Maase Inc. (MAAS): Free Cash Flow

Operating cash flow minus capital expenditures for the same annual period and currency, computed by TickerFacts from the filed figures. A simple proxy, not a reported figure; a year without both inputs is left out.

65.92M CNY
Year ended 2025-06-30
93.79M CNY2018-06-30: 44.44M CNY2019-06-30: 93.79M CNY2020-06-30: -91.50M CNY2021-06-30: -11.26M CNY2022-06-30: -60.90M CNY2023-06-30: -26.24M CNY2024-06-30: 53.43M CNY2025-06-30: 65.92M CNY65.92M CNY
2018-06-30 Free Cash Flow (CNY) 2025-06-30
Period endedFree Cash FlowChange YoYSource filing
2025-06-3065.92M CNY+23.4%2025-10-29, From 2024-07-01
2024-06-3053.43M CNYn/m2025-10-29, From 2023-07-01
2023-06-30-26.24M CNYn/m2025-10-29, From 2022-07-01
2022-06-30-60.90M CNYn/m2024-11-15, From 2021-07-01
2021-06-30-11.26M CNYn/m2023-09-25, From 2020-07-01
2020-06-30-91.50M CNYn/m2022-10-11, From 2019-07-01
2019-06-3093.79M CNY+111.0%2021-09-27, From 2018-07-01
2018-06-3044.44M CNYn/a2020-09-28, From 2017-07-01