SPASF Dividend: SATS Ltd Yield Insights
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SPASF
SATS Ltd (SPASF) Price
SPASF Stock Price Chart
SPASF Financial
SATS Ltd
$2.28
0%
$0
At close: Dec 26, 16:00:00 GMT-5
$2.28
0%
$0
Post-market: Dec 26, 17:40:10 GMT-5
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Income
Balance sheet
Cash flow
Annual
Quarterly
SPASF Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
03/31/2025
03/31/2024
03/31/2023
03/31/2022
03/31/2021
Revenue
5,821
5,821
5,149
1,758
1,176
969
Revenue Growth (YoY)
13%
13%
193%
49%
21%
-50%
Cost of Revenue
4,060
4,060
3,566
1,352
935
717
Gross Profit
1,760
1,760
1,583
405
241
252
Selling, General & Admin
371
371
96
56
16
19
Research & Development
--
--
--
--
--
--
Operating Expenses
1,284
1,284
1,339
453
283
262
Other Non Operating Income (Expenses)
0
0
0
0
0
21
Pretax Income
359
359
116
-43
-27
-145
Income Tax Expense
98
98
55
-5
-31
-36
Net Income
243
243
56
-26
20
-78
Net Income Growth
334%
334%
-315%
-229.99%
-126%
-146%
Shares Outstanding (Diluted)
1,507.63
1,504.6
1,491.4
1,192.55
1,190.11
1,183.02
Shares Change (YoY)
6%
1%
25%
0%
1%
0%
EPS (Diluted)
0.16
0.16
0.03
-0.02
0.01
-0.06
EPS Growth
328%
354%
-261%
-229.99%
-126%
-147%
Free Cash Flow
669
669
326
-39
-15
56
Free Cash Flow Per Share
0.44
0.44
0.21
-0.03
-0.01
0.04
Gross Margin
30.23%
30.23%
30.74%
23.03%
20.49%
26%
Operating Margin
8.16%
8.16%
4.73%
-2.73%
-3.57%
-1.03%
Profit Margin
4.17%
4.17%
1.08%
-1.47%
1.7%
-8.04%
Free Cash Flow Margin
11.49%
11.49%
6.33%
-2.21%
-1.27%
5.77%
EBITDA
1,035
1,035
780
127
77
120
EBITDA Margin
17.78%
17.78%
15.14%
7.22%
6.54%
12.38%
D&A For EBITDA
560
560
536
175
119
130
EBIT
475
475
244
-48
-42
-10
EBIT Margin
8.16%
8.16%
4.73%
-2.73%
-3.57%
-1.03%
Effective Tax Rate
27.29%
27.29%
47.41%
11.62%
114.81%
24.82%
Follow-Up Questions
What are SATS Ltd's key financial statements?
What are the key financial ratios for SPASF?
How is SATS Ltd's revenue broken down by segment or geography?
Is SATS Ltd profitable?
Does SATS Ltd have any liabilities?
How many outstanding shares for SATS Ltd?