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AXE Archer Materials Ltd

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  • 0.380
  • +0.015+4.11%
20min DelayTrading Jul 2 12:08 AET
96.84MMarket Cap-10555P/E (Static)

Archer Materials Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
172.56%1.05M
35,715.96%383.94K
-100.71%-1.08K
67.17%152.42K
-62.07%91.18K
47.68%240.39K
-72.19%162.78K
49.42%585.41K
-19.36%391.78K
50.61%485.86K
Revenue from customers
----
----
----
----
-60.61%32.53K
63.63%82.6K
26.48%50.48K
-4.24%39.91K
-45.57%41.68K
--76.57K
Income from government grants
----
--25K
----
----
----
----
----
----
----
----
Other cash income from operating activities
191.54%1.05M
33,396.85%358.94K
-100.71%-1.08K
159.92%152.42K
-62.84%58.64K
40.51%157.79K
-79.41%112.3K
55.81%545.5K
-14.46%350.1K
26.87%409.29K
Cash paid
8.45%-4.3M
-84.66%-4.7M
-53.28%-2.54M
2.85%-1.66M
-41.61%-1.71M
-21.92%-1.21M
31.91%-989.48K
-32.68%-1.45M
2.09%-1.1M
1.28%-1.12M
Payments to suppliers for goods and services
45.26%-1.33M
-55.33%-2.44M
-31.51%-1.57M
30.13%-1.19M
-41.61%-1.71M
-21.92%-1.21M
31.91%-989.48K
-32.68%-1.45M
2.09%-1.1M
1.28%-1.12M
Other cash payments from operating activities
-31.27%-2.97M
-131.93%-2.26M
-109.05%-974.02K
---465.92K
----
----
----
----
----
----
Direct interest received
1,664.64%227.9K
26.31%12.92K
81.62%10.23K
-80.28%5.63K
-2.21%28.55K
79.91%29.19K
-34.10%16.23K
37.17%24.62K
-93.65%17.95K
-49.19%282.49K
Operating cash flow
29.64%-3.03M
-69.67%-4.3M
-68.80%-2.53M
5.48%-1.5M
-69.59%-1.59M
-15.59%-936.8K
3.88%-810.48K
-22.99%-843.19K
-95.67%-685.56K
-37.57%-350.36K
Investing cash flow
Cash flow from continuing investing activities
2,541.13%2.31M
-279.18%-94.83K
-82.84%52.92K
136.32%308.35K
45.99%-849.07K
-10.92%-1.57M
-67.20%-1.42M
73.50%-847.72K
-10.67%-3.2M
26.69%-2.89M
Capital expenditure reported
----
----
----
2.68%-987.78K
33.87%-1.01M
-8.28%-1.53M
-69.05%-1.42M
72.45%-838.41K
-6.08%-3.04M
-7.08%-2.87M
Net PPE purchase and sale
-333.39%-60.4K
163.43%25.88K
-103.08%-40.8K
8,659.39%1.32M
58.63%-15.47K
---37.38K
----
94.03%-9.31K
-617.07%-155.88K
98.28%-21.74K
Net intangibles purchas and sale
-3.30%-124.7K
-114.50%-120.71K
-103.39%-56.28K
59.68%-27.67K
---68.62K
----
----
----
----
----
Net investment purchase and sale
--2.5M
----
--150K
----
--250K
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
2,541.13%2.31M
-279.18%-94.83K
-82.84%52.92K
136.32%308.35K
45.99%-849.07K
-10.92%-1.57M
-67.20%-1.42M
73.50%-847.72K
-10.67%-3.2M
26.69%-2.89M
Financing cash flow
Cash flow from continuing financing activities
-99.74%64.9K
3,961.25%24.62M
-92.96%606.22K
2,143.30%8.61M
-89.71%383.91K
110.40%3.73M
-11.08%1.77M
1.99M
250K
Net common stock issuance
-99.69%75.55K
3,951.26%24.63M
-92.94%607.97K
2,143.30%8.61M
-89.71%383.91K
110.40%3.73M
-11.08%1.77M
--1.99M
----
--250K
Net other financing activities
-3.01%-10.65K
-490.91%-10.34K
---1.75K
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-99.74%64.9K
3,961.25%24.62M
-92.96%606.22K
2,143.30%8.61M
-89.71%383.91K
110.40%3.73M
-11.08%1.77M
--1.99M
----
--250K
Net cash flow
Beginning cash position
-77.26%1.42M
-23.11%6.24M
1,066.32%8.11M
-74.70%695.75K
79.87%2.75M
-22.94%1.53M
18.01%1.98M
-69.79%1.68M
-34.95%5.57M
-32.91%8.56M
Current changes in cash
-103.20%-646.23K
1,178.31%20.22M
-125.28%-1.88M
461.22%7.42M
-268.22%-2.05M
368.29%1.22M
-250.31%-455.09K
107.79%302.76K
-29.89%-3.88M
28.75%-2.99M
End cash Position
-97.08%772.32K
324.16%26.46M
-23.11%6.24M
1,066.32%8.11M
-74.70%695.75K
79.87%2.75M
-22.94%1.53M
18.01%1.98M
-69.79%1.68M
-34.95%5.57M
Free cash from
27.68%-3.21M
-68.72%-4.44M
-3.48%-2.63M
5.38%-2.54M
-5.10%-2.69M
-14.78%-2.56M
-29.23%-2.23M
55.62%-1.72M
-19.86%-3.88M
22.79%-3.24M
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, 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(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 172.56%1.05M35,715.96%383.94K-100.71%-1.08K67.17%152.42K-62.07%91.18K47.68%240.39K-72.19%162.78K49.42%585.41K-19.36%391.78K50.61%485.86K
Revenue from customers -----------------60.61%32.53K63.63%82.6K26.48%50.48K-4.24%39.91K-45.57%41.68K--76.57K
Income from government grants ------25K--------------------------------
Other cash income from operating activities 191.54%1.05M33,396.85%358.94K-100.71%-1.08K159.92%152.42K-62.84%58.64K40.51%157.79K-79.41%112.3K55.81%545.5K-14.46%350.1K26.87%409.29K
Cash paid 8.45%-4.3M-84.66%-4.7M-53.28%-2.54M2.85%-1.66M-41.61%-1.71M-21.92%-1.21M31.91%-989.48K-32.68%-1.45M2.09%-1.1M1.28%-1.12M
Payments to suppliers for goods and services 45.26%-1.33M-55.33%-2.44M-31.51%-1.57M30.13%-1.19M-41.61%-1.71M-21.92%-1.21M31.91%-989.48K-32.68%-1.45M2.09%-1.1M1.28%-1.12M
Other cash payments from operating activities -31.27%-2.97M-131.93%-2.26M-109.05%-974.02K---465.92K------------------------
Direct interest received 1,664.64%227.9K26.31%12.92K81.62%10.23K-80.28%5.63K-2.21%28.55K79.91%29.19K-34.10%16.23K37.17%24.62K-93.65%17.95K-49.19%282.49K
Operating cash flow 29.64%-3.03M-69.67%-4.3M-68.80%-2.53M5.48%-1.5M-69.59%-1.59M-15.59%-936.8K3.88%-810.48K-22.99%-843.19K-95.67%-685.56K-37.57%-350.36K
Investing cash flow
Cash flow from continuing investing activities 2,541.13%2.31M-279.18%-94.83K-82.84%52.92K136.32%308.35K45.99%-849.07K-10.92%-1.57M-67.20%-1.42M73.50%-847.72K-10.67%-3.2M26.69%-2.89M
Capital expenditure reported ------------2.68%-987.78K33.87%-1.01M-8.28%-1.53M-69.05%-1.42M72.45%-838.41K-6.08%-3.04M-7.08%-2.87M
Net PPE purchase and sale -333.39%-60.4K163.43%25.88K-103.08%-40.8K8,659.39%1.32M58.63%-15.47K---37.38K----94.03%-9.31K-617.07%-155.88K98.28%-21.74K
Net intangibles purchas and sale -3.30%-124.7K-114.50%-120.71K-103.39%-56.28K59.68%-27.67K---68.62K--------------------
Net investment purchase and sale --2.5M------150K------250K--------------------
Cash from discontinued investing activities
Investing cash flow 2,541.13%2.31M-279.18%-94.83K-82.84%52.92K136.32%308.35K45.99%-849.07K-10.92%-1.57M-67.20%-1.42M73.50%-847.72K-10.67%-3.2M26.69%-2.89M
Financing cash flow
Cash flow from continuing financing activities -99.74%64.9K3,961.25%24.62M-92.96%606.22K2,143.30%8.61M-89.71%383.91K110.40%3.73M-11.08%1.77M1.99M250K
Net common stock issuance -99.69%75.55K3,951.26%24.63M-92.94%607.97K2,143.30%8.61M-89.71%383.91K110.40%3.73M-11.08%1.77M--1.99M------250K
Net other financing activities -3.01%-10.65K-490.91%-10.34K---1.75K----------------------------
Cash from discontinued financing activities
Financing cash flow -99.74%64.9K3,961.25%24.62M-92.96%606.22K2,143.30%8.61M-89.71%383.91K110.40%3.73M-11.08%1.77M--1.99M------250K
Net cash flow
Beginning cash position -77.26%1.42M-23.11%6.24M1,066.32%8.11M-74.70%695.75K79.87%2.75M-22.94%1.53M18.01%1.98M-69.79%1.68M-34.95%5.57M-32.91%8.56M
Current changes in cash -103.20%-646.23K1,178.31%20.22M-125.28%-1.88M461.22%7.42M-268.22%-2.05M368.29%1.22M-250.31%-455.09K107.79%302.76K-29.89%-3.88M28.75%-2.99M
End cash Position -97.08%772.32K324.16%26.46M-23.11%6.24M1,066.32%8.11M-74.70%695.75K79.87%2.75M-22.94%1.53M18.01%1.98M-69.79%1.68M-34.95%5.57M
Free cash from 27.68%-3.21M-68.72%-4.44M-3.48%-2.63M5.38%-2.54M-5.10%-2.69M-14.78%-2.56M-29.23%-2.23M55.62%-1.72M-19.86%-3.88M22.79%-3.24M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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