US Stock MarketDetailed Quotes

HUHUTECH International (HUHU)

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  • 9.990
  • +0.160+1.63%
Close May 1 16:00 ET
  • 9.990
  • 0.0000.00%
Post 20:01 ET
254.68MMarket Cap-13.32P/E (TTM)

HUHUTECH International (HUHU) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
195.49%2.9M
-199.56%-3.04M
2,285.00%3.05M
68.86%-139.54K
-264.97%-448.16K
-122.79K
Net income from continuing operations
-798.10%-17.34M
-182.76%-1.93M
150.92%2.33M
-32.07%930.01K
28.61%1.37M
--1.06M
Operating gains losses
--5.78K
----
----
----
----
----
Depreciation and amortization
14.37%444.36K
45.29%388.53K
69.02%267.41K
47.74%158.22K
159.69%107.09K
--41.24K
Deferred tax
-22.08%-335.24K
-2,397.98%-274.61K
-64.58%11.95K
-82.72%33.74K
-37.43%195.27K
--312.1K
Change In working capital
138.79%473.32K
-397.12%-1.22M
133.96%410.64K
42.91%-1.21M
-30.48%-2.12M
---1.62M
-Change in receivables
38.78%-879.58K
49.00%-1.44M
-105.56%-2.82M
60.20%-1.37M
-321.10%-3.44M
--1.56M
-Change in inventory
216.69%780.83K
-178.60%-669.17K
186.92%851.31K
-459.66%-979.45K
-26.50%-175.01K
---138.34K
-Change in prepaid assets
-14,231.40%-1.24M
-80.88%8.75K
131.99%45.74K
-111.96%-143.01K
-250.43%-67.47K
--44.85K
-Change in payables and accrued expense
276.13%1.7M
-77.05%451.01K
140.21%1.97M
-57.60%818.06K
164.42%1.93M
---3M
-Change in other current liabilities
-72.05%-115.12K
17.52%-66.91K
-312.98%-81.12K
-132.10%-19.64K
9.11%-8.46K
---9.31K
-Change in other working capital
-53.95%227.02K
10.35%493.05K
-7.93%446.8K
237.16%485.27K
-328.87%-353.8K
---82.5K
Cash from discontinued investing activities
Operating cash flow
195.49%2.9M
-199.56%-3.04M
2,285.00%3.05M
68.86%-139.54K
-264.97%-448.16K
---122.79K
Investing cash flow
Cash flow from continuing investing activities
95.66%-166.1K
-216.62%-3.83M
-1,165.88%-1.21M
66.37%-95.45K
45.93%-283.85K
-524.99K
Net PPE purchase and sale
95.78%-161.56K
-217.27%-3.83M
-1,163.29%-1.21M
-127.13%-95.45K
92.00%-42.02K
---524.99K
Net intangibles purchase and sale
---4.54K
--0
---2.47K
--0
---241.83K
--0
Cash from discontinued investing activities
Investing cash flow
95.66%-166.1K
-216.62%-3.83M
-1,165.88%-1.21M
66.37%-95.45K
45.93%-283.85K
---524.99K
Financing cash flow
Cash flow from continuing financing activities
-114.26%-1.06M
1,353.86%7.46M
-145.14%-594.58K
90.71%1.32M
-39.31%690.74K
1.14M
Net issuance payments of debt
-118.13%-831.98K
782.39%4.59M
-143.27%-672.34K
126.11%1.55M
-32.88%687.12K
--1.02M
Net common stock issuance
--0
--4.12M
--0
--0
306.44%465.06K
--114.42K
Net other financing activities
81.51%-231.3K
-1,708.34%-1.25M
132.90%77.77K
48.77%-236.38K
---461.44K
----
Cash from discontinued financing activities
Financing cash flow
-114.26%-1.06M
1,353.86%7.46M
-145.14%-594.58K
90.71%1.32M
-39.31%690.74K
--1.14M
Net cash flow
Beginning cash position
16.74%3.32M
68.58%2.85M
176.14%1.69M
-4.16%611.52K
1,152.40%638.04K
--50.95K
Current changes in cash
180.96%1.67M
-52.32%594.13K
15.13%1.25M
2,722.22%1.08M
-108.42%-41.27K
--490.29K
Effect of exchange rate changes
-123.92%-263.46K
-33.62%-117.66K
-1,594.71%-88.06K
-135.22%-5.2K
-84.76%14.75K
--96.8K
End cash Position
42.30%4.73M
16.74%3.32M
68.58%2.85M
176.14%1.69M
-4.16%611.52K
--638.04K
Free cash flow
139.78%2.73M
-472.75%-6.86M
883.31%1.84M
67.90%-234.99K
-13.00%-732.01K
---647.79K
Currency Unit
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
Unqualified Opinion
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--
--
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(FY)Dec 31, 2025(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 195.49%2.9M-199.56%-3.04M2,285.00%3.05M68.86%-139.54K-264.97%-448.16K-122.79K
Net income from continuing operations -798.10%-17.34M-182.76%-1.93M150.92%2.33M-32.07%930.01K28.61%1.37M--1.06M
Operating gains losses --5.78K--------------------
Depreciation and amortization 14.37%444.36K45.29%388.53K69.02%267.41K47.74%158.22K159.69%107.09K--41.24K
Deferred tax -22.08%-335.24K-2,397.98%-274.61K-64.58%11.95K-82.72%33.74K-37.43%195.27K--312.1K
Change In working capital 138.79%473.32K-397.12%-1.22M133.96%410.64K42.91%-1.21M-30.48%-2.12M---1.62M
-Change in receivables 38.78%-879.58K49.00%-1.44M-105.56%-2.82M60.20%-1.37M-321.10%-3.44M--1.56M
-Change in inventory 216.69%780.83K-178.60%-669.17K186.92%851.31K-459.66%-979.45K-26.50%-175.01K---138.34K
-Change in prepaid assets -14,231.40%-1.24M-80.88%8.75K131.99%45.74K-111.96%-143.01K-250.43%-67.47K--44.85K
-Change in payables and accrued expense 276.13%1.7M-77.05%451.01K140.21%1.97M-57.60%818.06K164.42%1.93M---3M
-Change in other current liabilities -72.05%-115.12K17.52%-66.91K-312.98%-81.12K-132.10%-19.64K9.11%-8.46K---9.31K
-Change in other working capital -53.95%227.02K10.35%493.05K-7.93%446.8K237.16%485.27K-328.87%-353.8K---82.5K
Cash from discontinued investing activities
Operating cash flow 195.49%2.9M-199.56%-3.04M2,285.00%3.05M68.86%-139.54K-264.97%-448.16K---122.79K
Investing cash flow
Cash flow from continuing investing activities 95.66%-166.1K-216.62%-3.83M-1,165.88%-1.21M66.37%-95.45K45.93%-283.85K-524.99K
Net PPE purchase and sale 95.78%-161.56K-217.27%-3.83M-1,163.29%-1.21M-127.13%-95.45K92.00%-42.02K---524.99K
Net intangibles purchase and sale ---4.54K--0---2.47K--0---241.83K--0
Cash from discontinued investing activities
Investing cash flow 95.66%-166.1K-216.62%-3.83M-1,165.88%-1.21M66.37%-95.45K45.93%-283.85K---524.99K
Financing cash flow
Cash flow from continuing financing activities -114.26%-1.06M1,353.86%7.46M-145.14%-594.58K90.71%1.32M-39.31%690.74K1.14M
Net issuance payments of debt -118.13%-831.98K782.39%4.59M-143.27%-672.34K126.11%1.55M-32.88%687.12K--1.02M
Net common stock issuance --0--4.12M--0--0306.44%465.06K--114.42K
Net other financing activities 81.51%-231.3K-1,708.34%-1.25M132.90%77.77K48.77%-236.38K---461.44K----
Cash from discontinued financing activities
Financing cash flow -114.26%-1.06M1,353.86%7.46M-145.14%-594.58K90.71%1.32M-39.31%690.74K--1.14M
Net cash flow
Beginning cash position 16.74%3.32M68.58%2.85M176.14%1.69M-4.16%611.52K1,152.40%638.04K--50.95K
Current changes in cash 180.96%1.67M-52.32%594.13K15.13%1.25M2,722.22%1.08M-108.42%-41.27K--490.29K
Effect of exchange rate changes -123.92%-263.46K-33.62%-117.66K-1,594.71%-88.06K-135.22%-5.2K-84.76%14.75K--96.8K
End cash Position 42.30%4.73M16.74%3.32M68.58%2.85M176.14%1.69M-4.16%611.52K--638.04K
Free cash flow 139.78%2.73M-472.75%-6.86M883.31%1.84M67.90%-234.99K-13.00%-732.01K---647.79K
Currency Unit USDUSDUSDUSDUSDUSD
Audit Opinions Unqualified OpinionUnqualified Opinion--------
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