HUYA Inc. (HUYA) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2016: -420.45M CNY2017: 242.44M CNY2018: 717.46M CNY2019: 1.95B CNY2020: 1.24B CNY2021: 327.45M CNY2022: -400.36M CNY2023: -32.08M CNY2024: 94.28M CNY2025: -176.15M CNY-176.15M CNY
2016Operating Cash Flow (CNY)2025
Fiscal YearOperating Cash FlowChange YoY
2025-176.15M CNY-286.8%
202494.28M CNY+393.9%
2023-32.08M CNY+92.0%
2022-400.36M CNY-222.3%
2021327.45M CNY-73.6%
20201.24B CNY-36.3%
20191.95B CNY+171.2%
2018717.46M CNY+195.9%
2017242.44M CNY+157.7%
2016-420.45M CNY