US Stock MarketDetailed Quotes

SNLAY SINO LAND CO

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  • 5.300
  • 0.0000.00%
15min DelayClose Feb 13 14:21 ET
9.56BMarket Cap15.87P/E (TTM)

SINO LAND CO 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 (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-29.24%4.77B
-7.83%6.74B
-43.76%7.31B
491.18%13.01B
-71.50%2.2B
-50.73%7.72B
47.59%15.67B
36.91%10.61B
-27.00%7.75B
2.87%10.62B
Other non cash items
-74.39%-2.38B
-268.77%-1.36B
38.38%-369.61M
43.70%-599.82M
-65.38%-1.07B
-13.71%-644.16M
-69.35%-566.5M
-12.12%-334.52M
0.26%-298.36M
-118.26%-299.15M
Change In working capital
64.19%-910M
-289.54%-2.54B
93.74%-652.32M
-382.83%-10.42B
-70.48%3.69B
219.57%12.48B
-1,354.35%-10.44B
-112.97%-717.88M
62.69%5.53B
313.60%3.4B
-Change in receivables
149.81%256M
-39.36%-514M
-125.07%-368.83M
61.44%-163.87M
-384.57%-425.03M
-127.80%-87.71M
-77.67%315.51M
451.06%1.41B
114.52%256.42M
-534.82%-1.77B
-Change in inventory
-1,811.11%-154M
-99.67%9M
-61.56%2.77B
327.98%7.2B
-244.17%-3.16B
89.52%-917.03M
-621.43%-8.75B
9,218.72%1.68B
-99.63%18M
257.01%4.9B
-Change in other current assets
59.41%-714M
46.15%-1.76B
81.44%-3.27B
-342.93%-17.6B
-49.89%7.25B
316.81%14.46B
-158.63%-6.67B
-414.17%-2.58B
-284.00%-501.57M
2,383.75%272.6M
Cash from discontinued investing activities
Operating cash flow
299.83%1.15B
-108.89%-575M
191.47%6.47B
-62.36%2.22B
-58.63%5.89B
280.84%14.24B
-261.73%-7.88B
-44.30%4.87B
11.82%8.74B
406.04%7.82B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
35.24%-68M
-100.71%-105M
-39.96%-52.32M
22.20%-37.38M
26.99%-48.04M
40.60%-65.81M
6.64%-110.78M
-68.89%-118.66M
8.22%-70.26M
12.91%-76.55M
Net business purchase and sale
92.66%-35M
5.83%-477M
-15.77%-506.51M
-267.78%-437.5M
87.98%-118.96M
-109.07%-989.56M
679.21%10.91B
33.34%1.4B
2,849.93%1.05B
83.36%-38.18M
Net investment purchase and sale
-201.00%-9.61B
72.49%-3.19B
-339.59%-11.61B
187.95%4.84B
120.73%1.68B
-213.36%-8.11B
243.31%7.16B
66.71%-4.99B
-1,775.52%-15B
-4,158.26%-799.99M
Net other investing changes
----
107.77%2M
-121.13%-25.75M
-53.48%121.83M
422.61%261.9M
-96.64%50.11M
208.10%1.49B
-293.24%-1.38B
-260.76%-351.12M
344.45%218.42M
Cash from discontinued investing activities
Investing cash flow
-287.13%-6.86B
84.18%-1.77B
-363.76%-11.2B
34.46%4.25B
141.71%3.16B
-165.62%-7.57B
327.96%11.53B
56.35%-5.06B
-424.68%-11.59B
-28.95%3.57B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
12.18%-1.13B
35.55%-1.29B
---2B
--0
-91.64%221.33M
174.52%2.65B
-340.04%-3.55B
191.94%1.48B
-8.15%-1.61B
32.15%-1.49B
Net common stock issuance
----
----
----
----
----
----
-57.02%-12.2M
83.38%-7.77M
-49.25%-46.74M
-641.92%-31.32M
Cash dividends paid
-128.99%-948M
86.44%-414M
-500.60%-3.05B
60.52%-508.44M
-56.50%-1.29B
64.18%-822.88M
-87.85%-2.3B
42.27%-1.22B
-0.20%-2.12B
5.63%-2.11B
Net other financing activities
52.84%862M
1,748.34%564M
106.00%30.51M
53.05%-508.25M
-394.94%-1.08B
19.91%367.06M
212.00%306.12M
53.51%-273.33M
79.36%-587.94M
-703.23%-2.85B
Cash from discontinued financing activities
Financing cash flow
0.57%-1.4B
77.13%-1.41B
-433.73%-6.17B
50.38%-1.16B
-215.82%-2.33B
134.71%2.01B
-1,149.87%-5.79B
89.78%-463.59M
32.04%-4.53B
-58.91%-6.67B
Net cash flow
Beginning cash position
-21.88%13.76B
-38.35%17.62B
23.82%28.58B
40.40%23.08B
110.13%16.44B
-21.15%7.82B
-6.36%9.92B
-41.87%10.6B
35.04%18.23B
16.17%13.5B
Current changes in cash
-89.25%-7.11B
65.54%-3.76B
-305.39%-10.9B
-21.03%5.31B
-22.62%6.72B
506.61%8.69B
-226.85%-2.14B
91.15%-653.55M
-256.53%-7.38B
98.89%4.72B
Effect of exchange rate changes
104.08%4M
-63.32%-98M
-131.52%-60.01M
339.44%190.35M
-14.13%-79.5M
-286.16%-69.66M
279.16%37.42M
91.58%-20.88M
-1,950.55%-247.97M
61.74%13.4M
End cash Position
-51.63%6.66B
-21.88%13.76B
-38.35%17.62B
23.82%28.58B
40.40%23.08B
110.13%16.44B
-21.15%7.82B
-6.36%9.92B
-41.87%10.6B
30.21%18.23B
Free cash flow
258.13%1.08B
-110.65%-683M
194.14%6.41B
-62.70%2.18B
-58.77%5.84B
277.50%14.18B
-268.13%-7.99B
-45.21%4.75B
12.02%8.67B
431.27%7.74B
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-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 (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -29.24%4.77B-7.83%6.74B-43.76%7.31B491.18%13.01B-71.50%2.2B-50.73%7.72B47.59%15.67B36.91%10.61B-27.00%7.75B2.87%10.62B
Other non cash items -74.39%-2.38B-268.77%-1.36B38.38%-369.61M43.70%-599.82M-65.38%-1.07B-13.71%-644.16M-69.35%-566.5M-12.12%-334.52M0.26%-298.36M-118.26%-299.15M
Change In working capital 64.19%-910M-289.54%-2.54B93.74%-652.32M-382.83%-10.42B-70.48%3.69B219.57%12.48B-1,354.35%-10.44B-112.97%-717.88M62.69%5.53B313.60%3.4B
-Change in receivables 149.81%256M-39.36%-514M-125.07%-368.83M61.44%-163.87M-384.57%-425.03M-127.80%-87.71M-77.67%315.51M451.06%1.41B114.52%256.42M-534.82%-1.77B
-Change in inventory -1,811.11%-154M-99.67%9M-61.56%2.77B327.98%7.2B-244.17%-3.16B89.52%-917.03M-621.43%-8.75B9,218.72%1.68B-99.63%18M257.01%4.9B
-Change in other current assets 59.41%-714M46.15%-1.76B81.44%-3.27B-342.93%-17.6B-49.89%7.25B316.81%14.46B-158.63%-6.67B-414.17%-2.58B-284.00%-501.57M2,383.75%272.6M
Cash from discontinued investing activities
Operating cash flow 299.83%1.15B-108.89%-575M191.47%6.47B-62.36%2.22B-58.63%5.89B280.84%14.24B-261.73%-7.88B-44.30%4.87B11.82%8.74B406.04%7.82B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 35.24%-68M-100.71%-105M-39.96%-52.32M22.20%-37.38M26.99%-48.04M40.60%-65.81M6.64%-110.78M-68.89%-118.66M8.22%-70.26M12.91%-76.55M
Net business purchase and sale 92.66%-35M5.83%-477M-15.77%-506.51M-267.78%-437.5M87.98%-118.96M-109.07%-989.56M679.21%10.91B33.34%1.4B2,849.93%1.05B83.36%-38.18M
Net investment purchase and sale -201.00%-9.61B72.49%-3.19B-339.59%-11.61B187.95%4.84B120.73%1.68B-213.36%-8.11B243.31%7.16B66.71%-4.99B-1,775.52%-15B-4,158.26%-799.99M
Net other investing changes ----107.77%2M-121.13%-25.75M-53.48%121.83M422.61%261.9M-96.64%50.11M208.10%1.49B-293.24%-1.38B-260.76%-351.12M344.45%218.42M
Cash from discontinued investing activities
Investing cash flow -287.13%-6.86B84.18%-1.77B-363.76%-11.2B34.46%4.25B141.71%3.16B-165.62%-7.57B327.96%11.53B56.35%-5.06B-424.68%-11.59B-28.95%3.57B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 12.18%-1.13B35.55%-1.29B---2B--0-91.64%221.33M174.52%2.65B-340.04%-3.55B191.94%1.48B-8.15%-1.61B32.15%-1.49B
Net common stock issuance -------------------------57.02%-12.2M83.38%-7.77M-49.25%-46.74M-641.92%-31.32M
Cash dividends paid -128.99%-948M86.44%-414M-500.60%-3.05B60.52%-508.44M-56.50%-1.29B64.18%-822.88M-87.85%-2.3B42.27%-1.22B-0.20%-2.12B5.63%-2.11B
Net other financing activities 52.84%862M1,748.34%564M106.00%30.51M53.05%-508.25M-394.94%-1.08B19.91%367.06M212.00%306.12M53.51%-273.33M79.36%-587.94M-703.23%-2.85B
Cash from discontinued financing activities
Financing cash flow 0.57%-1.4B77.13%-1.41B-433.73%-6.17B50.38%-1.16B-215.82%-2.33B134.71%2.01B-1,149.87%-5.79B89.78%-463.59M32.04%-4.53B-58.91%-6.67B
Net cash flow
Beginning cash position -21.88%13.76B-38.35%17.62B23.82%28.58B40.40%23.08B110.13%16.44B-21.15%7.82B-6.36%9.92B-41.87%10.6B35.04%18.23B16.17%13.5B
Current changes in cash -89.25%-7.11B65.54%-3.76B-305.39%-10.9B-21.03%5.31B-22.62%6.72B506.61%8.69B-226.85%-2.14B91.15%-653.55M-256.53%-7.38B98.89%4.72B
Effect of exchange rate changes 104.08%4M-63.32%-98M-131.52%-60.01M339.44%190.35M-14.13%-79.5M-286.16%-69.66M279.16%37.42M91.58%-20.88M-1,950.55%-247.97M61.74%13.4M
End cash Position -51.63%6.66B-21.88%13.76B-38.35%17.62B23.82%28.58B40.40%23.08B110.13%16.44B-21.15%7.82B-6.36%9.92B-41.87%10.6B30.21%18.23B
Free cash flow 258.13%1.08B-110.65%-683M194.14%6.41B-62.70%2.18B-58.77%5.84B277.50%14.18B-268.13%-7.99B-45.21%4.75B12.02%8.67B431.27%7.74B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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