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ADA Adacel Technologies Ltd

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  • 0.520
  • +0.015+2.97%
20min DelayTrading Sep 10 12:56 AET
39.64MMarket Cap-5977P/E (Static)

Adacel Technologies Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
-0.99%29.37M
10.06%29.66M
-22.94%26.95M
20.88%34.98M
-6.00%28.93M
-20.41%30.78M
20.67%38.67M
-16.66%32.05M
25.33%38.46M
8.61%30.68M
Revenue from customers
-1.08%29.37M
12.98%29.69M
-19.56%26.28M
13.23%32.67M
-6.27%28.85M
-20.42%30.78M
20.85%38.68M
-16.71%32.01M
25.65%38.43M
8.71%30.58M
Income from government grants
----
----
-70.17%689K
--2.31M
----
----
----
----
----
----
Other cash income from operating activities
122.73%5K
-83.33%-22K
---12K
----
--84.52K
----
-111.54%-5.14K
49.21%44.57K
-70.94%29.87K
-14.72%102.78K
Cash paid
-22.28%-32.75M
-5.93%-26.78M
4.71%-25.28M
-8.96%-26.53M
18.78%-24.35M
11.69%-29.98M
-19.87%-33.94M
0.76%-28.32M
-7.94%-28.54M
15.03%-26.44M
Payments to suppliers for goods and services
-22.35%-32.67M
-6.24%-26.7M
4.42%-25.14M
-9.68%-26.3M
17.61%-23.98M
12.18%-29.1M
-22.17%-33.14M
1.48%-27.13M
-5.62%-27.53M
13.71%-26.07M
Other cash payments from operating activities
1.32%-75K
47.59%-76K
37.54%-145K
37.55%-232.16K
57.47%-371.73K
-8.56%-874.02K
32.49%-805.11K
-19.00%-1.19M
-172.21%-1M
59.22%-368.16K
Direct interest paid
-94.47%-739K
-92.89%-380K
18.57%-197K
11.09%-241.93K
-166.11%-272.1K
-970.71%-102.25K
-107.12%-9.55K
31.40%-4.61K
-976.27%-6.72K
120.37%767.0006
Direct interest received
----
--48K
----
-6.27%4.51K
-84.74%4.81K
-66.74%31.52K
193.61%94.76K
-18.46%32.27K
222.52%39.58K
-18.53%12.27K
Direct tax refund paid
55.65%1.79M
1,925.40%1.15M
-110.82%-63K
576.08%582.29K
88.66%-122.31K
-170.69%-1.08M
9,354.69%1.53M
101.08%16.14K
-319.32%-1.49M
31.38%680.33K
Operating cash flow
-162.79%-2.33M
162.25%3.7M
-83.94%1.41M
109.44%8.79M
1,320.71%4.2M
-105.42%-343.87K
67.94%6.34M
-55.37%3.78M
71.24%8.46M
311.96%4.94M
Investing cash flow
Cash flow from continuing investing activities
-26.80%-1.59M
68.47%-1.25M
-263.61%-3.96M
-84.70%-1.09M
-86.46%-590.24K
18.23%-316.55K
-181.44%-387.13K
59.34%-137.55K
-77.85%-338.29K
75.00%-190.22K
Net PPE purchase and sale
-170.18%-1.08M
-49.44%-399K
16.97%-267K
-32.20%-321.57K
-98.47%-243.24K
33.26%-122.56K
-33.51%-183.65K
59.34%-137.55K
-77.85%-338.29K
75.00%-190.22K
Net intangibles purchas and sale
40.42%-507K
76.98%-851K
-380.99%-3.7M
-121.51%-768.62K
-78.87%-347K
4.66%-193.99K
---203.48K
----
----
----
Cash from discontinued investing activities
Investing cash flow
-26.80%-1.59M
68.47%-1.25M
-263.61%-3.96M
-84.70%-1.09M
-86.46%-590.24K
18.23%-316.55K
-181.44%-387.13K
59.34%-137.55K
-77.85%-338.29K
75.00%-190.22K
Financing cash flow
Cash flow from continuing financing activities
131.86%1.07M
19.65%-3.37M
-37.97%-4.19M
-82.09%-3.04M
74.83%-1.67M
26.01%-6.62M
-229.32%-8.95M
-33.91%-2.72M
-106.91%-2.03M
-59.81%-980.99K
Net issuance payments of debt
--2.59M
----
----
275.13%752.09K
32.54%-429.45K
-22.58%-636.61K
8.67%-519.36K
-3.46%-568.65K
-20.84%-549.63K
21.96%-454.83K
Net common stock issuance
----
-472.22%-103K
96.78%-18K
---559.75K
----
---1.34M
----
---17.67K
----
-127.12%-70.56K
Cash dividends paid
69.05%-733K
28.89%-2.37M
-36.46%-3.33M
-366.08%-2.44M
88.73%-523.59K
33.45%-4.64M
-227.41%-6.98M
-44.02%-2.13M
-224.87%-1.48M
---455.6K
Net other financing activities
12.30%-784K
-6.43%-894K
-6.68%-840K
-10.29%-787.4K
---713.92K
----
---1.45M
----
----
----
Cash from discontinued financing activities
Financing cash flow
131.86%1.07M
19.65%-3.37M
-37.97%-4.19M
-82.09%-3.04M
74.83%-1.67M
26.01%-6.62M
-229.32%-8.95M
-33.91%-2.72M
-106.91%-2.03M
-59.81%-980.99K
Net cash flow
Beginning cash position
-53.16%889K
-78.23%1.9M
124.16%8.72M
125.44%3.89M
-80.33%1.73M
-27.00%8.77M
-0.86%12.02M
112.81%12.12M
239.24%5.7M
-70.89%1.68M
Current changes in cash
-211.18%-2.84M
86.47%-912K
-244.46%-6.74M
140.45%4.67M
126.64%1.94M
-143.05%-7.28M
-425.48%-3M
-84.89%920.6K
61.63%6.09M
201.73%3.77M
Effect of exchange rate changes
200.00%97K
-19.75%-97K
-151.34%-81K
245.33%157.78K
-140.26%-108.56K
49.21%269.63K
138.36%180.71K
-4,752.21%-471.06K
-102.42%-9.71K
21,403.41%401.14K
End cash Position
-308.32%-1.85M
-53.16%889K
-78.22%1.9M
144.95%8.71M
102.28%3.56M
-80.89%1.76M
-26.81%9.2M
6.72%12.57M
101.35%11.78M
183.85%5.85M
Free cash from
-259.40%-3.91M
196.12%2.45M
-133.14%-2.55M
113.48%7.7M
646.23%3.61M
-111.09%-660.42K
63.65%5.95M
-55.20%3.64M
70.98%8.12M
253.37%4.75M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities -0.99%29.37M10.06%29.66M-22.94%26.95M20.88%34.98M-6.00%28.93M-20.41%30.78M20.67%38.67M-16.66%32.05M25.33%38.46M8.61%30.68M
Revenue from customers -1.08%29.37M12.98%29.69M-19.56%26.28M13.23%32.67M-6.27%28.85M-20.42%30.78M20.85%38.68M-16.71%32.01M25.65%38.43M8.71%30.58M
Income from government grants ---------70.17%689K--2.31M------------------------
Other cash income from operating activities 122.73%5K-83.33%-22K---12K------84.52K-----111.54%-5.14K49.21%44.57K-70.94%29.87K-14.72%102.78K
Cash paid -22.28%-32.75M-5.93%-26.78M4.71%-25.28M-8.96%-26.53M18.78%-24.35M11.69%-29.98M-19.87%-33.94M0.76%-28.32M-7.94%-28.54M15.03%-26.44M
Payments to suppliers for goods and services -22.35%-32.67M-6.24%-26.7M4.42%-25.14M-9.68%-26.3M17.61%-23.98M12.18%-29.1M-22.17%-33.14M1.48%-27.13M-5.62%-27.53M13.71%-26.07M
Other cash payments from operating activities 1.32%-75K47.59%-76K37.54%-145K37.55%-232.16K57.47%-371.73K-8.56%-874.02K32.49%-805.11K-19.00%-1.19M-172.21%-1M59.22%-368.16K
Direct interest paid -94.47%-739K-92.89%-380K18.57%-197K11.09%-241.93K-166.11%-272.1K-970.71%-102.25K-107.12%-9.55K31.40%-4.61K-976.27%-6.72K120.37%767.0006
Direct interest received ------48K-----6.27%4.51K-84.74%4.81K-66.74%31.52K193.61%94.76K-18.46%32.27K222.52%39.58K-18.53%12.27K
Direct tax refund paid 55.65%1.79M1,925.40%1.15M-110.82%-63K576.08%582.29K88.66%-122.31K-170.69%-1.08M9,354.69%1.53M101.08%16.14K-319.32%-1.49M31.38%680.33K
Operating cash flow -162.79%-2.33M162.25%3.7M-83.94%1.41M109.44%8.79M1,320.71%4.2M-105.42%-343.87K67.94%6.34M-55.37%3.78M71.24%8.46M311.96%4.94M
Investing cash flow
Cash flow from continuing investing activities -26.80%-1.59M68.47%-1.25M-263.61%-3.96M-84.70%-1.09M-86.46%-590.24K18.23%-316.55K-181.44%-387.13K59.34%-137.55K-77.85%-338.29K75.00%-190.22K
Net PPE purchase and sale -170.18%-1.08M-49.44%-399K16.97%-267K-32.20%-321.57K-98.47%-243.24K33.26%-122.56K-33.51%-183.65K59.34%-137.55K-77.85%-338.29K75.00%-190.22K
Net intangibles purchas and sale 40.42%-507K76.98%-851K-380.99%-3.7M-121.51%-768.62K-78.87%-347K4.66%-193.99K---203.48K------------
Cash from discontinued investing activities
Investing cash flow -26.80%-1.59M68.47%-1.25M-263.61%-3.96M-84.70%-1.09M-86.46%-590.24K18.23%-316.55K-181.44%-387.13K59.34%-137.55K-77.85%-338.29K75.00%-190.22K
Financing cash flow
Cash flow from continuing financing activities 131.86%1.07M19.65%-3.37M-37.97%-4.19M-82.09%-3.04M74.83%-1.67M26.01%-6.62M-229.32%-8.95M-33.91%-2.72M-106.91%-2.03M-59.81%-980.99K
Net issuance payments of debt --2.59M--------275.13%752.09K32.54%-429.45K-22.58%-636.61K8.67%-519.36K-3.46%-568.65K-20.84%-549.63K21.96%-454.83K
Net common stock issuance -----472.22%-103K96.78%-18K---559.75K-------1.34M-------17.67K-----127.12%-70.56K
Cash dividends paid 69.05%-733K28.89%-2.37M-36.46%-3.33M-366.08%-2.44M88.73%-523.59K33.45%-4.64M-227.41%-6.98M-44.02%-2.13M-224.87%-1.48M---455.6K
Net other financing activities 12.30%-784K-6.43%-894K-6.68%-840K-10.29%-787.4K---713.92K-------1.45M------------
Cash from discontinued financing activities
Financing cash flow 131.86%1.07M19.65%-3.37M-37.97%-4.19M-82.09%-3.04M74.83%-1.67M26.01%-6.62M-229.32%-8.95M-33.91%-2.72M-106.91%-2.03M-59.81%-980.99K
Net cash flow
Beginning cash position -53.16%889K-78.23%1.9M124.16%8.72M125.44%3.89M-80.33%1.73M-27.00%8.77M-0.86%12.02M112.81%12.12M239.24%5.7M-70.89%1.68M
Current changes in cash -211.18%-2.84M86.47%-912K-244.46%-6.74M140.45%4.67M126.64%1.94M-143.05%-7.28M-425.48%-3M-84.89%920.6K61.63%6.09M201.73%3.77M
Effect of exchange rate changes 200.00%97K-19.75%-97K-151.34%-81K245.33%157.78K-140.26%-108.56K49.21%269.63K138.36%180.71K-4,752.21%-471.06K-102.42%-9.71K21,403.41%401.14K
End cash Position -308.32%-1.85M-53.16%889K-78.22%1.9M144.95%8.71M102.28%3.56M-80.89%1.76M-26.81%9.2M6.72%12.57M101.35%11.78M183.85%5.85M
Free cash from -259.40%-3.91M196.12%2.45M-133.14%-2.55M113.48%7.7M646.23%3.61M-111.09%-660.42K63.65%5.95M-55.20%3.64M70.98%8.12M253.37%4.75M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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