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SML Southstone Minerals Ltd

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  • 0.010
  • 0.0000.00%
15min DelayMarket Closed Apr 11 09:30 ET
334.02KMarket Cap2.00P/E (TTM)

Southstone Minerals Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
(Q1)Nov 30, 2022
(FY)Aug 31, 2022
(Q4)Aug 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
297.72%138.57K
133.81%49.82K
-162.27%-90.67K
90.65%-65.6K
101.78%6.22K
-70.09K
-447.12%-147.34K
136.90%145.61K
-2,758.11%-701.27K
-354.24%-349.12K
Net income from continuing operations
483.55%311.7K
117.46%17.56K
-255.49%-97.79K
70.93%-188.25K
85.13%-69.31K
---81.27K
-279.77%-100.57K
140.52%62.89K
-20.50%-647.63K
-9.57%-465.95K
Operating gains losses
83.76%-8.29K
117.51%8.33K
-94.32%1.17K
-75.60%9.86K
202.20%87.9K
---51.03K
-410.50%-47.54K
612.87%20.53K
111.87%40.4K
110.56%29.09K
Depreciation and amortization
-231.31%-822
-69.49%202
-4.91%620
-89.00%2.55K
-92.34%613
--626
-91.19%662
-91.52%652
-51.58%23.21K
-55.49%8K
Asset impairment expenditure
----
----
----
--0
----
----
----
----
-98.86%6.15K
----
Remuneration paid in stock
----
----
----
--0
----
----
----
----
-10.29%35.79K
----
Other non cashItems
144.81%19.27K
-69.47%2.3K
1,414.65%8.16K
353.43%22.82K
323.83%8.05K
--7.87K
650.30%7.52K
90.31%-621
-119.76%-9K
-118.59%-3.6K
Change In working capital
-441.27%-183.3K
389.23%21.44K
-104.55%-2.83K
158.22%87.43K
-150.81%-21.03K
--53.71K
-116.43%-7.41K
126.26%62.16K
-182.18%-150.17K
-81.49%41.4K
-Change in receivables
1,016,228.57%71.14K
-1,185,816.67%-71.14K
--0
-91.17%1.7K
-89.52%296
--7
-100.00%6
100.61%1.4K
-53.48%19.3K
-89.28%2.83K
-Change in inventory
-258.73%-379.98K
18.63%-194.78K
--0
207.33%176.62K
--0
--239.38K
---239.38K
1,363.41%176.62K
-146.49%-164.55K
-1,363.41%-176.62K
-Change in prepaid assets
-1,778.72%-13.33K
--0
--0
-60.98%5.75K
--0
--794
11.99%2.47K
165.64%2.49K
1,721.78%14.74K
500.66%16.34K
-Change in payables and accrued expense
174.47%138.87K
25.21%287.36K
97.61%-2.83K
-391.43%-96.65K
-110.73%-21.33K
---186.48K
213.02%229.5K
-665.46%-118.35K
90.71%-19.67K
-3.74%198.85K
Cash from discontinued investing activities
Operating cash flow
297.72%138.57K
133.81%49.82K
-162.27%-90.67K
90.65%-65.6K
101.78%6.22K
---70.09K
-447.12%-147.34K
136.90%145.61K
-2,758.11%-701.27K
-354.24%-349.12K
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities
-14.2K
57.39K
88.93K
-86.22%28.71K
-80.42%28.71K
0
0
0
321.99%208.35K
146.64K
Net issuance payments of debt
---14.2K
--57.39K
--23.27K
-86.22%28.71K
-80.42%28.71K
--0
--0
--0
--208.35K
--146.64K
Net common stock issuance
--0
--0
--68K
----
----
--0
--0
--0
----
----
Net other financing activities
--0
--0
---2.34K
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
---14.2K
--57.39K
--88.93K
-86.22%28.71K
-80.42%28.71K
--0
--0
--0
321.99%208.35K
--146.64K
Net cash flow
Beginning cash position
391.93%93.56K
-77.27%23.4K
-35.01%11.73K
-95.83%18.06K
-88.38%16.39K
-86.52%19.02K
-28.96%102.94K
-95.83%18.06K
-13.02%433.24K
-44.51%141.08K
Current changes in cash
277.45%124.37K
172.76%107.21K
-101.20%-1.75K
92.52%-36.89K
117.25%34.93K
---70.09K
-434.13%-147.34K
143.53%145.61K
-677.56%-492.91K
-205.28%-202.48K
Effect of exchange rate changes
-30.13%47.13K
-158.43%-37.06K
122.09%13.41K
-60.67%30.57K
-149.82%-39.58K
--67.46K
232.31%63.41K
-231.45%-60.72K
5,355.10%77.72K
696.00%79.46K
End cash Position
1,517.48%265.06K
391.93%93.56K
-77.27%23.4K
-35.01%11.73K
-35.01%11.73K
-88.38%16.39K
-86.52%19.02K
-28.96%102.94K
-95.83%18.06K
-95.83%18.06K
Free cash from
297.72%138.57K
133.81%49.82K
-162.27%-90.67K
90.65%-65.6K
101.78%6.22K
---70.09K
-447.12%-147.34K
136.90%145.61K
-2,758.11%-701.27K
-354.24%-349.12K
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023(Q1)Nov 30, 2022(FY)Aug 31, 2022(Q4)Aug 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 297.72%138.57K133.81%49.82K-162.27%-90.67K90.65%-65.6K101.78%6.22K-70.09K-447.12%-147.34K136.90%145.61K-2,758.11%-701.27K-354.24%-349.12K
Net income from continuing operations 483.55%311.7K117.46%17.56K-255.49%-97.79K70.93%-188.25K85.13%-69.31K---81.27K-279.77%-100.57K140.52%62.89K-20.50%-647.63K-9.57%-465.95K
Operating gains losses 83.76%-8.29K117.51%8.33K-94.32%1.17K-75.60%9.86K202.20%87.9K---51.03K-410.50%-47.54K612.87%20.53K111.87%40.4K110.56%29.09K
Depreciation and amortization -231.31%-822-69.49%202-4.91%620-89.00%2.55K-92.34%613--626-91.19%662-91.52%652-51.58%23.21K-55.49%8K
Asset impairment expenditure --------------0-----------------98.86%6.15K----
Remuneration paid in stock --------------0-----------------10.29%35.79K----
Other non cashItems 144.81%19.27K-69.47%2.3K1,414.65%8.16K353.43%22.82K323.83%8.05K--7.87K650.30%7.52K90.31%-621-119.76%-9K-118.59%-3.6K
Change In working capital -441.27%-183.3K389.23%21.44K-104.55%-2.83K158.22%87.43K-150.81%-21.03K--53.71K-116.43%-7.41K126.26%62.16K-182.18%-150.17K-81.49%41.4K
-Change in receivables 1,016,228.57%71.14K-1,185,816.67%-71.14K--0-91.17%1.7K-89.52%296--7-100.00%6100.61%1.4K-53.48%19.3K-89.28%2.83K
-Change in inventory -258.73%-379.98K18.63%-194.78K--0207.33%176.62K--0--239.38K---239.38K1,363.41%176.62K-146.49%-164.55K-1,363.41%-176.62K
-Change in prepaid assets -1,778.72%-13.33K--0--0-60.98%5.75K--0--79411.99%2.47K165.64%2.49K1,721.78%14.74K500.66%16.34K
-Change in payables and accrued expense 174.47%138.87K25.21%287.36K97.61%-2.83K-391.43%-96.65K-110.73%-21.33K---186.48K213.02%229.5K-665.46%-118.35K90.71%-19.67K-3.74%198.85K
Cash from discontinued investing activities
Operating cash flow 297.72%138.57K133.81%49.82K-162.27%-90.67K90.65%-65.6K101.78%6.22K---70.09K-447.12%-147.34K136.90%145.61K-2,758.11%-701.27K-354.24%-349.12K
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities -14.2K57.39K88.93K-86.22%28.71K-80.42%28.71K000321.99%208.35K146.64K
Net issuance payments of debt ---14.2K--57.39K--23.27K-86.22%28.71K-80.42%28.71K--0--0--0--208.35K--146.64K
Net common stock issuance --0--0--68K----------0--0--0--------
Net other financing activities --0--0---2.34K----------------------------
Cash from discontinued financing activities
Financing cash flow ---14.2K--57.39K--88.93K-86.22%28.71K-80.42%28.71K--0--0--0321.99%208.35K--146.64K
Net cash flow
Beginning cash position 391.93%93.56K-77.27%23.4K-35.01%11.73K-95.83%18.06K-88.38%16.39K-86.52%19.02K-28.96%102.94K-95.83%18.06K-13.02%433.24K-44.51%141.08K
Current changes in cash 277.45%124.37K172.76%107.21K-101.20%-1.75K92.52%-36.89K117.25%34.93K---70.09K-434.13%-147.34K143.53%145.61K-677.56%-492.91K-205.28%-202.48K
Effect of exchange rate changes -30.13%47.13K-158.43%-37.06K122.09%13.41K-60.67%30.57K-149.82%-39.58K--67.46K232.31%63.41K-231.45%-60.72K5,355.10%77.72K696.00%79.46K
End cash Position 1,517.48%265.06K391.93%93.56K-77.27%23.4K-35.01%11.73K-35.01%11.73K-88.38%16.39K-86.52%19.02K-28.96%102.94K-95.83%18.06K-95.83%18.06K
Free cash from 297.72%138.57K133.81%49.82K-162.27%-90.67K90.65%-65.6K101.78%6.22K---70.09K-447.12%-147.34K136.90%145.61K-2,758.11%-701.27K-354.24%-349.12K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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