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SFC Schaffer Corp Ltd

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  • 21.910
  • 0.0000.00%
20min DelayNot Open Nov 27 16:00 AET
297.77MMarket Cap11.04P/E (Static)

Schaffer Corp Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
9.10%57.42M
9.10%57.42M
18.08%52.63M
18.08%52.63M
2.19%44.57M
2.19%44.57M
24.55%43.61M
24.55%43.61M
-4.61%35.02M
-4.61%35.02M
-Cash and cash equivalents
-3.89%37.6M
-3.89%37.6M
-11.05%39.13M
-11.05%39.13M
17.75%43.99M
17.75%43.99M
6.68%37.35M
6.68%37.35M
101.58%35.02M
101.58%35.02M
-Short term investments
46.74%19.81M
46.74%19.81M
2,211.82%13.5M
2,211.82%13.5M
-90.67%584K
-90.67%584K
--6.26M
--6.26M
----
----
Receivables
-10.69%31.98M
-10.69%31.98M
13.65%35.81M
13.65%35.81M
11.37%31.51M
11.37%31.51M
61.71%28.29M
61.71%28.29M
-40.31%17.5M
-40.31%17.5M
-Accounts receivable
-13.93%27.12M
-13.93%27.12M
0.00%31.51M
0.00%31.51M
11.37%31.51M
11.37%31.51M
102.40%28.29M
102.40%28.29M
-45.58%13.98M
-45.58%13.98M
-Other receivables
10.47%5.12M
10.47%5.12M
--4.63M
--4.63M
----
----
----
----
0.06%3.63M
0.06%3.63M
-Recievables adjustments allowances
23.42%-255K
23.42%-255K
---333K
---333K
----
----
----
----
---110K
---110K
Inventory
-23.60%44.86M
-23.60%44.86M
13.80%58.72M
13.80%58.72M
35.82%51.59M
35.82%51.59M
-7.15%37.99M
-7.15%37.99M
2.11%40.91M
2.11%40.91M
Prepaid assets
5.89%4.55M
5.89%4.55M
22.32%4.3M
22.32%4.3M
86.41%3.51M
86.41%3.51M
-9.20%1.88M
-9.20%1.88M
-58.30%2.08M
-58.30%2.08M
Current deferred assets
--381K
--381K
----
----
----
----
----
----
----
----
Hedging assets-current
----
----
----
----
632.52%1.19M
632.52%1.19M
-1.81%163K
-1.81%163K
26.72%166K
26.72%166K
Other current assets
280.02%6.6M
280.02%6.6M
-51.55%1.74M
-51.55%1.74M
108.43%3.59M
108.43%3.59M
-33.57%1.72M
-33.57%1.72M
-27.13%2.59M
-27.13%2.59M
Total current assets
-4.83%145.79M
-4.83%145.79M
12.67%153.18M
12.67%153.18M
19.62%135.96M
19.62%135.96M
15.68%113.66M
15.68%113.66M
-14.37%98.25M
-14.37%98.25M
Non current assets
Net PPE
-0.29%49.9M
-0.29%49.9M
9.27%50.05M
9.27%50.05M
-1.46%45.8M
-1.46%45.8M
-9.69%46.48M
-9.69%46.48M
92.30%51.47M
92.30%51.47M
-Gross PPE
-0.29%49.9M
-0.29%49.9M
9.27%50.05M
9.27%50.05M
-1.46%45.8M
-1.46%45.8M
-49.03%46.48M
-49.03%46.48M
32.39%91.19M
32.39%91.19M
-Accumulated depreciation
----
----
----
----
----
----
----
----
5.69%-39.72M
5.69%-39.72M
Investments and advances
6.95%212.65M
6.95%212.65M
7.86%198.84M
7.86%198.84M
69.87%184.35M
69.87%184.35M
24.65%108.52M
24.65%108.52M
50.49%87.06M
50.49%87.06M
-Long term equity investment
0.19%7.85M
0.19%7.85M
-78.82%7.83M
-78.82%7.83M
813.06%36.99M
813.06%36.99M
1,202.57%4.05M
1,202.57%4.05M
--311K
--311K
-Other investment
7.22%204.81M
7.22%204.81M
29.62%191.01M
29.62%191.01M
41.06%147.36M
41.06%147.36M
20.43%104.47M
20.43%104.47M
49.95%86.75M
49.95%86.75M
Goodwill and other intangible assets
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
-Goodwill
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
Non current deferred assets
-1.83%5.16M
-1.83%5.16M
28.57%5.25M
28.57%5.25M
-5.53%4.08M
-5.53%4.08M
-14.82%4.32M
-14.82%4.32M
-32.80%5.08M
-32.80%5.08M
Other non current assets
8.86%3.27M
8.86%3.27M
-31.19%3M
-31.19%3M
-6.86%4.36M
-6.86%4.36M
--4.68M
--4.68M
----
----
Total non current assets
5.35%272.28M
5.35%272.28M
7.73%258.44M
7.73%258.44M
45.12%239.9M
45.12%239.9M
14.08%165.31M
14.08%165.31M
55.03%144.91M
55.03%144.91M
Total assets
1.57%418.07M
1.57%418.07M
9.52%411.63M
9.52%411.63M
34.73%375.86M
34.73%375.86M
14.73%278.97M
14.73%278.97M
16.78%243.16M
16.78%243.16M
Liabilities
Current liabilities
Current debt and capital lease obligation
-23.79%21.19M
-23.79%21.19M
129.75%27.8M
129.75%27.8M
-20.69%12.1M
-20.69%12.1M
-19.43%15.26M
-19.43%15.26M
3.31%18.94M
3.31%18.94M
-Current debt
-30.03%14.77M
-30.03%14.77M
221.66%21.1M
221.66%21.1M
-29.37%6.56M
-29.37%6.56M
-31.19%9.29M
-31.19%9.29M
-11.51%13.5M
-11.51%13.5M
-Current capital lease obligation
-4.15%6.42M
-4.15%6.42M
20.93%6.7M
20.93%6.7M
-7.19%5.54M
-7.19%5.54M
9.78%5.97M
9.78%5.97M
76.85%5.44M
76.85%5.44M
Payables
18.73%25.33M
18.73%25.33M
-42.69%21.33M
-42.69%21.33M
30.70%37.23M
30.70%37.23M
128.12%28.48M
128.12%28.48M
-53.76%12.49M
-53.76%12.49M
-accounts payable
18.73%25.33M
18.73%25.33M
-42.69%21.33M
-42.69%21.33M
30.70%37.23M
30.70%37.23M
136.67%28.48M
136.67%28.48M
-52.83%12.03M
-52.83%12.03M
-Other payable
----
----
----
----
----
----
----
----
-69.73%451K
-69.73%451K
Current provisions
2.90%10.03M
2.90%10.03M
2.68%9.74M
2.68%9.74M
0.74%9.49M
0.74%9.49M
434.51%9.42M
434.51%9.42M
147.82%1.76M
147.82%1.76M
Pension and other retirement benefit plans
----
----
----
----
----
----
----
----
-23.51%6.8M
-23.51%6.8M
Current deferred liabilities
-90.89%148K
-90.89%148K
-1.81%1.63M
-1.81%1.63M
24.81%1.66M
24.81%1.66M
--1.33M
--1.33M
----
----
Other current liabilities
-0.78%13.4M
-0.78%13.4M
2,941.67%13.51M
2,941.67%13.51M
-73.82%444K
-73.82%444K
512.27%1.7M
512.27%1.7M
-33.25%277K
-33.25%277K
Current liabilities
-5.29%70.09M
-5.29%70.09M
21.50%74.01M
21.50%74.01M
8.43%60.91M
8.43%60.91M
39.52%56.18M
39.52%56.18M
-33.09%40.27M
-33.09%40.27M
Non current liabilities
Long term debt and capital lease obligation
-9.01%64.01M
-9.01%64.01M
35.55%70.34M
35.55%70.34M
1.90%51.89M
1.90%51.89M
-25.13%50.93M
-25.13%50.93M
241.60%68.02M
241.60%68.02M
-Long term debt
-11.08%44.72M
-11.08%44.72M
50.54%50.3M
50.54%50.3M
14.23%33.41M
14.23%33.41M
-26.57%29.25M
-26.57%29.25M
184.61%39.83M
184.61%39.83M
-Long term capital lease obligation
-3.81%19.28M
-3.81%19.28M
8.47%20.05M
8.47%20.05M
-14.74%18.48M
-14.74%18.48M
-23.09%21.68M
-23.09%21.68M
376.44%28.19M
376.44%28.19M
Long term provisions
-3.57%12.24M
-3.57%12.24M
1.99%12.7M
1.99%12.7M
-4.97%12.45M
-4.97%12.45M
--13.1M
--13.1M
----
----
Employee benefits
----
----
----
----
----
----
----
----
-11.34%8.84M
-11.34%8.84M
Non current deferred liabilities
13.26%33.58M
13.26%33.58M
0.09%29.65M
0.09%29.65M
371.19%29.62M
371.19%29.62M
181.25%6.29M
181.25%6.29M
6.07%2.24M
6.07%2.24M
Total non current liabilities
-2.54%109.83M
-2.54%109.83M
19.93%112.69M
19.93%112.69M
33.63%93.96M
33.63%93.96M
-11.10%70.31M
-11.10%70.31M
147.26%79.09M
147.26%79.09M
Total liabilities
-3.63%179.92M
-3.63%179.92M
20.55%186.69M
20.55%186.69M
22.44%154.87M
22.44%154.87M
5.98%126.49M
5.98%126.49M
29.50%119.36M
29.50%119.36M
Shareholders'equity
Share capital
-1.41%9.78M
-1.41%9.78M
-6.32%9.92M
-6.32%9.92M
-8.88%10.59M
-8.88%10.59M
3.52%11.62M
3.52%11.62M
-19.76%11.23M
-19.76%11.23M
-common stock
-1.41%9.78M
-1.41%9.78M
-6.32%9.92M
-6.32%9.92M
-8.88%10.59M
-8.88%10.59M
3.52%11.62M
3.52%11.62M
-19.76%11.23M
-19.76%11.23M
Retained earnings
7.60%210.04M
7.60%210.04M
0.69%195.2M
0.69%195.2M
50.93%193.87M
50.93%193.87M
27.78%128.45M
27.78%128.45M
13.40%100.52M
13.40%100.52M
Gains losses not affecting retained earnings
-2.70%4.79M
-2.70%4.79M
45.10%4.93M
45.10%4.93M
56.96%3.4M
56.96%3.4M
-37.99%2.16M
-37.99%2.16M
17.13%3.49M
17.13%3.49M
Total stockholders'equity
6.93%224.61M
6.93%224.61M
1.06%210.05M
1.06%210.05M
46.14%207.85M
46.14%207.85M
23.42%142.23M
23.42%142.23M
9.11%115.24M
9.11%115.24M
Noncontrolling interests
-9.02%13.54M
-9.02%13.54M
13.33%14.88M
13.33%14.88M
28.18%13.13M
28.18%13.13M
19.67%10.25M
19.67%10.25M
-17.93%8.56M
-17.93%8.56M
Total equity
5.88%238.15M
5.88%238.15M
1.79%224.93M
1.79%224.93M
44.93%220.99M
44.93%220.99M
23.16%152.48M
23.16%152.48M
6.68%123.8M
6.68%123.8M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2021(Q4)Jun 30, 2021(FY)Jun 30, 2020(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 9.10%57.42M9.10%57.42M18.08%52.63M18.08%52.63M2.19%44.57M2.19%44.57M24.55%43.61M24.55%43.61M-4.61%35.02M-4.61%35.02M
-Cash and cash equivalents -3.89%37.6M-3.89%37.6M-11.05%39.13M-11.05%39.13M17.75%43.99M17.75%43.99M6.68%37.35M6.68%37.35M101.58%35.02M101.58%35.02M
-Short term investments 46.74%19.81M46.74%19.81M2,211.82%13.5M2,211.82%13.5M-90.67%584K-90.67%584K--6.26M--6.26M--------
Receivables -10.69%31.98M-10.69%31.98M13.65%35.81M13.65%35.81M11.37%31.51M11.37%31.51M61.71%28.29M61.71%28.29M-40.31%17.5M-40.31%17.5M
-Accounts receivable -13.93%27.12M-13.93%27.12M0.00%31.51M0.00%31.51M11.37%31.51M11.37%31.51M102.40%28.29M102.40%28.29M-45.58%13.98M-45.58%13.98M
-Other receivables 10.47%5.12M10.47%5.12M--4.63M--4.63M----------------0.06%3.63M0.06%3.63M
-Recievables adjustments allowances 23.42%-255K23.42%-255K---333K---333K-------------------110K---110K
Inventory -23.60%44.86M-23.60%44.86M13.80%58.72M13.80%58.72M35.82%51.59M35.82%51.59M-7.15%37.99M-7.15%37.99M2.11%40.91M2.11%40.91M
Prepaid assets 5.89%4.55M5.89%4.55M22.32%4.3M22.32%4.3M86.41%3.51M86.41%3.51M-9.20%1.88M-9.20%1.88M-58.30%2.08M-58.30%2.08M
Current deferred assets --381K--381K--------------------------------
Hedging assets-current ----------------632.52%1.19M632.52%1.19M-1.81%163K-1.81%163K26.72%166K26.72%166K
Other current assets 280.02%6.6M280.02%6.6M-51.55%1.74M-51.55%1.74M108.43%3.59M108.43%3.59M-33.57%1.72M-33.57%1.72M-27.13%2.59M-27.13%2.59M
Total current assets -4.83%145.79M-4.83%145.79M12.67%153.18M12.67%153.18M19.62%135.96M19.62%135.96M15.68%113.66M15.68%113.66M-14.37%98.25M-14.37%98.25M
Non current assets
Net PPE -0.29%49.9M-0.29%49.9M9.27%50.05M9.27%50.05M-1.46%45.8M-1.46%45.8M-9.69%46.48M-9.69%46.48M92.30%51.47M92.30%51.47M
-Gross PPE -0.29%49.9M-0.29%49.9M9.27%50.05M9.27%50.05M-1.46%45.8M-1.46%45.8M-49.03%46.48M-49.03%46.48M32.39%91.19M32.39%91.19M
-Accumulated depreciation --------------------------------5.69%-39.72M5.69%-39.72M
Investments and advances 6.95%212.65M6.95%212.65M7.86%198.84M7.86%198.84M69.87%184.35M69.87%184.35M24.65%108.52M24.65%108.52M50.49%87.06M50.49%87.06M
-Long term equity investment 0.19%7.85M0.19%7.85M-78.82%7.83M-78.82%7.83M813.06%36.99M813.06%36.99M1,202.57%4.05M1,202.57%4.05M--311K--311K
-Other investment 7.22%204.81M7.22%204.81M29.62%191.01M29.62%191.01M41.06%147.36M41.06%147.36M20.43%104.47M20.43%104.47M49.95%86.75M49.95%86.75M
Goodwill and other intangible assets 0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M
-Goodwill 0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M
Non current deferred assets -1.83%5.16M-1.83%5.16M28.57%5.25M28.57%5.25M-5.53%4.08M-5.53%4.08M-14.82%4.32M-14.82%4.32M-32.80%5.08M-32.80%5.08M
Other non current assets 8.86%3.27M8.86%3.27M-31.19%3M-31.19%3M-6.86%4.36M-6.86%4.36M--4.68M--4.68M--------
Total non current assets 5.35%272.28M5.35%272.28M7.73%258.44M7.73%258.44M45.12%239.9M45.12%239.9M14.08%165.31M14.08%165.31M55.03%144.91M55.03%144.91M
Total assets 1.57%418.07M1.57%418.07M9.52%411.63M9.52%411.63M34.73%375.86M34.73%375.86M14.73%278.97M14.73%278.97M16.78%243.16M16.78%243.16M
Liabilities
Current liabilities
Current debt and capital lease obligation -23.79%21.19M-23.79%21.19M129.75%27.8M129.75%27.8M-20.69%12.1M-20.69%12.1M-19.43%15.26M-19.43%15.26M3.31%18.94M3.31%18.94M
-Current debt -30.03%14.77M-30.03%14.77M221.66%21.1M221.66%21.1M-29.37%6.56M-29.37%6.56M-31.19%9.29M-31.19%9.29M-11.51%13.5M-11.51%13.5M
-Current capital lease obligation -4.15%6.42M-4.15%6.42M20.93%6.7M20.93%6.7M-7.19%5.54M-7.19%5.54M9.78%5.97M9.78%5.97M76.85%5.44M76.85%5.44M
Payables 18.73%25.33M18.73%25.33M-42.69%21.33M-42.69%21.33M30.70%37.23M30.70%37.23M128.12%28.48M128.12%28.48M-53.76%12.49M-53.76%12.49M
-accounts payable 18.73%25.33M18.73%25.33M-42.69%21.33M-42.69%21.33M30.70%37.23M30.70%37.23M136.67%28.48M136.67%28.48M-52.83%12.03M-52.83%12.03M
-Other payable ---------------------------------69.73%451K-69.73%451K
Current provisions 2.90%10.03M2.90%10.03M2.68%9.74M2.68%9.74M0.74%9.49M0.74%9.49M434.51%9.42M434.51%9.42M147.82%1.76M147.82%1.76M
Pension and other retirement benefit plans ---------------------------------23.51%6.8M-23.51%6.8M
Current deferred liabilities -90.89%148K-90.89%148K-1.81%1.63M-1.81%1.63M24.81%1.66M24.81%1.66M--1.33M--1.33M--------
Other current liabilities -0.78%13.4M-0.78%13.4M2,941.67%13.51M2,941.67%13.51M-73.82%444K-73.82%444K512.27%1.7M512.27%1.7M-33.25%277K-33.25%277K
Current liabilities -5.29%70.09M-5.29%70.09M21.50%74.01M21.50%74.01M8.43%60.91M8.43%60.91M39.52%56.18M39.52%56.18M-33.09%40.27M-33.09%40.27M
Non current liabilities
Long term debt and capital lease obligation -9.01%64.01M-9.01%64.01M35.55%70.34M35.55%70.34M1.90%51.89M1.90%51.89M-25.13%50.93M-25.13%50.93M241.60%68.02M241.60%68.02M
-Long term debt -11.08%44.72M-11.08%44.72M50.54%50.3M50.54%50.3M14.23%33.41M14.23%33.41M-26.57%29.25M-26.57%29.25M184.61%39.83M184.61%39.83M
-Long term capital lease obligation -3.81%19.28M-3.81%19.28M8.47%20.05M8.47%20.05M-14.74%18.48M-14.74%18.48M-23.09%21.68M-23.09%21.68M376.44%28.19M376.44%28.19M
Long term provisions -3.57%12.24M-3.57%12.24M1.99%12.7M1.99%12.7M-4.97%12.45M-4.97%12.45M--13.1M--13.1M--------
Employee benefits ---------------------------------11.34%8.84M-11.34%8.84M
Non current deferred liabilities 13.26%33.58M13.26%33.58M0.09%29.65M0.09%29.65M371.19%29.62M371.19%29.62M181.25%6.29M181.25%6.29M6.07%2.24M6.07%2.24M
Total non current liabilities -2.54%109.83M-2.54%109.83M19.93%112.69M19.93%112.69M33.63%93.96M33.63%93.96M-11.10%70.31M-11.10%70.31M147.26%79.09M147.26%79.09M
Total liabilities -3.63%179.92M-3.63%179.92M20.55%186.69M20.55%186.69M22.44%154.87M22.44%154.87M5.98%126.49M5.98%126.49M29.50%119.36M29.50%119.36M
Shareholders'equity
Share capital -1.41%9.78M-1.41%9.78M-6.32%9.92M-6.32%9.92M-8.88%10.59M-8.88%10.59M3.52%11.62M3.52%11.62M-19.76%11.23M-19.76%11.23M
-common stock -1.41%9.78M-1.41%9.78M-6.32%9.92M-6.32%9.92M-8.88%10.59M-8.88%10.59M3.52%11.62M3.52%11.62M-19.76%11.23M-19.76%11.23M
Retained earnings 7.60%210.04M7.60%210.04M0.69%195.2M0.69%195.2M50.93%193.87M50.93%193.87M27.78%128.45M27.78%128.45M13.40%100.52M13.40%100.52M
Gains losses not affecting retained earnings -2.70%4.79M-2.70%4.79M45.10%4.93M45.10%4.93M56.96%3.4M56.96%3.4M-37.99%2.16M-37.99%2.16M17.13%3.49M17.13%3.49M
Total stockholders'equity 6.93%224.61M6.93%224.61M1.06%210.05M1.06%210.05M46.14%207.85M46.14%207.85M23.42%142.23M23.42%142.23M9.11%115.24M9.11%115.24M
Noncontrolling interests -9.02%13.54M-9.02%13.54M13.33%14.88M13.33%14.88M28.18%13.13M28.18%13.13M19.67%10.25M19.67%10.25M-17.93%8.56M-17.93%8.56M
Total equity 5.88%238.15M5.88%238.15M1.79%224.93M1.79%224.93M44.93%220.99M44.93%220.99M23.16%152.48M23.16%152.48M6.68%123.8M6.68%123.8M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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