
119.95%
-602.96M
182.05%
3.26B
641.31%
1.07B
67.24%
-781.13M
173.05%
305.75M
139.14%
-716.88M
334.46%
3.16B
541.04%
16.82B
431.90%
477.81M
-
19.53B
-
794.15M
95.93%
-11.96B
-
1.29B
110.78%

All numbers in USD (except ratios and percentages)