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Markets
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Stocks
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nasdaq-satx
/
Satixfy Communications Ltd
SATX
2.960
USD
+0.030
+1.02%
Market hours (ET)
Quotes delayed by 15 min
USD
0.000
Pre-market (ET)
257.07M
Market Cap
Loss
P/E TTM
Satixfy Communications Ltd
2.960
+0.030
+1.02%
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-106.36%
-9.12M
9.97%
-5.27M
85.18%
-1.87M
2.39%
-8.37M
--
-4.42M
--
-5.86M
--
-12.63M
--
-8.57M
Net income from continuing operations
108.03%
30.29M
-673.00%
-13.74M
-52.35%
-13.85M
-224.65%
-32.41M
--
-376.94M
--
-1.78M
--
-9.09M
--
-9.98M
Operating gains losses
341.03%
344.00K
-9.88%
310.00K
-24.37%
298.00K
-15.32%
293.00K
--
78.00K
--
344.00K
--
394.00K
--
346.00K
Other non-cash items
-99.99%
20.00K
3430.00%
2.00M
534.59%
3.57M
-15.96%
1.03M
--
337.14M
--
-60.00K
--
-821.00K
--
1.22M
Change in working capital
-1134.45%
-33.58M
196.12%
4.24M
357.48%
7.94M
-318.31%
-1.78M
--
-2.72M
--
-4.41M
--
-3.08M
--
-426.00K
-Change in receivables
-19.82%
453.00K
-28.51%
-1.94M
125.55%
254.00K
-16.92%
1.57M
--
565.00K
--
-1.51M
--
-994.00K
--
1.89M
-Change in inventory
-395.57%
-467.00K
-6.88%
-233.00K
372.14%
381.00K
-701.85%
-325.00K
--
158.00K
--
-218.00K
--
-140.00K
--
54.00K
-Change in payables and accrued expense
138.14%
857.00K
-78.44%
352.00K
-141.95%
-818.00K
-2.92%
-2.99M
--
-2.25M
--
1.63M
--
1.95M
--
-2.91M
-Change in other current assets
148.55%
1.76M
170.59%
2.73M
48.06%
-802.00K
93.65%
-181.00K
--
-3.62M
--
1.01M
--
-1.54M
--
-2.85M
-Change in other current liabilities
-1877.51%
-35.64M
170.16%
3.80M
621.74%
8.86M
-111.08%
-726.00K
--
2.00M
--
-5.41M
--
1.23M
--
6.55M
Cash from non-recurring investing activities
Cash from operating activities
-106.36%
-9.12M
9.97%
-5.27M
85.18%
-1.87M
2.39%
-8.37M
--
-4.42M
--
-5.86M
--
-12.63M
--
-8.57M
Investing cash flow
Net cash from continuing investing activities
166.07%
149.00K
-85.35%
58.00K
-76.47%
28.00K
--
--
--
56.00K
--
396.00K
--
119.00K
--
--
Capital expenditures
166.07%
149.00K
-85.35%
58.00K
-76.47%
28.00K
--
--
--
56.00K
--
396.00K
--
119.00K
--
--
Net cash flow from disposal of fixed assets
166.07%
149.00K
-85.35%
58.00K
-76.47%
28.00K
--
--
--
56.00K
--
396.00K
--
119.00K
--
--
Net cash flow from business transactions
--
17.58M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Net cash flow from other investing activities
-233.33%
-10.00K
120.34%
12.00K
-81.13%
10.00K
-850.00%
-19.00K
--
-3.00K
--
-59.00K
--
53.00K
--
-2.00K
Cash from non-current investing activities
Net cash flow from investing activities
29632.20%
17.42M
89.89%
-46.00K
72.73%
-18.00K
-850.00%
-19.00K
--
-59.00K
--
-455.00K
--
-66.00K
--
-2.00K
Financing cash flow
Cash flow from continuous financing activities
-119.74%
-484.00K
100.00%
0.00
-118.66%
-849.00K
-68.90%
10.45M
--
2.45M
--
-67.00K
--
4.55M
--
33.59M
Net cash flow from debt Issuance/repayment
-122.07%
-473.00K
100.00%
0.00
-116.03%
-849.00K
-98.82%
395.00K
--
-213.00K
--
-21.00K
--
-393.00K
--
33.62M
Net cash flow from common stock issuance/repurchase
100.00%
0.00
43491.30%
10.03M
-300.00%
-10.03M
50030.00%
10.03M
--
-3.59M
--
23.00K
--
5.01M
--
20.00K
Proceeds from stock option exercised by employees
--
0.00
--
0.00
--
0.00
--
26.00K
--
--
--
--
--
--
--
--
Proceeds from issuance of warrants
--
--
--
--
--
--
--
--
--
6.50M
--
--
--
--
--
--
Net cash flow from other financing activities
95.44%
-11.00K
-14430.43%
-10.03M
14221.13%
10.03M
100.00%
0.00
--
-241.00K
--
-69.00K
--
-71.00K
--
-48.00K
Net cash from non-recurrent financing activities
Net cash from financing activities
-119.74%
-484.00K
100.00%
0.00
-118.66%
-849.00K
-68.90%
10.45M
--
2.45M
--
-67.00K
--
4.55M
--
33.59M
Net cash flow
Beginning cash balance
-67.09%
6.19M
-50.14%
11.47M
-50.67%
14.14M
209.65%
11.93M
--
18.81M
--
23.01M
--
28.66M
--
3.85M
Current period cash flow changes
213.33%
7.79M
-25.74%
-5.28M
52.80%
-2.67M
-91.11%
2.20M
--
-6.87M
--
-4.20M
--
-5.65M
--
24.80M
Effect of exchange rate changes
99.38%
-30.00K
-98.21%
39.00K
-97.15%
71.00K
169.38%
145.00K
--
-4.85M
--
2.18M
--
2.49M
--
-209.00K
Ending cash balance
17.14%
13.98M
-67.09%
6.19M
-50.14%
11.47M
-50.67%
14.14M
--
11.93M
--
18.81M
--
23.01M
--
28.66M
Free cash flow
-107.10%
-9.27M
14.74%
-5.33M
85.10%
-1.90M
2.39%
-8.37M
--
-4.48M
--
-6.25M
--
-12.75M
--
-8.57M
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
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