Cheche Group Inc. Warrant (CCGWW)

USD 0.02

(-0.57%)

Annual Cash Flows

(In CNY)
Breakdown 2023 2022 2021
Operating Cash Flow -26.95 Million -158.86 Million -187.59 Million
Net Income -159.59 Million -91.02 Million -146.46 Million
Depreciation & Amortization 11.55 Million 11.41 Million 14.84 Million
Deferred income taxes -525 Thousand -525 Thousand -525 Thousand
Stock-based compensation 109.98 Million 16.2 Million 18.53 Million
Change in working capital 2 Million -88.2 Million -83.47 Million
Other non-cash items 7.52 Million -6.73 Million 9.48 Million
Investing Cash Flow 12.82 Million 27.69 Million -65.33 Million
Investments in PPE -549 Thousand -1.24 Million -1.62 Million
Acquisitions - - -
Investment purchases -42.72 Million -182.47 Million -63.75 Million
Sales/Maturities of investments 56.07 Million 211.4 Million -
Other Investing Activities 22 Thousand - 52 Thousand
Financing Cash Flow 140.34 Million -159.04 Million 583.67 Million
Debt repayment -20 Million -31.84 Million -253.35 Million
Dividends payments - - -
Common Stock Repurchased - -137.2 Million -15 Million
Common Stock Issuance 137.9 Million - -
Other Financing Activities -17.56 Million 10 Million 837.02 Million
Accounts receivables -65.6 Million -115.95 Million -164.81 Million
Accounts payables 89.71 Million 46.85 Million 96.38 Million
Inventory - -11.58 Million -21.29 Million
Other working capital 3.4 Million -7.51 Million 6.24 Million
Cash at beginning of period 119.94 Million 367.38 Million 38.54 Million
Cash at end of period 248.39 Million 119.94 Million 367.38 Million
Capital Expenditure -549 Thousand -1.24 Million -1.62 Million
Effect of forex changes on cash 2.23 Million 42.77 Million -1.91 Million
Net cash flow / Change in cash 128.44 Million -247.43 Million 328.83 Million
Free Cash Flow -27.49 Million -160.1 Million -189.21 Million

Cash Flow Charts