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SEQ Sequoia Financial Group Ltd

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  • 0.360
  • -0.015-4.00%
20min DelayMarket Closed Dec 13 15:19 AET
44.68MMarket Cap1.99P/E (Static)

Sequoia Financial Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
27.20%137.74M
-29.87%108.28M
21.63%154.41M
52.00%126.95M
6.57%83.52M
-0.77%78.37M
32.06%78.98M
185.02%59.8M
-8.28%20.98M
223.36%22.88M
Revenue from customers
20.19%138.57M
-25.96%115.3M
30.90%155.73M
42.44%118.96M
6.57%83.52M
-0.77%78.37M
32.06%78.98M
185.02%59.8M
-8.28%20.98M
223.36%22.88M
Other cash income from operating activities
88.10%-834.93K
-433.39%-7.02M
-116.47%-1.32M
--7.99M
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----
----
----
----
----
Cash paid
-18.96%-133.74M
20.19%-112.43M
-30.38%-140.87M
-46.09%-108.04M
5.07%-73.96M
-12.29%-77.91M
-29.04%-69.39M
-158.17%-53.77M
11.70%-20.83M
-192.21%-23.59M
Payments to suppliers for goods and services
-18.96%-133.74M
20.19%-112.43M
-30.38%-140.87M
-46.09%-108.04M
5.07%-73.96M
-12.29%-77.91M
-29.04%-69.39M
-158.17%-53.77M
11.70%-20.83M
-192.21%-23.59M
Direct interest paid
17.23%-117.82K
-10.32%-142.34K
-23.74%-129.03K
37.54%-104.28K
48.35%-166.94K
35.32%-323.22K
-121.91%-499.72K
6.46%-225.19K
-100.85%-240.76K
-113.86%-119.87K
Direct interest received
16.73%1.15M
5,698.83%985.86K
8.76%17K
-85.77%15.63K
-50.11%109.84K
122.14%220.17K
964.68%99.11K
74.39%9.31K
-60.44%5.34K
252.76%13.49K
Direct tax refund paid
-329.87%-9.86M
21.18%-2.29M
-39.30%-2.91M
-38.34%-2.09M
-781.61%-1.51M
46.58%-171.21K
-1,544.15%-320.49K
113.22%22.19K
82.20%-167.91K
---943.37K
Operating cash flow
13.78%-4.82M
-153.15%-5.59M
-37.09%10.52M
109.20%16.73M
4,190.10%8M
-97.90%186.38K
51.96%8.87M
2,446.43%5.84M
85.88%-248.8K
-67.80%-1.76M
Investing cash flow
Cash flow from continuing investing activities
54.18%5.16M
156.37%3.35M
-73.94%-5.94M
-41.30%-3.41M
-352.85%-2.42M
119.86%955.15K
-4,102.06%-4.81M
86.40%-114.45K
-193.51%-841.31K
-124.77%-286.63K
Net PPE purchase and sale
-10.11%-466.84K
-12.94%-423.98K
-7.90%-375.41K
36.38%-347.94K
27.08%-546.89K
36.23%-749.95K
-413.46%-1.18M
-89.47%-229.02K
---120.87K
----
Net intangibles purchas and sale
-3,614.57%-4.35M
92.35%-117.03K
34.95%-1.53M
-174.67%-2.35M
-17,450.75%-855.95K
99.32%-4.88K
---716.13K
----
-39.57%-190.7K
-7.15%-136.63K
Net business purchase and sale
161.50%12.83M
231.89%4.91M
-913.62%-3.72M
64.42%-366.96K
---1.03M
----
---771.85K
----
---571.24K
----
Net investment purchase and sale
-178.24%-2.86M
-196.20%-1.03M
4.17%-346.56K
-1,993.21%-361.66K
-98.88%19.1K
179.70%1.71M
-1,972.68%-2.15M
176.03%114.57K
127.67%41.51K
---150K
Net other investing changes
----
-78.57%7.5K
133.33%35K
--15K
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----
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Cash from discontinued investing activities
Investing cash flow
54.18%5.16M
156.37%3.35M
-73.94%-5.94M
-41.30%-3.41M
-352.85%-2.42M
119.86%955.15K
-4,102.06%-4.81M
86.40%-114.45K
-193.51%-841.31K
-124.77%-286.63K
Financing cash flow
Cash flow from continuing financing activities
-558.65%-13.69M
20.72%-2.08M
-60.56%-2.62M
-11.01%-1.63M
-11.33%-1.47M
-115.03%-1.32M
2,550.38%8.79M
-127.83%-358.83K
49.03%1.29M
-41.45%865.21K
Net issuance payments of debt
-227.97%-2.25M
317.06%1.75M
-134.22%-808.43K
59.89%-345.16K
85.58%-860.47K
-204.73%-5.97M
1,688.25%5.7M
-279.41%-358.83K
-64.29%200K
-25.33%560K
Net common stock issuance
-287.27%-2.41M
-359.99%-623.32K
-20.08%239.75K
--300K
----
69.28%5.24M
--3.09M
----
256.94%1.09M
-58.06%305.21K
Cash dividends paid
-267.60%-7.98M
-86.55%-2.17M
-60.77%-1.16M
---724.15K
----
---589.78K
----
----
----
----
Net other financing activities
-0.97%-1.05M
-16.77%-1.04M
-2.94%-889.27K
-41.45%-863.84K
---610.69K
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-558.65%-13.69M
20.72%-2.08M
-60.56%-2.62M
-11.01%-1.63M
-11.33%-1.47M
-115.03%-1.32M
2,550.38%8.79M
-127.83%-358.83K
49.03%1.29M
-41.45%865.21K
Net cash flow
Beginning cash position
-74.34%9.39M
5.67%36.61M
50.87%34.64M
21.80%22.96M
-0.95%18.85M
208.09%19.03M
659.99%6.18M
32.48%812.83K
-57.95%613.53K
362.41%1.46M
Current changes in cash
-208.74%-13.36M
-320.21%-4.33M
-83.18%1.96M
184.24%11.68M
2,383.71%4.11M
-101.40%-179.96K
139.62%12.85M
2,591.66%5.36M
116.85%199.3K
-493.77%-1.18M
Cash adjustments other than cash changes
190.85%20.8M
---22.89M
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----
----
----
----
----
----
--337.45K
End cash Position
79.21%16.83M
-74.34%9.39M
5.67%36.61M
50.87%34.64M
21.80%22.96M
-0.95%18.85M
208.09%19.03M
659.99%6.18M
32.48%812.83K
-0.39%613.53K
Free cash from
-57.15%-9.64M
-171.18%-6.13M
-38.57%8.62M
112.77%14.03M
1,250.92%6.59M
-108.21%-572.86K
24.43%6.98M
1,100.91%5.61M
70.48%-560.37K
-61.23%-1.9M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities 27.20%137.74M-29.87%108.28M21.63%154.41M52.00%126.95M6.57%83.52M-0.77%78.37M32.06%78.98M185.02%59.8M-8.28%20.98M223.36%22.88M
Revenue from customers 20.19%138.57M-25.96%115.3M30.90%155.73M42.44%118.96M6.57%83.52M-0.77%78.37M32.06%78.98M185.02%59.8M-8.28%20.98M223.36%22.88M
Other cash income from operating activities 88.10%-834.93K-433.39%-7.02M-116.47%-1.32M--7.99M------------------------
Cash paid -18.96%-133.74M20.19%-112.43M-30.38%-140.87M-46.09%-108.04M5.07%-73.96M-12.29%-77.91M-29.04%-69.39M-158.17%-53.77M11.70%-20.83M-192.21%-23.59M
Payments to suppliers for goods and services -18.96%-133.74M20.19%-112.43M-30.38%-140.87M-46.09%-108.04M5.07%-73.96M-12.29%-77.91M-29.04%-69.39M-158.17%-53.77M11.70%-20.83M-192.21%-23.59M
Direct interest paid 17.23%-117.82K-10.32%-142.34K-23.74%-129.03K37.54%-104.28K48.35%-166.94K35.32%-323.22K-121.91%-499.72K6.46%-225.19K-100.85%-240.76K-113.86%-119.87K
Direct interest received 16.73%1.15M5,698.83%985.86K8.76%17K-85.77%15.63K-50.11%109.84K122.14%220.17K964.68%99.11K74.39%9.31K-60.44%5.34K252.76%13.49K
Direct tax refund paid -329.87%-9.86M21.18%-2.29M-39.30%-2.91M-38.34%-2.09M-781.61%-1.51M46.58%-171.21K-1,544.15%-320.49K113.22%22.19K82.20%-167.91K---943.37K
Operating cash flow 13.78%-4.82M-153.15%-5.59M-37.09%10.52M109.20%16.73M4,190.10%8M-97.90%186.38K51.96%8.87M2,446.43%5.84M85.88%-248.8K-67.80%-1.76M
Investing cash flow
Cash flow from continuing investing activities 54.18%5.16M156.37%3.35M-73.94%-5.94M-41.30%-3.41M-352.85%-2.42M119.86%955.15K-4,102.06%-4.81M86.40%-114.45K-193.51%-841.31K-124.77%-286.63K
Net PPE purchase and sale -10.11%-466.84K-12.94%-423.98K-7.90%-375.41K36.38%-347.94K27.08%-546.89K36.23%-749.95K-413.46%-1.18M-89.47%-229.02K---120.87K----
Net intangibles purchas and sale -3,614.57%-4.35M92.35%-117.03K34.95%-1.53M-174.67%-2.35M-17,450.75%-855.95K99.32%-4.88K---716.13K-----39.57%-190.7K-7.15%-136.63K
Net business purchase and sale 161.50%12.83M231.89%4.91M-913.62%-3.72M64.42%-366.96K---1.03M-------771.85K-------571.24K----
Net investment purchase and sale -178.24%-2.86M-196.20%-1.03M4.17%-346.56K-1,993.21%-361.66K-98.88%19.1K179.70%1.71M-1,972.68%-2.15M176.03%114.57K127.67%41.51K---150K
Net other investing changes -----78.57%7.5K133.33%35K--15K------------------------
Cash from discontinued investing activities
Investing cash flow 54.18%5.16M156.37%3.35M-73.94%-5.94M-41.30%-3.41M-352.85%-2.42M119.86%955.15K-4,102.06%-4.81M86.40%-114.45K-193.51%-841.31K-124.77%-286.63K
Financing cash flow
Cash flow from continuing financing activities -558.65%-13.69M20.72%-2.08M-60.56%-2.62M-11.01%-1.63M-11.33%-1.47M-115.03%-1.32M2,550.38%8.79M-127.83%-358.83K49.03%1.29M-41.45%865.21K
Net issuance payments of debt -227.97%-2.25M317.06%1.75M-134.22%-808.43K59.89%-345.16K85.58%-860.47K-204.73%-5.97M1,688.25%5.7M-279.41%-358.83K-64.29%200K-25.33%560K
Net common stock issuance -287.27%-2.41M-359.99%-623.32K-20.08%239.75K--300K----69.28%5.24M--3.09M----256.94%1.09M-58.06%305.21K
Cash dividends paid -267.60%-7.98M-86.55%-2.17M-60.77%-1.16M---724.15K-------589.78K----------------
Net other financing activities -0.97%-1.05M-16.77%-1.04M-2.94%-889.27K-41.45%-863.84K---610.69K--------------------
Cash from discontinued financing activities
Financing cash flow -558.65%-13.69M20.72%-2.08M-60.56%-2.62M-11.01%-1.63M-11.33%-1.47M-115.03%-1.32M2,550.38%8.79M-127.83%-358.83K49.03%1.29M-41.45%865.21K
Net cash flow
Beginning cash position -74.34%9.39M5.67%36.61M50.87%34.64M21.80%22.96M-0.95%18.85M208.09%19.03M659.99%6.18M32.48%812.83K-57.95%613.53K362.41%1.46M
Current changes in cash -208.74%-13.36M-320.21%-4.33M-83.18%1.96M184.24%11.68M2,383.71%4.11M-101.40%-179.96K139.62%12.85M2,591.66%5.36M116.85%199.3K-493.77%-1.18M
Cash adjustments other than cash changes 190.85%20.8M---22.89M------------------------------337.45K
End cash Position 79.21%16.83M-74.34%9.39M5.67%36.61M50.87%34.64M21.80%22.96M-0.95%18.85M208.09%19.03M659.99%6.18M32.48%812.83K-0.39%613.53K
Free cash from -57.15%-9.64M-171.18%-6.13M-38.57%8.62M112.77%14.03M1,250.92%6.59M-108.21%-572.86K24.43%6.98M1,100.91%5.61M70.48%-560.37K-61.23%-1.9M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP