Santech Holdings Limited (STEC) Financials

Balance sheets

Dec 1, 2023Jun 30, 2023Dec 31, 2022Jun 30, 2022Dec 31, 2021Jun 30, 2021Mar 31, 2021Dec 1, 2020Jun 30, 2020Mar 31, 2020

Total Assets

$147.0 M(-55.1%)$327.2 M(+0.8%)$324.5 M(+21.9%)$266.1 M(+10.2%)$241.5 M(+2.0%)$236.7 M(+29.4%)$182.9 M(+2.9%)$177.9 M(+23.0%)$144.6 M-

Current Assets

$89.2 M(-56.0%)$202.6 M(+9.8%)$184.6 M(-7.8%)$200.3 M(+7.5%)$186.3 M(-18.5%)$228.5 M(+30.4%)$175.2 M(+3.9%)$168.7 M(+24.9%)$135.0 M-

Non Current Assets

$57.8 M(-53.6%)$124.6 M(-10.9%)$139.8 M(+112.3%)$65.9 M(+19.1%)$55.3 M(+569.3%)$8.3 M(+6.4%)$7.8 M(-15.5%)$9.2 M(-4.2%)$9.6 M-

Total Liabilities

$122.8 M(-21.2%)$155.8 M(+2.0%)$152.8 M(+30.5%)$117.1 M(+0.2%)$116.9 M(-6.7%)$125.2 M(+49.3%)$83.9 M(-27.7%)$116.0 M(+56.7%)$74.0 M-

Current Liabilities

$112.2 M(-19.4%)$139.1 M(+5.3%)$132.1 M(+13.5%)$116.4 M(+0.6%)$115.7 M(-6.0%)$123.1 M(+51.1%)$81.5 M(-27.9%)$113.0 M(+59.5%)$70.9 M-

Long Term Liabilities

$10.6 M(-36.3%)$16.7 M(-19.3%)$20.7 M(+2856.4%)$699.7 K(-39.1%)$1.1 M(-45.5%)$2.1 M(-11.4%)$2.4 M(-19.3%)$2.9 M(-6.2%)$3.1 M-

Shareholders Equity

$6.0 M(-96.1%)$153.3 M(+1.5%)$150.9 M(+4.5%)$144.5 M(+15.9%)$124.7 M(+11.8%)$111.5 M(+12.6%)$99.1 M(+60.1%)$61.9 M(-12.3%)$70.5 M-

Book Value

$6.0 M(-96.1%)$153.3 M(+1.5%)$150.9 M(+4.5%)$144.5 M(+15.9%)$124.7 M(+11.8%)$111.5 M(+12.6%)$99.1 M(+60.1%)$61.9 M(-12.3%)$70.5 M-

Working Capital

-$22.9 M(-136.1%)$63.5 M(+20.9%)$52.5 M(-37.4%)$83.9 M(+18.9%)$70.5 M(-33.0%)$105.4 M(+12.5%)$93.7 M(+68.4%)$55.6 M(-13.2%)$64.1 M-

Cash And Cash Equivalents

$43.7 M(-63.5%)$119.8 M(+54.3%)$77.6 M(-0.9%)$78.4 M(+3.7%)$75.5 M(+11.2%)$67.9 M(+44.3%)$47.1 M(+691.0%)$6.0 M(-61.0%)$15.3 M-

Accounts Payable

$747.0 K(+62.6%)$459.3 K(-89.0%)$4.2 M(+100.0%)$0.0------

Accounts Receivable

$21.5 M(-62.4%)$57.2 M(-33.5%)$86.1 M(+2.2%)$84.2 M(+15.4%)$73.0 M(-20.6%)$91.9 M(+17.1%)$78.5 M(-4.1%)$81.8 M(+43.7%)$56.9 M-

Short Term Debt

$13.7 M(+19.2%)$11.5 M(+25.7%)$9.2 M(+2970.5%)$298.4 K------

Long Term Debt

$10.3 M(-25.6%)$13.9 M(-20.3%)$17.4 M(+100.0%)$0.0------

Total Debt

$24.0 M(-5.3%)$25.4 M(-4.4%)$26.6 M(+8798.1%)$298.4 K(+100.0%)$0.0(0%)$0.0(0%)$0.0(0%)$0.0(0%)$0.0(0%)$0.0

Debt To Equity

4.0(+2247.1%)0.2(-5.6%)0.2(+100.0%)0.0(0%)0.0(0%)0.0(0%)0.0(0%)0.0(0%)0.0-

Current Ratio

0.8(-45.2%)1.5(+4.3%)1.4(-18.6%)1.7(+6.8%)1.6(-13.4%)1.9(-13.5%)2.1(+44.3%)1.5(-21.6%)1.9-

Quick Ratio

--1.4-------

Inventory

--$1.6 M-------

Retained Earnings

-$86.8 M(-239.6%)$62.2 M(+10.1%)$56.5 M(+8.6%)$52.0 M(+81.0%)$28.7 M(+37.0%)$21.0 M(+40.1%)$15.0 M(+166.9%)$5.6 M(+184.5%)-$6.6 M-

PB Ratio

31.9(+2411.8%)1.3(+20.9%)1.1(-19.9%)1.3(+4.0%)1.3(-34.0%)1.9(-31.1%)2.8---

Income statements

Dec 1, 2023Jun 30, 2023Dec 31, 2022Jun 30, 2022Dec 31, 2021Jun 30, 2021Mar 31, 2021Dec 1, 2020Jun 30, 2020Mar 31, 2020

EPS

-----$0.3(-12.6%)$0.4-$0.1(-7.5%)$0.2

TTM EPS

-----$0.7(+34.7%)$0.5-$0.3(+92.5%)$0.2

Revenue

-----$77.7 M(+9.0%)$71.3 M-$49.5 M(+9.5%)$45.2 M

TTM Revenue

-----$149.1 M(+23.4%)$120.9 M-$94.8 M(+109.5%)$45.2 M

Total Expenses

-----$65.5 M(+14.6%)$57.2 M-$42.9 M(+9.6%)$39.1 M

Operating Expenses

-----$22.5 M(+4.6%)$21.5 M-$15.1 M(+0.6%)$15.1 M

Cost Of Goods Sold

-----$43.0 M(+20.7%)$35.6 M-$27.7 M(+15.2%)$24.1 M

TTM Cost Of Goods Sold

-----$78.7 M(+24.1%)$63.4 M-$51.8 M(+115.2%)$24.1 M

Gross Profit

-----$34.7 M(-2.7%)$35.7 M-$21.8 M(+2.9%)$21.2 M

TTM Gross Profit

-----$70.4 M(+22.5%)$57.5 M-$42.9 M(+102.9%)$21.2 M

Gross Margin

-----44.7%(-10.7%)50.0%-44.0%(-6.0%)46.8%

Operating Profit

-----$12.2 M(-13.8%)$14.2 M-$6.6 M(+8.8%)$6.1 M

TTM Operating Profit

-----$26.4 M(+26.7%)$20.8 M-$12.8 M(+108.8%)$6.1 M

Operating Margin

-----15.7%(-20.9%)19.8%-13.4%(-0.6%)13.5%

Net Income

-----$9.6 M(+0.8%)$9.5 M-$4.1 M(-7.5%)$4.5 M

TTM Net Income

-----$19.1 M(+39.9%)$13.7 M-$8.6 M(+92.5%)$4.5 M

Net Margin

-----12.4%(-7.5%)13.4%-8.4%(-15.4%)9.9%

EBIT

-----$12.2 M(-13.8%)$14.2 M-$6.6 M(+8.8%)$6.1 M

TTM EBIT

-----$26.4 M(+26.7%)$20.8 M-$12.8 M(+108.8%)$6.1 M

EBITDA

-----$12.2 M(-13.8%)$14.2 M-$6.6 M(+8.8%)$6.1 M

TTM EBITDA

-----$26.4 M(+26.7%)$20.8 M-$12.8 M(+108.8%)$6.1 M

Selling, General & Administrative Expenses

-----$22.5 M(+4.6%)$21.5 M-$15.1 M(+0.6%)$15.1 M

TTM SGA

-----$44.1 M(+20.1%)$36.7 M-$30.2 M(+100.6%)$15.1 M

Depreciation And Amortization

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TTM D&A

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Interest Expense

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TTM Interest Expense

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Income Tax

-----$3.7 M(-15.0%)$4.4 M-$2.3 M(+23.3%)$1.8 M

TTM Income Tax

-----$8.1 M(+21.8%)$6.7 M-$4.1 M(+123.3%)$1.8 M

PE Ratio

-----10.7(-42.4%)18.6---

PS Ratio

-----1.4(-37.0%)2.3---

Cashflow statements

Dec 1, 2023Jun 30, 2023Dec 31, 2022Jun 30, 2022Dec 31, 2021Jun 30, 2021Mar 31, 2021Dec 1, 2020Jun 30, 2020Mar 31, 2020

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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