SDI Limited

ASX:SDI.AX

1.015 (AUD) • At close November 8, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) AUD.

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operating Activities:
Net Income 10.4217.0567.2818.9414.2377.3295.6615.5767.5666.26.4674.691.9671.2063.4733.121.1294.065.1192.1488.0285.4514.0082.6971.9431.089000000000-0.451
Depreciation & Amortization 4.1894.2784.5844.5754.6672.432.8953.0713.0962.3631.9982.0112.5922.3232.2192.2392.0431.7671.4690.7571.7680.8351.261.132000000000000
Deferred Income Tax -0.13700-0.148-0.029-0.0740.2310.718-0.079000000000000000000000000000
Stock Based Compensation 000000000000000000000000000000000000
Change In Working Capital -0.031.391-8.0370.045-1.733-4.0672.0420.274-3.341-3.168-0.169-1.12000000000000000000000000
Accounts Receivables 0.079-0.706-1.204-8.3667.325-1.383-0.535-0.956-1.544-0.969-1.035-0.472000000000000000000000000
Inventory -3.1950.452-4.496-0.853-3.414-2.6842.5771.23-1.797-2.1990.866-0.648000000000000000000000000
Accounts Payables -0.372.634-0.2696.213-2.7523.459-0.5940.176-1.134000000000000000000000000000
Other Working Capital 3.456-0.989-2.0683.051-2.892-3.4590.594-0.1761.1340.402-0.55-0.414000000000000000000000000
Other Non Cash Items 11.6110.3380.43811.4358.0630.7442.734-0.2671.5372.303-0.6540.026-4.559-3.529-5.692-5.359-3.172-5.827-6.588-2.905-9.796-6.286-5.268-3.829-1.943-1.0890000000000.451
Operating Cash Flow 14.32713.0634.26612.6927.0310.50311.299.3728.7797.6987.6425.6076.4530.7426.196.4760.13611.7075.5754.3623.954.849003.44700.4640.2910.880.7811.0811.5320.49000
Investing Activities:
Investments In Property Plant And Equipment -10.297-34.486-4.327-4.055-4.711-3.146-1.824-2.678-2.433-2.889-3.138-2.178-3.268-4.951-2.563-2.408-4.917-6.623-5.602-6.176-8.404-3.617-2.794-1.179-0.231-0.587-0.367-0.419-0.444-0.422-0.448-0.516-0.249000
Acquisitions Net 1.5211.080.080.1080.0870.1580.0430.2750.076000000000000000000000000000
Purchases Of Investments 00000000000000000000000-0.91200000000-0.066000
Sales Maturities Of Investments 000000000000000000000000000000000000
Other Investing Activites -3.439-2.737-2.574-0-2.135-2.706-2.346-2.92-2.073-1.687-1.904-1.7330.0350.0650.0130.850.0590.0510.0250.0220.1140.22-0.464-0.002-0.646-0.358-0.156-0.2810.0170.0160.0290.020000
Investing Cash Flow -8.776-33.406-4.247-3.947-4.624-5.694-4.127-5.323-4.43-4.576-5.042-3.911-3.233-4.886-2.55-1.558-4.858-6.572-5.577-6.154-8.29-3.397-3.258-2.093-0.877-0.945-0.523-0.7-0.427-0.406-0.419-0.496-0.315000
Financing Activities:
Debt Repayment -1.002-23.451-0.669-1.5-1.5-2.214-2.001-1.939-6.178-7.593-9.738-13.509-12.443-3.444-3.114-16.706-1.863-2.319-0.421-1.821-1.489-0.145-1.448-0.182-1.029-0.387-0.323-0.246-0.218-0.147-0.195-0.18-0.069000
Common Stock Issued 000000000000000.08600.160.08700.0320.032000000000000000
Common Stock Repurchased 0000000000000000-0.16-0.087000000000000000000
Dividends Paid -3.863-3.863-3.744-2.377-3.388-4.279-2.853-2.615-2.14-1.07-0.832-0.357-0.238-0.475-0.3560-0.473-0.546-0.421-1.584-1.989-1.403-0.933-0.7-0.7-0.467-0.467-0.70-0.467-0.467-0.2330000
Other Financing Activities -0.46946.5110.924-0.3082.231-1.1890.0780.3464.7946.1328.32812.89111.2046.1570.89415.4073.0871.7190.7564.4335.9350.5721.4620.840-0.0021.1830.46100.020.0290.0350.15000
Financing Cash Flow -5.33419.197-3.489-4.185-2.657-6.493-4.776-4.208-3.524-2.531-2.242-0.975-1.4772.238-2.49-1.2990.911-1.059-0.1771.062.489-0.976-0.919-0.042-1.729-0.8560.393-0.485-0.218-0.594-0.633-0.3780.081000
Other Information:
Effect Of Forex Changes On Cash 0.0360.155-0.076-0.154-0.077-0.0810.105-0.0880.1390.452-0.0390.239-0.061-0.437-0.182-0.055-0.015-0.1460.081-0.097-0.035-0.1200-0.0010-0.045-0.0150.064-0.0060.002-0.068-0.02000
Net Change In Cash 0.253-0.991-3.5464.406-0.328-1.7652.492-0.2470.9641.0430.3190.961.682-2.3420.9683.564-3.8263.929-0.097-0.829-1.8860.3561.314-0.6170.840.060.289-0.9090.299-0.2250.0310.590.236000
Cash At End Of Period 6.2756.0227.01310.5596.1536.4818.2465.7546.0015.0373.9943.6752.7151.0343.3762.408-1.1562.67-1.259-1.162-0.3331.5531.197-0.1170.5-0.34-0.4-0.6890.22-0.0790.1460.115-0.475000