US Stock MarketDetailed Quotes

FUTU Futu Holdings Ltd

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  • 66.380
  • +3.380+5.37%
Close Apr 26 16:00 ET
  • 66.370
  • -0.010-0.02%
Post 19:58 ET
9.16BMarket Cap16.93P/E (TTM)

Futu Holdings Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-282.37%-6.34B
-42.20%3.47B
61.63%1.3B
-161.09%-11.95B
-70.61%6.01B
807.19M
19.56B
938.71%20.46B
-55.94%1.97B
Net income from continuing operations
46.19%4.28B
4.15%2.93B
92.20%958.73M
22.66%754.64M
112.01%2.81B
--498.81M
--615.21M
700.13%1.33B
19.60%165.66M
----
Operating gains losses
-194.56%-120.86M
192.46%127.82M
157.11%29.88M
428.13%193.26M
-1,341.44%-138.23M
---52.33M
---58.9M
50.98%11.14M
197.81%7.38M
----
Depreciation and amortization
14.41%171.21M
24.57%149.65M
26.11%42.67M
-8.34%31.49M
50.58%120.13M
--33.83M
--34.36M
20.69%79.78M
693.80%66.1M
----
Deferred tax
71.66%-14.77M
-143.16%-52.11M
-206.91%-40.41M
-2,228.19%-11.17M
-63.02%-21.43M
---13.17M
--525K
-734.14%-13.15M
-110.16%-1.58M
----
Change In working capital
-40,404.21%-10.9B
-99.14%27.05M
-17.39%252.02M
-168.67%-13.01B
-83.48%3.14B
--305.06M
--18.94B
1,007.63%19.01B
-60.14%1.72B
----
-Change in receivables
-276.31%-6.15B
126.54%3.49B
-77.43%387.19M
-93.13%1.59B
37.23%-13.14B
--1.72B
--23.1B
-885.04%-20.93B
-282.19%-2.12B
----
-Change in prepaid assets
-11.51%-9.93M
-33.83%-8.9M
-372.19%-3.44M
-144.00%-5.63M
-734.83%-6.65M
--1.26M
--12.78M
128.63%1.05M
29.12%-3.66M
----
-Change in payables and accrued expense
-280.53%-4.2B
-85.75%2.33B
102.56%35.14M
-307.62%-14.33B
-52.58%16.31B
---1.37B
---3.52B
809.91%34.4B
-22.58%3.78B
----
-Change in other current assets
-4.53%-388.55M
-75.87%-371.7M
111.77%9.43M
98.87%-1.45M
-35.29%-211.35M
---80.12M
---127.91M
-848.91%-156.22M
123.30%20.86M
----
-Change in other current liabilities
83.10%-158.26M
-180.49%-936.44M
-136.49%-176.31M
-229.39%-253.76M
397.53%1.16B
--483.14M
--196.12M
474.63%233.83M
-43.47%40.69M
----
-Change in other working capital
----
-353.51%-4.47B
--0
--0
-118.07%-985.18M
---443.65M
---724.51M
342,758.30%5.45B
--1.59M
----
Cash from discontinued investing activities
Operating cash flow
-282.37%-6.34B
-42.20%3.47B
61.63%1.3B
-161.09%-11.95B
-70.61%6.01B
--807.19M
--19.56B
938.71%20.46B
-55.94%1.97B
194.29%3.16B
Investing cash flow
Cash flow from continuing investing activities
-2,704.35%-2.44B
109.74%93.86M
43.95%-676.1M
43.89%-16.16M
-294.62%-963.57M
-1.21B
-28.8M
-52.56%-244.18M
-105.06%-160.06M
Net PPE purchase and sale
14.09%-77.76M
-28.48%-90.52M
-15.33%-15.04M
55.46%-12.83M
-57.80%-70.46M
---13.04M
---28.8M
62.27%-44.65M
-529.86%-118.33M
----
Net business purchase and sale
83.99%-17.54M
---109.53M
---7.52M
--0
--0
--0
--0
--0
----
----
Net investment purchase and sale
-899.26%-2.35B
132.91%293.91M
45.22%-653.55M
---3.33M
-347.62%-893.11M
---1.19B
--0
-378.19%-199.53M
29.60%-41.73M
----
Cash from discontinued investing activities
Investing cash flow
-2,704.35%-2.44B
109.74%93.86M
43.95%-676.1M
43.89%-16.16M
-294.62%-963.57M
---1.21B
---28.8M
-52.56%-244.18M
-105.06%-160.06M
-71.03%-80.96M
Financing cash flow
Cash flow from continuing financing activities
132.93%2.31B
-166.41%-7.01B
-58.77%-4.42B
109.94%2.13B
25.54%10.55B
-2.78B
-21.39B
630.00%8.41B
3,126.74%1.15B
Net issuance payments of debt
181.73%3.17B
-546.07%-3.88B
-156.50%-4.08B
110.28%2.2B
-78.34%869.82M
---1.59B
---21.39B
3,795.09%4.02B
-404.47%-108.66M
----
Net common stock issuance
72.20%-874.69M
-132.51%-3.15B
70.36%-349.35M
---65.44M
313.63%9.68B
---1.18B
--0
85.79%2.34B
--1.26B
----
Proceeds from stock option exercised by employees
-28.88%11.62M
-30.48%16.33M
-20.93%2.89M
-60.66%509K
-98.86%23.49M
--3.65M
--1.29M
211,659.13%2.05B
--969K
----
Net other financing activities
----
----
----
---6.52M
---16.86M
---16.51M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
132.93%2.31B
-166.41%-7.01B
-58.77%-4.42B
109.94%2.13B
25.54%10.55B
---2.78B
---21.39B
630.00%8.41B
3,126.74%1.15B
145.46%147.85M
Net cash flow
Beginning cash position
-6.03%55.72B
36.23%59.29B
-4.59%59.53B
8.37%69.56B
192.02%43.52B
--62.39B
--64.19B
24.33%14.9B
58.73%11.99B
3.93%11.72B
Current changes in cash
-88.15%-6.47B
-122.05%-3.44B
-19.09%-3.79B
-429.44%-9.84B
-45.48%15.6B
---3.18B
---1.86B
866.55%28.62B
-33.13%2.96B
360.06%3.23B
Effect of exchange rate changes
149.08%66.35M
-180.89%-135.2M
-134.50%-27.1M
-440.45%-197.32M
15,062.40%167.13M
--78.55M
--57.96M
97.50%-1.12M
-698.98%-44.67M
-606.95%-44.65M
End cash Position
-11.50%49.31B
-6.03%55.72B
-6.03%55.72B
-4.59%59.53B
36.23%59.29B
--59.29B
--62.39B
192.02%43.52B
24.33%14.9B
24.33%14.9B
Free cash flow
-289.55%-6.42B
-43.04%3.38B
62.39%1.29B
-161.25%-11.96B
-70.89%5.94B
--794.15M
--19.53B
1,002.70%20.41B
-58.42%1.85B
188.31%3.04B
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion with Explanatory Notes
Unqualified Opinion with Explanatory Notes
--
(FY)Dec 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -282.37%-6.34B-42.20%3.47B61.63%1.3B-161.09%-11.95B-70.61%6.01B807.19M19.56B938.71%20.46B-55.94%1.97B
Net income from continuing operations 46.19%4.28B4.15%2.93B92.20%958.73M22.66%754.64M112.01%2.81B--498.81M--615.21M700.13%1.33B19.60%165.66M----
Operating gains losses -194.56%-120.86M192.46%127.82M157.11%29.88M428.13%193.26M-1,341.44%-138.23M---52.33M---58.9M50.98%11.14M197.81%7.38M----
Depreciation and amortization 14.41%171.21M24.57%149.65M26.11%42.67M-8.34%31.49M50.58%120.13M--33.83M--34.36M20.69%79.78M693.80%66.1M----
Deferred tax 71.66%-14.77M-143.16%-52.11M-206.91%-40.41M-2,228.19%-11.17M-63.02%-21.43M---13.17M--525K-734.14%-13.15M-110.16%-1.58M----
Change In working capital -40,404.21%-10.9B-99.14%27.05M-17.39%252.02M-168.67%-13.01B-83.48%3.14B--305.06M--18.94B1,007.63%19.01B-60.14%1.72B----
-Change in receivables -276.31%-6.15B126.54%3.49B-77.43%387.19M-93.13%1.59B37.23%-13.14B--1.72B--23.1B-885.04%-20.93B-282.19%-2.12B----
-Change in prepaid assets -11.51%-9.93M-33.83%-8.9M-372.19%-3.44M-144.00%-5.63M-734.83%-6.65M--1.26M--12.78M128.63%1.05M29.12%-3.66M----
-Change in payables and accrued expense -280.53%-4.2B-85.75%2.33B102.56%35.14M-307.62%-14.33B-52.58%16.31B---1.37B---3.52B809.91%34.4B-22.58%3.78B----
-Change in other current assets -4.53%-388.55M-75.87%-371.7M111.77%9.43M98.87%-1.45M-35.29%-211.35M---80.12M---127.91M-848.91%-156.22M123.30%20.86M----
-Change in other current liabilities 83.10%-158.26M-180.49%-936.44M-136.49%-176.31M-229.39%-253.76M397.53%1.16B--483.14M--196.12M474.63%233.83M-43.47%40.69M----
-Change in other working capital -----353.51%-4.47B--0--0-118.07%-985.18M---443.65M---724.51M342,758.30%5.45B--1.59M----
Cash from discontinued investing activities
Operating cash flow -282.37%-6.34B-42.20%3.47B61.63%1.3B-161.09%-11.95B-70.61%6.01B--807.19M--19.56B938.71%20.46B-55.94%1.97B194.29%3.16B
Investing cash flow
Cash flow from continuing investing activities -2,704.35%-2.44B109.74%93.86M43.95%-676.1M43.89%-16.16M-294.62%-963.57M-1.21B-28.8M-52.56%-244.18M-105.06%-160.06M
Net PPE purchase and sale 14.09%-77.76M-28.48%-90.52M-15.33%-15.04M55.46%-12.83M-57.80%-70.46M---13.04M---28.8M62.27%-44.65M-529.86%-118.33M----
Net business purchase and sale 83.99%-17.54M---109.53M---7.52M--0--0--0--0--0--------
Net investment purchase and sale -899.26%-2.35B132.91%293.91M45.22%-653.55M---3.33M-347.62%-893.11M---1.19B--0-378.19%-199.53M29.60%-41.73M----
Cash from discontinued investing activities
Investing cash flow -2,704.35%-2.44B109.74%93.86M43.95%-676.1M43.89%-16.16M-294.62%-963.57M---1.21B---28.8M-52.56%-244.18M-105.06%-160.06M-71.03%-80.96M
Financing cash flow
Cash flow from continuing financing activities 132.93%2.31B-166.41%-7.01B-58.77%-4.42B109.94%2.13B25.54%10.55B-2.78B-21.39B630.00%8.41B3,126.74%1.15B
Net issuance payments of debt 181.73%3.17B-546.07%-3.88B-156.50%-4.08B110.28%2.2B-78.34%869.82M---1.59B---21.39B3,795.09%4.02B-404.47%-108.66M----
Net common stock issuance 72.20%-874.69M-132.51%-3.15B70.36%-349.35M---65.44M313.63%9.68B---1.18B--085.79%2.34B--1.26B----
Proceeds from stock option exercised by employees -28.88%11.62M-30.48%16.33M-20.93%2.89M-60.66%509K-98.86%23.49M--3.65M--1.29M211,659.13%2.05B--969K----
Net other financing activities ---------------6.52M---16.86M---16.51M----------------
Cash from discontinued financing activities
Financing cash flow 132.93%2.31B-166.41%-7.01B-58.77%-4.42B109.94%2.13B25.54%10.55B---2.78B---21.39B630.00%8.41B3,126.74%1.15B145.46%147.85M
Net cash flow
Beginning cash position -6.03%55.72B36.23%59.29B-4.59%59.53B8.37%69.56B192.02%43.52B--62.39B--64.19B24.33%14.9B58.73%11.99B3.93%11.72B
Current changes in cash -88.15%-6.47B-122.05%-3.44B-19.09%-3.79B-429.44%-9.84B-45.48%15.6B---3.18B---1.86B866.55%28.62B-33.13%2.96B360.06%3.23B
Effect of exchange rate changes 149.08%66.35M-180.89%-135.2M-134.50%-27.1M-440.45%-197.32M15,062.40%167.13M--78.55M--57.96M97.50%-1.12M-698.98%-44.67M-606.95%-44.65M
End cash Position -11.50%49.31B-6.03%55.72B-6.03%55.72B-4.59%59.53B36.23%59.29B--59.29B--62.39B192.02%43.52B24.33%14.9B24.33%14.9B
Free cash flow -289.55%-6.42B-43.04%3.38B62.39%1.29B-161.25%-11.96B-70.89%5.94B--794.15M--19.53B1,002.70%20.41B-58.42%1.85B188.31%3.04B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified Opinion----Unqualified Opinion with Explanatory Notes----Unqualified Opinion with Explanatory NotesUnqualified Opinion with Explanatory Notes--

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