SCSC Financial Analysis
Quarterly
FY2025Q2 | FY2025Q1 | FY2024Q4 | FY2024Q3 | FY2024Q2 | FY2024Q1 | FY2023Q4 | FY2023Q3 | FY2023Q2 | FY2023Q1 | FY2022Q4 | FY2022Q3 | FY2022Q2 | FY2022Q1 | FY2021Q4 | FY2021Q3 | FY2021Q2 | FY2021Q1 | FY2020Q4 | FY2020Q3 | FY2020Q2 | FY2020Q1 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Cash Flow from Operating Activities | -6.19M -109.79% | 44.83M -52.07% | 54.74M -458.69% | 160.15M 192.04% | 63.22M -335.15% | 93.53M -293.01% | -15.26M -80.60% | 54.84M 84.60% | -26.89M 45.97% | -48.46M -14.92% | -78.68M -228.26% | 29.71M -149.30% | -18.42M -141.44% | -56.96M -179.97% | 61.35M 92.00% | -60.25M -288.15% | 44.45M -19.34% | 71.23M 157.78% | 31.95M -21.26% | 32.02M | 55.10M | 27.63M |
Funds from Operations | 33.59M 31.94% | 31.15M 0.51% | 26.75M 6.68% | 23.59M -29.90% | 25.46M -26.92% | 30.99M -14.57% | 25.07M -29.81% | 33.65M -3.97% | 34.84M -3.17% | 36.28M 16.25% | 35.72M 4.29% | 35.04M 35.37% | 35.98M 138.40% | 31.20M 195.74% | 34.26M 147.96% | 25.89M 113.82% | 15.09M -31.42% | 10.55M -59.31% | 13.82M -43.50% | 12.11M | 22.01M | 25.93M |
Change in Working Capital | -39.78M -205.33% | 13.68M -78.12% | 27.99M -169.40% | 136.57M 544.48% | 37.77M -161.18% | 62.54M -173.81% | -40.33M -64.75% | 21.19M -497.34% | -61.73M 13.47% | -84.74M -3.89% | -114.41M -522.34% | -5.33M -93.81% | -54.40M -285.30% | -88.16M -245.31% | 27.09M 49.37% | -86.14M -532.48% | 29.36M -11.30% | 60.67M 3466.96% | 18.14M 12.45% | 19.92M | 33.10M | 1.70M |
Net Cash Flow from Investing Activities | 772.00K -95.00% | -59.22M 2458.27% | -1.65M -3.79% | -2.42M 5.82% | 15.43M -716.13% | -2.32M 31.68% | -1.71M -51.38% | -2.29M 235.83% | -2.50M -259.49% | -1.76M 61.28% | -3.52M 4303.75% | -681.00K -17.85% | 1.57M -95.33% | -1.09M 45.72% | -80.00K -134.78% | -829.00K -78.56% | 33.65M -2148.08% | -748.00K -98.50% | 230.00K -95.56% | -3.87M | -1.64M | -50.02M |
Capital Expenditures - Net | 1.97M -22.63% | 2.38M 2.59% | 1.27M -62.97% | 2.42M 5.82% | 2.55M 1.84% | 2.32M 31.68% | 3.43M -2.64% | 2.29M 235.83% | 2.50M -259.49% | 1.76M 61.28% | 3.52M -89.77% | 681.00K -17.85% | -1.57M -95.33% | 1.09M 45.72% | 34.44M -15072.17% | 829.00K -78.56% | -33.65M -1976.74% | 748.00K -20.34% | -230.00K | 3.87M | 1.79M | 939.00K |
Acquisition & Disposal of Business Sold/(Acquired) | 2.75M -84.73% | -56.85M | -378.00K -122.02% | 0.00 | 17.98M | 0.00 | 1.72M | 0.00 | 0.00 | 0.00 | 0.00 -100.00% | 0.00 | 0.00 | 0.00 | 34.36M | 0.00 | 0.00 -100.00% | 0.00 -100.00% | 0.00 -100.00% | 0.00 | 150.00K | -49.08M |
Net Cash Flow from Financing Activities | -25.73M -66.93% | -26.63M -68.11% | -23.83M -270.60% | -42.64M -48.30% | -77.81M -244.14% | -83.49M -254.49% | 13.97M -82.62% | -82.46M 248.91% | 53.99M -1644.64% | 54.04M -1.49% | 80.38M -243.57% | -23.64M -150.24% | -3.50M -91.18% | 54.86M -178.09% | -55.99M -21.23% | 47.04M -239.72% | -39.63M -7.09% | -70.26M 48.36% | -71.07M 129.52% | -33.67M | -42.65M | -47.35M |
Stock - Total - Issuance/(Retirement) - Net | -21.70M -826.66% | -21.16M -29481.94% | -21.54M 341.76% | -19.60M 86.68% | 2.99M 378.53% | 72.00K 620.00% | -4.88M -45.60% | -10.50M 33.47% | 624.00K -1090.48% | 10.00K -98.99% | -8.96M -74800.00% | -7.87M -1891.80% | -63.00K | 994.00K | 12.00K -1300.00% | 439.00K 1191.18% | 0.00 -100.00% | 0.00 -100.00% | -1,000 -99.99% | 34.00K | 720.00K | -6.08M |
Debt - LT & ST - Issuance/(Retirement) | -4.02M -94.96% | -681.00K -99.17% | -2.20M -111.68% | -22.90M -68.14% | -79.72M -244.70% | -81.98M -246.30% | 18.87M -78.88% | -71.86M 358.49% | 55.10M -7004.39% | 56.04M 4.03% | 89.37M -259.59% | -15.67M -133.63% | -798.00K -128.49% | 53.87M -176.67% | -56.00M -21.21% | 46.61M -238.28% | 2.80M -142.78% | -70.26M 70.26% | -71.07M 243.44% | -33.70M | -6.55M | -41.26M |
Net Change in Cash | -34.52M -1575.38% | -40.42M -724.76% | 26.41M -2308.19% | 114.06M -492.36% | 2.34M -90.99% | 6.47M 160.32% | -1.20M -78.46% | -29.07M -408.74% | 25.97M -221.55% | 2.49M -134.38% | -5.55M -141.44% | 9.42M -152.70% | -21.37M -283.89% | -7.23M -134.23% | 13.40M -9601.42% | -17.87M 141.14% | 11.62M -27.95% | 21.11M 925.35% | -141.00K -104.13% | -7.41M | 16.13M | 2.06M |
Free Cash Flow | -8.16M -113.45% | 42.46M -53.46% | 53.47M -386.07% | 157.73M 200.15% | 60.67M -306.44% | 91.22M -281.65% | -18.69M -77.26% | 52.55M 81.05% | -29.39M 47.15% | -50.22M -13.49% | -82.21M -405.50% | 29.03M -147.52% | -19.97M -145.66% | -58.05M -182.37% | 26.91M -15.78% | -61.08M -316.94% | 43.74M -17.95% | 70.48M 164.05% | 31.95M -21.26% | 28.16M | 53.31M | 26.69M |
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What is SCSC's PE Ratio in 2025/4/15?
SCSC's PE ratio in April 15, 2025 is 12.36. This indicates the price investors are willing to pay for $1 of earnings.
What is SCSC's PS Ratio in 2025/4/15?
SCSC's PS ratio in April 15, 2025 is 0.24. This indicates how much investors are willing to pay for each dollar of the company's sales.
What is SCSC's Dividend Yield in 2025/Q2?
SCSC's Dividend Yield in 2025/Q2 is 0.00%. This represents the return on investment from dividends relative to the stock price.
What is SCSC's Gross Margin in 2025/Q2?
SCSC's Gross Margin in 2025/Q2 is 12.55. Gross Margin is typically calculated as (Revenue - Cost of Goods Sold) / Revenue and is a key indicator of a company's financial health and efficiency in managing production costs.
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