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Tuniu Corp

Datakwaliteit: 100%
TOUR
NASDAQ Utilities Transportation Services
€ 0,74
▲ € 0,01 (1,56%)
6 months return
Momentum
Neutral
ROE
7,21%

Groei

Revenue Growth (5Y)
N/A
Revenue (1Y)13,22%
Earnings (1Y)N/A
FCF Growth (3Y)N/A

Kwaliteit

Return on Equity
7,21%
Onder sectorgemiddelde (7,81%)
ROIC6,10%
Net Margin15,03%
Op. Margin12,32%

Veiligheid

Debt / Equity
0,00
Onder sectorgemiddelde (0,97)
Current Ratio1,35
Interest Coverage19,05

Waardering

PE (TTM|NTM|2027)
7,95 | 2,10 | 2,09
Boven sectorgemiddelde (3,46)
P/B Ratio0,57
EV/EBITDA2,35
Dividend YieldN/A

Quick Summary

Key Takeaways

Short bullets derived from reported financials—not the AI summary above.

Net margin of 15,03% shows strong profitability
Debt/Equity of 0,00 — conservative balance sheet
Generating 13,19 M in free cash flow
P/E of 7,95 — trading at a low valuation
Cash machine — converts 124,74% of earnings into free cash flow

Price History

Financiële Trends

Koersdoel Analisten

1 analist
Buy
+130.9%
upside to target
Huidig
€ 0,74
Consensus Target
€ 1,71
€ 1,71
Laag
€ 1,71
Hoog
Vooruitzicht
Forward K/W
2,10
Forward WPA
€ 0,34
WPA Groei (sch.)
+41,7%
Omzet Sch.
757,72 M

Growth

Rev 5Y: N/A · Earnings 1Y: N/A
Revenue Growth (1Y) 13,22% Revenue Growth (3Y) 62,57%
Earnings Growth (1Y) N/A Earnings Growth (3Y) N/A
Revenue Growth (5Y) N/A Earnings Growth (5Y) N/A

Profitability

ROE: 7,21% · Net Margin: 15,03%
Revenue (TTM) 70,37 M Net Income (TTM) 10,57 M
ROE 7,21% ROA 3,93%
Gross Margin 69,71% Operating Margin 12,32%
Net Margin 15,03% Free Cash Flow (TTM) 13,19 M
ROIC 6,10% FCF Growth (3Y) N/A

Safety

D/E: 0,00 · Current: 1,35
Debt / Equity 0,00 Current Ratio 1,35
Interest Coverage 19,05 Asset Turnover 0,26
Working Capital 42,44 M Tangible Book Value 145,00 M

Dividends

Yield: N/A · Payout: N/A
Dividend Yield N/A Payout Ratio N/A
Dividend Growth (3Y) N/A Dividend Growth (5Y) N/A
Consecutive Div Years 1 yrs

Valuation

P/E: 7,95 · EV/EBITDA: 2,35
P/E Ratio 7,95 Forward P/E 2,10
P/B Ratio 0,57 P/S Ratio 1,20
PEG Ratio N/A Forward PEG 0,05
EV/EBITDA 2,35 Fwd EV/EBITDA N/A
Forward P/S 0,11 Fwd Earnings Yield 47,62%
FCF Yield 15,68%
Market Cap 84,09 M Enterprise Value 20,39 M

Per Share

EPS: 0,03 · FCF/Share: 0,11
EPS (Diluted TTM) 0,03 Revenue / Share 0,60
FCF / Share 0,11 OCF / Share 0,11
EPS CAGR (1Y) N/A EPS CAGR (5Y) N/A
EPS CAGR (10Y) N/A

Efficiency

FCF Conv: 124,74% · CapEx/Rev: N/A
CapEx / Revenue N/A FCF Conversion 124,74%
SBC-Adj. FCF 11,90 M Growth Momentum N/A

Income Statement

Annual, most recent first
Metric FY2024 FY2023 FY2022 FY2021 FY2020
Revenue 70,37 M 62,15 M 26,62 M 66,90 M
Net Income 10,57 M -13,99 M -28,04 M -19,07 M -200,45 M
EPS (Diluted) 0,03 -0,04 -0,08 -0,05
Gross Profit 49,05 M 41,37 M 12,99 M 26,92 M 32,67 M
Operating Income 8,67 M -14,35 M -30,48 M -28,49 M -205,49 M
EBITDA
R&D Expenses 7,22 M 8,03 M 7,37 M 8,57 M 15,40 M
SG&A Expenses
D&A
Interest Expense 455.000,0 496.000,0 712.000,0 1,18 M 4,95 M
Income Tax 115.000,0 203.000,0 -106.000,0 20.000,0 -1,02 M

Balance Sheet

Annual, most recent first
Metric FY2024 FY2023 FY2022 FY2021 FY2020
Total Assets 261,59 M 276,13 M 272,27 M 360,58 M 489,91 M
Total Liabilities 123,37 M 138,12 M 118,83 M 163,93 M 278,84 M
Shareholders' Equity 148,04 M 145,19 M 160,65 M 199,16 M 212,21 M
Total Debt 5.000,0 2,49 M 2,82 M 3,82 M 12,76 M
Cash & Equivalents 63,71 M 53,38 M 22,30 M 54,78 M 32,73 M
Current Assets 164,87 M 212,41 M 173,98 M 231,53 M 350,12 M
Current Liabilities 122,43 M 135,06 M 112,26 M 153,63 M 267,37 M

Sectorvergelijking

vs Utilities sector mediaan (658 peers)
Metriek Aandeel Sector Mediaan
P/E 8,0 3,5
P/B 0,6 1,6
ROE % 7,2 7,8
Net Margin % 15,0 7,1
Rev Growth 5Y % 4,0
D/E 0,0 1,0

Dividendgeschiedenis

Recente betalingen per aandeel (nieuwste eerst).

Ex-dividend Betaling Bedrag / aandeel
Mar 27, 2025 € 0,04

Strategiescores

2 strategies matched
#265 of 350
32

Recente Activiteit

Ingestapt Cash Flow Compounder
Apr 12, 2026
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Apr 12, 2026