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American Battery Technology (ABAT)

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  • 3.030
  • +0.090+3.06%
Close Apr 14 16:00 ET
  • 3.020
  • -0.010-0.33%
Post 20:01 ET
399.08MMarket Cap-7.77P/E (TTM)

American Battery Technology (ABAT) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2025
(Q1)Sep 30, 2025
(FY)Jun 30, 2025
(Q4)Jun 30, 2025
(Q3)Mar 31, 2025
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-35.01%-9.81M
-28.57%-7.14M
-72.81%-28.92M
-35.21%-5.82M
-105.18%-10.28M
-173.10%-7.26M
-16.67%-5.55M
-25.20%-16.74M
-68.72%-4.31M
-45.29%-5.01M
Net income from continuing operations
30.74%-9.28M
11.93%-10.3M
10.93%-46.76M
56.60%-10.17M
-15.02%-11.5M
-31.66%-13.4M
-31.52%-11.69M
-136.59%-52.5M
-194.74%-23.44M
-78.23%-10M
Operating gains losses
----
----
17.91%399.57K
--0
--0
--178.8K
--220.77K
--338.89K
---80.85K
--190.27K
Depreciation and amortization
17.15%1.5M
3.59%1.34M
189.84%5.16M
-16.32%1.32M
1,846.09%1.26M
1,725.47%1.28M
1,987.55%1.29M
800.11%1.78M
2,751.74%1.58M
16.53%64.93K
Other non cash items
--0
-82.23%307.43K
6.20%4.45M
103.26%2.4M
-22.86%886.02K
-135.58%-562.99K
512.58%1.73M
9,456.53%4.19M
35,054.76%1.18M
10,740.52%1.15M
Change In working capital
-52.43%-5.31M
-302.61%-1.09M
-340.88%-9.75M
-137.07%-1.26M
-342.35%-4.73M
-365.05%-3.49M
-165.25%-269.56K
444.06%4.05M
101.56%3.39M
-132.46%-1.07M
-Change in receivables
-5,843.96%-2.96M
1,063.55%1.38M
-2,535.31%-2.62M
-1,800.34%-1.83M
-824.49%-861.45K
10.20%-49.74K
143.82%118.67K
68.93%-99.56K
343.53%107.7K
145.58%118.9K
-Change in inventory
92.04%-215.98K
82.24%-18.04K
-415.82%-3.17M
-74.42%-205.62K
-1,797.93%-153.79K
-1,017.78%-2.71M
58.80%-101.58K
-391.38%-615.23K
5.84%-117.89K
---8.1K
-Change in prepaid assets
-669.93%-675.06K
-283.55%-2.14M
-94.38%-1.07M
20.41%-1.08M
-434.51%-1.28M
131.85%118.45K
48.12%1.17M
37.86%-551.42K
-2,590.03%-1.35M
155.74%383.36K
-Change in payables and accrued expense
-139.65%-1.44M
80.89%-277.93K
-150.80%-2.76M
-57.81%1.88M
-68.88%-2.59M
-128.30%-599.38K
-477.46%-1.45M
3,356.22%5.43M
146.52%4.46M
-395.26%-1.53M
-Change in other current assets
----
----
----
----
--0
--0
--0
----
----
--0
-Change in other current liabilities
88.29%-28.31K
---27.3K
4.58%-115.92K
13.84%-26.76K
591.05%152.72K
---241.88K
--0
---121.48K
---31.06K
0.00%-31.1K
Cash from discontinued investing activities
Operating cash flow
-35.01%-9.81M
-28.57%-7.14M
-72.81%-28.92M
-35.21%-5.82M
-105.18%-10.28M
-173.10%-7.26M
-16.67%-5.55M
-25.20%-16.74M
-68.72%-4.31M
-45.29%-5.01M
Investing cash flow
Cash flow from continuing investing activities
-128.93%-1.48M
17.94%-708.31K
80.35%-2.55M
65.88%-547.76K
0.90%-491.13K
82.03%-646.42K
88.13%-863.16K
64.68%-12.97M
91.42%-1.61M
93.67%-495.59K
Net PPE purchase and sale
-128.93%-1.48M
17.94%-708.31K
78.62%-2.55M
-229.82%-547.76K
63.29%-491.13K
83.60%-646.42K
86.67%-863.16K
19.63%-11.92M
94.29%-166.08K
23.44%-1.34M
Net intangibles purchase and sale
----
----
--0
----
----
--0
--0
---766.69K
----
----
Net business purchase and sale
----
----
--0
--0
----
----
--0
98.72%-279.88K
--0
----
Net other investing changes
----
----
----
----
----
----
----
----
----
--952.28K
Cash from discontinued investing activities
Investing cash flow
-128.93%-1.48M
17.94%-708.31K
80.35%-2.55M
65.88%-547.76K
0.90%-491.13K
82.03%-646.42K
88.13%-863.16K
64.68%-12.97M
91.42%-1.61M
93.67%-495.59K
Financing cash flow
Cash flow from continuing financing activities
27.65%29.06M
407.36%26.3M
7.43%36.94M
58.94%10.99M
-151.87%-2M
167.07%22.76M
-65.65%5.18M
46.85%34.39M
-37.11%6.92M
-68.94%3.86M
Net issuance payments of debt
--0
--0
165.12%2.42M
--0
72.22%-2M
311.78%8.02M
-128.41%-3.6M
-161.85%-3.71M
-189.97%-5.4M
---7.2M
Net common stock issuance
3,243.72%23.28M
222.96%22.23M
-51.18%18.58M
-132.47%-4M
-41.74%15M
--696.36K
--6.88M
118.54%38.06M
146.31%12.32M
--25.74M
Net preferred stock issuance
----
----
--15M
----
----
----
----
--0
----
----
Proceeds from stock option exercised by employees
4,017.25%5.79M
--4.4M
979.05%404.61K
26,386,500.00%263.86K
--0
14,074,700.00%140.75K
--0
--37.5K
---1
---1
Net other financing activities
98.09%-20.84K
-117.55%-333.43K
--540.9K
---270.1K
--0
---1.09M
--1.9M
----
----
----
Cash from discontinued financing activities
Financing cash flow
27.65%29.06M
407.36%26.3M
7.43%36.94M
58.94%10.99M
-151.87%-2M
167.07%22.76M
-65.65%5.18M
46.85%34.39M
-37.11%6.92M
-68.94%3.86M
Net cash flow
Beginning cash position
436.01%30.92M
78.16%12.47M
201.78%7M
30.93%7.85M
169.71%20.62M
7.25%5.77M
201.78%7M
-92.00%2.32M
-52.35%6M
-33.18%7.65M
Current changes in cash
19.64%17.77M
1,596.51%18.45M
16.89%5.47M
359.45%4.63M
-673.44%-12.77M
555.07%14.85M
-140.30%-1.23M
117.55%4.68M
109.81%1.01M
-245.22%-1.65M
End cash Position
136.11%48.69M
436.01%30.92M
78.16%12.47M
78.16%12.47M
30.93%7.85M
169.71%20.62M
7.25%5.77M
201.78%7M
201.78%7M
-52.35%6M
Free cash flow
-42.69%-11.29M
-22.31%-7.85M
-6.95%-31.47M
-21.59%-6.37M
-74.35%-10.77M
-18.59%-7.91M
43.41%-6.42M
-4.33%-29.43M
4.07%-5.24M
-18.92%-6.18M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Dec 31, 2025(Q1)Sep 30, 2025(FY)Jun 30, 2025(Q4)Jun 30, 2025(Q3)Mar 31, 2025(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -35.01%-9.81M-28.57%-7.14M-72.81%-28.92M-35.21%-5.82M-105.18%-10.28M-173.10%-7.26M-16.67%-5.55M-25.20%-16.74M-68.72%-4.31M-45.29%-5.01M
Net income from continuing operations 30.74%-9.28M11.93%-10.3M10.93%-46.76M56.60%-10.17M-15.02%-11.5M-31.66%-13.4M-31.52%-11.69M-136.59%-52.5M-194.74%-23.44M-78.23%-10M
Operating gains losses --------17.91%399.57K--0--0--178.8K--220.77K--338.89K---80.85K--190.27K
Depreciation and amortization 17.15%1.5M3.59%1.34M189.84%5.16M-16.32%1.32M1,846.09%1.26M1,725.47%1.28M1,987.55%1.29M800.11%1.78M2,751.74%1.58M16.53%64.93K
Other non cash items --0-82.23%307.43K6.20%4.45M103.26%2.4M-22.86%886.02K-135.58%-562.99K512.58%1.73M9,456.53%4.19M35,054.76%1.18M10,740.52%1.15M
Change In working capital -52.43%-5.31M-302.61%-1.09M-340.88%-9.75M-137.07%-1.26M-342.35%-4.73M-365.05%-3.49M-165.25%-269.56K444.06%4.05M101.56%3.39M-132.46%-1.07M
-Change in receivables -5,843.96%-2.96M1,063.55%1.38M-2,535.31%-2.62M-1,800.34%-1.83M-824.49%-861.45K10.20%-49.74K143.82%118.67K68.93%-99.56K343.53%107.7K145.58%118.9K
-Change in inventory 92.04%-215.98K82.24%-18.04K-415.82%-3.17M-74.42%-205.62K-1,797.93%-153.79K-1,017.78%-2.71M58.80%-101.58K-391.38%-615.23K5.84%-117.89K---8.1K
-Change in prepaid assets -669.93%-675.06K-283.55%-2.14M-94.38%-1.07M20.41%-1.08M-434.51%-1.28M131.85%118.45K48.12%1.17M37.86%-551.42K-2,590.03%-1.35M155.74%383.36K
-Change in payables and accrued expense -139.65%-1.44M80.89%-277.93K-150.80%-2.76M-57.81%1.88M-68.88%-2.59M-128.30%-599.38K-477.46%-1.45M3,356.22%5.43M146.52%4.46M-395.26%-1.53M
-Change in other current assets ------------------0--0--0----------0
-Change in other current liabilities 88.29%-28.31K---27.3K4.58%-115.92K13.84%-26.76K591.05%152.72K---241.88K--0---121.48K---31.06K0.00%-31.1K
Cash from discontinued investing activities
Operating cash flow -35.01%-9.81M-28.57%-7.14M-72.81%-28.92M-35.21%-5.82M-105.18%-10.28M-173.10%-7.26M-16.67%-5.55M-25.20%-16.74M-68.72%-4.31M-45.29%-5.01M
Investing cash flow
Cash flow from continuing investing activities -128.93%-1.48M17.94%-708.31K80.35%-2.55M65.88%-547.76K0.90%-491.13K82.03%-646.42K88.13%-863.16K64.68%-12.97M91.42%-1.61M93.67%-495.59K
Net PPE purchase and sale -128.93%-1.48M17.94%-708.31K78.62%-2.55M-229.82%-547.76K63.29%-491.13K83.60%-646.42K86.67%-863.16K19.63%-11.92M94.29%-166.08K23.44%-1.34M
Net intangibles purchase and sale ----------0----------0--0---766.69K--------
Net business purchase and sale ----------0--0----------098.72%-279.88K--0----
Net other investing changes --------------------------------------952.28K
Cash from discontinued investing activities
Investing cash flow -128.93%-1.48M17.94%-708.31K80.35%-2.55M65.88%-547.76K0.90%-491.13K82.03%-646.42K88.13%-863.16K64.68%-12.97M91.42%-1.61M93.67%-495.59K
Financing cash flow
Cash flow from continuing financing activities 27.65%29.06M407.36%26.3M7.43%36.94M58.94%10.99M-151.87%-2M167.07%22.76M-65.65%5.18M46.85%34.39M-37.11%6.92M-68.94%3.86M
Net issuance payments of debt --0--0165.12%2.42M--072.22%-2M311.78%8.02M-128.41%-3.6M-161.85%-3.71M-189.97%-5.4M---7.2M
Net common stock issuance 3,243.72%23.28M222.96%22.23M-51.18%18.58M-132.47%-4M-41.74%15M--696.36K--6.88M118.54%38.06M146.31%12.32M--25.74M
Net preferred stock issuance ----------15M------------------0--------
Proceeds from stock option exercised by employees 4,017.25%5.79M--4.4M979.05%404.61K26,386,500.00%263.86K--014,074,700.00%140.75K--0--37.5K---1---1
Net other financing activities 98.09%-20.84K-117.55%-333.43K--540.9K---270.1K--0---1.09M--1.9M------------
Cash from discontinued financing activities
Financing cash flow 27.65%29.06M407.36%26.3M7.43%36.94M58.94%10.99M-151.87%-2M167.07%22.76M-65.65%5.18M46.85%34.39M-37.11%6.92M-68.94%3.86M
Net cash flow
Beginning cash position 436.01%30.92M78.16%12.47M201.78%7M30.93%7.85M169.71%20.62M7.25%5.77M201.78%7M-92.00%2.32M-52.35%6M-33.18%7.65M
Current changes in cash 19.64%17.77M1,596.51%18.45M16.89%5.47M359.45%4.63M-673.44%-12.77M555.07%14.85M-140.30%-1.23M117.55%4.68M109.81%1.01M-245.22%-1.65M
End cash Position 136.11%48.69M436.01%30.92M78.16%12.47M78.16%12.47M30.93%7.85M169.71%20.62M7.25%5.77M201.78%7M201.78%7M-52.35%6M
Free cash flow -42.69%-11.29M-22.31%-7.85M-6.95%-31.47M-21.59%-6.37M-74.35%-10.77M-18.59%-7.91M43.41%-6.42M-4.33%-29.43M4.07%-5.24M-18.92%-6.18M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----
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