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20-F

Annual Report (Foreign)

Viomi Technology Co., Ltd VIOT

0001493152-26-018435

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Filed
Apr 22, 2026 12:00 AM ET
Period of report
Restated figures. One or more values in this filing restate previously reported amounts.

On SEC.gov

Financials in this filing

Metric Period Value
Shares Diluted FY 2025 · Dec 31, 2025 210.92M sh
Shares Diluted FY 2025 · Dec 31, 2024 206.69M sh
Shares Diluted restated FY 2025 · Dec 31, 2023 207.67M sh
Stock Repurchased FY 2025 · Dec 31, 2025 $2.53M
Stock Repurchased FY 2025 · Dec 31, 2025 ¥17.66M
Stock Repurchased FY 2025 · Dec 31, 2024 ¥4.28M
Stock Repurchased FY 2025 · Dec 31, 2023 ¥6.44M
Capex FY 2025 · Dec 31, 2025 $5.89M
Capex FY 2025 · Dec 31, 2025 ¥41.16M
Capex FY 2025 · Dec 31, 2024 ¥28.61M
Capex restated FY 2025 · Dec 31, 2023 ¥103.37M
Operating Cash Flow FY 2025 · Dec 31, 2025 $22.12M
Operating Cash Flow FY 2025 · Dec 31, 2025 ¥154.64M
Operating Cash Flow FY 2025 · Dec 31, 2024 ¥716.03M
Operating Cash Flow FY 2025 · Dec 31, 2023 −¥103.23M
Long Term Debt FY 2025 · Dec 31, 2025 $7.39M
Long Term Debt FY 2025 · Dec 31, 2025 ¥51.67M
Long Term Debt FY 2025 · Dec 31, 2024 ¥75.95M
Short Term Debt FY 2025 · Dec 31, 2025 $5.72M
Short Term Debt FY 2025 · Dec 31, 2025 ¥40M
Short Term Debt FY 2025 · Dec 31, 2024 ¥50M
Short Term Investments FY 2025 · Dec 31, 2025 $11.81M
Short Term Investments FY 2025 · Dec 31, 2025 ¥82.6M
Short Term Investments FY 2025 · Dec 31, 2024 ¥72.5M
Cash And Equivalents FY 2025 · Dec 31, 2025 $115.34M
Cash And Equivalents FY 2025 · Dec 31, 2025 ¥806.6M
Cash And Equivalents FY 2025 · Dec 31, 2024 ¥1.03B
Cash And Equivalents restated FY 2025 · Dec 31, 2023 ¥206.41M
Stockholders Equity FY 2025 · Dec 31, 2025 $218.31M
Stockholders Equity FY 2025 · Dec 31, 2025 ¥1.53B
Stockholders Equity FY 2025 · Dec 31, 2024 ¥1.44B
Current Liabilities FY 2025 · Dec 31, 2025 $107.75M
Current Liabilities FY 2025 · Dec 31, 2025 ¥753.48M
Current Liabilities FY 2025 · Dec 31, 2024 ¥1.04B
Total Liabilities FY 2025 · Dec 31, 2025 $122.79M
Total Liabilities FY 2025 · Dec 31, 2025 ¥858.68M
Total Liabilities FY 2025 · Dec 31, 2024 ¥1.14B
Current Assets FY 2025 · Dec 31, 2025 $280.35M
Current Assets FY 2025 · Dec 31, 2025 ¥1.96B
Current Assets FY 2025 · Dec 31, 2024 ¥2.17B
Total Assets FY 2025 · Dec 31, 2025 $341.9M
Total Assets FY 2025 · Dec 31, 2025 ¥2.39B
Total Assets FY 2025 · Dec 31, 2024 ¥2.59B
Eps Diluted FY 2025 · Dec 31, 2025 $0.10
Eps Diluted FY 2025 · Dec 31, 2025 ¥0.67
Eps Diluted FY 2025 · Dec 31, 2024 ¥0.31
Eps Diluted FY 2025 · Dec 31, 2023 −¥0.41
Eps Basic FY 2025 · Dec 31, 2025 $0.10
Eps Basic FY 2025 · Dec 31, 2025 ¥0.69
Eps Basic FY 2025 · Dec 31, 2024 ¥0.31
Eps Basic FY 2025 · Dec 31, 2023 −¥0.41
Sga Expense FY 2025 · Dec 31, 2025 $12.32M
Sga Expense FY 2025 · Dec 31, 2025 ¥86.12M
Sga Expense FY 2025 · Dec 31, 2024 ¥70.81M
Sga Expense restated FY 2025 · Dec 31, 2023 ¥57.35M
Rd Expense FY 2025 · Dec 31, 2025 $23.68M
Rd Expense FY 2025 · Dec 31, 2025 ¥165.59M
Rd Expense FY 2025 · Dec 31, 2024 ¥142.88M
Rd Expense restated FY 2025 · Dec 31, 2023 ¥148.88M
Operating Income FY 2025 · Dec 31, 2025 $18.38M
Operating Income FY 2025 · Dec 31, 2025 ¥128.55M
Operating Income FY 2025 · Dec 31, 2024 ¥156.33M
Operating Income FY 2025 · Dec 31, 2023 ¥110.07M
Gross Profit FY 2025 · Dec 31, 2025 $87.94M
Gross Profit FY 2025 · Dec 31, 2025 ¥615M
Gross Profit FY 2025 · Dec 31, 2024 ¥548.71M
Gross Profit restated FY 2025 · Dec 31, 2023 ¥522.02M
Cost Of Revenue FY 2025 · Dec 31, 2025 $259.29M
Cost Of Revenue FY 2025 · Dec 31, 2025 ¥1.81B
Cost Of Revenue FY 2025 · Dec 31, 2024 ¥1.57B
Cost Of Revenue restated FY 2025 · Dec 31, 2023 ¥1.12B
Revenue FY 2025 · Dec 31, 2025 $347.23M
Revenue FY 2025 · Dec 31, 2025 ¥2.43B
Revenue FY 2025 · Dec 31, 2024 ¥2.12B
Revenue restated FY 2025 · Dec 31, 2023 ¥1.64B