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FRHC Freedom Holding

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  • 148.010
  • -1.320-0.88%
Trading Feb 27 09:46 ET
8.97BMarket Cap27.61P/E (TTM)

Freedom Holding Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-235.83%-72.76M
-0.10%-437.99M
193.43%854.07M
-14.75%-1.06B
171.92%308.99M
95.11%-21.67M
-321.45%-437.56M
-261.93%-914.13M
-215.65%-927.59M
-455.45%-429.63M
Net income from continuing operations
-18.67%78.14M
-0.86%114.49M
-49.56%34.26M
94.11%374.95M
75.48%95.48M
107.10%96.08M
134.54%115.48M
57.49%67.92M
-40.59%193.16M
279.15%54.41M
Operating gains losses
131.03%724K
164.97%3.27M
-440.12%-11.36M
938.52%5.66M
--9.69M
---2.33M
---5.04M
--3.34M
-127.87%-675K
----
Depreciation and amortization
3.73%4.65M
-2.32%3.91M
59.34%4.15M
184.22%14.6M
114.79%3.51M
165.76%4.48M
325.05%4M
197.94%2.61M
50.41%5.14M
66.43%1.64M
Deferred tax
-1,311.88%-3.69M
-92.84%-2.83M
-116.66%-796K
198.64%800K
-187.21%-2.25M
83.98%-261K
-70.27%-1.47M
629.71%4.78M
82.67%-811K
218.78%2.58M
Other non cash items
0.27%16.46M
107.03%3.26M
2,236.99%120.8M
77.46%-9.67M
205.94%25.9M
4,757.69%16.42M
-490.95%-46.34M
48.45%-5.65M
-846.52%-42.92M
-237.44%-24.45M
Change In working capital
-22.08%-209.75M
-8.46%-569.42M
159.48%592.26M
-40.76%-1.5B
145.39%195.86M
62.20%-171.82M
-471.64%-525.01M
-212.66%-995.7M
-48.73%-1.06B
-3,822.06%-431.54M
-Change in receivables
-100.62%-4.07M
20.84%-402.49M
376.02%399.99M
-402.43%-1.27B
-11,721.31%-1.27B
35,231.49%654.85M
-186.86%-508.43M
-70.16%-144.91M
-144.13%-253.3M
-72.15%10.96M
-Change in payables and accrued expense
4,587.64%1.76B
-6,748.47%-588.9M
-48.10%34.38M
396.30%763.04M
506.55%667.91M
-87.21%37.48M
-154.41%-8.6M
133.21%66.25M
481.94%153.74M
-1,785.97%-164.29M
-Change in other current assets
-184.20%-53.5M
26.39%-253.49M
90.07%-94.53M
-8.87%-1.13B
127.24%103.73M
115.92%63.54M
-183.15%-344.37M
-603.57%-951.53M
-65.01%-1.04B
-46.25%-380.73M
-Change in other current liabilities
16,431.58%21.99M
85.60%19.88M
-256.79%-8.56M
93.89%141.58M
22.22%125.28M
100.78%133K
497.77%10.71M
155.91%5.46M
887.31%73.02M
933.73%102.51M
-Change in other working capital
-108.15%-1.93B
101.29%655.58M
798.76%260.97M
----
----
---927.83M
-27.01%325.68M
124.88%29.04M
----
----
Cash from discontinued investing activities
0
78.58%-24.1M
-150.96%-56.26M
Operating cash flow
-235.83%-72.76M
-0.10%-437.99M
193.43%854.07M
-11.84%-1.06B
163.59%308.99M
95.08%-21.67M
-282.30%-437.56M
-244.41%-914.13M
-134.19%-951.68M
-310.10%-485.89M
Investing cash flow
Cash flow from continuing investing activities
-200.39%-429.19M
28.72%-128.75M
64.87%-94.69M
23.43%-638.22M
78.87%-45.19M
53.69%-142.88M
-34.87%-180.64M
-52.12%-269.52M
-487.22%-833.51M
-105.78%-213.83M
Net PPE purchase and sale
-18.52%-19.94M
-7.98%-9.46M
-126.34%-24.18M
-13.52%-43.75M
33.19%-7.48M
-66.81%-16.82M
29.09%-8.76M
-118.00%-10.68M
-585.43%-38.54M
-546.48%-11.2M
Net business purchase and sale
85.92%-3.33M
28.61%-7.53M
27.84%-12.27M
-109.68%-56.22M
-258.26%-5M
-27.34%-23.67M
7.37%-10.55M
---17.01M
---26.81M
--3.16M
Net investment purchase and sale
-10,986.05%-159.15M
-203.86%-19.27M
-356.21%-55.65M
143.80%30.42M
81.29%-11.31M
39.50%1.46M
-55.14%18.56M
142.26%21.72M
-39.09%-69.46M
-21.10%-60.48M
Net other investing changes
-137.61%-246.77M
48.58%-92.49M
99.02%-2.59M
18.61%-568.67M
85.28%-21.39M
63.03%-103.85M
-18.69%-179.88M
-118.02%-263.55M
-708.89%-698.69M
-178.18%-145.32M
Cash from discontinued investing activities
Investing cash flow
-200.39%-429.19M
28.72%-128.75M
64.87%-94.69M
56.38%-638.22M
94.50%-45.19M
55.09%-142.88M
-30.02%-180.64M
-46.27%-269.52M
-900.01%-1.46B
-679.04%-821.92M
Financing cash flow
Cash flow from continuing financing activities
123.18%463.3M
-70.72%124.78M
-80.49%245.53M
-19.79%1.67B
-135.83%-217.76M
-66.98%207.58M
-19.24%426.21M
288.76%1.26B
260.39%2.09B
172.88%607.73M
Net issuance payments of debt
-9.23%193.62M
25.30%24.34M
-65.95%7.04M
-38.66%269.02M
-87.69%15.62M
49.18%213.31M
-79.61%19.43M
-71.87%20.66M
4,247.73%438.6M
148.26%126.91M
Proceeds from stock option exercised by employees
----
----
----
--0
----
----
----
----
--0
----
Net other financing activities
4,808.01%269.68M
-75.31%100.44M
-80.73%238.5M
-14.77%1.41B
-148.54%-233.38M
-101.18%-5.73M
-5.94%406.78M
394.56%1.24B
189.79%1.65B
-1.00%480.82M
Cash from discontinued financing activities
16.22%45.57M
1,491.25%19.46M
Financing cash flow
123.18%463.3M
-70.72%124.78M
-80.49%245.53M
-21.51%1.67B
-134.72%-217.76M
-66.00%207.58M
-23.55%426.21M
272.14%1.26B
244.91%2.13B
180.08%627.19M
Net cash flow
Beginning cash position
72.18%1.46B
72.68%1.9B
-1.87%1.01B
-16.53%1.03B
-44.80%946.44M
-56.63%850.75M
-19.99%1.1B
-16.53%1.03B
0.94%1.23B
81.84%1.71B
Current changes in cash
-189.82%-38.66M
-130.22%-441.97M
1,242.02%1B
90.05%-28.01M
106.77%46.05M
129.08%43.04M
-129.15%-191.98M
167.16%74.88M
-527.62%-281.55M
-294.63%-680.62M
Effect of exchange rate changes
-301.85%-106.27M
114.90%8.42M
-4,344.58%-114.45M
-88.76%8.79M
321.69%15.24M
153.12%52.65M
20.34%-56.52M
-101.01%-2.58M
243.68%78.19M
89.09%-6.87M
End cash Position
39.48%1.32B
72.18%1.46B
72.68%1.9B
-1.87%1.01B
-1.87%1.01B
-44.80%946.44M
-56.63%850.75M
-19.99%1.1B
-16.53%1.03B
-16.53%1.03B
Free cash flow
-140.84%-92.7M
-0.25%-447.46M
189.74%829.89M
-11.91%-1.11B
160.66%301.51M
91.45%-38.49M
-296.08%-446.32M
-242.12%-924.82M
-140.35%-990.23M
-316.40%-497.09M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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--
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Unqualified Opinion with Explanatory Notes
--
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--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -235.83%-72.76M-0.10%-437.99M193.43%854.07M-14.75%-1.06B171.92%308.99M95.11%-21.67M-321.45%-437.56M-261.93%-914.13M-215.65%-927.59M-455.45%-429.63M
Net income from continuing operations -18.67%78.14M-0.86%114.49M-49.56%34.26M94.11%374.95M75.48%95.48M107.10%96.08M134.54%115.48M57.49%67.92M-40.59%193.16M279.15%54.41M
Operating gains losses 131.03%724K164.97%3.27M-440.12%-11.36M938.52%5.66M--9.69M---2.33M---5.04M--3.34M-127.87%-675K----
Depreciation and amortization 3.73%4.65M-2.32%3.91M59.34%4.15M184.22%14.6M114.79%3.51M165.76%4.48M325.05%4M197.94%2.61M50.41%5.14M66.43%1.64M
Deferred tax -1,311.88%-3.69M-92.84%-2.83M-116.66%-796K198.64%800K-187.21%-2.25M83.98%-261K-70.27%-1.47M629.71%4.78M82.67%-811K218.78%2.58M
Other non cash items 0.27%16.46M107.03%3.26M2,236.99%120.8M77.46%-9.67M205.94%25.9M4,757.69%16.42M-490.95%-46.34M48.45%-5.65M-846.52%-42.92M-237.44%-24.45M
Change In working capital -22.08%-209.75M-8.46%-569.42M159.48%592.26M-40.76%-1.5B145.39%195.86M62.20%-171.82M-471.64%-525.01M-212.66%-995.7M-48.73%-1.06B-3,822.06%-431.54M
-Change in receivables -100.62%-4.07M20.84%-402.49M376.02%399.99M-402.43%-1.27B-11,721.31%-1.27B35,231.49%654.85M-186.86%-508.43M-70.16%-144.91M-144.13%-253.3M-72.15%10.96M
-Change in payables and accrued expense 4,587.64%1.76B-6,748.47%-588.9M-48.10%34.38M396.30%763.04M506.55%667.91M-87.21%37.48M-154.41%-8.6M133.21%66.25M481.94%153.74M-1,785.97%-164.29M
-Change in other current assets -184.20%-53.5M26.39%-253.49M90.07%-94.53M-8.87%-1.13B127.24%103.73M115.92%63.54M-183.15%-344.37M-603.57%-951.53M-65.01%-1.04B-46.25%-380.73M
-Change in other current liabilities 16,431.58%21.99M85.60%19.88M-256.79%-8.56M93.89%141.58M22.22%125.28M100.78%133K497.77%10.71M155.91%5.46M887.31%73.02M933.73%102.51M
-Change in other working capital -108.15%-1.93B101.29%655.58M798.76%260.97M-----------927.83M-27.01%325.68M124.88%29.04M--------
Cash from discontinued investing activities 078.58%-24.1M-150.96%-56.26M
Operating cash flow -235.83%-72.76M-0.10%-437.99M193.43%854.07M-11.84%-1.06B163.59%308.99M95.08%-21.67M-282.30%-437.56M-244.41%-914.13M-134.19%-951.68M-310.10%-485.89M
Investing cash flow
Cash flow from continuing investing activities -200.39%-429.19M28.72%-128.75M64.87%-94.69M23.43%-638.22M78.87%-45.19M53.69%-142.88M-34.87%-180.64M-52.12%-269.52M-487.22%-833.51M-105.78%-213.83M
Net PPE purchase and sale -18.52%-19.94M-7.98%-9.46M-126.34%-24.18M-13.52%-43.75M33.19%-7.48M-66.81%-16.82M29.09%-8.76M-118.00%-10.68M-585.43%-38.54M-546.48%-11.2M
Net business purchase and sale 85.92%-3.33M28.61%-7.53M27.84%-12.27M-109.68%-56.22M-258.26%-5M-27.34%-23.67M7.37%-10.55M---17.01M---26.81M--3.16M
Net investment purchase and sale -10,986.05%-159.15M-203.86%-19.27M-356.21%-55.65M143.80%30.42M81.29%-11.31M39.50%1.46M-55.14%18.56M142.26%21.72M-39.09%-69.46M-21.10%-60.48M
Net other investing changes -137.61%-246.77M48.58%-92.49M99.02%-2.59M18.61%-568.67M85.28%-21.39M63.03%-103.85M-18.69%-179.88M-118.02%-263.55M-708.89%-698.69M-178.18%-145.32M
Cash from discontinued investing activities
Investing cash flow -200.39%-429.19M28.72%-128.75M64.87%-94.69M56.38%-638.22M94.50%-45.19M55.09%-142.88M-30.02%-180.64M-46.27%-269.52M-900.01%-1.46B-679.04%-821.92M
Financing cash flow
Cash flow from continuing financing activities 123.18%463.3M-70.72%124.78M-80.49%245.53M-19.79%1.67B-135.83%-217.76M-66.98%207.58M-19.24%426.21M288.76%1.26B260.39%2.09B172.88%607.73M
Net issuance payments of debt -9.23%193.62M25.30%24.34M-65.95%7.04M-38.66%269.02M-87.69%15.62M49.18%213.31M-79.61%19.43M-71.87%20.66M4,247.73%438.6M148.26%126.91M
Proceeds from stock option exercised by employees --------------0------------------0----
Net other financing activities 4,808.01%269.68M-75.31%100.44M-80.73%238.5M-14.77%1.41B-148.54%-233.38M-101.18%-5.73M-5.94%406.78M394.56%1.24B189.79%1.65B-1.00%480.82M
Cash from discontinued financing activities 16.22%45.57M1,491.25%19.46M
Financing cash flow 123.18%463.3M-70.72%124.78M-80.49%245.53M-21.51%1.67B-134.72%-217.76M-66.00%207.58M-23.55%426.21M272.14%1.26B244.91%2.13B180.08%627.19M
Net cash flow
Beginning cash position 72.18%1.46B72.68%1.9B-1.87%1.01B-16.53%1.03B-44.80%946.44M-56.63%850.75M-19.99%1.1B-16.53%1.03B0.94%1.23B81.84%1.71B
Current changes in cash -189.82%-38.66M-130.22%-441.97M1,242.02%1B90.05%-28.01M106.77%46.05M129.08%43.04M-129.15%-191.98M167.16%74.88M-527.62%-281.55M-294.63%-680.62M
Effect of exchange rate changes -301.85%-106.27M114.90%8.42M-4,344.58%-114.45M-88.76%8.79M321.69%15.24M153.12%52.65M20.34%-56.52M-101.01%-2.58M243.68%78.19M89.09%-6.87M
End cash Position 39.48%1.32B72.18%1.46B72.68%1.9B-1.87%1.01B-1.87%1.01B-44.80%946.44M-56.63%850.75M-19.99%1.1B-16.53%1.03B-16.53%1.03B
Free cash flow -140.84%-92.7M-0.25%-447.46M189.74%829.89M-11.91%-1.11B160.66%301.51M91.45%-38.49M-296.08%-446.32M-242.12%-924.82M-140.35%-990.23M-316.40%-497.09M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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