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SLLDY SANLAM LTD ADR EACH REPR 2 SHS

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  • 9.650
  • +0.390+4.21%
15min DelayClose Dec 20 16:00 ET
9.94BMarket Cap11.38P/E (TTM)

SANLAM LTD ADR EACH REPR 2 SHS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
39.86%24.79B
1.26%17.72B
236.12%17.5B
-64.24%5.21B
-14.18%14.56B
3.88%16.97B
20.05%16.33B
-7.89%13.6B
10.80%14.77B
5.64%13.33B
Other non cash items
26.92%-39.35B
-208.15%-53.84B
-1,099.54%-17.47B
0.34%1.75B
53.35%1.74B
30.88%1.14B
53.36%868M
-16.89%566M
9.49%681M
6.32%622M
Change in working capital
-40.35%31.62B
-32.06%53.01B
212.19%78.03B
-61.52%24.99B
1,836.27%64.95B
-107.19%-3.74B
136.28%52.03B
-47.69%22.02B
-30.56%42.1B
13.91%60.63B
-Change in other current assets
-240.23%-45.74B
1,348.45%32.62B
311.70%2.25B
-96.62%547M
1,589.32%16.17B
-109.11%-1.09B
887.99%11.93B
-75.23%1.21B
-56.83%4.87B
2,362.12%11.29B
Cash from discontinued operating activities
Operating cash flow
-314.13%-17.7B
670.21%8.27B
76.16%-1.45B
-183.09%-6.08B
-31.97%7.32B
69.29%10.76B
-55.95%6.36B
-55.73%14.43B
-9.32%32.59B
246.55%35.94B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
----
----
----
----
----
----
----
48.00%-8.27B
47.25%-15.9B
-1,329.79%-30.14B
Net PPE purchase and sale
-39.96%-704M
6.51%-503M
20.41%-538M
---676M
--0
----
----
----
----
----
Net intangibles purchase and sale
50.80%-245M
---498M
--0
----
----
----
----
----
----
----
Net business purchase and sale
-794.81%-1.38B
-111.08%-154M
227.17%1.39B
-114.73%-1.09B
92.47%-509M
-110.00%-6.76B
58.07%-3.22B
-1,859.44%-7.68B
-466.36%-392M
104.42%107M
Cash from discontinued investing activities
Investing cash flow
-111.19%-2.44B
-265.90%-1.15B
140.10%695M
-240.47%-1.73B
92.47%-509M
-110.00%-6.76B
79.80%-3.22B
2.10%-15.95B
45.76%-16.29B
-563.13%-30.03B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
214.02%336M
-91.69%107M
-55.06%1.29B
-22.52%2.87B
694.69%3.7B
-1,827.78%-622M
-95.98%36M
384.44%896M
27.75%-315M
-196.67%-436M
Net common stock issuance
27.72%-811M
-202.43%-1.12B
70.10%-371M
-104.79%-1.24B
-113.22%-606M
3,421.74%4.58B
81.12%-138M
37.09%-731M
-117.20%-1.16B
-73.70%-535M
Net other financing charges
-1,540.00%-720M
115.34%50M
-139.85%-326M
--818M
----
179.65%90M
---113M
----
----
----
Cash from discontinued financing activities
Financing cash flow
-18.13%-1.54B
-856.98%-1.3B
-90.40%172M
-28.41%1.79B
-38.23%2.5B
1,984.65%4.05B
-230.30%-215M
111.17%165M
-52.11%-1.48B
-779.02%-971M
Net cash flow
Beginning cash position
13.64%49.23B
-10.51%43.32B
-8.21%48.41B
20.55%52.74B
-21.06%43.75B
5.32%55.42B
-2.64%52.62B
40.33%54.05B
5.54%38.51B
19.62%36.49B
Current changes in cash
-472.91%-21.68B
1,097.08%5.81B
90.32%-583M
-164.67%-6.02B
15.73%9.31B
175.62%8.05B
315.34%2.92B
-109.15%-1.36B
200.10%14.83B
-17.47%4.94B
Effect of exchange rate changes
636.84%700M
-95.78%95M
32.80%2.25B
621.54%1.7B
-162.10%-325M
-1.64%-124M
-76.81%-122M
-109.76%-69M
--707M
--0
End cash position
-42.61%28.25B
-1.69%49.23B
3.45%50.08B
-8.21%48.41B
-16.74%52.74B
14.30%63.34B
5.32%55.42B
-2.64%52.62B
30.45%54.05B
13.54%41.43B
Free cash flow
-367.16%-18.8B
445.68%7.04B
70.14%-2.04B
-193.16%-6.82B
-31.97%7.32B
69.29%10.76B
-55.95%6.36B
-55.73%14.43B
-9.32%32.59B
246.55%35.94B
Currency Unit
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 39.86%24.79B1.26%17.72B236.12%17.5B-64.24%5.21B-14.18%14.56B3.88%16.97B20.05%16.33B-7.89%13.6B10.80%14.77B5.64%13.33B
Other non cash items 26.92%-39.35B-208.15%-53.84B-1,099.54%-17.47B0.34%1.75B53.35%1.74B30.88%1.14B53.36%868M-16.89%566M9.49%681M6.32%622M
Change in working capital -40.35%31.62B-32.06%53.01B212.19%78.03B-61.52%24.99B1,836.27%64.95B-107.19%-3.74B136.28%52.03B-47.69%22.02B-30.56%42.1B13.91%60.63B
-Change in other current assets -240.23%-45.74B1,348.45%32.62B311.70%2.25B-96.62%547M1,589.32%16.17B-109.11%-1.09B887.99%11.93B-75.23%1.21B-56.83%4.87B2,362.12%11.29B
Cash from discontinued operating activities
Operating cash flow -314.13%-17.7B670.21%8.27B76.16%-1.45B-183.09%-6.08B-31.97%7.32B69.29%10.76B-55.95%6.36B-55.73%14.43B-9.32%32.59B246.55%35.94B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale ----------------------------48.00%-8.27B47.25%-15.9B-1,329.79%-30.14B
Net PPE purchase and sale -39.96%-704M6.51%-503M20.41%-538M---676M--0--------------------
Net intangibles purchase and sale 50.80%-245M---498M--0----------------------------
Net business purchase and sale -794.81%-1.38B-111.08%-154M227.17%1.39B-114.73%-1.09B92.47%-509M-110.00%-6.76B58.07%-3.22B-1,859.44%-7.68B-466.36%-392M104.42%107M
Cash from discontinued investing activities
Investing cash flow -111.19%-2.44B-265.90%-1.15B140.10%695M-240.47%-1.73B92.47%-509M-110.00%-6.76B79.80%-3.22B2.10%-15.95B45.76%-16.29B-563.13%-30.03B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 214.02%336M-91.69%107M-55.06%1.29B-22.52%2.87B694.69%3.7B-1,827.78%-622M-95.98%36M384.44%896M27.75%-315M-196.67%-436M
Net common stock issuance 27.72%-811M-202.43%-1.12B70.10%-371M-104.79%-1.24B-113.22%-606M3,421.74%4.58B81.12%-138M37.09%-731M-117.20%-1.16B-73.70%-535M
Net other financing charges -1,540.00%-720M115.34%50M-139.85%-326M--818M----179.65%90M---113M------------
Cash from discontinued financing activities
Financing cash flow -18.13%-1.54B-856.98%-1.3B-90.40%172M-28.41%1.79B-38.23%2.5B1,984.65%4.05B-230.30%-215M111.17%165M-52.11%-1.48B-779.02%-971M
Net cash flow
Beginning cash position 13.64%49.23B-10.51%43.32B-8.21%48.41B20.55%52.74B-21.06%43.75B5.32%55.42B-2.64%52.62B40.33%54.05B5.54%38.51B19.62%36.49B
Current changes in cash -472.91%-21.68B1,097.08%5.81B90.32%-583M-164.67%-6.02B15.73%9.31B175.62%8.05B315.34%2.92B-109.15%-1.36B200.10%14.83B-17.47%4.94B
Effect of exchange rate changes 636.84%700M-95.78%95M32.80%2.25B621.54%1.7B-162.10%-325M-1.64%-124M-76.81%-122M-109.76%-69M--707M--0
End cash position -42.61%28.25B-1.69%49.23B3.45%50.08B-8.21%48.41B-16.74%52.74B14.30%63.34B5.32%55.42B-2.64%52.62B30.45%54.05B13.54%41.43B
Free cash flow -367.16%-18.8B445.68%7.04B70.14%-2.04B-193.16%-6.82B-31.97%7.32B69.29%10.76B-55.95%6.36B-55.73%14.43B-9.32%32.59B246.55%35.94B
Currency Unit ZARZARZARZARZARZARZARZARZARZAR
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