High Templar Tech Ltd Cash Flow Breakdown
Cash flow breakdown shows where High Templar Tech Ltd's cash came from and where it went: from running the business, from investing (buying or selling equipment, companies and investments) and from financing (borrowing, paying back loans, buying back shares, paying dividends). One row per year or quarter. A minus sign means cash went out. Financing is shown line by line: buybacks, dividends, debt paid back, new debt and the rest. All amounts are the filed figures for that period.
- Fiscal year ended 2025-12-31: from running the business, $98.25M came in.
- Fiscal year ended 2025-12-31: from investing, $120.90M came in.
- Fiscal year ended 2025-12-31: from financing, $79.45M came in.
- Fiscal year ended 2025-12-31: change in cash, $287.65M came in.
A minus sign means cash went out. * = worked out from the filed year-to-date figures (hover to see how); greyed = already counted inside another line.
Each year (12 month)
| Fiscal year end | Running the business | From investing | Buybacks | Debt paid back | New debt | New shares sold | Not split out | Change in cash |
|---|---|---|---|---|---|---|---|---|
| 2025-12-31 | $98.25M | $120.90M | -$42.97M | -$102.96M | $225.38M* | $287.65M | ||
| 2024-12-31 | -$15.21M | -$321.18M | -$73.04M | $98.64M* | -$304.45M | |||
| 2023-12-31 | $49.58M | $548.66M | -$59.25M | -$20.47M | $30.00 | $520.29M | ||
| 2022-12-31 | $37.82M | $273.27M | -$21.15M | -$102.00M | $20.00 | $2.09M* | $192.73M | |
| 2021-12-31 | $144.69M | -$38.69M | -$21.00M | $6.73M | $195.00 | $1.06M* | $89.52M | |
| 2020-12-31 | $378.81M | -$501.13M | -$2.38M | -$159.19M | $15.70M | $36.05M | -$134.05M* | -$374.81M |
| 2019-12-31 | $790.51M | -$133.52M | -$299.81M | -$776.00M | $323.42M | $621.00 | $267.99M* | $183.51M |
| 2018-12-31 | $484.67M | -$405.90M | -$205.11M | -$1.17B | $384.65M | $358.00 | $9.25M* | -$908.14M |
| 2017-12-31 | $472.79M | -$108.44M | -$64.73M | -$1.66B | $1.34B | $820.67M | $141.22M* | $929.34M |