Hello Group Inc. (MOMO)

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CIK 0001610601 · Nasdaq · Services-Prepackaged Software

  • Sector Services

In fiscal 2025, Hello Group Inc. reported revenue of $1.48B, up 2.4% from the prior year. It held $1.97B in total assets against $385.31M in total liabilities.

Key ratios (FY2025)

13.1%
Operating margin
+2.4%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$1.48B$1.45B$1.69B$1.84B$2.29B$2.30B$2.44B$1.95B
Cost of Revenue$921.85M$883.28M$989.51M$1.08B$1.32B$1.22B$1.22B$1.04B$649.27M$241.46M
Operating Income$193.70M$209.99M$324.65M$235.97M-$374.98M$387.96M$510.60M$475.06M$360.87M$144.49M
Net Income$409.54M$318.57M$145.25M
EPS (Diluted)$0.34$0.38$0.69$0.53$-1.13$0.74$0.97$0.96$0.77$0.36
Total Assets$1.97B$2.52B$2.29B$2.30B$2.84B$3.56B$3.23B$2.76B$1.30B$769.74M
Total Liabilities$385.31M$952.19M$597.37M$710.28M$1.18B$1.29B$1.26B$1.16B$264.22M$135.72M
Shareholders' Equity$1.59B$1.57B$1.69B$1.58B$1.66B$2.27B$1.97B$1.60B$1.04B$634.02M
Cash & Equivalents$760.75M$564.80M$791.63M$727.56M$874.14M$515.55M$375.30M$358.96M$685.83M$257.56M
Operating Cash Flow$169.19M$224.68M$320.73M$177.88M$244.67M$472.17M$782.69M$484.00M
Capital Expenditures$70.43M$39.12M$81.17M$11.66M$14.96M$19.03M$26.79M$35.32M$32.31M$7.03M
Shares Outstanding338.60M373.59M401.83M423.81M404.70M452.08M451.21M433.08M415.27M407.04M