SG Stock MarketDetailed Quotes

OAJ FortressMinerals

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  • 0.265
  • 0.0000.00%
10min DelayMarket Closed Nov 6 14:36 CST
138.68MMarket Cap11.04P/E (TTM)

FortressMinerals Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Aug 31, 2024
(Q1)May 31, 2024
(FY)Feb 29, 2024
(Q2)Aug 31, 2023
(Q1)May 31, 2023
(FY)Feb 28, 2023
(Q4)Feb 28, 2023
(Q3)Nov 30, 2022
(Q2)Aug 31, 2022
(Q1)May 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
-36.03%5.2M
249.13%7.41M
-31.08%19.23M
-17.93%8.13M
-69.78%2.12M
-2.48%27.91M
93.15%4.25M
-19.97%6.74M
34.11%9.9M
-33.87%7.02M
Net profit before non-cash adjustment
0.46%6.02M
-3.02%3.28M
-20.98%13.87M
-5.00%5.99M
-43.89%3.38M
-5.89%17.56M
21.39%1.67M
-5.99%3.55M
52.12%6.31M
-35.55%6.03M
Total adjustment of non-cash items
-84.29%378.01K
-19.20%649.1K
-14.52%7.52M
45.81%2.41M
3.11%803.32K
98.59%8.79M
237.60%3.36M
51.82%2.21M
58.62%1.65M
-17.12%779.07K
-Depreciation and amortization
-38.12%1.3M
-7.60%486.58K
19.67%6.38M
36.81%2.1M
-18.92%526.61K
32.14%5.33M
115.81%1.74M
4.76%1.41M
61.02%1.54M
-30.27%649.5K
-Reversal of impairment losses recognized in profit and loss
----
----
5,204.26%663.83K
----
----
4.83%12.52K
----
----
----
----
-Disposal profit
-797.61%-4.95K
143.75%33.84K
-930.98%-333.04K
104.56%710
---77.34K
5.87%-32.3K
-129.84%-17.55K
102.14%805
---15.56K
--0
-Net exchange gains and losses
-1,231.40%-981.86K
-134.29%-29.13K
-125.45%-175.28K
173.77%86.78K
200.92%84.95K
288.27%688.81K
-70.63%-436.2K
1,378.74%537.16K
-16.07%-117.63K
-317.95%-84.17K
-Other non-cash items
-72.42%60.22K
-41.35%157.81K
-64.90%980.32K
-12.02%218.33K
25.90%269.1K
257.59%2.79M
450.03%2.07M
38.20%263.27K
31.79%248.15K
714.34%213.74K
Changes in working capital
-341.36%-1.2M
268.14%3.47M
-238.42%-2.16M
-113.96%-271.44K
-1,092.57%-2.07M
-71.84%1.56M
-357.42%-786.34K
-69.25%981.96K
-11.50%1.94M
-34.21%208.22K
-Change in receivables
396.17%1.14M
281.57%4.34M
-168.56%-5.22M
-83.66%229.77K
24.99%-2.39M
-125.13%-1.94M
-342.54%-2.35M
-41.34%2.19M
-22.05%1.41M
-357.48%-3.19M
-Change in inventory
-203.24%-839.72K
-155.89%-855.04K
381.90%2.28M
440.58%813.37K
71.75%1.53M
51.87%-807.92K
43.05%-736.34K
-36.39%-723.49K
-55.53%-238.82K
198.59%890.73K
-Change in payables
-13.98%-1.5M
98.95%-12.68K
-81.72%787.78K
-269.16%-1.31M
-148.07%-1.2M
923.22%4.31M
1,401.17%2.3M
-15,324.39%-480.62K
42.14%777.12K
305.39%2.51M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-26.90%-1.06M
31.36%-1.11M
15.56%-4.56M
6.83%-831.57K
-38.79%-1.61M
8.74%-5.4M
-31.06%-2.08M
35.53%-1.27M
14.55%-892.53K
11.94%-1.16M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-43.20%4.14M
1,138.76%6.3M
-34.81%14.67M
-19.02%7.29M
-91.32%508.54K
-0.84%22.51M
253.77%2.17M
-15.22%5.47M
42.13%9.01M
-36.99%5.86M
Investing cash flow
Net PPE purchase and sale
36.47%-1.15M
0.16%-1.17M
40.04%-5.23M
-1.67%-1.81M
75.38%-1.17M
42.37%-8.72M
55.33%-1.28M
53.07%-895.52K
82.53%-1.78M
-2,985.41%-4.76M
Net business purchase and sale
--0
---555.98K
--0
--0
--0
100.00%-5
--111.22K
---111.22K
---5
----
Net investment product transactions
395.77%1.1M
78.87%-864.81K
53.35%-683.55K
---370.36K
---4.09M
---1.47M
----
----
--0
--0
Dividends received (cash flow from investment activities)
--38.27K
181.15%36.46K
683.74%128.35K
----
--12.97K
--16.38K
----
----
----
----
Interest received (cash flow from investment activities)
148.45%61.57K
1,335.52%21.42K
190.11%45.87K
537.21%24.78K
-73.12%1.49K
21.69%15.81K
-51.55%1.5K
45.40%4.87K
34.80%3.89K
51.76%5.55K
Investing cash flow
101.99%42.93K
51.74%-2.53M
43.48%-5.74M
-21.31%-2.16M
-10.36%-5.25M
71.89%-10.15M
8.52%-2.61M
47.40%-1M
82.57%-1.78M
77.50%-4.76M
Financing cash flow
Net issuance payments of debt
-25.49%-2.3M
4.43%-1.81M
0.97%-7.37M
-24.55%-1.83M
-32.39%-1.9M
-140.34%-7.44M
13.55%-1.79M
-493.48%-2.74M
-1,127.80%-1.47M
-106.88%-1.43M
Net common stock issuance
--0
--0
--6.57M
--0
--6.53M
--0
----
----
--0
--0
Increase or decrease of lease financing
61.32%-209.9K
-43.10%-697.28K
-8.49%-2.22M
0.88%-542.64K
-0.51%-487.26K
-34.85%-2.05M
-2.24%-482.25K
-206.56%-517.81K
-21.78%-547.45K
-250.48%-484.8K
Cash dividends paid
----
----
-8.80%-3.15M
-8.80%-3.15M
----
23.12%-2.89M
--0
----
---2.89M
----
Interest paid (cash flow from financing activities)
40.58%-147.58K
37.44%-164.06K
4.79%-964.03K
-6.53%-248.35K
-18.97%-262.24K
-28.49%-1.01M
14.83%-321.34K
-36.60%-256.18K
-21.94%-233.13K
-589.79%-220.42K
Net other fund-raising expenses
-4,747.23%-11.39K
28,056.25%71.57K
-0.31%-978
0.42%-235
0.00%-256
99.95%-975
2.13%-230
0.00%-253
99.99%-236
-5,220.00%-256
Financing cash flow
12.14%-5.07M
-166.94%-2.6M
46.71%-7.14M
-12.18%-5.77M
281.81%3.89M
-229.29%-13.4M
11.17%-2.6M
-329.33%-3.51M
-86.46%-5.15M
-112.67%-2.14M
Net cash flow
Beginning cash position
146.97%6.84M
54.82%5.68M
-25.31%3.67M
-29.81%2.77M
-25.31%3.67M
-37.05%4.91M
-31.01%7.01M
-5.69%5.92M
-69.26%3.94M
-37.05%4.91M
Current changes in cash
-38.64%-888.21K
235.91%1.16M
271.86%1.79M
-130.82%-640.65K
17.52%-856.33K
65.87%-1.04M
41.11%-3.04M
-74.29%959.69K
131.34%2.08M
-120.72%-1.04M
Effect of exchange rate changes
30.82%325.75K
84.60%-6.72K
208.96%216.04K
353.34%249.01K
-161.33%-43.61K
-216.49%-198.27K
-286.28%-294.43K
-13.10%123.35K
-211.83%-98.29K
328.59%71.11K
End cash Position
164.00%6.27M
146.97%6.84M
54.82%5.68M
-59.89%2.38M
-29.81%2.77M
-25.31%3.67M
-25.31%3.67M
-31.01%7.01M
-5.69%5.92M
-69.26%3.94M
Free cash flow
-49.19%2.74M
791.76%4.95M
-33.41%9.15M
-25.00%5.4M
-165.47%-715.99K
84.91%13.75M
141.08%928.57K
0.33%4.52M
285.80%7.2M
-87.94%1.09M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Aug 31, 2024(Q1)May 31, 2024(FY)Feb 29, 2024(Q2)Aug 31, 2023(Q1)May 31, 2023(FY)Feb 28, 2023(Q4)Feb 28, 2023(Q3)Nov 30, 2022(Q2)Aug 31, 2022(Q1)May 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities -36.03%5.2M249.13%7.41M-31.08%19.23M-17.93%8.13M-69.78%2.12M-2.48%27.91M93.15%4.25M-19.97%6.74M34.11%9.9M-33.87%7.02M
Net profit before non-cash adjustment 0.46%6.02M-3.02%3.28M-20.98%13.87M-5.00%5.99M-43.89%3.38M-5.89%17.56M21.39%1.67M-5.99%3.55M52.12%6.31M-35.55%6.03M
Total adjustment of non-cash items -84.29%378.01K-19.20%649.1K-14.52%7.52M45.81%2.41M3.11%803.32K98.59%8.79M237.60%3.36M51.82%2.21M58.62%1.65M-17.12%779.07K
-Depreciation and amortization -38.12%1.3M-7.60%486.58K19.67%6.38M36.81%2.1M-18.92%526.61K32.14%5.33M115.81%1.74M4.76%1.41M61.02%1.54M-30.27%649.5K
-Reversal of impairment losses recognized in profit and loss --------5,204.26%663.83K--------4.83%12.52K----------------
-Disposal profit -797.61%-4.95K143.75%33.84K-930.98%-333.04K104.56%710---77.34K5.87%-32.3K-129.84%-17.55K102.14%805---15.56K--0
-Net exchange gains and losses -1,231.40%-981.86K-134.29%-29.13K-125.45%-175.28K173.77%86.78K200.92%84.95K288.27%688.81K-70.63%-436.2K1,378.74%537.16K-16.07%-117.63K-317.95%-84.17K
-Other non-cash items -72.42%60.22K-41.35%157.81K-64.90%980.32K-12.02%218.33K25.90%269.1K257.59%2.79M450.03%2.07M38.20%263.27K31.79%248.15K714.34%213.74K
Changes in working capital -341.36%-1.2M268.14%3.47M-238.42%-2.16M-113.96%-271.44K-1,092.57%-2.07M-71.84%1.56M-357.42%-786.34K-69.25%981.96K-11.50%1.94M-34.21%208.22K
-Change in receivables 396.17%1.14M281.57%4.34M-168.56%-5.22M-83.66%229.77K24.99%-2.39M-125.13%-1.94M-342.54%-2.35M-41.34%2.19M-22.05%1.41M-357.48%-3.19M
-Change in inventory -203.24%-839.72K-155.89%-855.04K381.90%2.28M440.58%813.37K71.75%1.53M51.87%-807.92K43.05%-736.34K-36.39%-723.49K-55.53%-238.82K198.59%890.73K
-Change in payables -13.98%-1.5M98.95%-12.68K-81.72%787.78K-269.16%-1.31M-148.07%-1.2M923.22%4.31M1,401.17%2.3M-15,324.39%-480.62K42.14%777.12K305.39%2.51M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -26.90%-1.06M31.36%-1.11M15.56%-4.56M6.83%-831.57K-38.79%-1.61M8.74%-5.4M-31.06%-2.08M35.53%-1.27M14.55%-892.53K11.94%-1.16M
Other operating cash inflow (outflow) 0000000000
Operating cash flow -43.20%4.14M1,138.76%6.3M-34.81%14.67M-19.02%7.29M-91.32%508.54K-0.84%22.51M253.77%2.17M-15.22%5.47M42.13%9.01M-36.99%5.86M
Investing cash flow
Net PPE purchase and sale 36.47%-1.15M0.16%-1.17M40.04%-5.23M-1.67%-1.81M75.38%-1.17M42.37%-8.72M55.33%-1.28M53.07%-895.52K82.53%-1.78M-2,985.41%-4.76M
Net business purchase and sale --0---555.98K--0--0--0100.00%-5--111.22K---111.22K---5----
Net investment product transactions 395.77%1.1M78.87%-864.81K53.35%-683.55K---370.36K---4.09M---1.47M----------0--0
Dividends received (cash flow from investment activities) --38.27K181.15%36.46K683.74%128.35K------12.97K--16.38K----------------
Interest received (cash flow from investment activities) 148.45%61.57K1,335.52%21.42K190.11%45.87K537.21%24.78K-73.12%1.49K21.69%15.81K-51.55%1.5K45.40%4.87K34.80%3.89K51.76%5.55K
Investing cash flow 101.99%42.93K51.74%-2.53M43.48%-5.74M-21.31%-2.16M-10.36%-5.25M71.89%-10.15M8.52%-2.61M47.40%-1M82.57%-1.78M77.50%-4.76M
Financing cash flow
Net issuance payments of debt -25.49%-2.3M4.43%-1.81M0.97%-7.37M-24.55%-1.83M-32.39%-1.9M-140.34%-7.44M13.55%-1.79M-493.48%-2.74M-1,127.80%-1.47M-106.88%-1.43M
Net common stock issuance --0--0--6.57M--0--6.53M--0----------0--0
Increase or decrease of lease financing 61.32%-209.9K-43.10%-697.28K-8.49%-2.22M0.88%-542.64K-0.51%-487.26K-34.85%-2.05M-2.24%-482.25K-206.56%-517.81K-21.78%-547.45K-250.48%-484.8K
Cash dividends paid ---------8.80%-3.15M-8.80%-3.15M----23.12%-2.89M--0-------2.89M----
Interest paid (cash flow from financing activities) 40.58%-147.58K37.44%-164.06K4.79%-964.03K-6.53%-248.35K-18.97%-262.24K-28.49%-1.01M14.83%-321.34K-36.60%-256.18K-21.94%-233.13K-589.79%-220.42K
Net other fund-raising expenses -4,747.23%-11.39K28,056.25%71.57K-0.31%-9780.42%-2350.00%-25699.95%-9752.13%-2300.00%-25399.99%-236-5,220.00%-256
Financing cash flow 12.14%-5.07M-166.94%-2.6M46.71%-7.14M-12.18%-5.77M281.81%3.89M-229.29%-13.4M11.17%-2.6M-329.33%-3.51M-86.46%-5.15M-112.67%-2.14M
Net cash flow
Beginning cash position 146.97%6.84M54.82%5.68M-25.31%3.67M-29.81%2.77M-25.31%3.67M-37.05%4.91M-31.01%7.01M-5.69%5.92M-69.26%3.94M-37.05%4.91M
Current changes in cash -38.64%-888.21K235.91%1.16M271.86%1.79M-130.82%-640.65K17.52%-856.33K65.87%-1.04M41.11%-3.04M-74.29%959.69K131.34%2.08M-120.72%-1.04M
Effect of exchange rate changes 30.82%325.75K84.60%-6.72K208.96%216.04K353.34%249.01K-161.33%-43.61K-216.49%-198.27K-286.28%-294.43K-13.10%123.35K-211.83%-98.29K328.59%71.11K
End cash Position 164.00%6.27M146.97%6.84M54.82%5.68M-59.89%2.38M-29.81%2.77M-25.31%3.67M-25.31%3.67M-31.01%7.01M-5.69%5.92M-69.26%3.94M
Free cash flow -49.19%2.74M791.76%4.95M-33.41%9.15M-25.00%5.4M-165.47%-715.99K84.91%13.75M141.08%928.57K0.33%4.52M285.80%7.2M-87.94%1.09M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

Analysis

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Price Target

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Symbol
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