SG Stock MarketDetailed Quotes

LYY SinoCloud Grp

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  • 0.013
  • 0.0000.00%
10min DelayTrading Mar 28 16:44 CST
2.74MMarket Cap-2.60P/E (TTM)

SinoCloud Grp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Sep 30, 2024
(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
Operating cash flow (Indirect Method)
Cash from operating activities
123.13%469K
-348.82%-6.82M
-195.79%-4.46M
-839.66%-858K
115.66%521K
31.51%-2.03M
63.83%-1.52M
261.90%4.65M
452.38%116K
-164.76%-3.33M
Net profit before non-cash adjustment
90.38%-354K
44.36%-11.59M
90.35%-933K
35.56%-2.28M
-22.10%-4.7M
2.57%-3.68M
87.48%-20.83M
94.06%-9.67M
-6.13%-3.53M
-29.85%-3.85M
Total adjustment of non-cash items
-88.97%220K
6.75%11.17M
46.78%3.94M
13.43%2.65M
-5.58%2.59M
-26.26%1.99M
-93.68%10.47M
-98.36%2.68M
-39.66%2.34M
-28.06%2.74M
-Depreciation and amortization
-453.58%-1.43M
-23.46%3.27M
-5.77%948K
-12.21%971K
-20.59%949K
-58.20%405K
-45.49%4.28M
-49.88%1.01M
-43.74%1.11M
-38.69%1.2M
-Reversal of impairment losses recognized in profit and loss
--0
185.09%1.24M
128.50%1.29M
--0
87.50%-16K
---32K
-99.71%436K
-99.65%565K
98.33%-1K
-109.84%-128K
-Disposal profit
----
105.77%76K
105.77%76K
----
----
----
-141.19%-1.32M
---1.32M
----
----
-Other non-cash items
1.91%1.65M
-6.96%6.58M
-33.21%1.62M
36.33%1.68M
-1.14%1.66M
-6.57%1.62M
274.38%7.07M
163.18%2.43M
-37.38%1.23M
-12.90%1.67M
Changes in working capital
276.83%603K
-172.38%-6.4M
-164.10%-7.46M
-194.20%-1.23M
218.70%2.63M
81.93%-341K
354.78%8.85M
471.95%11.64M
349.05%1.31M
-5.57%-2.22M
-Change in receivables
-291.68%-1.06M
-188.55%-1.53M
19.22%608K
-5,750.00%-1.17M
-655.47%-1.52M
-42.69%553K
-44.85%1.73M
-81.67%510K
-104.64%-20K
607.41%274K
-Change in payables
312.99%2.08M
-171.46%-5.4M
-168.19%-7.63M
-152.87%-820K
298.18%4.02M
68.92%-978K
268.87%7.56M
319.07%11.19M
73.10%1.55M
54.28%-2.03M
-Changes in other current assets
-600.00%-420K
219.55%532K
-687.50%-441K
442.08%756K
128.73%133K
-71.53%84K
79.10%-445K
93.05%-56K
88.07%-221K
-119.36%-463K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
0
83.53%-234K
97.60%-16K
4.82%-79K
86.06%-70K
58.93%-69K
28.12%-1.42M
-156.92%-668K
6.74%-83K
67.38%-502K
Interest received (cash flow from operating activities)
Tax refund paid
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
122.37%469K
-139.92%-7.06M
-212.25%-4.47M
-2,939.39%-937K
111.78%451K
32.98%-2.1M
52.40%-2.94M
227.15%3.99M
148.53%33K
-36.98%-3.83M
Investing cash flow
Net PPE purchase and sale
----
--0
--0
----
----
----
83.56%-123K
59.14%-123K
----
----
Investing cash flow
--0
--0
--0
--0
--0
--0
83.56%-123K
59.14%-123K
--0
--0
Financing cash flow
Net issuance payments of debt
--50K
-88.34%152K
88.54%-48K
----
----
--0
-71.55%1.3M
-179.36%-419K
----
----
Net common stock issuance
----
--0
--0
----
----
----
--3.28M
--3.28M
----
----
Net other fund-raising expenses
-82.22%144K
818.87%2.29M
139.19%1.4M
-652.68%-619K
-83.34%892K
268.75%810K
-115.62%-318K
-220.78%-3.58M
114.53%112K
--5.35M
Financing cash flow
-76.05%194K
-42.82%2.44M
287.93%1.36M
-652.68%-619K
-83.34%892K
268.75%810K
-35.59%4.26M
-120.65%-721K
142.26%112K
98.26%5.35M
Net cash flow
Beginning cash position
-97.67%31K
786.67%1.33M
-94.24%31K
25.94%471K
35.93%541K
786.67%1.33M
-67.46%150K
1,245.00%538K
76.42%374K
-18.78%398K
Current changes in cash
151.52%663K
-484.83%-4.62M
-199.27%-3.12M
-1,173.10%-1.56M
-11.82%1.34M
64.34%-1.29M
490.88%1.2M
5,410.53%3.14M
143.54%145K
1,686.46%1.52M
Effect of exchange rate changes
-235.34%-674K
16,695.00%3.32M
232.74%3.12M
5,773.68%1.12M
8.66%-1.41M
-87.09%498K
-400.00%-20K
-4,532.08%-2.35M
-88.20%19K
-750.00%-1.55M
End cash Position
-96.30%20K
-97.67%31K
-97.67%31K
-94.24%31K
25.94%471K
35.93%541K
786.67%1.33M
786.67%1.33M
1,245.00%538K
76.42%374K
Free cash flow
122.37%469K
-130.29%-7.06M
-215.82%-4.47M
-2,939.39%-937K
111.78%451K
32.98%-2.1M
55.77%-3.06M
212.43%3.86M
148.53%33K
-36.98%-3.83M
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
(Q1)Sep 30, 2024(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
Operating cash flow (Indirect Method)
Cash from operating activities 123.13%469K-348.82%-6.82M-195.79%-4.46M-839.66%-858K115.66%521K31.51%-2.03M63.83%-1.52M261.90%4.65M452.38%116K-164.76%-3.33M
Net profit before non-cash adjustment 90.38%-354K44.36%-11.59M90.35%-933K35.56%-2.28M-22.10%-4.7M2.57%-3.68M87.48%-20.83M94.06%-9.67M-6.13%-3.53M-29.85%-3.85M
Total adjustment of non-cash items -88.97%220K6.75%11.17M46.78%3.94M13.43%2.65M-5.58%2.59M-26.26%1.99M-93.68%10.47M-98.36%2.68M-39.66%2.34M-28.06%2.74M
-Depreciation and amortization -453.58%-1.43M-23.46%3.27M-5.77%948K-12.21%971K-20.59%949K-58.20%405K-45.49%4.28M-49.88%1.01M-43.74%1.11M-38.69%1.2M
-Reversal of impairment losses recognized in profit and loss --0185.09%1.24M128.50%1.29M--087.50%-16K---32K-99.71%436K-99.65%565K98.33%-1K-109.84%-128K
-Disposal profit ----105.77%76K105.77%76K-------------141.19%-1.32M---1.32M--------
-Other non-cash items 1.91%1.65M-6.96%6.58M-33.21%1.62M36.33%1.68M-1.14%1.66M-6.57%1.62M274.38%7.07M163.18%2.43M-37.38%1.23M-12.90%1.67M
Changes in working capital 276.83%603K-172.38%-6.4M-164.10%-7.46M-194.20%-1.23M218.70%2.63M81.93%-341K354.78%8.85M471.95%11.64M349.05%1.31M-5.57%-2.22M
-Change in receivables -291.68%-1.06M-188.55%-1.53M19.22%608K-5,750.00%-1.17M-655.47%-1.52M-42.69%553K-44.85%1.73M-81.67%510K-104.64%-20K607.41%274K
-Change in payables 312.99%2.08M-171.46%-5.4M-168.19%-7.63M-152.87%-820K298.18%4.02M68.92%-978K268.87%7.56M319.07%11.19M73.10%1.55M54.28%-2.03M
-Changes in other current assets -600.00%-420K219.55%532K-687.50%-441K442.08%756K128.73%133K-71.53%84K79.10%-445K93.05%-56K88.07%-221K-119.36%-463K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 083.53%-234K97.60%-16K4.82%-79K86.06%-70K58.93%-69K28.12%-1.42M-156.92%-668K6.74%-83K67.38%-502K
Interest received (cash flow from operating activities)
Tax refund paid
Other operating cash inflow (outflow) 0000000000
Operating cash flow 122.37%469K-139.92%-7.06M-212.25%-4.47M-2,939.39%-937K111.78%451K32.98%-2.1M52.40%-2.94M227.15%3.99M148.53%33K-36.98%-3.83M
Investing cash flow
Net PPE purchase and sale ------0--0------------83.56%-123K59.14%-123K--------
Investing cash flow --0--0--0--0--0--083.56%-123K59.14%-123K--0--0
Financing cash flow
Net issuance payments of debt --50K-88.34%152K88.54%-48K----------0-71.55%1.3M-179.36%-419K--------
Net common stock issuance ------0--0--------------3.28M--3.28M--------
Net other fund-raising expenses -82.22%144K818.87%2.29M139.19%1.4M-652.68%-619K-83.34%892K268.75%810K-115.62%-318K-220.78%-3.58M114.53%112K--5.35M
Financing cash flow -76.05%194K-42.82%2.44M287.93%1.36M-652.68%-619K-83.34%892K268.75%810K-35.59%4.26M-120.65%-721K142.26%112K98.26%5.35M
Net cash flow
Beginning cash position -97.67%31K786.67%1.33M-94.24%31K25.94%471K35.93%541K786.67%1.33M-67.46%150K1,245.00%538K76.42%374K-18.78%398K
Current changes in cash 151.52%663K-484.83%-4.62M-199.27%-3.12M-1,173.10%-1.56M-11.82%1.34M64.34%-1.29M490.88%1.2M5,410.53%3.14M143.54%145K1,686.46%1.52M
Effect of exchange rate changes -235.34%-674K16,695.00%3.32M232.74%3.12M5,773.68%1.12M8.66%-1.41M-87.09%498K-400.00%-20K-4,532.08%-2.35M-88.20%19K-750.00%-1.55M
End cash Position -96.30%20K-97.67%31K-97.67%31K-94.24%31K25.94%471K35.93%541K786.67%1.33M786.67%1.33M1,245.00%538K76.42%374K
Free cash flow 122.37%469K-130.29%-7.06M-215.82%-4.47M-2,939.39%-937K111.78%451K32.98%-2.1M55.77%-3.06M212.43%3.86M148.53%33K-36.98%-3.83M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD

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