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SAXJY SA SA INTL ADR

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  • 1.920
  • 0.0000.00%
15min DelayTrading Apr 29 16:00 ET
297.91MMarket Cap7.90P/E (TTM)

SA SA INTL ADR Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
(FY)Mar 31, 2015
(FY)Mar 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
116.95%58.25M
2.17%-343.73M
31.90%-351.37M
-209.60%-515.94M
6.96%470.75M
34.71%440.12M
-14.80%326.71M
-54.28%383.47M
-10.31%838.81M
13.27%935.24M
Deferred tax
-1,151.22%-72.61M
116.37%6.91M
51.47%-42.18M
-195.11%-86.92M
-5.53%91.38M
22.92%96.73M
-9.53%78.69M
-49.04%86.99M
-10.51%170.68M
12.83%190.73M
Other non cash items
66.58%-2.47M
-173.91%-7.39M
6.48%10M
145.39%9.39M
-74.79%-20.69M
-17.14%-11.84M
-7.73%-10.11M
47.02%-9.38M
-42.12%-17.7M
-65.89%-12.46M
Change In working capital
873.55%174.88M
-94.63%17.96M
3,954.26%334.6M
103.17%8.25M
-280.21%-260.23M
228.43%144.41M
-203.82%-112.44M
-177.51%-37.01M
124.68%47.75M
-13.51%-193.48M
-Change in receivables
185.87%43.99M
-84.93%15.39M
142.40%102.11M
19.36%42.13M
141.55%35.29M
-640.29%-84.95M
-40.72%15.72M
320.22%26.52M
-748.22%-12.04M
101.55%1.86M
-Change in inventory
1,873.40%88.86M
-97.80%4.5M
-31.01%205.1M
346.26%297.3M
4.27%-120.73M
21.47%-126.1M
-187.72%-160.59M
357.90%183.07M
61.93%-70.99M
-324.58%-186.46M
Cash from discontinued investing activities
Operating cash flow
293.05%491.22M
-77.20%124.98M
-15.49%548.09M
87.32%648.57M
-53.73%346.23M
109.75%748.21M
-38.38%356.72M
-45.88%578.92M
4.75%1.07B
20.66%1.02B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
0.84%-59.41M
-25.32%-59.91M
59.13%-47.8M
12.15%-116.95M
12.37%-133.13M
-86.27%-151.93M
27.52%-81.57M
23.23%-112.53M
44.45%-146.59M
-39.83%-263.91M
Net investment purchase and sale
-98.84%241K
-66.01%20.77M
-87.96%61.11M
55.50%507.39M
181.01%326.29M
-236.26%-402.78M
-147.77%-119.78M
441.52%250.73M
79.69%-73.42M
-108.37%-361.47M
Cash from discontinued investing activities
Investing cash flow
-52.83%-56.9M
-299.61%-37.23M
-95.42%18.65M
92.58%407M
138.69%211.34M
-180.94%-546.22M
-233.12%-194.42M
171.95%146.05M
67.14%-202.99M
-72.89%-617.72M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-170.73%-72.48M
--102.48M
--0
----
----
----
----
----
-200.00%-80M
--80M
Net common stock issuance
----
----
----
----
-6,312.70%-3.91M
101.18%63K
---5.34M
--0
-102.05%-965K
253.36%47.15M
Cash dividends paid
----
----
----
39.86%-265.78M
-98.29%-441.97M
41.51%-222.89M
31.11%-381.08M
17.24%-553.2M
-2.50%-668.47M
-24.85%-652.19M
Net other financing activities
-16.32%318K
-9.52%380K
45.83%420K
22.03%288K
10.28%236K
-21.90%214K
38.38%274K
0.00%198K
-96.22%198K
--5.24M
Cash from discontinued financing activities
Financing cash flow
-41.78%-421.2M
52.65%-297.08M
39.67%-627.44M
-133.36%-1.04B
-100.19%-445.65M
42.35%-222.62M
30.17%-386.15M
26.24%-553M
-44.14%-749.7M
-2.17%-520.11M
Net cash flow
Beginning cash position
-41.34%296.48M
-9.65%505.39M
1.50%559.38M
22.59%551.13M
-1.35%449.56M
-33.55%455.7M
31.95%685.76M
24.10%519.7M
-22.87%418.78M
-3.56%542.96M
Current changes in cash
106.27%13.12M
-244.85%-209.34M
-489.23%-60.7M
-86.07%15.6M
642.83%111.92M
90.79%-20.62M
-230.17%-223.85M
47.08%171.97M
200.15%116.92M
-481.20%-116.75M
Effect of exchange rate changes
-1,596.70%-6.35M
-93.69%424K
191.37%6.72M
28.96%-7.35M
-171.47%-10.35M
332.83%14.48M
-5.30%-6.22M
63.09%-5.9M
-115.06%-16M
-14,403.85%-7.44M
End cash Position
2.29%303.26M
-41.34%296.48M
-9.65%505.39M
1.50%559.38M
22.59%551.13M
-1.35%449.56M
-33.55%455.7M
31.95%685.76M
24.10%519.7M
-22.87%418.78M
Free cash flow
563.63%431.82M
-86.99%65.07M
-5.88%500.07M
149.84%531.29M
-64.24%212.65M
116.37%594.67M
-40.50%274.84M
-49.78%461.89M
22.10%919.71M
15.09%753.25M
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016(FY)Mar 31, 2015(FY)Mar 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 116.95%58.25M2.17%-343.73M31.90%-351.37M-209.60%-515.94M6.96%470.75M34.71%440.12M-14.80%326.71M-54.28%383.47M-10.31%838.81M13.27%935.24M
Deferred tax -1,151.22%-72.61M116.37%6.91M51.47%-42.18M-195.11%-86.92M-5.53%91.38M22.92%96.73M-9.53%78.69M-49.04%86.99M-10.51%170.68M12.83%190.73M
Other non cash items 66.58%-2.47M-173.91%-7.39M6.48%10M145.39%9.39M-74.79%-20.69M-17.14%-11.84M-7.73%-10.11M47.02%-9.38M-42.12%-17.7M-65.89%-12.46M
Change In working capital 873.55%174.88M-94.63%17.96M3,954.26%334.6M103.17%8.25M-280.21%-260.23M228.43%144.41M-203.82%-112.44M-177.51%-37.01M124.68%47.75M-13.51%-193.48M
-Change in receivables 185.87%43.99M-84.93%15.39M142.40%102.11M19.36%42.13M141.55%35.29M-640.29%-84.95M-40.72%15.72M320.22%26.52M-748.22%-12.04M101.55%1.86M
-Change in inventory 1,873.40%88.86M-97.80%4.5M-31.01%205.1M346.26%297.3M4.27%-120.73M21.47%-126.1M-187.72%-160.59M357.90%183.07M61.93%-70.99M-324.58%-186.46M
Cash from discontinued investing activities
Operating cash flow 293.05%491.22M-77.20%124.98M-15.49%548.09M87.32%648.57M-53.73%346.23M109.75%748.21M-38.38%356.72M-45.88%578.92M4.75%1.07B20.66%1.02B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 0.84%-59.41M-25.32%-59.91M59.13%-47.8M12.15%-116.95M12.37%-133.13M-86.27%-151.93M27.52%-81.57M23.23%-112.53M44.45%-146.59M-39.83%-263.91M
Net investment purchase and sale -98.84%241K-66.01%20.77M-87.96%61.11M55.50%507.39M181.01%326.29M-236.26%-402.78M-147.77%-119.78M441.52%250.73M79.69%-73.42M-108.37%-361.47M
Cash from discontinued investing activities
Investing cash flow -52.83%-56.9M-299.61%-37.23M-95.42%18.65M92.58%407M138.69%211.34M-180.94%-546.22M-233.12%-194.42M171.95%146.05M67.14%-202.99M-72.89%-617.72M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -170.73%-72.48M--102.48M--0---------------------200.00%-80M--80M
Net common stock issuance -----------------6,312.70%-3.91M101.18%63K---5.34M--0-102.05%-965K253.36%47.15M
Cash dividends paid ------------39.86%-265.78M-98.29%-441.97M41.51%-222.89M31.11%-381.08M17.24%-553.2M-2.50%-668.47M-24.85%-652.19M
Net other financing activities -16.32%318K-9.52%380K45.83%420K22.03%288K10.28%236K-21.90%214K38.38%274K0.00%198K-96.22%198K--5.24M
Cash from discontinued financing activities
Financing cash flow -41.78%-421.2M52.65%-297.08M39.67%-627.44M-133.36%-1.04B-100.19%-445.65M42.35%-222.62M30.17%-386.15M26.24%-553M-44.14%-749.7M-2.17%-520.11M
Net cash flow
Beginning cash position -41.34%296.48M-9.65%505.39M1.50%559.38M22.59%551.13M-1.35%449.56M-33.55%455.7M31.95%685.76M24.10%519.7M-22.87%418.78M-3.56%542.96M
Current changes in cash 106.27%13.12M-244.85%-209.34M-489.23%-60.7M-86.07%15.6M642.83%111.92M90.79%-20.62M-230.17%-223.85M47.08%171.97M200.15%116.92M-481.20%-116.75M
Effect of exchange rate changes -1,596.70%-6.35M-93.69%424K191.37%6.72M28.96%-7.35M-171.47%-10.35M332.83%14.48M-5.30%-6.22M63.09%-5.9M-115.06%-16M-14,403.85%-7.44M
End cash Position 2.29%303.26M-41.34%296.48M-9.65%505.39M1.50%559.38M22.59%551.13M-1.35%449.56M-33.55%455.7M31.95%685.76M24.10%519.7M-22.87%418.78M
Free cash flow 563.63%431.82M-86.99%65.07M-5.88%500.07M149.84%531.29M-64.24%212.65M116.37%594.67M-40.50%274.84M-49.78%461.89M22.10%919.71M15.09%753.25M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD

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