Futu Holdings Ltd (FUTU) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2017: 1.86B HKD2018: 4.47B HKD2019: 1.97B HKD2020: 20.46B HKD2021: 6.01B HKD2022: 3.47B HKD2023: -6.34B HKD2024: 31.00B HKD2025: 40.79B HKD40.79B HKD
2017Operating Cash Flow (HKD)2025
Fiscal YearOperating Cash FlowChange YoY
202540.79B HKD+31.6%
202431.00B HKD+589.1%
2023-6.34B HKD-282.4%
20223.47B HKD-42.2%
20216.01B HKD-70.6%
202020.46B HKD+938.7%
20191.97B HKD-55.9%
20184.47B HKD+140.9%
20171.86B HKD