CA Stock MarketDetailed Quotes

SFI Solution Financial Inc

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  • 0.290
  • +0.005+1.75%
15min DelayMarket Closed Jul 10 16:00 ET
25.06MMarket Cap72.50P/E (TTM)

Solution Financial Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
(Q3)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
73.61%1.89M
451.83%645.95K
-28.56%1.29M
-28.56%1.29M
228.65%514.58K
74.04%1.09M
-95.84%117.06K
-46.58%1.81M
-46.58%1.81M
-95.66%156.57K
-Cash and cash equivalents
73.61%1.89M
451.83%645.95K
-28.56%1.29M
-28.56%1.29M
228.65%514.58K
74.04%1.09M
-95.84%117.06K
-46.58%1.81M
-46.58%1.81M
-95.66%156.57K
-Accounts receivable
116.11%233.52K
-82.44%210.83K
124.58%525.11K
124.58%525.11K
399.90%516.2K
-87.38%108.06K
327.40%1.2M
-53.68%233.82K
-53.68%233.82K
-86.31%103.26K
Total current assets
75.20%15.01M
83.49%12.96M
65.81%11.96M
65.81%11.96M
131.74%9.86M
100.29%8.57M
44.52%7.06M
31.84%7.21M
31.84%7.21M
-21.10%4.25M
Non current assets
-Accumulated depreciation
38.67%-2.49M
47.61%-2.16M
29.03%-3.25M
29.03%-3.25M
23.62%-4.13M
25.40%-4.05M
32.72%-4.12M
29.66%-4.57M
29.66%-4.57M
12.93%-5.4M
-Long term equity investment
-97.84%45.07K
-99.43%17.14K
--0
--0
--0
4,748.71%2.09M
-6.45%3.02M
-6.03%3.01M
-6.03%3.01M
-97.29%87.08K
-Other intangible assets
0.00%358.49K
0.00%358.49K
0.00%358.49K
0.00%358.49K
22.26%358.49K
52.50%358.49K
52.50%358.49K
52.50%358.49K
52.50%358.49K
-10.81%293.23K
Regulatory assets
107.67%10.66M
89.51%10.22M
110.17%8.83M
110.17%8.83M
179.95%7.26M
140.99%5.13M
777.41%5.39M
406.77%4.2M
406.77%4.2M
143.34%2.59M
Non current deferred assets
25.07%14.6M
8.20%11.81M
26.47%12.92M
26.47%12.92M
20.75%11.1M
--11.68M
956.06%10.91M
941.42%10.22M
941.42%10.22M
1,710.96%9.19M
Liabilities
Current liabilities
Current debt and capital lease obligation
-5.77%4.55M
-61.22%2.77M
-62.01%3.22M
-62.01%3.22M
-67.57%3.41M
-53.87%4.83M
-23.13%7.14M
-15.32%8.47M
-15.32%8.47M
89.76%10.52M
-Current debt
-6.16%4.49M
-61.12%2.75M
-61.90%3.21M
-61.90%3.21M
-67.84%3.38M
-54.28%4.79M
-23.29%7.08M
-15.57%8.42M
-15.57%8.42M
91.07%10.52M
-Current capital lease obligation
38.05%59.35K
-73.22%15.58K
-78.65%11.87K
-78.65%11.87K
--27.58K
--42.99K
2.47%58.17K
55.30%55.58K
55.30%55.58K
----
-accounts payable
----
----
----
----
----
----
----
----
----
--200.24K
-Total tax payable
6.71%8.45M
27.56%7.28M
26.50%8.44M
26.50%8.44M
80.94%8.28M
63.04%7.92M
-35.80%5.7M
-25.56%6.67M
-25.56%6.67M
-33.80%4.58M
Current deferred liabilities
-86.90%64.08K
-82.68%114.32K
-6.11%200.83K
-6.11%200.83K
--338.55K
--489.24K
3,933.01%659.92K
674.13%213.89K
674.13%213.89K
----
Current liabilities
36.81%10.79M
-17.11%7.78M
-13.43%8.38M
-13.43%8.38M
-35.08%7.25M
-29.78%7.89M
-7.42%9.38M
-11.25%9.67M
-11.25%9.67M
43.28%11.17M
Non current liabilities
-Long term debt
--45.07K
--17.14K
--0
--0
--0
--0
--0
-63.68%17.18K
-63.68%17.18K
47.82%87.08K
Non current accrued expenses
-73.07%2.24M
-70.06%3.01M
-61.89%4.73M
-61.89%4.73M
-54.19%7.31M
-53.76%8.32M
-62.25%10.07M
-53.78%12.41M
-53.78%12.41M
-28.17%15.95M
Long term provisions
----
----
----
----
----
--2.09M
-4.74%3.02M
-5.17%3M
-5.17%3M
----
Total non current liabilities
21.73%19.24M
-0.22%15.05M
2.86%16.81M
2.86%16.81M
-1.36%15.53M
-1.77%15.81M
-20.68%15.08M
-17.70%16.34M
-17.70%16.34M
7.06%15.75M
Shareholders'equity
Share capital
-0.61%9.38M
-1.02%9.38M
-1.41%9.38M
-1.41%9.38M
-1.74%9.4M
-1.59%9.43M
-2.41%9.47M
-2.03%9.51M
-2.03%9.51M
-1.85%9.57M
-common stock
-0.61%9.38M
-1.02%9.38M
-1.41%9.38M
-1.41%9.38M
-1.74%9.4M
-1.59%9.43M
-2.41%9.47M
-2.03%9.51M
-2.03%9.51M
-1.85%9.57M
Additional paid-in capital
3,296.37%601.29K
495.93%601.29K
0.96%601.29K
0.96%601.29K
-114.51%-41.49K
-93.20%17.7K
-80.90%100.9K
12.74%595.6K
12.74%595.6K
-39.38%285.87K
Retained earnings
63.58%1.34M
--1.24M
--1.27M
--1.27M
--1.1M
--820.3K
----
--0
--0
----
Other equity interest
-88.63%85.76K
-86.67%100.18K
-89.01%80.6K
-89.01%80.6K
-83.09%141.5K
-11.10%754.26K
-11.31%751.55K
-12.14%733.39K
-12.14%733.39K
192.60%836.78K
Total equity
11.52%31.86M
-0.93%27.78M
-0.76%29.61M
-0.76%29.61M
-3.84%28.26M
-2.78%28.57M
-13.94%28.05M
-10.38%29.84M
-10.38%29.84M
4.59%29.39M
(Q2)Apr 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023(FY)Oct 31, 2022(Q4)Oct 31, 2022(Q3)Jul 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 73.61%1.89M451.83%645.95K-28.56%1.29M-28.56%1.29M228.65%514.58K74.04%1.09M-95.84%117.06K-46.58%1.81M-46.58%1.81M-95.66%156.57K
-Cash and cash equivalents 73.61%1.89M451.83%645.95K-28.56%1.29M-28.56%1.29M228.65%514.58K74.04%1.09M-95.84%117.06K-46.58%1.81M-46.58%1.81M-95.66%156.57K
-Accounts receivable 116.11%233.52K-82.44%210.83K124.58%525.11K124.58%525.11K399.90%516.2K-87.38%108.06K327.40%1.2M-53.68%233.82K-53.68%233.82K-86.31%103.26K
Total current assets 75.20%15.01M83.49%12.96M65.81%11.96M65.81%11.96M131.74%9.86M100.29%8.57M44.52%7.06M31.84%7.21M31.84%7.21M-21.10%4.25M
Non current assets
-Accumulated depreciation 38.67%-2.49M47.61%-2.16M29.03%-3.25M29.03%-3.25M23.62%-4.13M25.40%-4.05M32.72%-4.12M29.66%-4.57M29.66%-4.57M12.93%-5.4M
-Long term equity investment -97.84%45.07K-99.43%17.14K--0--0--04,748.71%2.09M-6.45%3.02M-6.03%3.01M-6.03%3.01M-97.29%87.08K
-Other intangible assets 0.00%358.49K0.00%358.49K0.00%358.49K0.00%358.49K22.26%358.49K52.50%358.49K52.50%358.49K52.50%358.49K52.50%358.49K-10.81%293.23K
Regulatory assets 107.67%10.66M89.51%10.22M110.17%8.83M110.17%8.83M179.95%7.26M140.99%5.13M777.41%5.39M406.77%4.2M406.77%4.2M143.34%2.59M
Non current deferred assets 25.07%14.6M8.20%11.81M26.47%12.92M26.47%12.92M20.75%11.1M--11.68M956.06%10.91M941.42%10.22M941.42%10.22M1,710.96%9.19M
Liabilities
Current liabilities
Current debt and capital lease obligation -5.77%4.55M-61.22%2.77M-62.01%3.22M-62.01%3.22M-67.57%3.41M-53.87%4.83M-23.13%7.14M-15.32%8.47M-15.32%8.47M89.76%10.52M
-Current debt -6.16%4.49M-61.12%2.75M-61.90%3.21M-61.90%3.21M-67.84%3.38M-54.28%4.79M-23.29%7.08M-15.57%8.42M-15.57%8.42M91.07%10.52M
-Current capital lease obligation 38.05%59.35K-73.22%15.58K-78.65%11.87K-78.65%11.87K--27.58K--42.99K2.47%58.17K55.30%55.58K55.30%55.58K----
-accounts payable --------------------------------------200.24K
-Total tax payable 6.71%8.45M27.56%7.28M26.50%8.44M26.50%8.44M80.94%8.28M63.04%7.92M-35.80%5.7M-25.56%6.67M-25.56%6.67M-33.80%4.58M
Current deferred liabilities -86.90%64.08K-82.68%114.32K-6.11%200.83K-6.11%200.83K--338.55K--489.24K3,933.01%659.92K674.13%213.89K674.13%213.89K----
Current liabilities 36.81%10.79M-17.11%7.78M-13.43%8.38M-13.43%8.38M-35.08%7.25M-29.78%7.89M-7.42%9.38M-11.25%9.67M-11.25%9.67M43.28%11.17M
Non current liabilities
-Long term debt --45.07K--17.14K--0--0--0--0--0-63.68%17.18K-63.68%17.18K47.82%87.08K
Non current accrued expenses -73.07%2.24M-70.06%3.01M-61.89%4.73M-61.89%4.73M-54.19%7.31M-53.76%8.32M-62.25%10.07M-53.78%12.41M-53.78%12.41M-28.17%15.95M
Long term provisions ----------------------2.09M-4.74%3.02M-5.17%3M-5.17%3M----
Total non current liabilities 21.73%19.24M-0.22%15.05M2.86%16.81M2.86%16.81M-1.36%15.53M-1.77%15.81M-20.68%15.08M-17.70%16.34M-17.70%16.34M7.06%15.75M
Shareholders'equity
Share capital -0.61%9.38M-1.02%9.38M-1.41%9.38M-1.41%9.38M-1.74%9.4M-1.59%9.43M-2.41%9.47M-2.03%9.51M-2.03%9.51M-1.85%9.57M
-common stock -0.61%9.38M-1.02%9.38M-1.41%9.38M-1.41%9.38M-1.74%9.4M-1.59%9.43M-2.41%9.47M-2.03%9.51M-2.03%9.51M-1.85%9.57M
Additional paid-in capital 3,296.37%601.29K495.93%601.29K0.96%601.29K0.96%601.29K-114.51%-41.49K-93.20%17.7K-80.90%100.9K12.74%595.6K12.74%595.6K-39.38%285.87K
Retained earnings 63.58%1.34M--1.24M--1.27M--1.27M--1.1M--820.3K------0--0----
Other equity interest -88.63%85.76K-86.67%100.18K-89.01%80.6K-89.01%80.6K-83.09%141.5K-11.10%754.26K-11.31%751.55K-12.14%733.39K-12.14%733.39K192.60%836.78K
Total equity 11.52%31.86M-0.93%27.78M-0.76%29.61M-0.76%29.61M-3.84%28.26M-2.78%28.57M-13.94%28.05M-10.38%29.84M-10.38%29.84M4.59%29.39M

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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