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Sino Land Co Ltd (DE:SNO)
FRANKFURT:SNO
Germany Market

Sino Land Co (SNO) Cash flow

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Sino Land Co Cash Flow

DE:SNO's free cash flow for Q4 2026 was HK$3.56B. For the 2026 fiscal year, DE:SNO's free cash flow was decreased by HK$-2.12B and operating cash flow was HK$3.61B. See a summary of the company’s cash flow.
Cash Flow
Jun 26Jun 25Jun 24Jun 23Jun 22
Operating Cash Flow
HK$ 4.63BHK$ 6.76BHK$ 1.15BHK$ 1.51BHK$ 7.34B
Investing Cash Flow
HK$ 8.95BHK$ 4.51BHK$ -9.69BHK$ -3.97BHK$ -12.09B
Financing Cash Flow
HK$ 290.00MHK$ -1.12BHK$ -1.34BHK$ -1.29BHK$ -6.13B
End Cash Position
HK$ 30.86BHK$ 16.85BHK$ 6.66BHK$ 13.79BHK$ 3.62B
Free Cash Flow
HK$ 4.52BHK$ 6.65BHK$ 1.08BHK$ 1.40BHK$ 7.29B
Currency in HKD

Sino Land Co Cash Flow