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WeRide Inc. Class A (HK:0800)
:0800
Hong Kong Market
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WeRide Inc. Class A (0800) Financial Statements

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WeRide Inc. Class A Financial Overview

WeRide Inc. Class A's market cap is currently HK$15.73B. The company's EPS TTM is HK$-1.81; its P/E ratio is -17.67; and it has a dividend yield of 0.96%. WeRide Inc. Class A is scheduled to report earnings on August 12, 2026, and the estimated EPS forecast is HK$-0.26. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue¥ 684.59M¥ 361.13M¥ 401.84M¥ 527.54M¥ 138.17M
Gross Profit¥ 206.82M¥ 110.72M¥ 183.48M¥ 232.54M¥ 51.66M
Operating Income¥ -1.82B¥ -2.19B¥ -1.57B¥ -779.23M¥ -500.50M
EBITDA¥ -1.48B¥ -2.41B¥ -1.85B¥ -1.21B¥ -935.86M
Net Income¥ -1.65B¥ -2.52B¥ -1.95B¥ -1.30B¥ -1.01B
Balance Sheet
Cash & Short-Term Investments¥ 7.11B¥ 6.57B¥ 4.53B¥ 4.51B¥ 2.78B
Total Assets¥ 8.94B¥ 7.69B¥ 5.61B¥ 5.39B¥ 3.31B
Total Debt¥ 379.42M¥ 143.02M¥ 53.41M¥ 67.87M¥ 93.83M
Net Debt¥ -6.29B¥ -4.13B¥ -1.61B¥ -2.17B¥ -2.63B
Total Liabilities¥ 1.04B¥ 627.75M¥ 8.67B¥ 7.47B¥ 4.27B
Stockholders' Equity¥ 7.90B¥ 7.07B¥ -3.05B¥ -2.08B¥ -966.11M
Cash Flow
Free Cash Flow¥ -1.57B¥ -679.10M¥ -511.84M¥ -753.07M¥ -532.30M
Operating Cash Flow¥ -1.32B¥ -593.60M¥ -474.89M¥ -670.38M¥ -506.67M
Investing Cash Flow¥ 1.51B¥ 325.50M¥ -546.94M¥ -2.20B¥ 460.90M
Financing Cash Flow¥ 2.30B¥ 2.82B¥ 446.95M¥ 2.18B¥ 2.60B
Currency in CNY

WeRide Inc. Class A Earnings and Revenue History

WeRide Inc. Class A Debt to Assets

WeRide Inc. Class A Cash Flow

WeRide Inc. Class A Forecast EPS vs Actual EPS