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SLI Standard Lithium

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  • 1.660
  • +0.040+2.47%
Trading Oct 4 10:00 ET
306.41MMarket Cap2.74P/E (TTM)

Standard Lithium Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
1.70%-24.69M
31.98%-2.81M
15.21%-7.73M
-53.44%-7.71M
5.94%-6.44M
-16.93%-25.12M
-14.24%-4.12M
-93.85%-9.12M
11.97%-5.02M
8.18%-6.85M
Net income from continuing operations
451.16%147.45M
771.98%177.74M
-45.89%-10.36M
-48.19%-10.2M
-524.78%-9.73M
-10.21%-41.99M
-311.22%-26.45M
48.33%-7.1M
19.69%-6.88M
83.35%-1.56M
Operating gains losses
-6,261.09%-227.41M
-13,042.54%-226.37M
74.29%-361K
-107.48%-183K
92.15%-500K
-3,337.50%-3.58M
6,787.18%1.75M
-1,316.21%-1.4M
7,951.44%2.45M
-690,772.45%-6.37M
Depreciation and amortization
158.86%1.55M
183.56%414K
352.33%389K
449.30%390K
20.34%355K
-95.62%598K
-93.38%146K
-97.84%86K
-98.13%71K
-91.94%295K
Deferred tax
--35.04M
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--0
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Other non cash items
78.72%84K
-23.08%20K
72.73%19K
320.00%21K
380.00%24K
176.47%47K
277.14%26K
86.73%11K
--5K
--5K
Change In working capital
197.27%8.38M
121.59%10.1M
-36.99%-1.04M
-40.04%-1.36M
5,276.92%673K
331.17%2.82M
486.15%4.56M
-119.81%-757K
1.38%-969K
99.55%-13K
-Change in receivables
-265.97%-1.11M
-640.21%-1.05M
-146.65%-181K
123.20%129K
-101.09%-7K
166.97%667K
120.55%194K
969.90%388K
-1,248.17%-556K
1,250.54%641K
-Change in prepaid assets
240.44%2.57M
689.26%713K
17.24%-1.91M
1,133.33%592K
480.77%3.17M
-38.01%-1.83M
-127.98%-121K
-574.74%-2.3M
-81.74%48K
121.78%546K
-Change in payables and accrued expense
73.67%6.91M
132.67%10.43M
-9.33%1.05M
-350.76%-2.08M
-107.58%-2.49M
560.20%3.98M
770.84%4.48M
-59.80%1.16M
64.37%-461K
-280.67%-1.2M
Cash from discontinued investing activities
Operating cash flow
1.70%-24.69M
31.98%-2.81M
15.21%-7.73M
-53.44%-7.71M
5.94%-6.44M
-16.93%-25.12M
-14.24%-4.12M
-93.85%-9.12M
11.97%-5.02M
8.18%-6.85M
Investing cash flow
Cash flow from continuing investing activities
94.70%-2.82M
242.57%37.54M
49.17%-6.91M
-90.69%-16.73M
-265.09%-16.73M
-468.63%-53.28M
-365.99%-26.33M
-1,035.52%-13.59M
-403.89%-8.78M
-487.00%-4.58M
Net PPE purchase and sale
18.35%-43.47M
88.21%-3.1M
49.02%-6.91M
-90.69%-16.73M
-265.09%-16.73M
-751.06%-53.23M
-938.04%-26.33M
-1,032.18%-13.55M
-403.89%-8.78M
-487.00%-4.58M
Net intangibles purchase and sale
--0
--0
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---41K
---1K
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Net business purchase and sale
--41.12M
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--0
----
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Net investment purchase and sale
---472K
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--0
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Cash from discontinued investing activities
Investing cash flow
94.70%-2.82M
242.57%37.54M
49.17%-6.91M
-90.69%-16.73M
-265.09%-16.73M
-468.63%-53.28M
-365.99%-26.33M
-1,035.52%-13.59M
-403.89%-8.78M
-487.00%-4.58M
Financing cash flow
Cash flow from continuing financing activities
294.14%19.78M
3,539.71%2.34M
182.74%14.34M
6,011.32%3.13M
-142.03%-29K
-96.20%5.02M
-104.81%-68K
54.86%5.07M
-100.04%-53K
-97.96%69K
Net issuance payments of debt
-103.18%-638K
-24.48%-178K
-101.35%-149K
-192.45%-155K
-254.55%-156K
-188.07%-314K
-180.32%-143K
-110.65%-74K
-131.89%-53K
---44K
Net common stock issuance
--21.31M
--2.05M
--15.09M
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--0
--0
--0
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Proceeds from stock option exercised by employees
-85.76%770K
320.00%630K
--0
--0
23.89%140K
-54.18%5.41M
-89.48%150K
54.79%5.14M
--0
-96.83%113K
Net other financing activities
-2,117.33%-1.66M
---159K
---602K
---889K
---13K
65.44%-75K
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Cash from discontinued financing activities
Financing cash flow
294.14%19.78M
3,539.71%2.34M
182.74%14.34M
6,011.32%3.13M
-142.03%-29K
-96.20%5.02M
-104.81%-68K
54.86%5.07M
-100.04%-53K
-97.96%69K
Net cash flow
Beginning cash position
-53.81%59.61M
-82.81%15.72M
-85.26%15.83M
-70.03%37.18M
-53.81%59.61M
361.14%129.07M
-33.23%91.42M
-23.06%107.37M
436.44%124.07M
361.14%129.07M
Current changes in cash
89.46%-7.74M
221.47%37.08M
98.27%-306K
-53.83%-21.31M
-104.17%-23.2M
-172.59%-73.38M
-288.93%-30.52M
-571.25%-17.64M
-111.90%-13.85M
-133.77%-11.36M
Effect of exchange rate changes
-74.07%1.02M
107.93%102K
-88.71%191K
98.49%-43K
-87.95%767K
--3.92M
---1.29M
--1.69M
---2.85M
--6.37M
End cash Position
-11.27%52.89M
-11.27%52.89M
-82.81%15.72M
-85.26%15.83M
-70.03%37.18M
-53.81%59.61M
-53.81%59.61M
-33.23%91.42M
-23.06%107.37M
436.44%124.07M
Free cash flow
13.06%-68.16M
80.60%-5.91M
35.53%-14.64M
-77.13%-24.44M
-102.69%-23.17M
-182.64%-78.39M
-395.50%-30.46M
-284.78%-22.71M
-85.26%-13.8M
-38.72%-11.43M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
Unqualified Opinion
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Unqualified Opinion
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(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 1.70%-24.69M31.98%-2.81M15.21%-7.73M-53.44%-7.71M5.94%-6.44M-16.93%-25.12M-14.24%-4.12M-93.85%-9.12M11.97%-5.02M8.18%-6.85M
Net income from continuing operations 451.16%147.45M771.98%177.74M-45.89%-10.36M-48.19%-10.2M-524.78%-9.73M-10.21%-41.99M-311.22%-26.45M48.33%-7.1M19.69%-6.88M83.35%-1.56M
Operating gains losses -6,261.09%-227.41M-13,042.54%-226.37M74.29%-361K-107.48%-183K92.15%-500K-3,337.50%-3.58M6,787.18%1.75M-1,316.21%-1.4M7,951.44%2.45M-690,772.45%-6.37M
Depreciation and amortization 158.86%1.55M183.56%414K352.33%389K449.30%390K20.34%355K-95.62%598K-93.38%146K-97.84%86K-98.13%71K-91.94%295K
Deferred tax --35.04M------------------0----------------
Other non cash items 78.72%84K-23.08%20K72.73%19K320.00%21K380.00%24K176.47%47K277.14%26K86.73%11K--5K--5K
Change In working capital 197.27%8.38M121.59%10.1M-36.99%-1.04M-40.04%-1.36M5,276.92%673K331.17%2.82M486.15%4.56M-119.81%-757K1.38%-969K99.55%-13K
-Change in receivables -265.97%-1.11M-640.21%-1.05M-146.65%-181K123.20%129K-101.09%-7K166.97%667K120.55%194K969.90%388K-1,248.17%-556K1,250.54%641K
-Change in prepaid assets 240.44%2.57M689.26%713K17.24%-1.91M1,133.33%592K480.77%3.17M-38.01%-1.83M-127.98%-121K-574.74%-2.3M-81.74%48K121.78%546K
-Change in payables and accrued expense 73.67%6.91M132.67%10.43M-9.33%1.05M-350.76%-2.08M-107.58%-2.49M560.20%3.98M770.84%4.48M-59.80%1.16M64.37%-461K-280.67%-1.2M
Cash from discontinued investing activities
Operating cash flow 1.70%-24.69M31.98%-2.81M15.21%-7.73M-53.44%-7.71M5.94%-6.44M-16.93%-25.12M-14.24%-4.12M-93.85%-9.12M11.97%-5.02M8.18%-6.85M
Investing cash flow
Cash flow from continuing investing activities 94.70%-2.82M242.57%37.54M49.17%-6.91M-90.69%-16.73M-265.09%-16.73M-468.63%-53.28M-365.99%-26.33M-1,035.52%-13.59M-403.89%-8.78M-487.00%-4.58M
Net PPE purchase and sale 18.35%-43.47M88.21%-3.1M49.02%-6.91M-90.69%-16.73M-265.09%-16.73M-751.06%-53.23M-938.04%-26.33M-1,032.18%-13.55M-403.89%-8.78M-487.00%-4.58M
Net intangibles purchase and sale --0--0---------------41K---1K------------
Net business purchase and sale --41.12M------------------0----------------
Net investment purchase and sale ---472K------------------0----------------
Cash from discontinued investing activities
Investing cash flow 94.70%-2.82M242.57%37.54M49.17%-6.91M-90.69%-16.73M-265.09%-16.73M-468.63%-53.28M-365.99%-26.33M-1,035.52%-13.59M-403.89%-8.78M-487.00%-4.58M
Financing cash flow
Cash flow from continuing financing activities 294.14%19.78M3,539.71%2.34M182.74%14.34M6,011.32%3.13M-142.03%-29K-96.20%5.02M-104.81%-68K54.86%5.07M-100.04%-53K-97.96%69K
Net issuance payments of debt -103.18%-638K-24.48%-178K-101.35%-149K-192.45%-155K-254.55%-156K-188.07%-314K-180.32%-143K-110.65%-74K-131.89%-53K---44K
Net common stock issuance --21.31M--2.05M--15.09M----------0--0--0--------
Proceeds from stock option exercised by employees -85.76%770K320.00%630K--0--023.89%140K-54.18%5.41M-89.48%150K54.79%5.14M--0-96.83%113K
Net other financing activities -2,117.33%-1.66M---159K---602K---889K---13K65.44%-75K----------------
Cash from discontinued financing activities
Financing cash flow 294.14%19.78M3,539.71%2.34M182.74%14.34M6,011.32%3.13M-142.03%-29K-96.20%5.02M-104.81%-68K54.86%5.07M-100.04%-53K-97.96%69K
Net cash flow
Beginning cash position -53.81%59.61M-82.81%15.72M-85.26%15.83M-70.03%37.18M-53.81%59.61M361.14%129.07M-33.23%91.42M-23.06%107.37M436.44%124.07M361.14%129.07M
Current changes in cash 89.46%-7.74M221.47%37.08M98.27%-306K-53.83%-21.31M-104.17%-23.2M-172.59%-73.38M-288.93%-30.52M-571.25%-17.64M-111.90%-13.85M-133.77%-11.36M
Effect of exchange rate changes -74.07%1.02M107.93%102K-88.71%191K98.49%-43K-87.95%767K--3.92M---1.29M--1.69M---2.85M--6.37M
End cash Position -11.27%52.89M-11.27%52.89M-82.81%15.72M-85.26%15.83M-70.03%37.18M-53.81%59.61M-53.81%59.61M-33.23%91.42M-23.06%107.37M436.44%124.07M
Free cash flow 13.06%-68.16M80.60%-5.91M35.53%-14.64M-77.13%-24.44M-102.69%-23.17M-182.64%-78.39M-395.50%-30.46M-284.78%-22.71M-85.26%-13.8M-38.72%-11.43M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

Analysis

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