iHuman Inc. (IH) Financial Statements & Historical Data

iHuman Inc. (IH) — Price $1.17 Consumer DefensiveEducation & Training Services — NYSE

Latest reported results:

Detailed financial statements for iHuman Inc. (IH): income statement, balance sheet and cash-flow summary. Track margins, debt, liquidity and profitability trends year over year with up to 20 years of history.

Operating within the People's Republic of China, iHuman Inc. specializes in delivering educational resources aimed at fostering cognitive growth. Their offerings reach a broad audience, encompassing individual consumers, early learning institutions, and wholesale distributors. A significant portion of their portfolio consists of interactive and self-guided digital applications.

Analysis Summary

iHuman Inc. reported revenue of $807.0M in the most recent fiscal year, growing at a 5-year CAGR of 8.7%.

Trailing-twelve-month margins: gross margin 67.9%, operating margin 8.3%, net margin 11.8%. Free cash flow grew at -26.3% CAGR over 5 years.

At the current price of $1.17, IH trades at a P/E of 1.51 and an ROE of 9.58%. Market capitalisation stands at $12M.

Balance sheet quality for IH: current ratio of 3.6, net cash position of $1.14B. A debt-to-equity below 1.0 typically signals conservative capital structure, while a current ratio above 1.5 indicates comfortable short-term liquidity.

Cash flow quality is below average: free cash flow of $45.1M represents 47% conversion of reported net income. High conversion (above 90%) suggests earnings translate cleanly into cash; lower conversion may indicate working capital tightness or accounting timing differences.

Income Statement (10y)

Year20182019202020212022202320242025
Revenue$131.9M$218.7M$531.9M$944.7M$985.5M$1.02B$922.2M$807.0M
Cost of Revenue$65.9M$84.2M$166.5M$284.1M$294.3M$296.9M$282.0M$259.4M
Gross Profit$66.0M$134.5M$365.4M$660.6M$691.2M$721.3M$640.2M$547.6M
Research & Development$52.1M$170.2M$199.5M$415.3M$313.5M$257.5M$247.8M$208.4M
Selling, General & Admin$36.0M$243.1M$210.4M$299.5M$266.1M$303.8M$320.5M$272.4M
Operating Expenses$88.1M$413.3M$409.9M$714.9M$579.6M$561.4M$568.2M$480.9M
Operating Income-$22.1M-$278.8M-$44.5M-$54.2M$111.6M$159.9M$71.9M$66.8M
EBITDA-$21.7M-$278.2M-$41.6M-$30.8M$143.6M$214.3M$124.3M$109.5M
Interest Expense00000000
Pre-tax Income-$16.0M-$274.2M-$37.0M-$37.2M$132.8M$202.6M$110.6M$101.8M
Income Tax$1.6M$1.4M$466000-$145000$23.0M$21.7M$12.0M$6.4M
Net Income-$17.6M-$275.6M-$37.5M-$37.1M$109.8M$180.9M$98.6M$95.4M
EPS$-1.72$-25.85$-5.35$-3.45$10.30$17.15$9.40$9.10
EPS (Diluted)$-1.72$-25.85$-5.35$-3.50$10.15$16.50$9.00$8.75
Shares Outstanding (Diluted)$10.7M$10.7M$9.1M$10.7M$10.8M$11.0M$10.8M$10.7M

Income Statement (Quarterly)

Year2025-Q22025-Q32025-Q42026-Q1
Revenue$200.2M$205.8M$190.7M$182.5M
Gross Profit$135.7M$140.6M$127.5M$122.0M
Operating Income$19.5M$16.7M$9.0M-$10.1M
EBITDA$34.3M$22.0M$15.9M-$8.2M
Net Income$31.9M$21.6M$15.4M$4.5M
EPS$3.10$2.10$1.50$0.44
EPS (Diluted)$3.00$2.00$1.45$0.42

Balance Sheet (10y)

Year20182019202020212022202320242025
Cash & Equivalents$6.1M$104.9M$861.7M$855.4M$1.05B$1.21B$1.12B$1.15B
Short-term Investments000000$45.5M0
Receivables$13.6M$21.0M$78.3M$59.0M$81.9M$62.6M$54.1M$51.4M
Inventory$29.6M$20.7M$16.9M$28.1M$19.1M$16.5M$23.5M$21.4M
Total Current Assets$57.3M$163.1M$1.02B$1.02B$1.25B$1.38B$1.34B$1.30B
Property, Plant & Equipment$660000$2.5M$12.9M$50.5M$22.0M$9.8M$18.4M$14.2M
Goodwill00000000
Intangible Assets$136000$103000$11.8M$27.3M$24.9M$23.2M$16.4M$17.6M
Total Assets$58.6M$168.3M$1.05B$1.10B$1.33B$1.45B$1.42B$1.37B
Accounts Payable$13.1M$10.3M$21.6M$30.5M$24.2M$22.1M$30.2M$25.1M
Short-term Debt$61.8M000000$2.2M
Total Current Liabilities$122.3M$182.8M$399.2M$482.9M$561.1M$490.8M$447.5M$364.2M
Long-term Debt00000000
Total Liabilities$122.3M$182.8M$404.3M$492.5M$563.9M$492.7M$458.8M$373.4M
Retained Earnings-$72.9M-$348.5M-$386.0M-$423.0M-$321.2M-$140.5M-$42.1M$53.3M
Total Equity-$63.7M-$14.4M$642.7M$608.4M$769.5M$957.8M$960.8M$995.8M
Total Debt$61.8M0$6.6M$34.2M$9.0M$3.9M$14.9M$11.4M
Net Debt$55.7M-$104.9M-$855.1M-$821.1M-$1.04B-$1.21B-$1.15B-$1.14B
Working Capital-$65.0M-$19.7M$622.2M$532.3M$692.7M$891.7M$888.3M$935.0M

Balance Sheet (Quarterly)

Year2025-Q22025-Q32025-Q42026-Q1
Cash & Equivalents$605.1M$516.4M$1.15B$355.1M
Total Assets$1.34B$1.37B$1.37B$1.32B
Total Liabilities$365.7M$384.8M$373.4M$367.0M
Total Equity$969.4M$983.5M$995.8M$955.4M
Total Debt$12.3M$11.8M$11.4M$10.9M

Cash Flow (10y)

Year20182019202020212022202320242025
Net Income-$17.6M-$275.6M-$37.5M-$37.1M$752.5M$180.9M$98.6M$95.4M
Depreciation & Amortization$365000$597000$2.8M$6.4M$74.2M$11.7M$13.7M$7.7M
Stock-based Compensation0$270.5M$79.9M$15.2M$89.4M$9.4M$2.8M$722000
Change in Working Capital$12.5M$46.8M$165.0M$30.2M$178.0M-$40.4M-$58.5M-$55.9M
Operating Cash Flow-$4.5M$42.6M$223.0M$38.2M$1.29B$172.1M$58.5M$49.9M
Capital Expenditure-$529000-$2.4M-$15.9M-$32.3M-$45.1M-$6.5M-$7.4M-$4.8M
Acquisitions00000000
Stock Repurchased000-$164000-$7.0M-$9.5M-$9.6M-$16.7M
Dividends Paid-$10.9M-$3.1M-$66.0M000-$35.3M-$38.0M
Free Cash Flow-$5.0M$40.2M$207.1M$5.9M$1.25B$165.6M$51.1M$45.1M

Cash Flow (Quarterly)

Year2025-Q22025-Q32025-Q42026-Q1
Operating Cash Flow0000
Capital Expenditure0000
Free Cash Flow0000
Dividends Paid0000
Stock-based Compensation$87000$196000$201000$48000

Growth & Margins (10y)

Year20182019202020212022202320242025
Revenue Growth (YoY)+65.8%+143.3%+77.6%+4.3%+3.3%-9.4%-12.5%
Net Income Growth (YoY)-1465.5%+86.4%+1.1%+396.4%+64.7%-45.5%-3.2%
EPS Growth (YoY)-1402.9%+79.3%+35.5%+398.6%+66.5%-45.2%-3.2%
Shares Change (YoY)+0.0%-15.1%+17.8%+1.3%+1.3%-0.9%-1.3%
FCF Growth (YoY)+899.4%+414.7%-97.1%+20912.1%-86.7%-69.1%-11.6%
Gross Margin50.1%61.5%68.7%69.9%70.1%70.8%69.4%67.9%
Operating Margin-16.7%-127.5%-8.4%-5.7%11.3%15.7%7.8%8.3%
EBITDA Margin-16.5%-127.2%-7.8%-3.3%14.6%21.0%13.5%13.6%
Net Margin-13.3%-126.0%-7.0%-3.9%11.1%17.8%10.7%11.8%
FCF Margin-3.8%18.4%38.9%0.6%126.5%16.3%5.5%5.6%
Effective Tax Rate-10.1%-0.5%-1.3%0.4%17.3%10.7%10.9%6.3%

Per-Share Data (10y)

Year20182019202020212022202320242025
FCF Per Share$-0.47$3.77$22.87$0.56$115.30$15.12$4.71$4.22
Dividends Per Share$1.02$0.29$7.29$0.00$0.00$0.00$3.25$3.55
Shares Outstanding (Basic)$10.7M$10.7M$9.1M$10.7M$10.7M$10.6M$10.5M$10.3M

What to look at in Consumer Defensive companies

Profitability

Return on Equity9.58%
Return on Invested Capital6.21%
Return on Assets6.97%
Gross Margin67.86%
Operating Margin8.27%
Net Margin11.82%

Financial Health

Debt / Equity0.01
Current Ratio3.57
Piotroski F-Score4
Altman Z-Score1.87

Key Ratios (10y)

Year20182019202020212022202320242025
P/E-64.13-4.31-22.10-5.161.741.301.311.61
P/B-18.41-82.211.670.310.250.240.130.15
P/S8.905.432.010.200.190.230.140.19
Gross Margin50.1%61.5%68.7%69.9%70.1%70.8%69.4%67.9%
Operating Margin-16.7%-127.5%-8.4%-5.7%11.3%15.7%7.8%8.3%
Net Margin-13.3%-126.0%-7.0%-3.9%11.1%17.8%10.7%11.8%

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Explore sector: Consumer Defensive · Education & Training Services

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