DX Financial Analysis

FY2024Q4FY2024Q3FY2024Q2FY2024Q1FY2023Q4FY2023Q3FY2023Q2FY2023Q1FY2022Q4FY2022Q3FY2022Q2FY2022Q1FY2021Q4FY2021Q3FY2021Q2FY2021Q1FY2020Q4FY2020Q3FY2020Q2FY2020Q1
Net Cash Flow from Operating Activities
15.14M
-8.62%
-2.26M
-121.68%
18.61M
-40.91%
-17.10M
-557.69%
16.57M
-44.90%
10.40M
-59.27%
31.49M
-12.99%
3.74M
-89.18%
30.07M
-21.36%
25.54M
-37.52%
36.19M
-3.92%
34.55M
14.45%
38.24M
-13.03%
40.87M
-12.12%
37.67M
-4.62%
30.19M
-31.36%
43.98M
-17.34%
46.51M
24.97%
39.49M
-11.52%
43.98M
Funds from Operations
8.71M
19.01%
5.30M
-48.46%
7.81M
-25.36%
4.34M
-66.58%
7.32M
-62.61%
10.28M
-58.36%
10.46M
-68.36%
12.98M
-64.70%
19.57M
-48.98%
24.69M
-36.46%
33.06M
-10.90%
36.77M
-2.28%
38.37M
-1.16%
38.86M
-13.61%
37.10M
-10.65%
37.62M
-19.27%
38.82M
-19.67%
44.98M
-0.90%
41.53M
-0.81%
46.60M
Change in Working Capital
6.43M
-30.48%
-7.55M
-6290.98%
10.80M
-48.64%
-21.44M
132.05%
9.25M
-11.89%
122.00K
-85.58%
21.03M
571.52%
-9.24M
317.53%
10.50M
-8500.00%
846.00K
-58.06%
3.13M
455.32%
-2.21M
-70.23%
-125.00K
-102.42%
2.02M
31.83%
564.00K
-127.69%
-7.43M
183.74%
5.16M
5.70%
1.53M
-118.72%
-2.04M
-173.59%
-2.62M
Net Cash Flow from Investing Activities
31.90M
-105.74%
-955.25M
14.49%
-335.29M
-72.91%
232.60M
-170.01%
-555.97M
-369.85%
-834.34M
5.91%
-1.24B
-351.94%
-332.26M
-1420.68%
206.03M
-161.45%
-787.82M
167.35%
491.19M
-251.71%
25.16M
-93.68%
-335.28M
-240.22%
-294.67M
-144.30%
-323.76M
-127.82%
398.34M
39.92%
239.11M
219.65%
665.17M
-2118.53%
1.16B
-281.79%
284.70M
Net Cash Flow from Financing Activities
168.90M
-53.19%
953.83M
18.10%
307.61M
-75.29%
-35.03M
-112.87%
360.82M
-223.24%
807.62M
-2.90%
1.25B
-288.10%
272.27M
200.27%
-292.78M
-191.63%
831.70M
280.62%
-661.94M
-217.95%
90.67M
-125.13%
319.54M
-298.96%
218.51M
-129.80%
561.21M
-150.69%
-360.77M
2.41%
-160.60M
19.47%
-733.22M
-3243.61%
-1.11B
-296.21%
-352.29M
Dividends Paid
34.75M
44.79%
31.22M
35.35%
26.95M
17.07%
24.92M
8.57%
24.00M
18.15%
23.07M
19.30%
23.02M
39.59%
22.95M
41.46%
20.32M
26.21%
19.34M
25.63%
16.49M
-44.05%
16.22M
21.79%
16.10M
31.01%
15.39M
25.56%
29.48M
129.10%
13.32M
-11.36%
12.29M
-10.24%
12.26M
-22.43%
12.87M
-20.87%
15.03M
Stock - Total - Issuance/(Retirement) - Net
64.43M
982.79%
56.24M
85.23%
124.84M
3423.68%
86.81M
3032.66%
5.95M
-93.56%
30.36M
-32.59%
3.54M
-96.63%
2.77M
-34.72%
92.40M
623.00%
45.04M
61.44%
105.20M
9.35%
4.25M
-92.74%
12.78M
29.21%
27.90M
96.20M
-58051.81%
58.44M
650.99%
9.89M
0.00
-100.00%
-166.00K
-100.92%
7.78M
Debt - LT & ST - Issuance/(Retirement)
139.23M
-63.25%
929.46M
16.13%
209.72M
-83.42%
-96.40M
-132.93%
378.87M
-203.84%
800.33M
-0.78%
1.26B
-268.60%
292.72M
184.51%
-364.86M
-213.01%
806.62M
291.52%
-750.15M
-251.55%
102.89M
-125.39%
322.85M
-304.26%
206.02M
-128.58%
494.98M
-145.24%
-405.19M
17.51%
-158.06M
30.91%
-720.95M
-1358.51%
-1.09B
-294.52%
-344.81M
Net Change in Cash
215.95M
-220.93%
-3.67M
-77.50%
-9.07M
-123.17%
180.47M
-420.80%
-178.57M
215.08%
-16.32M
-123.50%
39.13M
-129.08%
-56.26M
-137.41%
-56.68M
-351.93%
69.43M
-296.74%
-134.56M
-148.91%
150.38M
121.95%
22.50M
-81.63%
-35.29M
63.81%
275.12M
186.07%
67.76M
-386.92%
122.49M
-2007.35%
-21.54M
-178.09%
96.17M
-407.13%
-23.62M
Free Cash Flow
0.00
-100.00%
-2.26M
-121.68%
18.61M
-40.91%
-17.10M
-557.69%
16.57M
-44.90%
10.40M
-59.27%
31.49M
-12.99%
3.74M
-89.18%
30.07M
-21.36%
25.54M
-37.52%
36.19M
-3.92%
34.55M
14.45%
38.24M
-13.03%
40.87M
-12.12%
37.67M
-4.62%
30.19M
-31.36%
43.98M
-17.34%
46.51M
24.97%
39.49M
-11.52%
43.98M

DX FAQs

What is DX's PE Ratio in 2025/4/2?

DX's PE ratio in April 2, 2025 is 8.60. This indicates the price investors are willing to pay for $1 of earnings.

What is DX's PS Ratio in 2025/4/2?

What is DX's Gross Margin in 2024/Q4?

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