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SDH Financials

Balance sheets

Dec 31, 2021Jun 30, 2021Dec 31, 2020Jun 30, 2020Dec 31, 2019Jun 30, 2019Dec 31, 2018

Total Assets

$58.7 M(-7.3%)$63.3 M(+59.3%)$39.7 M(+58.1%)$25.1 M(-6.8%)$27.0 M(+70.8%)$15.8 M(+10.7%)$14.3 M

Current Assets

$34.3 M(-30.3%)$49.3 M(+74.4%)$28.3 M(+70.2%)$16.6 M(-15.1%)$19.6 M(+31.2%)$14.9 M(+8.8%)$13.7 M

Non Current Assets

$24.3 M(+73.6%)$14.0 M(+22.2%)$11.5 M(+34.7%)$8.5 M(+15.1%)$7.4 M(+740.4%)$881.2 K(+56.6%)$562.7 K

Total Liabilities

$1.7 M(-36.5%)$2.7 M(-51.5%)$5.6 M(+80.0%)$3.1 M(-55.5%)$7.0 M(+140.4%)$2.9 M(-19.6%)$3.6 M

Current Liabilities

$1.7 M(-34.6%)$2.6 M(-52.9%)$5.6 M(+81.8%)$3.1 M(-55.3%)$6.9 M(+140.2%)$2.9 M(-20.7%)$3.6 M

Long Term Liabilities

$0.0(-100.0%)$78.5 K(+2353.1%)$3200.0(-89.7%)$31.1 K(-70.3%)$104.8 K(+153.1%)$41.4 K(+100.0%)$0.0

Shareholders Equity

$53.9 M(-11.0%)$60.5 M(+77.8%)$34.0 M(+55.5%)$21.9 M(+10.6%)$19.8 M(+57.9%)$12.5 M(+21.4%)$10.3 M

Book Value

$53.9 M(-11.0%)$60.5 M(+77.8%)$34.0 M(+55.5%)$21.9 M(+10.6%)$19.8 M(+57.9%)$12.5 M(+21.4%)$10.3 M

Working Capital

$32.6 M(-30.1%)$46.6 M(+105.7%)$22.7 M(+67.5%)$13.5 M(+6.6%)$12.7 M(+5.4%)$12.0 M(+19.3%)$10.1 M

Cash And Cash Equivalents

$13.9 M(-33.8%)$21.0 M(+91.8%)$11.0 M(+90.8%)$5.7 M(-39.1%)$9.4 M(-29.2%)$13.3 M(+14.4%)$11.7 M

Accounts Payable

$34.5 K(-35.6%)$53.6 K(+59.0%)$33.7 K(-80.4%)$172.2 K(-93.9%)$2.8 M(+16958.8%)$16.5 K(-56.6%)$38.0 K

Accounts Receivable

$6.9 M(-46.7%)$12.9 M(+5.4%)$12.2 M(+66.2%)$7.4 M(+39.3%)$5.3 M(+1401.1%)$351.7 K(-41.7%)$603.5 K

Short Term Debt

$99.6 K(-34.2%)$151.4 K(+139.2%)$63.3 K(-53.4%)$135.9 K(-48.5%)$263.8 K(+30.9%)$201.6 K(+100.0%)$0.0

Long Term Debt

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Total Debt

$99.6 K(-34.2%)$151.4 K(+139.2%)$63.3 K(-53.4%)$135.9 K(-48.5%)$263.8 K(+30.9%)$201.6 K(+100.0%)$0.0

Debt To Equity

0.0(0%)0.0(0%)0.0(0%)0.0(0%)0.0(0%)0.0(0%)0.0

Current Ratio

20.0(+6.6%)18.7(+270.0%)5.1(-6.5%)5.4(+89.8%)2.9(-45.4%)5.2(+37.4%)3.8

Quick Ratio

18.1(+2.4%)17.7(+286.9%)4.6(-0.2%)4.6(+93.7%)2.4-3.8

Inventory

$3.1 M(+17.8%)$2.6 M(-2.6%)$2.7 M(+8.2%)$2.5 M(-23.9%)$3.3 M-$0.0

Retained Earnings

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PB Ratio

0.5(-65.6%)1.5-----

Income statements

Cashflow statements

Dec 31, 2021Jun 30, 2021Dec 31, 2020Jun 30, 2020Dec 31, 2019Jun 30, 2019Dec 31, 2018

Cash From Operations

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TTM CFO

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Cash From Investing

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TTM CFI

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Cash From Financing

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TTM CFF

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Free Cash Flow

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TTM FCF

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CAPEX

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TTM CAPEX

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Dividends Paid

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TTM Dividends Paid

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TTM Dividend Per Share

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TTM Dividend Yield

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Payout Ratio

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