Tuniu Balance Sheet Health

Financial Health criteria checks 4/6

Tuniu tiene unos fondos propios totales de CN¥1.1B y una deuda total de CN¥17.3M, lo que sitúa su ratio deuda/fondos propios en 1.6%. Sus activos y pasivos totales son CN¥2.1B y CN¥989.6M respectivamente. Tuniu El EBIT de la empresa es de CN¥30.9M, por lo que su ratio de cobertura de intereses es de -1.4. Su tesorería e inversiones a corto plazo ascienden a CN¥1.2B.

Key information

1.8%

Debt to equity ratio

CN¥17.67m

Debt

Interest coverage ratio-5.9x
CashCN¥1.15b
EquityCN¥979.83m
Total liabilitiesCN¥982.80m
Total assetsCN¥1.96b

Recent financial health updates

Recent updates

It's A Story Of Risk Vs Reward With Tuniu Corporation (NASDAQ:TOUR)

Mar 08
It's A Story Of Risk Vs Reward With Tuniu Corporation (NASDAQ:TOUR)

Tuniu (NASDAQ:TOUR) Is Looking To Continue Growing Its Returns On Capital

Jan 30
Tuniu (NASDAQ:TOUR) Is Looking To Continue Growing Its Returns On Capital

Market Participants Recognise Tuniu Corporation's (NASDAQ:TOUR) Revenues

Oct 20
Market Participants Recognise Tuniu Corporation's (NASDAQ:TOUR) Revenues

Tuniu receives minimum bid price notice from Nasdaq

Sep 23

Tuniu GAAP EPADS of -$0.15, revenue of $5.52M

Sep 01

Tuniu regains compliance with minimum bid price requirement

Jul 18

What Type Of Shareholders Own The Most Number of Tuniu Corporation (NASDAQ:TOUR) Shares?

Dec 23
What Type Of Shareholders Own The Most Number of Tuniu Corporation (NASDAQ:TOUR) Shares?

Tuniu reports Q3 results

Dec 01

Financial Position Analysis

Pasivos a corto plazo: TOURLos activos a corto plazo (CN¥1.5B) de la empresa superan a sus pasivos a corto plazo (CN¥965.5M).

Pasivo a largo plazo: TOURLos activos a corto plazo (CN¥1.5B) superan a sus pasivos a largo plazo (CN¥24.1M).


Debt to Equity History and Analysis

Nivel de deuda: TOUR tiene más efectivo que su deuda total.

Reducción de la deuda: TOUR ha pasado de 5.7% a 1.8% en los últimos 5 años.


Balance Sheet


Cash Runway Analysis

For companies that have on average been loss-making in the past, we assess whether they have at least 1 year of cash runway.

Cash runway estable: Datos insuficientes para determinar si TOUR tiene suficiente margen de liquidez basado en su flujo de caja libre actual.

Pronóstico de cash runway: Datos insuficientes para determinar si TOUR tiene suficiente margen de liquidez en caso de que su flujo de caja libre siga creciendo o disminuyendo en función de las tasas históricas.


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