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SGF SG Fleet Group Ltd

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  • 3.250
  • 0.0000.00%
20min DelayNot Open Jul 15 16:00 AET
1.11BMarket Cap14.84P/E (Static)

SG Fleet Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
-20.79%778.46M
84.52%982.8M
0.96%532.62M
-7.94%527.55M
66.29%573.07M
13.16%344.62M
33.49%304.54M
19.30%228.14M
190.36%191.23M
65.86M
Revenue from customers
15.76%1.14B
84.52%982.8M
0.96%532.62M
-7.94%527.55M
66.29%573.07M
13.16%344.62M
33.49%304.54M
19.30%228.14M
190.36%191.23M
--65.86M
Other cash income from operating activities
---359.19M
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----
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Cash paid
-7.64%-704.36M
-69.07%-654.34M
7.51%-387.01M
11.40%-418.46M
-146.77%-472.3M
-2.46%-191.39M
-35.96%-186.79M
-17.50%-137.38M
-232.40%-116.92M
-35.17M
Payments to suppliers for goods and services
-7.64%-704.36M
-69.07%-654.34M
7.51%-387.01M
11.40%-418.46M
-146.77%-472.3M
-2.46%-191.39M
-35.96%-186.79M
-17.50%-137.38M
-232.40%-116.92M
---35.17M
Direct interest paid
-37.92%-64.8M
-306.73%-46.98M
-42.24%-11.55M
24.10%-8.12M
-8.11%-10.7M
4.27%-9.9M
-63.56%-10.34M
-79.65%-6.32M
-131.75%-3.52M
---1.52M
Direct interest received
1,222.31%8.6M
30.00%650K
-60.94%500K
-21.62%1.28M
24.75%1.63M
-8.01%1.31M
-27.51%1.42M
0.62%1.96M
294.14%1.95M
--495K
Direct tax refund paid
----
-173.68%-52.11M
19.65%-19.04M
3.91%-23.7M
16.92%-24.66M
-33.77%-29.68M
26.17%-22.19M
-167.98%-30.05M
-129.21%-11.21M
---4.89M
Operating cash flow
-92.22%17.91M
99.12%230.03M
47.06%115.52M
17.17%78.56M
-41.68%67.05M
32.68%114.96M
53.77%86.65M
-8.42%56.35M
148.40%61.53M
--24.77M
Investing cash flow
Cash flow from continuing investing activities
97.81%-14.28M
-1,091.10%-652.22M
-75.41%-54.76M
-105.84%-31.22M
31.39%-15.17M
63.28%-22.1M
56.11%-60.2M
-1,328.97%-137.15M
-228.47%-9.6M
-2.92M
Net PPE purchase and sale
96.41%-6.72M
-142.83%-187.3M
-42.95%-77.14M
-485.10%-53.96M
42.05%-9.22M
-53.12%-15.91M
63.57%-10.39M
-9,254.75%-28.53M
8.68%-305K
---334K
Net intangibles purchas and sale
-30.37%-5.53M
-24.93%-4.24M
26.26%-3.4M
19.23%-4.61M
7.85%-5.7M
-96.63%-6.19M
-116.42%-3.15M
306.34%19.18M
-259.08%-9.29M
---2.59M
Net business purchase and sale
----
---455.81M
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----
----
----
63.49%-46.66M
---127.8M
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----
Net investment purchase and sale
58.36%-2.03M
-118.87%-4.86M
-5.75%25.77M
11,494.58%27.35M
---240K
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Cash from discontinued investing activities
Investing cash flow
97.81%-14.28M
-1,091.10%-652.22M
-75.41%-54.76M
-105.84%-31.22M
31.39%-15.17M
63.28%-22.1M
56.11%-60.2M
-1,328.97%-137.15M
-228.47%-9.6M
---2.92M
Financing cash flow
Cash flow from continuing financing activities
-94.17%24.66M
618.63%423.32M
263.08%58.91M
34.15%-36.12M
25.59%-54.86M
-215.29%-73.72M
-131.14%-23.38M
450.69%75.07M
-159.37%-21.41M
36.06M
Net issuance payments of debt
-81.93%87.77M
8,460.25%485.79M
-56.68%5.68M
154.37%13.1M
11.68%-24.09M
-282.38%-27.28M
-85.49%14.96M
44,526.29%103.07M
-123.39%-232K
--992K
Net common stock issuance
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--84.85M
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----
----
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---4.22M
Cash dividends paid
-20.88%-53.77M
-65.62%-44.49M
37.77%-26.86M
-40.30%-43.16M
33.76%-30.76M
-21.13%-46.44M
-36.94%-38.34M
-32.22%-28M
---21.18M
----
Interest paid (cash flow from financing activities)
94.44%-636K
---11.44M
----
----
----
----
----
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----
Net other financing activities
-32.81%-8.69M
-37.64%-6.55M
21.54%-4.76M
---6.06M
----
----
----
----
----
--39.29M
Cash from discontinued financing activities
Financing cash flow
-94.17%24.66M
618.63%423.32M
263.08%58.91M
34.15%-36.12M
25.59%-54.86M
-215.29%-73.72M
-131.14%-23.38M
450.69%75.07M
-159.37%-21.41M
--36.06M
Net cash flow
Beginning cash position
-0.30%230.43M
108.00%231.12M
10.57%111.12M
-2.69%100.49M
23.06%103.28M
2.73%83.92M
-8.36%81.69M
53.94%89.14M
--57.91M
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Current changes in cash
2,421.12%28.29M
-99.06%1.12M
966.67%119.67M
476.98%11.22M
-115.55%-2.98M
524.27%19.14M
153.52%3.07M
-118.77%-5.73M
-47.28%30.53M
--57.91M
Effect of exchange rate changes
193.80%1.69M
-643.98%-1.81M
155.70%332K
-408.81%-596K
-8.96%193K
125.36%212K
51.42%-836K
-342.39%-1.72M
--710K
----
End cash Position
13.01%260.41M
-0.30%230.43M
108.00%231.12M
10.57%111.12M
-2.69%100.49M
23.06%103.28M
2.73%83.92M
-8.36%81.69M
53.94%89.14M
--57.91M
Free cash from
102.00%5.25M
-851.51%-261.75M
74.60%34.83M
-16.96%19.95M
-66.42%24.02M
32.84%71.53M
93.98%53.85M
-20.77%27.76M
119.02%35.04M
--16M
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, 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(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities -20.79%778.46M84.52%982.8M0.96%532.62M-7.94%527.55M66.29%573.07M13.16%344.62M33.49%304.54M19.30%228.14M190.36%191.23M65.86M
Revenue from customers 15.76%1.14B84.52%982.8M0.96%532.62M-7.94%527.55M66.29%573.07M13.16%344.62M33.49%304.54M19.30%228.14M190.36%191.23M--65.86M
Other cash income from operating activities ---359.19M------------------------------------
Cash paid -7.64%-704.36M-69.07%-654.34M7.51%-387.01M11.40%-418.46M-146.77%-472.3M-2.46%-191.39M-35.96%-186.79M-17.50%-137.38M-232.40%-116.92M-35.17M
Payments to suppliers for goods and services -7.64%-704.36M-69.07%-654.34M7.51%-387.01M11.40%-418.46M-146.77%-472.3M-2.46%-191.39M-35.96%-186.79M-17.50%-137.38M-232.40%-116.92M---35.17M
Direct interest paid -37.92%-64.8M-306.73%-46.98M-42.24%-11.55M24.10%-8.12M-8.11%-10.7M4.27%-9.9M-63.56%-10.34M-79.65%-6.32M-131.75%-3.52M---1.52M
Direct interest received 1,222.31%8.6M30.00%650K-60.94%500K-21.62%1.28M24.75%1.63M-8.01%1.31M-27.51%1.42M0.62%1.96M294.14%1.95M--495K
Direct tax refund paid -----173.68%-52.11M19.65%-19.04M3.91%-23.7M16.92%-24.66M-33.77%-29.68M26.17%-22.19M-167.98%-30.05M-129.21%-11.21M---4.89M
Operating cash flow -92.22%17.91M99.12%230.03M47.06%115.52M17.17%78.56M-41.68%67.05M32.68%114.96M53.77%86.65M-8.42%56.35M148.40%61.53M--24.77M
Investing cash flow
Cash flow from continuing investing activities 97.81%-14.28M-1,091.10%-652.22M-75.41%-54.76M-105.84%-31.22M31.39%-15.17M63.28%-22.1M56.11%-60.2M-1,328.97%-137.15M-228.47%-9.6M-2.92M
Net PPE purchase and sale 96.41%-6.72M-142.83%-187.3M-42.95%-77.14M-485.10%-53.96M42.05%-9.22M-53.12%-15.91M63.57%-10.39M-9,254.75%-28.53M8.68%-305K---334K
Net intangibles purchas and sale -30.37%-5.53M-24.93%-4.24M26.26%-3.4M19.23%-4.61M7.85%-5.7M-96.63%-6.19M-116.42%-3.15M306.34%19.18M-259.08%-9.29M---2.59M
Net business purchase and sale -------455.81M----------------63.49%-46.66M---127.8M--------
Net investment purchase and sale 58.36%-2.03M-118.87%-4.86M-5.75%25.77M11,494.58%27.35M---240K--------------------
Cash from discontinued investing activities
Investing cash flow 97.81%-14.28M-1,091.10%-652.22M-75.41%-54.76M-105.84%-31.22M31.39%-15.17M63.28%-22.1M56.11%-60.2M-1,328.97%-137.15M-228.47%-9.6M---2.92M
Financing cash flow
Cash flow from continuing financing activities -94.17%24.66M618.63%423.32M263.08%58.91M34.15%-36.12M25.59%-54.86M-215.29%-73.72M-131.14%-23.38M450.69%75.07M-159.37%-21.41M36.06M
Net issuance payments of debt -81.93%87.77M8,460.25%485.79M-56.68%5.68M154.37%13.1M11.68%-24.09M-282.38%-27.28M-85.49%14.96M44,526.29%103.07M-123.39%-232K--992K
Net common stock issuance ----------84.85M---------------------------4.22M
Cash dividends paid -20.88%-53.77M-65.62%-44.49M37.77%-26.86M-40.30%-43.16M33.76%-30.76M-21.13%-46.44M-36.94%-38.34M-32.22%-28M---21.18M----
Interest paid (cash flow from financing activities) 94.44%-636K---11.44M--------------------------------
Net other financing activities -32.81%-8.69M-37.64%-6.55M21.54%-4.76M---6.06M----------------------39.29M
Cash from discontinued financing activities
Financing cash flow -94.17%24.66M618.63%423.32M263.08%58.91M34.15%-36.12M25.59%-54.86M-215.29%-73.72M-131.14%-23.38M450.69%75.07M-159.37%-21.41M--36.06M
Net cash flow
Beginning cash position -0.30%230.43M108.00%231.12M10.57%111.12M-2.69%100.49M23.06%103.28M2.73%83.92M-8.36%81.69M53.94%89.14M--57.91M----
Current changes in cash 2,421.12%28.29M-99.06%1.12M966.67%119.67M476.98%11.22M-115.55%-2.98M524.27%19.14M153.52%3.07M-118.77%-5.73M-47.28%30.53M--57.91M
Effect of exchange rate changes 193.80%1.69M-643.98%-1.81M155.70%332K-408.81%-596K-8.96%193K125.36%212K51.42%-836K-342.39%-1.72M--710K----
End cash Position 13.01%260.41M-0.30%230.43M108.00%231.12M10.57%111.12M-2.69%100.49M23.06%103.28M2.73%83.92M-8.36%81.69M53.94%89.14M--57.91M
Free cash from 102.00%5.25M-851.51%-261.75M74.60%34.83M-16.96%19.95M-66.42%24.02M32.84%71.53M93.98%53.85M-20.77%27.76M119.02%35.04M--16M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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