PDD Holdings Inc. (PDD) generated $121.93B in operating cash flow for fiscal year 2024. After capital expenditures of $967.14M, free cash flow was $120.96B.
Free cash flow margin was 30.7% of revenue. Cash conversion ratio was 1.08x, indicating earnings are backed by cash.
Criteria supported by this page:
Overall SharesGrow Score: 91/100 with 7/7 criteria passed.