US Stock MarketDetailed Quotes

XNET Xunlei

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  • 1.805
  • +0.015+0.84%
Close Jul 12 16:00 ET
116.20MMarket Cap7.02P/E (TTM)

Xunlei Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-49.68%25.72M
162.37%51.11M
240.03%19.48M
69.53%-13.91M
-28.20%-45.65M
-150.48%-35.61M
-183.77%-14.22M
23.29%16.97M
-71.45%13.76M
-43.65%48.2M
Net income from continuing operations
-33.17%14.27M
1,826.62%21.35M
107.84%1.11M
73.53%-14.14M
-35.26%-53.42M
-4.45%-39.49M
-56.35%-37.81M
-67.17%-24.18M
-246.68%-14.47M
-4.98%9.86M
Operating gains losses
-1,250.00%-23K
118.18%2K
98.82%-11K
56.46%-933K
-177.23%-2.14M
-162.74%-773K
234.64%1.23M
56.26%-915K
83.38%-2.09M
-216.90%-12.58M
Depreciation and amortization
59.64%6.08M
-59.41%3.81M
-33.83%9.38M
12.01%14.18M
85.44%12.66M
-32.07%6.83M
19.80%10.05M
-52.86%8.39M
-60.67%17.8M
4.18%45.24M
Deferred tax
-12.04%-428K
-114.61%-382K
-118.43%-178K
-77.85%966K
149.49%4.36M
178.95%1.75M
-132.08%-2.21M
-209.28%-954K
147.04%873K
-125.79%-1.86M
Other non cash items
186.96%60K
6.76%-69K
83.88%-74K
72.35%-459K
-104.69%-1.66M
75.08%-811K
-0.62%-3.25M
-86.94%-3.23M
8.76%-1.73M
-47.66%-1.9M
Change In working capital
-119.57%-3.77M
944.01%19.26M
107.55%1.85M
-14.91%-24.42M
5.80%-21.25M
-429.83%-22.56M
-114.93%-4.26M
680.94%28.52M
15,116.67%3.65M
-99.92%24K
-Change in receivables
66.60%-2M
-175.78%-5.98M
-142.95%-2.17M
157.76%5.05M
-165.92%-8.74M
166.15%13.26M
-287.77%-20.04M
-470.47%-5.17M
-70.31%1.4M
-65.59%4.7M
-Change in inventory
-311.99%-1.8M
2,463.89%851K
-105.60%-36K
-81.28%643K
133.75%3.44M
-247.97%-10.18M
-5,057.63%-2.93M
111.22%59K
---526K
--0
-Change in prepaid assets
-109.92%-408K
277.27%4.11M
-83.61%-2.32M
-263.60%-1.26M
138.60%772K
82.48%-2M
-181.87%-11.42M
265.58%13.95M
141.56%3.82M
-2,656.76%-9.18M
-Change in payables and accrued expense
-73.78%3.44M
-11.15%13.12M
187.85%14.77M
-61.68%-16.81M
75.70%-10.4M
-220.45%-42.78M
94.80%35.51M
2,829.19%18.23M
-109.13%-668K
77.40%7.32M
-Change in other current liabilities
91.93%618K
116.08%322K
46.33%-2M
25.00%-3.73M
---4.98M
--0
--0
----
----
----
-Change in other working capital
-152.92%-3.62M
206.93%6.84M
23.04%-6.4M
-516.39%-8.31M
-107.04%-1.35M
455.11%19.14M
-471.40%-5.39M
498.63%1.45M
87.05%-364K
-122.43%-2.81M
Cash from discontinued investing activities
Operating cash flow
-49.68%25.72M
162.37%51.11M
240.03%19.48M
69.53%-13.91M
-28.20%-45.65M
-150.48%-35.61M
-183.77%-14.22M
23.29%16.97M
-71.45%13.76M
-43.65%48.2M
Investing cash flow
Cash flow from continuing investing activities
-303.25%-23.9M
136.05%11.76M
-57.15%-32.62M
-126.19%-20.76M
214.28%79.26M
-296.99%-69.36M
122.24%35.21M
-187.98%-158.34M
22.06%-54.98M
9.96%-70.55M
Net PPE purchase and sale
73.42%-3.98M
-15.14%-14.96M
-1.26%-13M
8.99%-12.83M
-289.32%-14.1M
59.39%-3.62M
35.06%-8.92M
-179.94%-13.73M
36.86%-4.91M
-5.40%-7.77M
Net intangibles purchase and sale
-6,137.50%-499K
90.48%-8K
-42.37%-84K
86.37%-59K
79.59%-433K
-340.96%-2.12M
-297.52%-481K
98.98%-121K
68.75%-11.89M
-5.70%-38.06M
Net business purchase and sale
----
----
----
----
----
----
----
----
150.57%16.69M
---33M
Net investment purchase and sale
-170.60%-18.82M
4,085.56%26.66M
107.44%637K
-109.20%-8.56M
245.86%93.08M
-244.43%-63.82M
130.59%44.19M
-162.78%-144.46M
-713.41%-54.97M
126.33%8.96M
Net other investing changes
-994.03%-599K
100.33%67K
-2,998.99%-20.18M
-2.11%696K
253.73%711K
-52.48%201K
2,022.73%423K
-120.95%-22K
115.40%105K
27.29%-682K
Cash from discontinued investing activities
Investing cash flow
-303.25%-23.9M
136.05%11.76M
-57.15%-32.62M
-126.19%-20.76M
214.28%79.26M
-296.99%-69.36M
122.24%35.21M
-187.98%-158.34M
22.06%-54.98M
9.96%-70.55M
Financing cash flow
Cash flow from continuing financing activities
-303.64%-13.52M
3,078.03%6.64M
-108.32%-223K
-78.00%2.68M
1,210.76%12.18M
-63.73%929K
123.20%2.56M
-319.50%-11.04M
-98.49%5.03M
13,300.40%333.27M
Net issuance payments of debt
-166.38%-8.84M
6,069.51%13.31M
-103.12%-223K
-36.82%7.15M
--11.32M
--0
--0
----
----
----
Net common stock issuance
30.53%-4.69M
---6.75M
--0
---4.48M
--0
--0
97.50%-358K
-1,012.59%-14.32M
-105.00%-1.29M
--25.74M
Net preferred stock issuance
----
----
----
----
----
----
----
----
----
--275.31M
Proceeds from stock option exercised by employees
----
----
----
----
----
----
-98.57%11K
-85.37%770K
-85.05%5.26M
--35.21M
Net other financing activities
----
--76K
----
----
-8.18%853K
-68.05%929K
15.95%2.91M
137.73%2.51M
135.27%1.06M
-220.27%-2.99M
Cash from discontinued financing activities
Financing cash flow
-303.64%-13.52M
3,078.03%6.64M
-108.32%-223K
-78.00%2.68M
1,210.76%12.18M
-63.73%929K
123.20%2.56M
-319.50%-11.04M
-98.49%5.03M
13,300.40%333.27M
Net cash flow
Beginning cash position
45.02%184.81M
-8.18%127.44M
-16.11%138.79M
34.59%165.45M
-47.35%122.93M
17.03%233.48M
-44.85%199.5M
-10.51%361.78M
330.51%404.28M
14.65%93.91M
Current changes in cash
-116.84%-11.71M
620.19%69.51M
58.23%-13.36M
-169.86%-31.99M
144.01%45.79M
-541.71%-104.04M
115.45%23.55M
-321.15%-152.41M
-111.64%-36.19M
3,116.01%310.92M
Effect of exchange rate changes
81.05%-2.3M
-704.08%-12.14M
-62.30%2.01M
262.97%5.33M
49.79%-3.27M
-162.49%-6.51M
205.62%10.42M
-56.37%-9.87M
-1,036.94%-6.31M
-123.80%-555K
End cash Position
-7.58%170.8M
45.02%184.81M
-8.18%127.44M
-16.11%138.79M
34.59%165.45M
-47.35%122.93M
17.03%233.48M
-44.85%199.5M
-10.51%361.78M
330.51%404.28M
Free cash flow
-41.26%21.23M
483.34%36.13M
122.50%6.19M
54.70%-27.52M
-45.38%-60.76M
-76.80%-41.79M
-864.27%-23.64M
201.05%3.09M
-228.83%-3.06M
-94.36%2.38M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -49.68%25.72M162.37%51.11M240.03%19.48M69.53%-13.91M-28.20%-45.65M-150.48%-35.61M-183.77%-14.22M23.29%16.97M-71.45%13.76M-43.65%48.2M
Net income from continuing operations -33.17%14.27M1,826.62%21.35M107.84%1.11M73.53%-14.14M-35.26%-53.42M-4.45%-39.49M-56.35%-37.81M-67.17%-24.18M-246.68%-14.47M-4.98%9.86M
Operating gains losses -1,250.00%-23K118.18%2K98.82%-11K56.46%-933K-177.23%-2.14M-162.74%-773K234.64%1.23M56.26%-915K83.38%-2.09M-216.90%-12.58M
Depreciation and amortization 59.64%6.08M-59.41%3.81M-33.83%9.38M12.01%14.18M85.44%12.66M-32.07%6.83M19.80%10.05M-52.86%8.39M-60.67%17.8M4.18%45.24M
Deferred tax -12.04%-428K-114.61%-382K-118.43%-178K-77.85%966K149.49%4.36M178.95%1.75M-132.08%-2.21M-209.28%-954K147.04%873K-125.79%-1.86M
Other non cash items 186.96%60K6.76%-69K83.88%-74K72.35%-459K-104.69%-1.66M75.08%-811K-0.62%-3.25M-86.94%-3.23M8.76%-1.73M-47.66%-1.9M
Change In working capital -119.57%-3.77M944.01%19.26M107.55%1.85M-14.91%-24.42M5.80%-21.25M-429.83%-22.56M-114.93%-4.26M680.94%28.52M15,116.67%3.65M-99.92%24K
-Change in receivables 66.60%-2M-175.78%-5.98M-142.95%-2.17M157.76%5.05M-165.92%-8.74M166.15%13.26M-287.77%-20.04M-470.47%-5.17M-70.31%1.4M-65.59%4.7M
-Change in inventory -311.99%-1.8M2,463.89%851K-105.60%-36K-81.28%643K133.75%3.44M-247.97%-10.18M-5,057.63%-2.93M111.22%59K---526K--0
-Change in prepaid assets -109.92%-408K277.27%4.11M-83.61%-2.32M-263.60%-1.26M138.60%772K82.48%-2M-181.87%-11.42M265.58%13.95M141.56%3.82M-2,656.76%-9.18M
-Change in payables and accrued expense -73.78%3.44M-11.15%13.12M187.85%14.77M-61.68%-16.81M75.70%-10.4M-220.45%-42.78M94.80%35.51M2,829.19%18.23M-109.13%-668K77.40%7.32M
-Change in other current liabilities 91.93%618K116.08%322K46.33%-2M25.00%-3.73M---4.98M--0--0------------
-Change in other working capital -152.92%-3.62M206.93%6.84M23.04%-6.4M-516.39%-8.31M-107.04%-1.35M455.11%19.14M-471.40%-5.39M498.63%1.45M87.05%-364K-122.43%-2.81M
Cash from discontinued investing activities
Operating cash flow -49.68%25.72M162.37%51.11M240.03%19.48M69.53%-13.91M-28.20%-45.65M-150.48%-35.61M-183.77%-14.22M23.29%16.97M-71.45%13.76M-43.65%48.2M
Investing cash flow
Cash flow from continuing investing activities -303.25%-23.9M136.05%11.76M-57.15%-32.62M-126.19%-20.76M214.28%79.26M-296.99%-69.36M122.24%35.21M-187.98%-158.34M22.06%-54.98M9.96%-70.55M
Net PPE purchase and sale 73.42%-3.98M-15.14%-14.96M-1.26%-13M8.99%-12.83M-289.32%-14.1M59.39%-3.62M35.06%-8.92M-179.94%-13.73M36.86%-4.91M-5.40%-7.77M
Net intangibles purchase and sale -6,137.50%-499K90.48%-8K-42.37%-84K86.37%-59K79.59%-433K-340.96%-2.12M-297.52%-481K98.98%-121K68.75%-11.89M-5.70%-38.06M
Net business purchase and sale --------------------------------150.57%16.69M---33M
Net investment purchase and sale -170.60%-18.82M4,085.56%26.66M107.44%637K-109.20%-8.56M245.86%93.08M-244.43%-63.82M130.59%44.19M-162.78%-144.46M-713.41%-54.97M126.33%8.96M
Net other investing changes -994.03%-599K100.33%67K-2,998.99%-20.18M-2.11%696K253.73%711K-52.48%201K2,022.73%423K-120.95%-22K115.40%105K27.29%-682K
Cash from discontinued investing activities
Investing cash flow -303.25%-23.9M136.05%11.76M-57.15%-32.62M-126.19%-20.76M214.28%79.26M-296.99%-69.36M122.24%35.21M-187.98%-158.34M22.06%-54.98M9.96%-70.55M
Financing cash flow
Cash flow from continuing financing activities -303.64%-13.52M3,078.03%6.64M-108.32%-223K-78.00%2.68M1,210.76%12.18M-63.73%929K123.20%2.56M-319.50%-11.04M-98.49%5.03M13,300.40%333.27M
Net issuance payments of debt -166.38%-8.84M6,069.51%13.31M-103.12%-223K-36.82%7.15M--11.32M--0--0------------
Net common stock issuance 30.53%-4.69M---6.75M--0---4.48M--0--097.50%-358K-1,012.59%-14.32M-105.00%-1.29M--25.74M
Net preferred stock issuance --------------------------------------275.31M
Proceeds from stock option exercised by employees -------------------------98.57%11K-85.37%770K-85.05%5.26M--35.21M
Net other financing activities ------76K---------8.18%853K-68.05%929K15.95%2.91M137.73%2.51M135.27%1.06M-220.27%-2.99M
Cash from discontinued financing activities
Financing cash flow -303.64%-13.52M3,078.03%6.64M-108.32%-223K-78.00%2.68M1,210.76%12.18M-63.73%929K123.20%2.56M-319.50%-11.04M-98.49%5.03M13,300.40%333.27M
Net cash flow
Beginning cash position 45.02%184.81M-8.18%127.44M-16.11%138.79M34.59%165.45M-47.35%122.93M17.03%233.48M-44.85%199.5M-10.51%361.78M330.51%404.28M14.65%93.91M
Current changes in cash -116.84%-11.71M620.19%69.51M58.23%-13.36M-169.86%-31.99M144.01%45.79M-541.71%-104.04M115.45%23.55M-321.15%-152.41M-111.64%-36.19M3,116.01%310.92M
Effect of exchange rate changes 81.05%-2.3M-704.08%-12.14M-62.30%2.01M262.97%5.33M49.79%-3.27M-162.49%-6.51M205.62%10.42M-56.37%-9.87M-1,036.94%-6.31M-123.80%-555K
End cash Position -7.58%170.8M45.02%184.81M-8.18%127.44M-16.11%138.79M34.59%165.45M-47.35%122.93M17.03%233.48M-44.85%199.5M-10.51%361.78M330.51%404.28M
Free cash flow -41.26%21.23M483.34%36.13M122.50%6.19M54.70%-27.52M-45.38%-60.76M-76.80%-41.79M-864.27%-23.64M201.05%3.09M-228.83%-3.06M-94.36%2.38M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion

Analysis

Analyst Rating

No Data

Price Target

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