HUSN
NASDAQ:HUSN
Hudson Capital Inc.
- Stock
Last Close
1.82
01/01 00:00
Volume Today
5.06K
Avg: 1.78M
PE Ratio
−2.28
PFCF: -
Preview
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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)