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AOXY ADVANCED OXYGEN TECHNOLOGIES

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  • 0.178000
  • 0.0000000.00%
15min DelayClose Sep 18 16:00 ET
586.14KMarket Cap89.00P/E (TTM)

ADVANCED OXYGEN TECHNOLOGIES Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
27.29%45.05K
2.48%12.89K
143.38%9.99K
15.96%13.13K
22.40%9.04K
-60.49%35.4K
29.08%12.58K
-34.83%4.1K
-83.03%11.33K
8.52%7.39K
Net income from continuing operations
145.00%5.56K
-13.09%2.72K
1,614.29%2.52K
52.69%3.43K
4.43%-3.11K
-96.02%2.27K
82.64%3.13K
51.55%147
-96.04%2.25K
-106.87%-3.25K
Other non cash items
7.27%26.01K
-44.23%5.97K
356.67%4.8K
150.00%10K
-38.24%5.25K
1.98%24.25K
185.36%10.7K
-84.78%1.05K
-20.87%4K
5.28%8.5K
Change In working capital
52.58%13.54K
506.98%5.08K
-70.20%866
-86.21%700
222.68%6.9K
0.60%8.87K
-129.11%-1.25K
514.55%2.91K
25.64%5.08K
78.61%2.14K
-Change in payables and accrued expense
52.58%13.54K
506.98%5.08K
-70.20%866
-86.21%700
222.68%6.9K
0.60%8.87K
-133.17%-1.25K
1,751.14%2.91K
25.64%5.08K
78.61%2.14K
Cash from discontinued investing activities
Operating cash flow
27.46%45.12K
9.38%13.76K
99.39%8.18K
24.79%14.13K
22.40%9.04K
-60.49%35.4K
29.08%12.58K
-34.83%4.1K
-82.80%11.33K
-4.05%7.39K
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities
-81.68%-52.99K
-229.12%-22.58K
-10.86%-10K
-170.31%-11.42K
0.76%-8.99K
12.36%-29.17K
-45.11%-6.86K
-17.56%-9.02K
55.85%-4.22K
19.89%-9.06K
Net issuance payments of debt
-81.68%-52.99K
-229.12%-22.58K
-10.86%-10K
-170.31%-11.42K
0.76%-8.99K
12.36%-29.17K
-45.11%-6.86K
-17.56%-9.02K
55.85%-4.22K
19.89%-9.06K
Cash from discontinued financing activities
Financing cash flow
-81.68%-52.99K
-240.36%-23.35K
-2.32%-9.23K
-170.31%-11.42K
0.76%-8.99K
12.36%-29.17K
-45.11%-6.86K
-17.56%-9.02K
55.85%-4.22K
19.89%-9.06K
Net cash flow
Beginning cash position
11.27%104.84K
5.47%105.24K
6.05%108.02K
16.24%101.36K
11.27%104.84K
88.51%94.22K
4.18%99.78K
2.70%101.85K
92.42%87.2K
88.51%94.22K
Current changes in cash
-226.34%-7.87K
-268.35%-9.63K
99.74%-13
-75.58%1.72K
103.04%49
-88.94%6.23K
13.99%5.72K
-257.01%-4.92K
-87.49%7.04K
55.32%-1.61K
Effect of exchange rate changes
-156.55%-2.48K
-69.52%-1.13K
-197.12%-2.76K
-35.20%4.93K
34.78%-3.52K
136.34%4.39K
89.88%-666
240.77%2.85K
413.39%7.61K
-415.17%-5.4K
End cash Position
-9.88%94.48K
-9.88%94.48K
5.47%105.24K
6.05%108.02K
16.24%101.36K
11.27%104.84K
11.27%104.84K
4.18%99.78K
2.70%101.85K
92.42%87.2K
Free cash flow
27.46%45.12K
9.38%13.76K
99.39%8.18K
24.79%14.13K
22.40%9.04K
-60.49%35.4K
29.08%12.58K
-34.83%4.1K
-82.80%11.33K
-4.05%7.39K
Currency Unit
USD
USD
USD
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USD
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Audit Opinions
Unqualified Opinion
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Unqualified Opinion
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(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 27.29%45.05K2.48%12.89K143.38%9.99K15.96%13.13K22.40%9.04K-60.49%35.4K29.08%12.58K-34.83%4.1K-83.03%11.33K8.52%7.39K
Net income from continuing operations 145.00%5.56K-13.09%2.72K1,614.29%2.52K52.69%3.43K4.43%-3.11K-96.02%2.27K82.64%3.13K51.55%147-96.04%2.25K-106.87%-3.25K
Other non cash items 7.27%26.01K-44.23%5.97K356.67%4.8K150.00%10K-38.24%5.25K1.98%24.25K185.36%10.7K-84.78%1.05K-20.87%4K5.28%8.5K
Change In working capital 52.58%13.54K506.98%5.08K-70.20%866-86.21%700222.68%6.9K0.60%8.87K-129.11%-1.25K514.55%2.91K25.64%5.08K78.61%2.14K
-Change in payables and accrued expense 52.58%13.54K506.98%5.08K-70.20%866-86.21%700222.68%6.9K0.60%8.87K-133.17%-1.25K1,751.14%2.91K25.64%5.08K78.61%2.14K
Cash from discontinued investing activities
Operating cash flow 27.46%45.12K9.38%13.76K99.39%8.18K24.79%14.13K22.40%9.04K-60.49%35.4K29.08%12.58K-34.83%4.1K-82.80%11.33K-4.05%7.39K
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities -81.68%-52.99K-229.12%-22.58K-10.86%-10K-170.31%-11.42K0.76%-8.99K12.36%-29.17K-45.11%-6.86K-17.56%-9.02K55.85%-4.22K19.89%-9.06K
Net issuance payments of debt -81.68%-52.99K-229.12%-22.58K-10.86%-10K-170.31%-11.42K0.76%-8.99K12.36%-29.17K-45.11%-6.86K-17.56%-9.02K55.85%-4.22K19.89%-9.06K
Cash from discontinued financing activities
Financing cash flow -81.68%-52.99K-240.36%-23.35K-2.32%-9.23K-170.31%-11.42K0.76%-8.99K12.36%-29.17K-45.11%-6.86K-17.56%-9.02K55.85%-4.22K19.89%-9.06K
Net cash flow
Beginning cash position 11.27%104.84K5.47%105.24K6.05%108.02K16.24%101.36K11.27%104.84K88.51%94.22K4.18%99.78K2.70%101.85K92.42%87.2K88.51%94.22K
Current changes in cash -226.34%-7.87K-268.35%-9.63K99.74%-13-75.58%1.72K103.04%49-88.94%6.23K13.99%5.72K-257.01%-4.92K-87.49%7.04K55.32%-1.61K
Effect of exchange rate changes -156.55%-2.48K-69.52%-1.13K-197.12%-2.76K-35.20%4.93K34.78%-3.52K136.34%4.39K89.88%-666240.77%2.85K413.39%7.61K-415.17%-5.4K
End cash Position -9.88%94.48K-9.88%94.48K5.47%105.24K6.05%108.02K16.24%101.36K11.27%104.84K11.27%104.84K4.18%99.78K2.70%101.85K92.42%87.2K
Free cash flow 27.46%45.12K9.38%13.76K99.39%8.18K24.79%14.13K22.40%9.04K-60.49%35.4K29.08%12.58K-34.83%4.1K-82.80%11.33K-4.05%7.39K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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