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DUOFangdd Network Group Ltd.
$0.64$2M
Overview & Verdict
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HomeStocksDUOQuarterly Balance Sheet

Fangdd Network Group Ltd. (DUO) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Fangdd Network Group Ltd. (DUO) quarterly balance sheet — complete assets, liabilities & equity history

DUO Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q4'22Q4'21Q4'20Q2'20Q4'19Q2'19Q1'19Q4'18
Total Current Assets459.85M459.85M548.62M548.62M513.02M513.02M613.08M858.89M1.63B3.48B3.45B3.73B2.82B2.46B2.43B
Cash & Short-Term Investments---------------
Cash Only34.65M34.65M75.35M75.35M125.43M125.43M121.73M143.93M492.11M843.45M833.69M1.1B532.01M426.15M443.59M
Short-Term Investments143.73M143.73M113.63M113.63M11.85M11.85M15.31M2M6.15M9M21.2M11.5M20.6M70.48M71.48M
Accounts Receivable---------------
Days Sales Outstanding148.88160.37181.14210.91338.7373.912.18K4.13K7.09K317.78264.27176.12164.03200.2-
Inventory5.06M5.06M5.38M5.38M6.02M6.02M12.5M11.16M0000000
Days Inventory Outstanding4.985.086.396.778.9413.7678.4481.63-------
Other Current Assets110.02M110.02M14.13M158.21M84.23M109.25M22.17M230.81M24.13M92.58M95.31M230.13M228.35M393.47M350.63M
Total Non-Current Assets219.16M219.16M182.57M182.57M160.93M160.93M156.82M217.78M285.68M572.74M593.34M642.11M462.18M440.53M449.99M
Property, Plant & Equipment0016.8M16.8M5.99M5.99M2M5.24M14.56M14.49M08.3M11.92M13.55M15.45M
Fixed Asset Turnover--5.92x8.74x11.69x17.52x18.14x6.05x5.56x42.94x-103.59x74.47x45.25x45.19x
Goodwill00003.36M3.36M0454K031.19M00000
Intangible Assets001M1M001.13M007.42M00000
Long-Term Investments---------------
Other Non-Current Assets---------------
Total Assets679M679M731.19M731.19M673.95M673.95M769.9M1.08B1.91B4.05B4.04B4.37B3.28B2.9B2.88B
Asset Turnover0.15x0.14x0.14x0.14x0.10x0.10x0.07x0.04x0.03x0.15x0.18x0.27x0.31x0.23x0.24x
Asset Growth %0.75%0.75%-5.03%----28.49%-43.72%-52.74%-7.41%23.06%51.85%---
Total Current Liabilities277.13M277.13M326.58M326.58M436.87M436.87M549.72M949.72M1.58B2.56B2.53B2.77B2.3B2B1.99B
Accounts Payable102.13M102.13M180.74M180.74M288.8M288.8M395.43M659.22M1.18B1.8B1.84B1.9B1.48B01.13B
Days Payables Outstanding100.5137.65214.77278.97429.04508.243.5K6.71K7.14K290.97276.69184.87185.1-746.44
Short-Term Debt---------------
Deferred Revenue (Current)---------------
Other Current Liabilities51.28M51.28M083.47M0106.93M0000361.94M00451.08M0
Current Ratio1.66x1.66x1.68x1.68x1.17x1.17x1.12x0.90x1.03x1.36x1.36x1.35x1.23x1.23x1.22x
Quick Ratio1.64x1.64x1.66x1.66x1.16x1.16x1.09x0.89x1.03x1.36x1.36x1.35x1.23x1.23x1.22x
Cash Conversion Cycle53.3727.8-27.23-61.28-81.39-120.58-1.24K-2.5K-------
Total Non-Current Liabilities20.66M20.66M21.31M21.31M25.69M25.69M28.68M689.96M28.57M23.97M12.95M11.91M2.87B12.26M2.76B
Long-Term Debt0000000792K0000000
Capital Lease Obligations---------------
Deferred Tax Liabilities---------------
Other Non-Current Liabilities---------------
Total Liabilities297.79M297.79M347.89M347.89M462.56M462.56M578.4M1.08B1.61B2.58B2.54B2.78B5.17B2B4.75B
Total Debt10.34M10.34M1.46M1.46M1.78M1.78M140K74.53M134.78M443.44M361.94M490M295M299M395M
Net Debt-24.3M-24.3M-73.89M-73.89M-123.64M-123.64M-121.59M-69.4M-357.33M-400M-471.74M-613.75M-237.01M-127.15M-48.59M
Debt / Equity0.03x0.03x0.00x0.00x0.01x0.01x0.00x0.78x0.44x0.30x0.24x0.31x-0.34x-
Debt / EBITDA------------4.34x42.61x8.94x
Net Debt / EBITDA-------------3.49x-18.12x-1.10x
Interest Coverage---------2.64x------
Total Equity381.21M381.21M383.3M383.3M211.4M211.4M191.5M95.39M303.68M1.47B1.5B1.59B-1.88B884.98M-1.87B
Equity Growth %80.33%80.33%100.16%---100.74%-68.59%-79.29%-7.74%179.65%185.1%---
Book Value per Share126.64126.6427.0927.0957.0957.0934.25254.20837.184130.984228.915901.80-11206.635263.68-11106.29
Total Shareholders' Equity380.19M380.19M386.34M386.34M213.56M213.56M195.84M100.12M313.26M1.44B1.5B1.59B-1.88B884.98M-1.87B
Common Stock380.19M380.19M136K136K17K17K17K1K1K1K1.5B1K000
Retained Earnings00-4.62B-4.62B-4.63B-4.63B-4.65B-4.56B-4.31B-3.14B0-2.92B-1.67B-1.7B-1.65B
Treasury Stock000000000000000
Accumulated OCI00-383.24M-383.23M-397.84M-397.84M-398.16M-393.84M-404.88M-396.95M0-368.9M-277.64M-214.12M-274.54M
Minority Interest1.02M1.02M-3.04M-3.04M-2.17M-2.17M-4.35M-4.72M-9.58M22.54M00000