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STCN Steel Connect

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  • 12.5000
  • +0.1600+1.30%
Close Dec 20 16:00 ET
  • 12.5000
  • 0.00000.00%
Post 16:09 ET
79.20MMarket Cap4.13P/E (TTM)

Steel Connect Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Oct 31, 2024
(FY)Jul 31, 2024
(Q4)Jul 31, 2024
(Q3)Apr 30, 2024
(Q2)Jan 31, 2024
(Q1)Oct 31, 2023
(FY)Jul 31, 2023
(Q4)Jul 31, 2023
(Q3)Apr 30, 2023
(Q2)Jan 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
82.14%11.99M
24.68%21.85M
-24.67%6.42M
1,590.99%8.77M
-94.16%78K
-20.23%6.58M
659.13%17.52M
299.58%8.52M
76.90%-588K
21.68%1.34M
Net income from continuing operations
-46.69%2.37M
463.65%87.98M
-19.77%6.54M
2,265.80%71.66M
1,116.35%5.35M
-10.51%4.44M
268.64%15.61M
180.32%8.15M
131.25%3.03M
64.60%-526K
Depreciation and amortization
14.43%1.5M
92.56%5.38M
2.05%1.4M
164.81%1.33M
188.82%1.34M
185.40%1.31M
25.86%2.79M
161.88%1.37M
-3.82%503K
-14.68%465K
Deferred tax
----
-27,288.00%-68.47M
1,332.00%3.08M
----
----
----
-102.77%-250K
---250K
----
----
Other non cash items
352.54%8.45M
8.02%9.85M
-69.98%1.38M
536.79%4.89M
-70.32%1.71M
1,503.76%1.87M
27.69%9.12M
1,273.13%4.6M
-342.42%-1.12M
89.03%5.78M
Change In working capital
58.41%-482K
-18.72%-13.48M
-15.51%-6.1M
167.87%2.27M
-86.25%-8.49M
-163.26%-1.16M
12.50%-11.36M
51.33%-5.28M
-155.28%-3.35M
-269.23%-4.56M
-Change in receivables
-496.22%-943K
-144.87%-5.09M
-117.33%-1.46M
-1,522.11%-2.83M
-256.16%-1.04M
-92.13%238K
316.00%11.34M
138.08%8.41M
109.40%199K
94.96%-292K
-Change in inventory
-223.87%-1.89M
1,366.14%1.61M
151.05%800K
-91.31%168K
-251.54%-885K
241.60%1.53M
-139.32%-127K
-197.09%-1.57M
422.43%1.93M
156.32%584K
-Change in prepaid assets
272.21%632K
-25.30%-416K
-296.57%-1.78M
840.47%2.81M
20.91%-1.08M
-118.45%-367K
-131.17%-332K
9.70%905K
-58.24%299K
-12.78%-1.37M
-Change in payables and accrued expense
403.48%4.1M
55.58%-2.48M
55.50%-752K
209.51%3.14M
-36.90%-3.52M
-186.99%-1.35M
-796.13%-5.58M
-32.55%-1.69M
19.31%-2.87M
-133.49%-2.57M
-Change in other working capital
-97.84%-2.38M
57.34%-7.11M
74.31%-2.91M
64.84%-1.02M
-115.19%-1.97M
19.84%-1.2M
-68.02%-16.66M
27.07%-11.34M
-127.32%-2.91M
-5.54%-915K
Cash from discontinued investing activities
Operating cash flow
82.14%11.99M
24.68%21.85M
-24.67%6.42M
1,590.99%8.77M
-94.16%78K
-20.23%6.58M
659.13%17.52M
299.58%8.52M
76.90%-588K
21.68%1.34M
Investing cash flow
Cash flow from continuing investing activities
-108.91%-13.38M
102.68%108.58M
-151.55%-27.24M
-1,009.84%-14.43M
151.89%165K
28,311.28%150.08M
3,707.68%53.57M
15,504.66%52.84M
601.90%1.59M
31.32%-318K
Net PPE purchase and sale
-5.07%-580K
-102.77%-3.96M
-29.65%-1.05M
-310.51%-1.21M
-261.01%-1.15M
-3.76%-552K
-31.38%-1.95M
-134.99%-806K
6.65%-295K
31.32%-318K
Net investment purchase and sale
-108.50%-12.8M
102.68%112.54M
-148.83%-26.19M
-802.76%-13.22M
--1.31M
--150.64M
--55.53M
--53.64M
--1.88M
--0
Cash from discontinued investing activities
Investing cash flow
-108.91%-13.38M
102.68%108.58M
-151.55%-27.24M
-1,009.84%-14.43M
151.89%165K
28,311.28%150.08M
3,707.68%53.57M
15,504.66%52.84M
601.90%1.59M
31.32%-318K
Financing cash flow
Cash flow from continuing financing activities
-2,414.37%-13.48M
67.68%-2.14M
86.12%-531K
68.17%-531K
3.42%-537K
3.60%-536K
-187.55%-6.61M
-493.02%-3.83M
-207.75%-1.67M
0.00%-556K
Net issuance payments of debt
---12.94M
--0
--0
--0
--0
--0
-2,691.78%-2.04M
-5,163.16%-1M
-5,455.56%-1M
-5.56%-19K
Net common stock issuance
----
--0
----
----
----
----
---2.29M
---2.29M
----
----
Cash dividends paid
-0.19%-537K
-0.23%-2.14M
1.12%-531K
-2.31%-531K
0.00%-537K
0.19%-536K
-0.05%-2.13M
-1.13%-537K
0.95%-519K
0.00%-537K
Cash from discontinued financing activities
Financing cash flow
-2,414.37%-13.48M
67.68%-2.14M
86.12%-531K
68.17%-531K
3.42%-537K
3.60%-536K
-187.55%-6.61M
-493.02%-3.83M
-207.75%-1.67M
0.00%-556K
Net cash flow
Beginning cash position
103.55%251.19M
112.60%123.4M
313.34%272.38M
317.64%278.9M
329.99%278.65M
112.60%123.4M
-12.49%58.05M
14.61%65.9M
8.98%66.78M
5.42%64.8M
Current changes in cash
-109.52%-14.86M
98.93%128.3M
-137.10%-21.35M
-824.48%-6.19M
-163.64%-294K
2,079.38%156.13M
1,032.50%64.49M
4,924.98%57.54M
80.31%-670K
484.81%462K
Effect of exchange rate changes
107.47%66K
-158.66%-508K
658.62%162K
-53.95%-331K
-64.03%545K
-118.27%-884K
163.30%866K
95.12%-29K
43.27%-215K
652.92%1.52M
End cash Position
-15.17%236.39M
103.55%251.19M
103.55%251.19M
313.34%272.38M
317.64%278.9M
329.99%278.65M
112.60%123.4M
112.60%123.4M
14.61%65.9M
8.98%66.78M
Free cash flow
89.17%11.41M
16.09%17.88M
-30.46%5.37M
831.46%7.56M
-205.11%-1.07M
-21.72%6.03M
433.51%15.41M
331.06%7.72M
63.89%-1.03M
60.31%1.02M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Oct 31, 2024(FY)Jul 31, 2024(Q4)Jul 31, 2024(Q3)Apr 30, 2024(Q2)Jan 31, 2024(Q1)Oct 31, 2023(FY)Jul 31, 2023(Q4)Jul 31, 2023(Q3)Apr 30, 2023(Q2)Jan 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 82.14%11.99M24.68%21.85M-24.67%6.42M1,590.99%8.77M-94.16%78K-20.23%6.58M659.13%17.52M299.58%8.52M76.90%-588K21.68%1.34M
Net income from continuing operations -46.69%2.37M463.65%87.98M-19.77%6.54M2,265.80%71.66M1,116.35%5.35M-10.51%4.44M268.64%15.61M180.32%8.15M131.25%3.03M64.60%-526K
Depreciation and amortization 14.43%1.5M92.56%5.38M2.05%1.4M164.81%1.33M188.82%1.34M185.40%1.31M25.86%2.79M161.88%1.37M-3.82%503K-14.68%465K
Deferred tax -----27,288.00%-68.47M1,332.00%3.08M-------------102.77%-250K---250K--------
Other non cash items 352.54%8.45M8.02%9.85M-69.98%1.38M536.79%4.89M-70.32%1.71M1,503.76%1.87M27.69%9.12M1,273.13%4.6M-342.42%-1.12M89.03%5.78M
Change In working capital 58.41%-482K-18.72%-13.48M-15.51%-6.1M167.87%2.27M-86.25%-8.49M-163.26%-1.16M12.50%-11.36M51.33%-5.28M-155.28%-3.35M-269.23%-4.56M
-Change in receivables -496.22%-943K-144.87%-5.09M-117.33%-1.46M-1,522.11%-2.83M-256.16%-1.04M-92.13%238K316.00%11.34M138.08%8.41M109.40%199K94.96%-292K
-Change in inventory -223.87%-1.89M1,366.14%1.61M151.05%800K-91.31%168K-251.54%-885K241.60%1.53M-139.32%-127K-197.09%-1.57M422.43%1.93M156.32%584K
-Change in prepaid assets 272.21%632K-25.30%-416K-296.57%-1.78M840.47%2.81M20.91%-1.08M-118.45%-367K-131.17%-332K9.70%905K-58.24%299K-12.78%-1.37M
-Change in payables and accrued expense 403.48%4.1M55.58%-2.48M55.50%-752K209.51%3.14M-36.90%-3.52M-186.99%-1.35M-796.13%-5.58M-32.55%-1.69M19.31%-2.87M-133.49%-2.57M
-Change in other working capital -97.84%-2.38M57.34%-7.11M74.31%-2.91M64.84%-1.02M-115.19%-1.97M19.84%-1.2M-68.02%-16.66M27.07%-11.34M-127.32%-2.91M-5.54%-915K
Cash from discontinued investing activities
Operating cash flow 82.14%11.99M24.68%21.85M-24.67%6.42M1,590.99%8.77M-94.16%78K-20.23%6.58M659.13%17.52M299.58%8.52M76.90%-588K21.68%1.34M
Investing cash flow
Cash flow from continuing investing activities -108.91%-13.38M102.68%108.58M-151.55%-27.24M-1,009.84%-14.43M151.89%165K28,311.28%150.08M3,707.68%53.57M15,504.66%52.84M601.90%1.59M31.32%-318K
Net PPE purchase and sale -5.07%-580K-102.77%-3.96M-29.65%-1.05M-310.51%-1.21M-261.01%-1.15M-3.76%-552K-31.38%-1.95M-134.99%-806K6.65%-295K31.32%-318K
Net investment purchase and sale -108.50%-12.8M102.68%112.54M-148.83%-26.19M-802.76%-13.22M--1.31M--150.64M--55.53M--53.64M--1.88M--0
Cash from discontinued investing activities
Investing cash flow -108.91%-13.38M102.68%108.58M-151.55%-27.24M-1,009.84%-14.43M151.89%165K28,311.28%150.08M3,707.68%53.57M15,504.66%52.84M601.90%1.59M31.32%-318K
Financing cash flow
Cash flow from continuing financing activities -2,414.37%-13.48M67.68%-2.14M86.12%-531K68.17%-531K3.42%-537K3.60%-536K-187.55%-6.61M-493.02%-3.83M-207.75%-1.67M0.00%-556K
Net issuance payments of debt ---12.94M--0--0--0--0--0-2,691.78%-2.04M-5,163.16%-1M-5,455.56%-1M-5.56%-19K
Net common stock issuance ------0-------------------2.29M---2.29M--------
Cash dividends paid -0.19%-537K-0.23%-2.14M1.12%-531K-2.31%-531K0.00%-537K0.19%-536K-0.05%-2.13M-1.13%-537K0.95%-519K0.00%-537K
Cash from discontinued financing activities
Financing cash flow -2,414.37%-13.48M67.68%-2.14M86.12%-531K68.17%-531K3.42%-537K3.60%-536K-187.55%-6.61M-493.02%-3.83M-207.75%-1.67M0.00%-556K
Net cash flow
Beginning cash position 103.55%251.19M112.60%123.4M313.34%272.38M317.64%278.9M329.99%278.65M112.60%123.4M-12.49%58.05M14.61%65.9M8.98%66.78M5.42%64.8M
Current changes in cash -109.52%-14.86M98.93%128.3M-137.10%-21.35M-824.48%-6.19M-163.64%-294K2,079.38%156.13M1,032.50%64.49M4,924.98%57.54M80.31%-670K484.81%462K
Effect of exchange rate changes 107.47%66K-158.66%-508K658.62%162K-53.95%-331K-64.03%545K-118.27%-884K163.30%866K95.12%-29K43.27%-215K652.92%1.52M
End cash Position -15.17%236.39M103.55%251.19M103.55%251.19M313.34%272.38M317.64%278.9M329.99%278.65M112.60%123.4M112.60%123.4M14.61%65.9M8.98%66.78M
Free cash flow 89.17%11.41M16.09%17.88M-30.46%5.37M831.46%7.56M-205.11%-1.07M-21.72%6.03M433.51%15.41M331.06%7.72M63.89%-1.03M60.31%1.02M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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