Symbols / HTT Stock $2.43 -1.22% High Templar Tech Limited

Financial Services • Credit Services • China • NYQ
HTT (Stock) Chart
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About

High Templar Tech Limited operates as a consumer-oriented financial technology service company in the People's Republic of China. The company provides aircraft leasing; technology development and services; and research and development services. It provides financial institutions with a financial technology business management system consisting of a core service system group, a user identification and risk management system group, a payment and finance group, system platform support, a BI system group, and an intelligent monitoring system. It also offers full-process technical services and full-scenario precision marketing services to financial institutions. The company was formerly known as Qudian Inc. and changed its name to High Templar Tech Limited in December 2025. High Templar Tech Limited was founded in 2014 and is headquartered in Xiamen, China.

Stock Fundamentals
Scroll to Statements
Market Cap 401.26M Enterprise Value -6.33B Income 708.63M Sales 40.96M Book/sh 10.70 Cash/sh 53.43
Dividend Yield Payout 0.00% Employees 101 IPO P/E 3.92 Forward P/E
PEG P/S 9.80 P/B 0.23 P/C EV/EBITDA 21.91 EV/Sales -154.62
Quick Ratio 4.62 Current Ratio 5.75 Debt/Eq 13.59 LT Debt/Eq EPS (ttm) 0.62 EPS next Y
EPS Growth Revenue Growth -93.90% Earnings 2026-05-21 ROA -1.63% ROE 6.18% ROIC
Gross Margin 11.88% Oper. Margin -32.60% Profit Margin 17.30% Shs Outstand 101.64M Shs Float 86.80M Short Float 0.30%
Short Ratio 1.99 Short Interest 52W High 5.08 52W Low 1.88 Beta 1.02 Avg Volume 143.49K
Volume 37.44K Target Price Recom None Prev Close $2.46 Price $2.43 Change -1.22%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
Mean price target
2. Current target
$2.43
Latest analyst target
3. DCF / Fair value
$-105.18
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$2.43
Low
High
Mean
Insider Transactions

No recent insider transactions.

Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
40.96
-81.07%
216.43
+71.31%
126.34
-78.12%
577.49
Operating Revenue
40.96
-81.07%
216.43
+71.31%
126.34
-78.12%
577.49
Cost Of Revenue
38.04
-81.07%
201.02
+25.55%
160.11
-58.20%
383.09
Reconciled Cost Of Revenue
38.04
-81.07%
201.02
+25.55%
160.11
-58.20%
383.09
Gross Profit
2.92
-81.05%
15.41
+145.61%
-33.78
-117.37%
194.40
Operating Expense
347.05
+7.78%
321.98
+10.48%
291.43
+14.30%
254.98
Research And Development
45.73
-21.78%
58.46
+22.40%
47.76
-18.04%
58.28
Selling General And Administration
299.57
+6.07%
282.43
+1.82%
277.39
-50.38%
559.07
Selling And Marketing Expense
8.06
+37.42%
5.87
+54.58%
3.80
-98.60%
271.61
General And Administrative Expense
291.50
+5.40%
276.56
+1.09%
273.59
-4.82%
287.46
Other Gand A
291.50
+5.40%
276.56
+1.09%
273.59
-4.82%
287.46
Other Operating Expenses
3.97
+124.56%
-16.17
+44.16%
-28.96
+80.42%
-147.88
Total Expenses
385.09
-26.37%
523.01
+15.83%
451.55
-29.23%
638.07
Operating Income
-344.13
-12.25%
-306.58
+5.73%
-325.21
-436.88%
-60.57
Total Operating Income As Reported
-398.40
-29.29%
-308.15
+6.91%
-331.01
-0.46%
-329.50
EBITDA
-277.31
-10.43%
-251.11
+11.56%
-283.94
-40.66%
-201.86
Normalized EBITDA
-1,244.31
-137.42%
-524.10
+8.63%
-573.62
-768.51%
85.81
Reconciled Depreciation
66.82
+20.47%
55.47
+34.39%
41.27
-35.84%
64.33
EBIT
-344.13
-12.25%
-306.58
+5.73%
-325.21
-22.17%
-266.18
Total Unusual Items
967.00
+254.23%
272.99
-5.76%
289.69
+200.70%
-287.66
Total Unusual Items Excluding Goodwill
967.00
+254.23%
272.99
-5.76%
289.69
+200.70%
-287.66
Special Income Charges
-54.28
-3357.04%
-1.57
+72.93%
-5.80
+97.84%
-268.93
Impairment Of Capital Assets
5.80
-97.84%
268.93
Write Off
54.28
+3357.04%
1.57
-72.93%
5.80
-97.84%
268.93
Net Income
708.63
+672.50%
91.73
+134.41%
39.13
+110.81%
-361.96
Pretax Income
739.30
+369.29%
157.54
+55.25%
101.47
+137.64%
-269.62
Net Non Operating Interest Income Expense
111.50
-23.43%
145.62
+31.49%
110.75
+80.42%
61.38
Interest Expense Non Operating
0.00
0.00
-100.00%
3.44
Net Interest Income
111.50
-23.43%
145.62
+31.49%
110.75
+80.42%
61.38
Interest Expense
0.00
0.00
-100.00%
3.44
Interest Income Non Operating
111.50
-23.43%
145.62
+31.49%
110.75
+70.85%
64.82
Interest Income
111.50
-23.43%
145.62
+31.49%
110.75
+70.85%
64.82
Other Income Expense
971.93
+205.16%
318.50
+0.81%
315.94
+216.83%
-270.43
Other Non Operating Income Expenses
23.87
-51.84%
49.56
+115.09%
23.04
+612.55%
3.23
Gain On Sale Of Security
1,021.28
+271.97%
274.56
-7.08%
295.49
+1677.08%
-18.74
Tax Provision
30.67
-53.39%
65.81
+5.56%
62.34
-32.55%
92.43
Tax Rate For Calcs
0.00
-83.40%
0.00
+0.00%
0.00
+0.00%
0.00
Tax Effect Of Unusual Items
40.12
-41.21%
68.25
-5.76%
72.42
+200.70%
-71.92
Net Income Including Noncontrolling Interests
708.63
+672.50%
91.73
+134.41%
39.13
+110.81%
-362.05
Net Income From Continuing Operation Net Minority Interest
708.63
+672.50%
91.73
+134.41%
39.13
+110.81%
-361.96
Net Income From Continuing And Discontinued Operation
708.63
+672.50%
91.73
+134.41%
39.13
+110.81%
-361.96
Net Income Continuous Operations
708.63
+672.50%
91.73
+134.41%
39.13
+110.81%
-362.05
Minority Interests
0.00
0.00
-100.00%
0.09
Normalized Income
-218.25
-93.12%
-113.01
+36.56%
-178.13
-21.83%
-146.22
Net Income Common Stockholders
708.63
+672.50%
91.73
+134.41%
39.13
+110.81%
-361.96
Diluted EPS
4.25
+767.35%
0.49
+172.22%
0.18
+112.24%
-1.47
Basic EPS
4.37
+774.00%
0.50
+177.78%
0.18
+112.24%
-1.47
Basic Average Shares
162.12
-11.34%
182.86
-15.84%
217.28
-11.69%
246.04
Diluted Average Shares
166.91
-11.12%
187.78
-14.82%
220.46
-10.40%
246.04
Diluted NI Availto Com Stockholders
708.63
+672.50%
91.73
+134.41%
39.13
+110.81%
-361.96
Earnings From Equity Interest
-18.94
-367.73%
-4.05
-226.23%
3.21
-77.09%
14.00
Provision For Doubtful Accounts
-2.23
+18.77%
-2.74
+42.31%
-4.76
+97.78%
-214.48
Line Item Trend 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total Assets
12,464.23
-0.14%
12,482.20
-2.07%
12,746.44
Current Assets
10,139.52
-0.20%
10,159.95
-8.13%
11,058.53
Cash Cash Equivalents And Short Term Investments
7,390.88
-21.41%
9,404.36
+6.09%
8,864.68
Cash And Cash Equivalents
4,263.31
-40.85%
7,207.34
+106.73%
3,486.38
Other Short Term Investments
3,127.57
+42.36%
2,197.01
-59.15%
5,378.31
Receivables
266.01
-24.91%
354.26
-61.10%
910.77
Accounts Receivable
34.28
+32.46%
25.88
0.00
Gross Accounts Receivable
34.55
+32.47%
26.08
0.00
Allowance For Doubtful Accounts Receivable
-0.27
-33.81%
-0.21
0.00
Receivables Adjustments Allowances
-72.67
+37.81%
-116.86
+54.41%
-256.35
Other Receivables
279.97
-33.24%
419.40
-50.00%
838.83
Loans Receivable
25.88
0.00
-100.00%
2,371.97
Inventory
10.67
+2.79%
10.38
-91.10%
116.71
Prepaid Assets
1,260.04
+1647.64%
72.10
-89.78%
705.35
Restricted Cash
781.19
+1214.35%
59.44
-31.19%
86.37
Hedging Assets Current
0.00
0.00
-100.00%
17.38
Other Current Assets
430.73
+66.05%
259.40
-30.76%
374.64
Total Non Current Assets
2,324.70
+0.11%
2,322.25
+37.58%
1,687.91
Net PPE
1,744.04
+18.41%
1,472.92
+67.94%
877.03
Gross PPE
1,799.79
+19.24%
1,509.34
+64.09%
919.85
Accumulated Depreciation
-55.75
-53.07%
-36.42
+14.94%
-42.82
Properties
0.00
0.00
0.00
Buildings And Improvements
118.27
0.00
Machinery Furniture Equipment
205.40
+4.55%
196.45
+856.53%
20.54
Construction In Progress
1,302.15
+14.76%
1,134.69
+47.90%
767.22
Other Properties
158.01
-4.00%
164.58
+59.57%
103.14
Leases
15.97
+17.27%
13.62
-52.96%
28.94
Goodwill And Other Intangible Assets
2.21
-28.64%
3.09
-68.12%
9.70
Investments And Advances
225.09
-35.21%
347.40
-0.77%
350.10
Long Term Equity Investment
146.10
+6.80%
136.80
+2.82%
133.06
Other Investments
78.99
-62.49%
210.59
-2.97%
217.05
Non Current Accounts Receivable
0.43
Non Current Deferred Assets
0.00
-100.00%
87.29
Non Current Deferred Taxes Assets
0.00
-100.00%
87.29
Other Non Current Assets
353.37
-29.16%
498.84
+10.59%
451.08
Total Liabilities Net Minority Interest
1,172.80
+47.66%
794.24
+12.86%
703.72
Current Liabilities
1,124.09
+48.99%
754.49
+28.99%
584.93
Payables And Accrued Expenses
230.08
-30.78%
332.38
+0.24%
331.57
Payables
222.79
-32.75%
331.30
+0.23%
330.54
Accounts Payable
135.24
-0.28%
135.61
+25.71%
107.88
Other Payable
50.37
-36.48%
79.30
-6.31%
84.64
Current Accrued Expenses
7.29
+576.38%
1.08
+4.62%
1.03
Total Tax Payable
37.18
-68.06%
116.39
-15.67%
138.03
Income Tax Payable
33.42
-70.12%
111.84
+23.24%
90.75
Current Debt And Capital Lease Obligation
738.70
+2367.42%
29.94
-15.37%
35.37
Current Debt
720.00
29.06
Other Current Borrowings
720.00
29.06
Current Capital Lease Obligation
18.70
-37.55%
29.94
+374.36%
6.31
Other Current Liabilities
155.32
-60.39%
392.17
+79.90%
217.99
Total Non Current Liabilities Net Minority Interest
48.71
+22.50%
39.76
-66.53%
118.79
Long Term Debt And Capital Lease Obligation
48.71
+22.50%
39.76
-65.92%
116.68
Long Term Debt
116.25
-85.94%
826.71
Long Term Capital Lease Obligation
48.71
+22.50%
39.76
+9233.91%
0.43
Non Current Deferred Liabilities
0.00
-100.00%
2.12
-96.91%
68.54
Non Current Deferred Taxes Liabilities
0.00
-100.00%
2.12
-96.91%
68.54
Other Non Current Liabilities
10.01
Stockholders Equity
11,291.43
-3.39%
11,687.95
-2.95%
12,042.71
Common Stock Equity
11,291.43
-3.39%
11,687.95
-2.95%
12,042.71
Capital Stock
0.18
+0.00%
0.18
+0.00%
0.18
Common Stock
0.18
+0.00%
0.18
+0.00%
0.18
Share Issued
264.80
+0.00%
264.80
+0.00%
264.80
Ordinary Shares Number
168.69
-15.91%
200.60
-13.63%
232.25
Treasury Shares Number
96.11
+49.71%
64.20
+97.22%
32.55
+194.27%
11.06
Additional Paid In Capital
4,026.67
-0.16%
4,033.15
-0.08%
4,036.20
Retained Earnings
8,670.12
+1.07%
8,578.39
+0.46%
8,539.25
Gains Losses Not Affecting Retained Earnings
13.75
+156.99%
-24.13
+47.50%
-45.96
Treasury Stock
1,419.29
+57.76%
899.63
+84.75%
486.95
Minority Interest
0.00
-100.00%
6.85
Other Equity Adjustments
13.75
+156.99%
-24.13
+47.50%
-45.96
Total Equity Gross Minority Interest
11,291.43
-3.39%
11,687.95
-2.95%
12,042.71
Total Capitalization
11,291.43
-3.39%
11,687.95
-3.87%
12,158.96
Working Capital
9,015.43
-4.15%
9,405.46
-10.20%
10,473.60
Invested Capital
12,011.43
+2.77%
11,687.95
-4.10%
12,188.02
Total Debt
787.40
+1029.75%
69.70
-54.16%
152.05
Capital Lease Obligations
67.40
-3.29%
69.70
+934.52%
6.74
Net Tangible Assets
11,289.22
-3.39%
11,684.86
-2.89%
12,033.01
Tangible Book Value
11,289.22
-3.39%
11,684.86
-2.89%
12,033.01
Duefrom Related Parties Current
24.44
-5.46%
25.85
-92.13%
328.28
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
687.06
+718.97%
-111.00
-131.53%
352.02
+34.94%
260.87
Cash Flow From Continuing Operating Activities
687.06
+718.97%
-111.00
-131.53%
352.02
+34.94%
260.87
Net Income From Continuing Operations
708.63
+672.50%
91.73
+134.41%
39.13
+110.81%
-362.05
Depreciation Amortization Depletion
66.82
+20.47%
55.47
+34.39%
41.27
-35.84%
64.33
Depreciation
66.82
+20.47%
55.47
+34.39%
41.27
-35.84%
64.33
Depreciation And Amortization
66.82
+20.47%
55.47
+34.39%
41.27
-35.84%
64.33
Other Non Cash Items
-53.38
Stock Based Compensation
0.00
-100.00%
2.26
-54.26%
4.94
-79.48%
24.05
Provisionand Write Offof Assets
2.12
+111.40%
-18.62
-175.51%
24.65
+111.15%
-221.12
Asset Impairment Charge
54.28
+3357.04%
1.57
-72.93%
5.80
-97.84%
268.93
Operating Gains Losses
-116.27
-220.83%
96.23
+169.71%
-138.04
-161.95%
222.81
Gain Loss On Investment Securities
-182.49
-262.73%
112.15
+179.92%
-140.33
-158.75%
238.86
Unrealized Gain Loss On Investment Securities
-66.88
+47.79%
-128.09
-862.82%
-13.30
-132.22%
41.29
Net Foreign Currency Exchange Gain Loss
46.30
+324.15%
-20.66
-804.65%
2.93
+1271.58%
-0.25
Gain Loss On Sale Of PPE
0.98
+42.41%
0.69
-73.13%
2.57
-68.78%
8.23
Change In Working Capital
38.36
+118.13%
-211.54
-154.58%
387.57
+40.42%
276.01
Change In Receivables
29.20
+444.81%
-8.47
+67.53%
-26.08
-136.21%
72.04
Changes In Account Receivables
29.20
+444.81%
-8.47
+67.53%
-26.08
-159.22%
44.04
Change In Payables And Accrued Expense
0.00
Change In Accrued Expense
0.00
Change In Other Working Capital
-2.12
-110.15%
20.86
Change In Other Current Assets
31.17
+165.92%
-47.28
-111.96%
395.36
+55.31%
254.56
Change In Other Current Liabilities
-22.01
+85.87%
-155.79
-863.49%
20.41
+128.56%
-71.44
Investing Cash Flow
845.44
+136.06%
-2,344.37
-160.18%
3,895.44
+106.67%
1,884.83
Cash Flow From Continuing Investing Activities
845.44
+136.06%
-2,344.37
-160.18%
3,895.44
+106.67%
1,884.83
Net PPE Purchase And Sale
-116.62
+63.33%
-318.00
+43.72%
-565.03
-106.50%
-273.63
Purchase Of PPE
-116.62
+63.33%
-318.00
+43.72%
-565.03
-106.50%
-273.63
Capital Expenditure
-116.62
+63.33%
-318.00
+43.72%
-565.03
-106.50%
-273.63
Net Investment Purchase And Sale
741.65
+136.95%
-2,007.45
-144.24%
4,538.04
+1261.44%
-390.73
Purchase Of Investment
-14,160.31
-12.42%
-12,595.56
+34.46%
-19,216.68
-16.80%
-16,452.98
Sale Of Investment
14,901.96
+40.74%
10,588.11
-55.43%
23,754.73
+47.89%
16,062.25
Net Business Purchase And Sale
0.00
+100.00%
-14.00
0.00
+100.00%
-32.15
Purchase Of Business
0.00
+100.00%
-14.00
0.00
+100.00%
-32.15
Net Other Investing Changes
220.40
+4578.46%
-4.92
+93.66%
-77.57
-103.01%
2,581.33
Financing Cash Flow
555.59
+197.36%
186.84
+133.01%
-565.97
+32.22%
-834.99
Cash Flow From Continuing Financing Activities
555.59
+197.36%
186.84
+133.01%
-565.97
+32.22%
-834.99
Net Issuance Payments Of Debt
856.00
+18.89%
720.00
+595.49%
-145.31
+78.91%
-689.12
Issuance Of Debt
1,576.00
+118.89%
720.00
0.00
0.00
Repayment Of Debt
-720.00
0.00
+100.00%
-145.31
+78.91%
-689.12
Long Term Debt Issuance
0.00
0.00
Long Term Debt Payments
-720.00
0.00
+100.00%
-145.31
+78.91%
-689.12
Net Long Term Debt Issuance
-720.00
0.00
+100.00%
-145.31
+78.91%
-689.12
Short Term Debt Issuance
1,576.00
+118.89%
720.00
0.00
0.00
Net Short Term Debt Issuance
1,576.00
+118.89%
720.00
0.00
0.00
Net Common Stock Issuance
-300.41
+43.66%
-533.16
-26.74%
-420.66
-188.39%
-145.87
Common Stock Payments
-300.51
+43.64%
-533.16
-26.74%
-420.66
-188.39%
-145.87
Cash Dividends Paid
0.00
0.00
Repurchase Of Capital Stock
-300.51
+43.64%
-533.16
-26.74%
-420.66
-188.39%
-145.87
Proceeds From Stock Option Exercised
0.00
0.00
-100.00%
0.00
+51.06%
0.00
Changes In Cash
2,088.09
+192.05%
-2,268.52
-161.62%
3,681.49
+180.88%
1,310.71
Effect Of Exchange Rate Changes
-76.55
-265.55%
46.24
+268.82%
12.54
-32.66%
18.62
Beginning Cash Position
5,044.50
-30.58%
7,266.78
+103.39%
3,572.75
+59.25%
2,243.42
End Cash Position
7,056.03
+39.88%
5,044.50
-30.58%
7,266.78
+103.39%
3,572.75
Free Cash Flow
570.44
+232.97%
-429.00
-101.40%
-213.01
-1569.91%
-12.76
Interest Paid Supplemental Data
32.23
0.00
0.00
-100.00%
1.71
Income Tax Paid Supplemental Data
5.79
-95.98%
144.22
+232.55%
43.37
-26.63%
59.11
Change In Interest Payable
0.00
Common Stock Issuance
0.10
0.00
0.00
0.00
Earnings Losses From Equity Investments
18.94
+367.73%
4.05
+226.23%
-3.21
+77.09%
-14.00
Interest Paid CFF
0.00
0.00
Issuance Of Capital Stock
0.10
0.00
0.00
0.00
SEC Filings

No SEC filings found for this symbol (may be non-US or ticker not in SEC index).

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