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Debt and Liquidity Summary


Liquidity Summary

Cash to revenue ratio1

Cash to Revenue Ratio

Net cash2

Net Cash

Liability ratio3

Liability Ratio

1. Cash to revenue ratio is defined as cash and short-term investments at the end of the fiscal year divided by total revenues for the same period.
2. Net cash is calculated by subtracting total borrowings from cash and short-term investments at the end of the fiscal year.
3. Liability ratio is total liabilities expressed as a percentage of total assets.

Note: Numbers above are prepared in accordance with International Financial Reporting Standards ("IFRS").

Debt Summary

As of 31st December 2025, Huawei Investment & Holding Co., Ltd. had total borrowings of CNY 239.3 billion. A detailed breakdown is set out as follows:

By Type

By Type

By Currency

By Currency

By Tenor

By Tenor

1. As of December 31, 2025, the company's trade receivable financing accounted for 0.0017% of the company's total borrowings.
2. As of December 31, 2025, the company‘s other currency borrowings accounted for 0.0042% of the company's total borrowings.