您当前的位置:首页 >投资者关系

Advisory Information for Investors

Thank you for visiting the Investor Relations site of Fanhua Inc. (formerly known as CNinsure Inc.) where we provide information to help investors track our performance.

The content of this site is provided for informational purposes only, and is not intended for trading or investment purposes. Some of the content is provided by third parties. Fanhua Inc. does not guarantee the accuracy or completeness of the data contained on this site. Fanhua Inc. will not be liable for any delays, inaccuracies, or errors in the content, or for any actions taken in reliance thereon. Fanhua Inc. does not assume any duty of disclosure beyond that imposed by law, and expressly disclaims any duty to update any information set forth herein.

Historical and current stock performance data are not necessarily indicative of future performance. Materials posed on this site contain forward-looking statements. Such statements are based on management's current expectations and are subject to a number of uncertainties and risks that could cause actual results to differ materially from those described in the forward-looking statements. Factors that may cause such a difference include, but are not limited to, those outlined in our filings with the SEC, including our registration statement on Form 20-F, all of which are listed on the page under "SEC Filings". We do not undertake any obligation to update this forward-looking information, except as required under applicable law.

By clicking on "Accept," the viewer acknowledges that he or she has read and understands this disclaimer.

Cash Flow

  Year Ending Dec 2019 (Update) Year Ending Dec 2018 (Update) Year Ending Dec 2017 (Update) Year Ending Dec 2016 (Restated) Year Ending Dec 2015 (Restated)
Net Income/Starting Line 192.55 617.10 451.72 167.64 215.48
Depreciation – Supplemental 16.28 10.83 14.10 13.49 18.38
Depreciation/Depletion 16.28 10.83 14.10 13.49 18.38
Amortization of Intangibles 0.94 15.95 33.18 20.23 11.57
Amortization 0.94 15.95 33.18 20.23 11.57
Deferred Taxes 4.48 -18.74 9.51 -14.74 -1.07
Discontinued Operations
Unusual Items -65.53 -156.18 -179.98 -83.57 -31.22
Equity in Net Earnings (Loss) 224.56 -174.47 -108.94 -48.29 -26.92
Other Non-Cash Items 80.65 6.79 11.33 7.32 25.25
Non-Cash Items 239.67 -323.86 -277.59 -124.54 -32.89
Accounts Receivable -176.06 -8.28 -352.48 -276.33 -55.19
Other Assets 5.62 -21.42 -5.96 -15.07 -4.92
Accounts Payable 24.67 151.12 162.43 269.74 104.53
Accrued Expenses -72.51 20.21 41.47 11.45 9.14
Payable/Accrued
Taxes Payable -49.97 75.22 69.73 29.53 6.43
Other Liabilities -7.35 5.70 4.74 2.73 17.92
Other Operating Cash Flow -- 1.29 3.73 -8.09
Changes in Working Capital -275.60 222.55 -78.79 25.76 69.83
Cash from Operating Activities 178.32 523.83 152.13 87.85 281.30
Purchase of Fixed Assets -19.69 -22.77 -20.90 -11.89 -6.66
Purchase/Acquisition of Intangibles -- -- -60.00 --
Capital Expenditures -19.69 -22.77 -20.90 -71.89 -6.66
Acquisition of Business -20.56
Sale of Business 7.04 -- 29.38 15.48
Sale of Fixed Assets 0.05 0.20 0.16 0.05 0.54
Sale/Maturity of Investment 7.52M 12.49M 11.53M 8.83M 994.84
Purchase of Investments -7,498.70 -11,398.35 -11,055.42 -9,515.50 -2,322.94
Other Investing Cash Flow -- 500.00 -458.55 -- 197.30
Other Investing Cash Flow Items, Total 31.65 1.59M -2.82 -660.72 -1,114.78
Cash from Investing Activities 11.96 1.57M -23.72 -732.61 -1,121.44
Other Financing Cash Flow 126.98 228.76 -81.26 -217.72 -138.95
Financing Cash Flow Items 126.98 228.76 -81.26 -217.72 -138.95
Cash Dividends Paid - Common -435.07 -326.73 -137.22 -- --
Total Cash Dividends Paid -435.07 -326.73 -137.22 -- --
Sale/Issuance of Common -- 201.09 -- --
Repurchase/Retirement of Common -484.02 -1,569.83 -- -- -6.28
Common Stock, Net -484.02 -1,569.83 201.09 -- -6.28
Options Exercised 0.00 3.29 64.95 1.14 1.52
Issuance (Retirement) of Stock, Net -484.01 -1,566.55 266.03 1.14 -4.76
Long Term Debt Reduction
Long Term Debt, Net
Issuance (Retirement) of Debt, Net
Cash from Financing Activities -792.11 -1,664.51 47.56 -216.58 -143.71
Foreign Exchange Effects 19.26 -17.77 -10.91 2.46 6.15
Net Change in Cash -582.56 409.13 165.05 -858.87 -977.70
Net Cash - Beginning Balance 848.17 439.03 273.98 1.13M 2.11M
Net Cash - Ending Balance 265.61 848.17 439.03 273.98 1.13M
Cash Interest Paid -- 5.56 -- -- --
Cash Taxes Paid 189.49 109.86 103.16 4.13 4.38