现金流出收窄改善

港股IPO招股书披露先例 · 28 家公司,28 项

该类事项指申请人在往绩记录期间经营活动现金流出呈收窄或由负转正趋势,并辅以现金管理措施的披露。招股书一般在概要、风险因素、业务及财务资料章节列示各期经营现金净额、期末现金状况及流出成因(如亏损、客户付款周期较长、大额预付款或资本开支),并披露改善措施,包括加强营运资金与应收账款管理、控制经营成本、建立现金流预测与流动性监测机制,部分申请人亦交代股权融资、借款等资金来源及对现金流转正的预期。

2025-06-17Prospectus
曹操出行有限公司CaoCao Inc.02643.HK

2022年经营活动现金净流出11亿元

Our net cash generated from operating activities was RMB136.4 million and RMB235.9 million in 2023 and 2024, respectively, as compared to our net cash used in operating activities of RMB1.1 billion in 2022, primarily due to the improvement of profitability.

Financial Information · 第 411 页

In terms of cash flows, we pivoted to generating positive net operating cash flow in 2023 and 2024 from a state of negative net operating cash flow in 2022.

Summary · 第 9 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2024-12-18Prospectus
英诺赛科(苏州)科技股份有限公司InnoScience (Suzhou) Technology Holding Co., Ltd.02577.HK

经营活动现金净流出持续

Our net cash used in operating activities amounted to RMB562.1 million, RMB936.3 million, RMB593.6 million, RMB240.9 million and RMB155.5 million, respectively, in 2021, 2022, 2023 and the six months ended June 30, 2023 and 2024.

Summary · 第 2 页

Our net cash used in operating activities experienced significant improvements, decreasing from RMB936.3 million in 2022 to RMB593.6 million in 2023, and from RMB240.9 million in the six months ended June 30, 2023 to RMB155.5 million in the six months ended June 30, 2024.

Business · 第 291 页

With our expecting business scale, growing economies of scale, improving operating efficiency and more effective management of our working capital, we expect a further improvement in our operating cash flow, leading to net operating cash inflow in the near future.

Business · 第 292 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2024-11-28Prospectus
多点数智有限公司Dmall Inc.02586.HK

经营活动现金流出持续但大幅收窄

Our net cash used in operating activities were RMB1,274.7 million, RMB205.5 million, RMB179.2 million and RMB56.7 million for the years ended December 31, 2021, 2022, and 2023 and the six months ended June 30, 2024, respectively.

Summary · 第 13 页

Despite experiencing a net operating cash outflow in the Track Record Period, we anticipate an improvement in our operating cash flow as we expect to improve our loss making position gradually.

Financial Information · 第 405 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2024-06-28Prospectus
方舟云康控股有限公司Fangzhou Inc.06086.HK

2021及2022年经营活动现金净流出

In addition, our net operating cash outflow in 2021 and 2022 amounted to RMB203.7 million and RMB50.0 million, respectively, primarily due to our initiatives to incentivize physician activity and to attract and develop a loyal customer base.

Summary · 第 16 页

Our net cash used in operating activities decreased significantly for the year ended December 31, 2022 as we gained greater flexibility in setting our customer pricing as we were able to negotiate more favorable procurement terms due to our increased business scale.

Financial Information · 第 398 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2023-10-24Prospectus
北京友宝在线科技股份有限公司Beijing UBOX Online Technology Corp.02429.HK

2020年经营现金流出

For similar reasons, we incurred a net operating cash outflow of RMB31.9 million in 2020.

Summary · 第 18 页

Our operating cash flow also improved from a net operating cash outflow of RMB31.9 million in 2020 to a net operating cash inflow of RMB178.9 million in 2021.

Summary · 第 18 页

Nevertheless, our net cash generated from operating activities increased by 19.3% from RMB155.9 million for the six months ended June 30, 2022 to RMB186.0 million for the same period in 2023.

Summary · 第 19 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2023-09-18Prospectus
中旭未来ZX Inc.09890.HK

2020年经营活动现金净流出3.015亿元

Our net cash used in operating activities was RMB301.5 million in 2020.

Financial Information · 第 461 页

Our Directors confirm that we had no material defaults in payment of trade and non-trade payables during the Track Record Period.

Financial Information · 第 461 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2023-06-30Prospectus
Keep Inc.03650.HK

往绩记录期间各年度经营活动现金流出

We had negative cash flows from operations in 2019, 2020, 2021 and 2022. Our net cash used in operating activities was RMB277.0 million, RMB70.8 million, RMB868.5 million and RMB456.0 million, respectively, in 2019, 2020, 2021 and 2022.

Financial Information · 第 326 页

We will also enhance working capital management efficiency through continuously building a stable and collaborative relationship with our suppliers and customers and enhance credit management.

Financial Information · 第 319 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看
2023-05-15Prospectus
易点云有限公司Edianyun Limited02416.HK

2020及2021年经营活动现金净流出

We had net operating cash outflows during the Track Record Period primarily due to our proactive capital expenditure on purchase of devices to support our business growth.

Business · 第 198 页

For the year ended December 31, 2022, we managed to record a net cash inflow from operations of RMB595.5 million, which fully covered the procurement costs of devices during the same period.

Business · 第 195 页

Meanwhile, we seek to manage our cash flows by continuing increasing the portion of leased-in devices out of the total number of devices, thereby incurring less upfront capital expenditure.

Business · 第 198 页
公司的解释、律师意见及原文页码定位:在 Matters 中查看

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