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NASDAQ:TIGR

Tiger Brokers

  • Stock

USD

Last Close

10.35

06/11 22:08

Market Cap

702.29M

Beta: 1.35

Volume Today

2.30M

Avg: 900.86K

PE Ratio

15.62

PFCF: 36.52

Preview

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Dec '18
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
Sep '24
Dec '24
net income
-1.96M
-
1.09M
155.50%
3.84M
252.52%
-2.97M
177.25%
21.06M
809.22%
-21.51M
202.14%
20.52M
195.41%
19.18B
93,349.80%
-5.88M
100.03%
-887.05K
84.91%
3.34M
476.13%
1.24M
62.75%
7.96M
540.81%
13.19M
65.58%
13.25M
0.49%
-1.84M
113.85%
12.33M
771.75%
2.59M
78.97%
17.75M
584.64%
28.05M
57.99%
depreciation and amortization
118.53K
-
-118.53K
-
928.30M
-
2.48M
-
2.02M
18.35%
2.43M
20.33%
2.53M
3.94%
2.24M
11.61%
deferred income tax
-1.25M
-
1.25M
-
1.77B
-
1.25M
-
stock based compensation
6.05B
-
4.36M
-
14.21M
-
2.90M
-
2.42M
-
change in working capital
-12.12M
-
12.12M
-
12.12M
-
12.12M
-
accounts receivables
787.11K
-
-787.11K
-
-787.11K
-
-787.11K
-
inventory
accounts payables
-222.05K
-
222.05K
-
222.05K
-
222.05K
-
other working capital
-12.69M
-
12.69M
-
12.69M
-
12.69M
-
other non cash items
319.10K
-
-1.09M
441.65%
-3.84M
252.52%
4.61M
220.06%
-21.06M
556.33%
21.51M
202.14%
-20.52M
195.41%
507.35B
2,472,520.68%
5.88M
100.00%
887.05K
84.91%
-860.45K
197.00%
-15.95M
1,753.85%
-5.53M
65.33%
-10.66M
92.69%
-11.01M
3.35%
-1.06M
90.37%
-12.33M
1,062.36%
-2.59M
78.97%
-17.75M
584.64%
-30.47M
71.63%
net cash provided by operating activities
-14.90M
-
14.90M
-
535.30B
-
4.36M
-
4.95M
13.71%
14.90M
200.79%
4.87M
67.33%
5.06M
3.94%
4.47M
11.61%
investments in property plant and equipment
-420.85K
-
420.85K
-
-977.72M
-
420.85K
-
acquisitions net
purchases of investments
-31.45B
-
sales maturities of investments
other investing activites
-19.53M
-
19.53M
-
76.00B
-
19.53M
-
net cash used for investing activites
-19.95M
-
19.95M
-
43.58B
-
19.95M
-
debt repayment
common stock issued
common stock repurchased
dividends paid
other financing activites
2.20M
-
-2.20M
-
-8.37B
-
-2.20M
-
net cash used provided by financing activities
2.20M
-
-2.20M
-
-8.37B
-
-2.20M
-
effect of forex changes on cash
4.30K
-
-4.30K
-
-4.30K
-
-4.30K
-
net change in cash
-32.63M
-
32.63M
-
570.50B
-
4.36M
-
-70.38M
1,716.17%
20.26M
128.79%
-49.83M
345.87%
96.27M
293.21%
-53.84M
155.93%
cash at beginning of period
64.85M
-
377.10B
-
327.78M
-
257.40M
21.47%
277.66M
7.87%
227.84M
17.94%
324.10M
42.25%
cash at end of period
32.21M
-
32.63M
-
947.60B
-
4.36M
-
257.40M
5,810.34%
277.66M
7.87%
227.84M
17.94%
324.10M
42.25%
270.26M
16.61%
operating cash flow
-14.90M
-
14.90M
-
535.30B
-
4.36M
-
4.95M
13.71%
14.90M
200.79%
4.87M
67.33%
5.06M
3.94%
4.47M
11.61%
capital expenditure
-420.85K
-
420.85K
-
-977.72M
-
420.85K
-
free cash flow
-15.32M
-
15.32M
-
534.32B
-
4.36M
-
4.95M
13.71%
15.32M
209.29%
4.87M
68.23%
5.06M
3.94%
4.47M
11.61%

All numbers in USD (except ratios and percentages)