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Bilibili Inc. (BILI)

NasdaqGS - NasdaqGS Real Time Price. Currency in USD
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11.49-0.25 (-2.13%)
At close: 04:00PM EDT
11.53 +0.04 (+0.35%)
After hours: 07:52PM EDT
Annual

Cash Flow

Currency in CNY. All numbers in thousands
Breakdown
ttm
2023-12-31
2022-12-31
2021-12-31
2020-12-31
Cash flows from operating activities
Net Income
-4,822,321
-4,822,321
-7,497,013
-6,789,228
-3,011,704
Depreciation & amortization
2,899,686
2,899,686
3,566,072
2,603,700
1,817,876
Deferred income taxes
-25,376
-25,376
-36,495
-21,492
-13,466
Stock based compensation
1,132,644
1,132,644
1,040,683
999,817
385,898
Change in working capital
449,158
449,158
-1,152,091
-9,161
1,487,266
Accounts receivable
-262,215
-262,215
-59,866
-429,460
-417,237
Accounts Payable
-60,458
-60,458
46,862
1,056,847
816,103
Other working capital
-1,063,522
-1,063,522
-6,649,694
-6,334,217
-1,485,896
Other non-cash items
378,110
378,110
573,929
25,234
19,291
Net cash provided by operating activites
266,622
266,622
-3,911,370
-2,647,008
753,103
Cash flows from investing activities
Investments in property, plant and equipment
-1,330,144
-1,330,144
-2,738,324
-3,687,209
-2,238,999
Acquisitions, net
-70,000
-70,000
-1,179,889
-521,984
-498,854
Purchases of investments
-23,642,177
-23,642,177
-82,290,048
-89,162,782
-38,899,633
Sales/Maturities of investments
26,019,061
26,019,061
95,608,499
68,180,035
32,591,911
Other investing activites
684,834
684,834
596,766
539,225
3,500
Net cash used for investing activites
1,762,148
1,762,148
10,609,218
-24,578,111
-8,906,821
Cash flows from financing activities
Debt repayment
-9,707,522
-9,707,522
-5,652,133
-214,882
-100,000
Common stock issued
2,689,380
2,689,380
0
19,288,423
2,817,458
Common stock repurchased
0
0
-347,581
0
0
Other financing activites
-7,027
-7,027
-56,741
-102,509
-176,821
Net cash used privided by (used for) financing activities
-5,074,685
-5,074,685
-4,354,919
30,389,152
8,335,419
Net change in cash
-2,945,566
-2,945,566
2,664,279
2,844,999
-284,551
Cash at beginning of period
10,187,387
10,187,387
7,523,108
4,678,109
4,962,660
Cash at end of period
7,241,821
7,241,821
10,187,387
7,523,108
4,678,109
Free Cash Flow
Operating Cash Flow
266,622
266,622
-3,911,370
-2,647,008
753,103
Capital Expenditure
-1,330,144
-1,330,144
-2,738,324
-3,687,209
-2,238,999
Free Cash Flow
-1,063,522
-1,063,522
-6,649,694
-6,334,217
-1,485,896