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NASDAQ:BZ

Kanzhun Limited

  • Stock

USD

Last Close

20.28

03/05 20:00

Market Cap

5.72B

Beta: -

Volume Today

4.17M

Avg: 2.53M

PE Ratio

72.57

PFCF: 20.89

Dividend Yield

0.19%

Payout:0%

Dec '19
Dec '20
Dec '21
Dec '22
net income
-502.06M
-
-941.89M
87.61%
-1.07B
13.71%
107.25M
110.01%
depreciation and amortization
57.55M
-
108.04M
87.74%
189.44M
75.34%
287.40M
51.71%
deferred income tax
5.30M
-
-4.52M
185.29%
9.32M
306.10%
stock based compensation
34.25M
-
124.11M
262.35%
417.28M
236.23%
692.20M
65.88%
change in working capital
304.57M
-
567.23M
86.24%
603.90M
6.47%
4.20M
99.31%
accounts receivables
-1.53M
-
-5.20M
240.38%
6.00M
215.30%
-5.98M
199.75%
inventory
-58.44M
-
9.64M
116.50%
-173.78M
1,902.19%
accounts payables
29.28M
-
-22.75M
177.68%
13.46M
159.19%
10.18M
24.40%
other working capital
335.25M
-
585.53M
74.65%
758.22M
29.49%
-4.20M
100.55%
other non cash items
26K
-
533.13M
2,050,403.85%
1.51B
182.55%
-97.33M
106.46%
net cash provided by operating activities
-105.66M
-
395.91M
474.69%
1.64B
314.58%
1.00B
38.89%
investments in property plant and equipment
-64.04M
-
-138.21M
115.82%
-259.89M
88.04%
-340.12M
30.87%
acquisitions net
-9.93M
-
purchases of investments
-1.17B
-
-1.83B
56.53%
-3.94B
114.79%
-5.21B
32.31%
sales maturities of investments
12.12M
-
2.44B
20,030.94%
3.60B
47.47%
2.75B
23.67%
other investing activites
11K
-
36K
227.27%
29K
19.44%
324K
1,017.24%
net cash used for investing activites
-1.22B
-
467.31M
138.18%
-601.86M
228.79%
-2.82B
367.98%
debt repayment
-30M
-
common stock issued
79.00M
-
6.41B
8,010.17%
common stock repurchased
-11.58M
-
-918.89M
7,832.44%
dividends paid
other financing activites
1.02B
-
2.80B
173.88%
35.98M
98.72%
249.66M
593.99%
net cash used provided by financing activities
993.48M
-
2.88B
190.10%
6.43B
123.14%
-669.23M
110.41%
effect of forex changes on cash
43.11M
-
-154.48M
458.31%
-127.23M
17.64%
892.84M
801.77%
net change in cash
-292.88M
-
3.59B
1,326.06%
7.34B
104.51%
-1.59B
121.65%
cash at beginning of period
700.23M
-
407.36M
41.83%
4.00B
881.50%
11.34B
183.67%
cash at end of period
407.36M
-
4.00B
881.50%
11.34B
183.67%
9.75B
14.02%
operating cash flow
-105.66M
-
395.91M
474.69%
1.64B
314.58%
1.00B
38.89%
capital expenditure
-64.04M
-
-138.21M
115.82%
-259.89M
88.04%
-340.12M
30.87%
free cash flow
-169.70M
-
257.70M
251.85%
1.38B
436.08%
662.92M
52.01%

All numbers in USD (except ratios and percentages)