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SIA Sienna Senior Living Inc

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  • 16.930
  • +0.208+1.24%
15min DelayMarket Closed Apr 30 16:00 ET
1.56BMarket Cap33.86P/E (TTM)

Sienna Senior Living Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
18.33%149.93M
-39.03%21.91M
13.92%42.4M
37.04%49.12M
106.22%36.49M
19.45%126.71M
140.31%35.94M
94.14%37.22M
14.36%35.85M
-56.42%17.7M
Net income from continuing operations
445.65%38.4M
1,719.44%7.86M
90.72%4.73M
36.24%6.09M
5,902.65%19.73M
-34.03%7.04M
106.47%432K
-1.35%2.48M
139.92%4.47M
-101.31%-340K
Operating gains losses
18.84%9.55M
-54.41%1.94M
195.46%3.19M
1,635.03%2.41M
-29.81%2.01M
137.82%8.03M
52.75%4.25M
22.87%1.08M
-105.01%-157K
110.20%2.86M
Depreciation and amortization
2.98%51.1M
6.40%13.1M
4.14%12.84M
2.78%12.96M
-1.37%12.2M
4.83%49.62M
4.76%12.31M
5.58%12.33M
6.54%12.61M
2.49%12.37M
Remuneration paid in stock
77.39%5.72M
118.54%1.38M
81.28%1.39M
55.97%1.62M
68.90%1.34M
-20.90%3.22M
-6.93%631K
22.24%764K
-53.74%1.04M
49.53%791K
Deferred tax
386.45%14.43M
2,627.03%3.03M
84.98%1.81M
31.44%2.36M
9,049.37%7.23M
478.17%2.97M
105.20%111K
92.72%979K
159.58%1.8M
-98.47%79K
Other non cashItems
-49.99%40.56M
-58.11%8.62M
-46.72%10.2M
-60.84%10.24M
-24.60%11.51M
-41.82%81.12M
-43.94%20.57M
32.69%19.14M
-42.32%26.15M
-64.48%15.27M
Change In working capital
78.61%35.36M
-127.42%-1.76M
71.83%20.05M
2,475.11%22.66M
-774.70%-5.6M
138.70%19.8M
133.05%6.41M
1,149.55%11.67M
103.82%880K
110.93%830K
-Change in receivables
-179.67%-2.3M
-591.59%-526K
-412.98%-1.64M
-577.97%-2.21M
15.95%2.08M
-37.40%2.89M
-97.49%107K
120.19%524K
-87.20%463K
363.68%1.79M
-Change in prepaid assets
-172.06%-2.64M
-2,841.12%-5.79M
-1.39%2.49M
55.96%1.07M
-162.75%-411K
198.71%3.67M
93.19%-197K
50.27%2.52M
-72.11%688K
113.18%655K
-Change in payables and accrued expense
103.02%14.6M
13.15%12.91M
768.42%5.08M
-1,384.66%-12.87M
465.92%9.48M
271.00%7.19M
254.58%11.41M
-107.04%-760K
91.05%-867K
-131.55%-2.59M
-Change in other working capital
324.91%25.7M
-70.21%-8.35M
50.53%14.13M
6,053.19%36.67M
-1,821.38%-16.75M
111.21%6.05M
63.41%-4.9M
185.41%9.38M
103.07%596K
109.58%973K
Interest paid (cash flow from operating activities)
-2.73%-41.46M
-27.78%-11.21M
4.05%-10.77M
10.99%-8.11M
-1.08%-11.37M
-19.18%-40.36M
-3.82%-8.78M
-8.50%-11.22M
-44.16%-9.11M
-28.63%-11.25M
Tax refund paid
21.19%-3.73M
---1.04M
---1.04M
39.41%-1.1M
81.04%-552K
-91.31%-4.73M
--0
--0
-333.81%-1.82M
-63.54%-2.91M
Cash from discontinued investing activities
Operating cash flow
18.33%149.93M
-39.03%21.91M
13.92%42.4M
37.04%49.12M
106.22%36.49M
19.45%126.71M
140.31%35.94M
94.14%37.22M
14.36%35.85M
-56.42%17.7M
Investing cash flow
Cash flow from continuing investing activities
-57.37%-116.48M
-6.99%-38.73M
-175.94%-26.95M
-230.74%-32.04M
-2.17%-18.76M
45.06%-74.02M
-683.70%-36.2M
-14.96%-9.77M
93.45%-9.69M
-169.60%-18.36M
Net PPE purchase and sale
-139.59%-148.03M
-119.49%-52.6M
-171.30%-33.09M
-118.70%-34.11M
-181.58%-28.23M
-11.03%-61.78M
-156.32%-23.96M
32.80%-12.2M
9.63%-15.6M
-152.56%-10.02M
Net intangibles purchas and sale
10.83%-2.08M
40.73%-438K
10.36%-571K
-16.96%-531K
-7.65%-535K
-16.06%-2.33M
5.38%-739K
-16.24%-637K
-13.50%-454K
-80.07%-497K
Net business purchase and sale
95.08%-1.45M
100.01%1K
--0
---529K
93.77%-917K
82.10%-29.36M
---14.65M
--0
--0
---14.71M
Dividends received (cash flow from investment activities)
40.22%5.75M
-11.17%1.6M
25.00%1M
40.00%1.4M
250.00%1.75M
--4.1M
--1.8M
--800K
--1M
--500K
Interest received (cash flow from investment activities)
134.09%4.24M
400.57%2.62M
59.65%827K
-4.83%374K
11.17%418K
88.54%1.81M
48.58%523K
59.88%518K
54.12%393K
1,196.55%376K
Net other investing changes
85.17%25.08M
1,116.53%10.09M
179.21%4.89M
-72.70%1.36M
45.99%8.75M
-62.61%13.54M
-83.93%829K
-82.28%1.75M
-63.51%4.97M
-20.72%5.99M
Cash from discontinued investing activities
Investing cash flow
-57.37%-116.48M
-6.99%-38.73M
-175.94%-26.95M
-230.74%-32.04M
-2.17%-18.76M
45.06%-74.02M
-683.70%-36.2M
-14.96%-9.77M
93.45%-9.69M
-169.60%-18.36M
Financing cash flow
Cash flow from continuing financing activities
204.54%69.35M
-284.31%-64.67M
1,402.07%169.69M
34.83%-19.25M
-136.47%-16.42M
-276.21%-66.34M
27.47%-16.83M
40.53%-13.03M
-167.35%-29.53M
-117.84%-6.94M
Net issuance payments of debt
-16.59%10.4M
-4,028.78%-44.91M
514.92%56.39M
81.90%-1.85M
-93.80%769K
-49.11%12.47M
122.69%1.14M
292.26%9.17M
-116.51%-10.24M
144.77%12.4M
Net common stock issuance
--137.22M
--42K
--137.18M
----
----
--0
--0
--0
----
----
Cash dividends paid
-2.78%-70.19M
-6.60%-18.2M
-4.43%-17.83M
-0.05%-17.08M
-0.04%-17.07M
-2.14%-68.29M
-0.08%-17.07M
-0.09%-17.07M
-0.15%-17.07M
-8.80%-17.07M
Net other financing activities
23.08%-8.09M
-79.04%-1.61M
-18.15%-6.06M
85.83%-315K
95.03%-113K
-498.18%-10.52M
18.68%-897K
---5.13M
-614.79%-2.22M
-558.84%-2.27M
Cash from discontinued financing activities
Financing cash flow
204.54%69.35M
-284.31%-64.67M
1,402.07%169.69M
34.83%-19.25M
-136.47%-16.42M
-276.21%-66.34M
27.47%-16.83M
40.53%-13.03M
-167.35%-29.53M
-117.84%-6.94M
Net cash flow
Beginning cash position
-35.86%24.4M
403.01%208.69M
-12.99%23.55M
-15.52%25.72M
-35.86%24.4M
30.97%38.05M
-18.51%41.49M
-56.45%27.07M
-77.44%30.44M
30.97%38.05M
Current changes in cash
853.32%102.8M
-376.98%-81.49M
1,183.66%185.14M
35.77%-2.17M
117.23%1.31M
-251.67%-13.65M
-32.82%-17.08M
228.35%14.42M
95.37%-3.37M
-107.19%-7.61M
End cash Position
421.23%127.2M
421.23%127.2M
403.01%208.69M
-12.99%23.55M
-15.52%25.72M
-35.86%24.4M
-35.86%24.4M
-18.51%41.49M
-56.45%27.07M
-77.44%30.44M
Free cash from
-100.27%-172K
-376.84%-31.12M
-64.16%8.74M
-26.86%14.48M
7.74%7.73M
29.25%62.6M
132.88%11.24M
5,055.60%24.39M
44.66%19.8M
-75.64%7.17M
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 18.33%149.93M-39.03%21.91M13.92%42.4M37.04%49.12M106.22%36.49M19.45%126.71M140.31%35.94M94.14%37.22M14.36%35.85M-56.42%17.7M
Net income from continuing operations 445.65%38.4M1,719.44%7.86M90.72%4.73M36.24%6.09M5,902.65%19.73M-34.03%7.04M106.47%432K-1.35%2.48M139.92%4.47M-101.31%-340K
Operating gains losses 18.84%9.55M-54.41%1.94M195.46%3.19M1,635.03%2.41M-29.81%2.01M137.82%8.03M52.75%4.25M22.87%1.08M-105.01%-157K110.20%2.86M
Depreciation and amortization 2.98%51.1M6.40%13.1M4.14%12.84M2.78%12.96M-1.37%12.2M4.83%49.62M4.76%12.31M5.58%12.33M6.54%12.61M2.49%12.37M
Remuneration paid in stock 77.39%5.72M118.54%1.38M81.28%1.39M55.97%1.62M68.90%1.34M-20.90%3.22M-6.93%631K22.24%764K-53.74%1.04M49.53%791K
Deferred tax 386.45%14.43M2,627.03%3.03M84.98%1.81M31.44%2.36M9,049.37%7.23M478.17%2.97M105.20%111K92.72%979K159.58%1.8M-98.47%79K
Other non cashItems -49.99%40.56M-58.11%8.62M-46.72%10.2M-60.84%10.24M-24.60%11.51M-41.82%81.12M-43.94%20.57M32.69%19.14M-42.32%26.15M-64.48%15.27M
Change In working capital 78.61%35.36M-127.42%-1.76M71.83%20.05M2,475.11%22.66M-774.70%-5.6M138.70%19.8M133.05%6.41M1,149.55%11.67M103.82%880K110.93%830K
-Change in receivables -179.67%-2.3M-591.59%-526K-412.98%-1.64M-577.97%-2.21M15.95%2.08M-37.40%2.89M-97.49%107K120.19%524K-87.20%463K363.68%1.79M
-Change in prepaid assets -172.06%-2.64M-2,841.12%-5.79M-1.39%2.49M55.96%1.07M-162.75%-411K198.71%3.67M93.19%-197K50.27%2.52M-72.11%688K113.18%655K
-Change in payables and accrued expense 103.02%14.6M13.15%12.91M768.42%5.08M-1,384.66%-12.87M465.92%9.48M271.00%7.19M254.58%11.41M-107.04%-760K91.05%-867K-131.55%-2.59M
-Change in other working capital 324.91%25.7M-70.21%-8.35M50.53%14.13M6,053.19%36.67M-1,821.38%-16.75M111.21%6.05M63.41%-4.9M185.41%9.38M103.07%596K109.58%973K
Interest paid (cash flow from operating activities) -2.73%-41.46M-27.78%-11.21M4.05%-10.77M10.99%-8.11M-1.08%-11.37M-19.18%-40.36M-3.82%-8.78M-8.50%-11.22M-44.16%-9.11M-28.63%-11.25M
Tax refund paid 21.19%-3.73M---1.04M---1.04M39.41%-1.1M81.04%-552K-91.31%-4.73M--0--0-333.81%-1.82M-63.54%-2.91M
Cash from discontinued investing activities
Operating cash flow 18.33%149.93M-39.03%21.91M13.92%42.4M37.04%49.12M106.22%36.49M19.45%126.71M140.31%35.94M94.14%37.22M14.36%35.85M-56.42%17.7M
Investing cash flow
Cash flow from continuing investing activities -57.37%-116.48M-6.99%-38.73M-175.94%-26.95M-230.74%-32.04M-2.17%-18.76M45.06%-74.02M-683.70%-36.2M-14.96%-9.77M93.45%-9.69M-169.60%-18.36M
Net PPE purchase and sale -139.59%-148.03M-119.49%-52.6M-171.30%-33.09M-118.70%-34.11M-181.58%-28.23M-11.03%-61.78M-156.32%-23.96M32.80%-12.2M9.63%-15.6M-152.56%-10.02M
Net intangibles purchas and sale 10.83%-2.08M40.73%-438K10.36%-571K-16.96%-531K-7.65%-535K-16.06%-2.33M5.38%-739K-16.24%-637K-13.50%-454K-80.07%-497K
Net business purchase and sale 95.08%-1.45M100.01%1K--0---529K93.77%-917K82.10%-29.36M---14.65M--0--0---14.71M
Dividends received (cash flow from investment activities) 40.22%5.75M-11.17%1.6M25.00%1M40.00%1.4M250.00%1.75M--4.1M--1.8M--800K--1M--500K
Interest received (cash flow from investment activities) 134.09%4.24M400.57%2.62M59.65%827K-4.83%374K11.17%418K88.54%1.81M48.58%523K59.88%518K54.12%393K1,196.55%376K
Net other investing changes 85.17%25.08M1,116.53%10.09M179.21%4.89M-72.70%1.36M45.99%8.75M-62.61%13.54M-83.93%829K-82.28%1.75M-63.51%4.97M-20.72%5.99M
Cash from discontinued investing activities
Investing cash flow -57.37%-116.48M-6.99%-38.73M-175.94%-26.95M-230.74%-32.04M-2.17%-18.76M45.06%-74.02M-683.70%-36.2M-14.96%-9.77M93.45%-9.69M-169.60%-18.36M
Financing cash flow
Cash flow from continuing financing activities 204.54%69.35M-284.31%-64.67M1,402.07%169.69M34.83%-19.25M-136.47%-16.42M-276.21%-66.34M27.47%-16.83M40.53%-13.03M-167.35%-29.53M-117.84%-6.94M
Net issuance payments of debt -16.59%10.4M-4,028.78%-44.91M514.92%56.39M81.90%-1.85M-93.80%769K-49.11%12.47M122.69%1.14M292.26%9.17M-116.51%-10.24M144.77%12.4M
Net common stock issuance --137.22M--42K--137.18M----------0--0--0--------
Cash dividends paid -2.78%-70.19M-6.60%-18.2M-4.43%-17.83M-0.05%-17.08M-0.04%-17.07M-2.14%-68.29M-0.08%-17.07M-0.09%-17.07M-0.15%-17.07M-8.80%-17.07M
Net other financing activities 23.08%-8.09M-79.04%-1.61M-18.15%-6.06M85.83%-315K95.03%-113K-498.18%-10.52M18.68%-897K---5.13M-614.79%-2.22M-558.84%-2.27M
Cash from discontinued financing activities
Financing cash flow 204.54%69.35M-284.31%-64.67M1,402.07%169.69M34.83%-19.25M-136.47%-16.42M-276.21%-66.34M27.47%-16.83M40.53%-13.03M-167.35%-29.53M-117.84%-6.94M
Net cash flow
Beginning cash position -35.86%24.4M403.01%208.69M-12.99%23.55M-15.52%25.72M-35.86%24.4M30.97%38.05M-18.51%41.49M-56.45%27.07M-77.44%30.44M30.97%38.05M
Current changes in cash 853.32%102.8M-376.98%-81.49M1,183.66%185.14M35.77%-2.17M117.23%1.31M-251.67%-13.65M-32.82%-17.08M228.35%14.42M95.37%-3.37M-107.19%-7.61M
End cash Position 421.23%127.2M421.23%127.2M403.01%208.69M-12.99%23.55M-15.52%25.72M-35.86%24.4M-35.86%24.4M-18.51%41.49M-56.45%27.07M-77.44%30.44M
Free cash from -100.27%-172K-376.84%-31.12M-64.16%8.74M-26.86%14.48M7.74%7.73M29.25%62.6M132.88%11.24M5,055.60%24.39M44.66%19.8M-75.64%7.17M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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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