HUSN

NASDAQ:HUSN

Hudson Capital Inc.

  • Stock

USD

Last Close

1.82

01/01 00:00

Volume Today

5.06K

Avg: 1.78M

PE Ratio

−2.28

PFCF: -

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Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
net income
-164.25K
-
5.61M
3,516.76%
13.89M
147.48%
24.05M
73.15%
-3.82M
115.88%
-62.00M
1,523.46%
-9.08M
85.36%
-2.15M
76.36%
depreciation and amortization
8.61K
-
9.98K
15.86%
39.31K
293.97%
59.91K
52.38%
62.36K
4.09%
1.18K
98.11%
3.20K
171.50%
deferred income tax
-54.48K
-
53.75K
198.66%
-38.89K
-
-1.73M
4,356.55%
1.79M
203.30%
stock based compensation
change in working capital
-92.72K
-
-4.62M
4,884.85%
572.08K
112.38%
3.55M
521.40%
-21.26M
698.05%
2.83M
113.31%
455.51K
83.90%
-2.71M
695.63%
accounts receivables
-5.08M
-
-3.69M
27.30%
2.27M
161.41%
-13.33M
688.20%
-1.45M
89.11%
7.26K
100.50%
inventory
-7.94M
-
accounts payables
66.56K
-
-70.24K
205.54%
other working capital
453.52K
-
4.26M
839.72%
1.22M
71.32%
76.20K
93.77%
4.28M
5,516.61%
448.25K
89.53%
other non cash items
-454.84K
-
-3
100.00%
4
233.33%
9.49M
237,145,125%
56.24M
492.91%
4.80M
91.47%
942
99.98%
net cash provided by operating activities
-311.45K
-
597.60K
291.88%
14.47M
2,321.49%
27.60M
90.75%
-17.27M
162.55%
-1.07M
93.80%
-3.82M
256.43%
-4.85M
27.13%
investments in property plant and equipment
-8.09K
-
-46.43K
473.96%
-191.69K
-
-175.97K
8.20%
-108.09K
-
-5.37K
95.03%
acquisitions net
-1.47M
-
purchases of investments
sales maturities of investments
other investing activites
-24.09M
-
2.49M
110.34%
-20.64M
928.51%
-7.55M
63.44%
-200K
97.35%
-2.35M
-
net cash used for investing activites
-8.09K
-
-24.14M
298,260.94%
2.49M
110.32%
-22.31M
995.33%
-7.72M
65.38%
-200K
97.41%
-108.09K
45.95%
-2.36M
2,078.99%
debt repayment
-1.05M
-
-67.43K
93.55%
-128.41K
-
-31.20K
75.70%
common stock issued
18.97M
-
4.28M
-
3.60M
15.86%
common stock repurchased
dividends paid
other financing activites
324.20K
-
25.48M
7,759.94%
-15.68M
161.53%
672.24K
104.29%
net cash used provided by financing activities
324.20K
-
24.44M
7,437.44%
-15.75M
164.44%
19.64M
224.73%
-128.41K
100.65%
-31.20K
75.70%
4.28M
13,811.10%
3.60M
15.86%
effect of forex changes on cash
20
-
-446.06K
2,230,380%
209.11K
146.88%
348.37K
66.60%
-468.39K
234.45%
-262.68K
43.92%
2.91M
1,207.61%
557.42K
80.84%
net change in cash
4.68K
-
450.52K
9,526.41%
1.43M
216.35%
25.28M
1,674.10%
-25.59M
201.19%
-1.57M
93.88%
3.26M
308.32%
-3.05M
193.63%
cash at beginning of period
10
-
4.68K
46,750%
455.20K
9,616.14%
1.88M
313.10%
27.17M
1,344.63%
1.58M
94.19%
13.57K
99.14%
3.27M
24,034.20%
cash at end of period
4.69K
-
455.20K
9,605.78%
1.88M
313.10%
27.17M
1,344.63%
1.58M
94.19%
13.57K
99.14%
3.27M
24,034.20%
221.31K
93.24%
operating cash flow
-311.45K
-
597.60K
291.88%
14.47M
2,321.49%
27.60M
90.75%
-17.27M
162.55%
-1.07M
93.80%
-3.82M
256.43%
-4.85M
27.13%
capital expenditure
-8.09K
-
-46.43K
473.96%
-191.69K
-
-175.97K
8.20%
-108.09K
-
-5.37K
95.03%
free cash flow
-319.54K
-
551.17K
272.49%
14.47M
2,525.49%
27.41M
89.43%
-17.44M
163.63%
-1.07M
93.86%
-3.93M
266.51%
-4.86M
23.76%

All numbers in USD (except ratios and percentages)