AU Stock MarketDetailed Quotes

BBC BNK Banking Corp Ltd

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  • 0.345
  • +0.005+1.47%
20min DelayMarket Closed Jul 5 15:59 AET
40.96MMarket Cap-10454P/E (Static)

BNK Banking Corp 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
-60.63%60.21M
-21.37%152.91M
4.36%194.48M
1.95%186.35M
4,991.96%182.78M
-51.16%3.59M
-1.56%7.35M
-4.37%7.47M
18.63%7.81M
19.95%6.58M
Cash income from bank and customer deposits
-12.55%287.67M
13.48%328.94M
394.09%289.86M
-36.17%58.67M
--91.9M
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----
----
----
----
Cash income from loans
178.39%60.65M
79.89%21.79M
13.79%12.11M
21.04%10.64M
10.41%8.79M
21.32%7.96M
-5.67%6.56M
-6.01%6.96M
19.64%7.4M
22.69%6.19M
Cash income from securities-related activities
----
----
----
----
----
-41.18%11.83K
0.00%20.11K
0.00%20.11K
-22.73%20.11K
0.92%26.03K
Cash income from fees and commissions
-96.04%14.23M
54.97%359.61M
30.55%232.04M
38.40%177.75M
7,376.18%128.43M
180.23%1.72M
30.63%613.03K
29.19%469.3K
3.02%363.26K
-13.27%352.61K
Other cash income from operating activities
45.76%-302.34M
-64.17%-557.42M
-459.26%-339.53M
-30.97%-60.71M
-659.36%-46.35M
-4,109.95%-6.1M
725.05%152.23K
-11.46%18.45K
41.14%20.84K
36.38%14.76K
Cash paid
76.88%-91.1M
-66.15%-394.09M
-26.69%-237.19M
-2.27%-187.22M
-2,156.59%-183.07M
10.56%-8.11M
-25.08%-9.07M
-5.53%-7.25M
-7.78%-6.87M
-25.80%-6.38M
Cash paid for bank and customer deposits
91.80%-31.72M
-65.67%-386.82M
-28.72%-233.49M
-2.06%-181.39M
-3,744.33%-177.72M
8.83%-4.62M
-42.43%-5.07M
-18.93%-3.56M
-5.92%-2.99M
-17.01%-2.83M
Cash paid for interest and commission
-475.34%-41.82M
-96.75%-7.27M
36.64%-3.69M
-9.14%-5.83M
-53.09%-5.34M
12.75%-3.49M
-6.90%-4M
6.09%-3.74M
-10.41%-3.98M
-40.66%-3.61M
All taxes paid
---17.57M
----
----
----
----
----
----
-52.54%50.12K
78.83%105.62K
167.53%59.06K
Operating cash flow
87.19%-30.89M
-464.70%-241.18M
-4,769.90%-42.71M
-203.46%-877K
93.61%-289K
-162.92%-4.52M
-898.96%-1.72M
-77.00%215.31K
354.25%936.03K
-50.82%206.06K
Investing cash flow
Cash flow from continuing investing activities
44,609.36%152.22M
89.13%-342K
-9.20%-3.15M
-78.25%-2.88M
96.35%-1.62M
-1,978.78%-44.24M
116.34%2.35M
49.45%-14.41M
32.13%-28.51M
Net PPE purchase and sale
----
88.00%-3K
-105.39%-25K
318.87%464K
-122.20%-212K
62.53%-95.41K
-220.01%-254.61K
-216.00%-79.56K
-27.39%-25.18K
77.52%-19.76K
Net intangibles purchas and sale
----
----
88.61%-411K
-21.84%-3.61M
-94.83%-2.96M
-245.07%-1.52M
-217.82%-440.58K
-33.26%-138.63K
-327.25%-104.03K
85.15%-24.35K
Net business purchase and sale
----
161,841.49%152.23M
--94K
----
----
----
----
----
----
----
Net investment purchase and sale
----
----
----
----
----
----
-365.75%-14.47M
197.96%5.44M
-199.35%-5.56M
174.14%5.59M
Net proceeds payment for loan
----
----
----
----
----
----
-912.30%-29.07M
67.07%-2.87M
74.39%-8.72M
0.42%-34.06M
Net other investing changes
----
----
----
----
--294K
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
----
44,609.36%152.22M
89.13%-342K
-9.20%-3.15M
-78.25%-2.88M
96.35%-1.62M
-1,978.78%-44.24M
116.34%2.35M
49.45%-14.41M
32.13%-28.51M
Financing cash flow
Cash flow from continuing financing activities
-110.91%-19.82M
151.61%181.7M
1,170.03%72.21M
-29.11%5.69M
80.47%8.02M
-92.56%4.44M
2,690.12%59.75M
-115.19%-2.31M
-41.95%15.19M
-35.18%26.17M
Increase decrease in deposit
----
----
----
----
----
----
1,359.55%55.69M
-129.11%-4.42M
--15.19M
----
Net issuance payments of debt
-78.45%39.17M
202.99%181.73M
5,270.60%59.98M
89.46%-1.16M
---11M
----
----
----
----
-35.18%26.17M
Net commonstock issuance
-51,633.33%-18.62M
-100.29%-36K
78.72%12.24M
-64.01%6.85M
328.03%19.02M
9.68%4.44M
91.59%4.05M
--2.12M
----
----
Cash dividends paid
---40.36M
----
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-110.91%-19.82M
151.61%181.7M
1,170.03%72.21M
-29.11%5.69M
80.47%8.02M
-92.56%4.44M
2,690.12%59.75M
-115.19%-2.31M
-41.95%15.19M
-35.18%26.17M
Net cash flow
Beginning cash position
203.01%143.28M
160.93%47.29M
-6.50%18.12M
33.40%19.38M
-10.44%14.53M
566.58%16.22M
12.12%2.43M
377.68%2.17M
-82.44%454.43K
-31.90%2.59M
Current changes in cash
-154.68%-50.71M
218.01%92.74M
1,652.58%29.16M
-65.70%1.66M
386.39%4.85M
-112.29%-1.69M
5,140.50%13.79M
-84.67%263.13K
180.45%1.72M
-75.96%-2.13M
Cash adjustments other than cash changes
----
----
----
---2.92M
----
----
----
----
----
----
End cash position
-33.89%92.57M
196.13%140.03M
160.93%47.29M
-6.50%18.12M
33.39%19.38M
-10.44%14.53M
566.58%16.22M
12.12%2.43M
377.68%2.17M
-82.44%454.43K
Free cash from
87.19%-30.89M
-459.00%-241.18M
-852.85%-43.15M
-30.75%-4.53M
43.59%-3.46M
-154.14%-6.14M
-83,915.58%-2.42M
-100.36%-2.88K
398.20%806.83K
-3.07%161.95K
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 -60.63%60.21M-21.37%152.91M4.36%194.48M1.95%186.35M4,991.96%182.78M-51.16%3.59M-1.56%7.35M-4.37%7.47M18.63%7.81M19.95%6.58M
Cash income from bank and customer deposits -12.55%287.67M13.48%328.94M394.09%289.86M-36.17%58.67M--91.9M--------------------
Cash income from loans 178.39%60.65M79.89%21.79M13.79%12.11M21.04%10.64M10.41%8.79M21.32%7.96M-5.67%6.56M-6.01%6.96M19.64%7.4M22.69%6.19M
Cash income from securities-related activities ---------------------41.18%11.83K0.00%20.11K0.00%20.11K-22.73%20.11K0.92%26.03K
Cash income from fees and commissions -96.04%14.23M54.97%359.61M30.55%232.04M38.40%177.75M7,376.18%128.43M180.23%1.72M30.63%613.03K29.19%469.3K3.02%363.26K-13.27%352.61K
Other cash income from operating activities 45.76%-302.34M-64.17%-557.42M-459.26%-339.53M-30.97%-60.71M-659.36%-46.35M-4,109.95%-6.1M725.05%152.23K-11.46%18.45K41.14%20.84K36.38%14.76K
Cash paid 76.88%-91.1M-66.15%-394.09M-26.69%-237.19M-2.27%-187.22M-2,156.59%-183.07M10.56%-8.11M-25.08%-9.07M-5.53%-7.25M-7.78%-6.87M-25.80%-6.38M
Cash paid for bank and customer deposits 91.80%-31.72M-65.67%-386.82M-28.72%-233.49M-2.06%-181.39M-3,744.33%-177.72M8.83%-4.62M-42.43%-5.07M-18.93%-3.56M-5.92%-2.99M-17.01%-2.83M
Cash paid for interest and commission -475.34%-41.82M-96.75%-7.27M36.64%-3.69M-9.14%-5.83M-53.09%-5.34M12.75%-3.49M-6.90%-4M6.09%-3.74M-10.41%-3.98M-40.66%-3.61M
All taxes paid ---17.57M-------------------------52.54%50.12K78.83%105.62K167.53%59.06K
Operating cash flow 87.19%-30.89M-464.70%-241.18M-4,769.90%-42.71M-203.46%-877K93.61%-289K-162.92%-4.52M-898.96%-1.72M-77.00%215.31K354.25%936.03K-50.82%206.06K
Investing cash flow
Cash flow from continuing investing activities 44,609.36%152.22M89.13%-342K-9.20%-3.15M-78.25%-2.88M96.35%-1.62M-1,978.78%-44.24M116.34%2.35M49.45%-14.41M32.13%-28.51M
Net PPE purchase and sale ----88.00%-3K-105.39%-25K318.87%464K-122.20%-212K62.53%-95.41K-220.01%-254.61K-216.00%-79.56K-27.39%-25.18K77.52%-19.76K
Net intangibles purchas and sale --------88.61%-411K-21.84%-3.61M-94.83%-2.96M-245.07%-1.52M-217.82%-440.58K-33.26%-138.63K-327.25%-104.03K85.15%-24.35K
Net business purchase and sale ----161,841.49%152.23M--94K----------------------------
Net investment purchase and sale -------------------------365.75%-14.47M197.96%5.44M-199.35%-5.56M174.14%5.59M
Net proceeds payment for loan -------------------------912.30%-29.07M67.07%-2.87M74.39%-8.72M0.42%-34.06M
Net other investing changes ------------------294K--------------------
Cash from discontinued investing activities
Investing cash flow ----44,609.36%152.22M89.13%-342K-9.20%-3.15M-78.25%-2.88M96.35%-1.62M-1,978.78%-44.24M116.34%2.35M49.45%-14.41M32.13%-28.51M
Financing cash flow
Cash flow from continuing financing activities -110.91%-19.82M151.61%181.7M1,170.03%72.21M-29.11%5.69M80.47%8.02M-92.56%4.44M2,690.12%59.75M-115.19%-2.31M-41.95%15.19M-35.18%26.17M
Increase decrease in deposit ------------------------1,359.55%55.69M-129.11%-4.42M--15.19M----
Net issuance payments of debt -78.45%39.17M202.99%181.73M5,270.60%59.98M89.46%-1.16M---11M-----------------35.18%26.17M
Net commonstock issuance -51,633.33%-18.62M-100.29%-36K78.72%12.24M-64.01%6.85M328.03%19.02M9.68%4.44M91.59%4.05M--2.12M--------
Cash dividends paid ---40.36M------------------------------------
Cash from discontinued financing activities
Financing cash flow -110.91%-19.82M151.61%181.7M1,170.03%72.21M-29.11%5.69M80.47%8.02M-92.56%4.44M2,690.12%59.75M-115.19%-2.31M-41.95%15.19M-35.18%26.17M
Net cash flow
Beginning cash position 203.01%143.28M160.93%47.29M-6.50%18.12M33.40%19.38M-10.44%14.53M566.58%16.22M12.12%2.43M377.68%2.17M-82.44%454.43K-31.90%2.59M
Current changes in cash -154.68%-50.71M218.01%92.74M1,652.58%29.16M-65.70%1.66M386.39%4.85M-112.29%-1.69M5,140.50%13.79M-84.67%263.13K180.45%1.72M-75.96%-2.13M
Cash adjustments other than cash changes ---------------2.92M------------------------
End cash position -33.89%92.57M196.13%140.03M160.93%47.29M-6.50%18.12M33.39%19.38M-10.44%14.53M566.58%16.22M12.12%2.43M377.68%2.17M-82.44%454.43K
Free cash from 87.19%-30.89M-459.00%-241.18M-852.85%-43.15M-30.75%-4.53M43.59%-3.46M-154.14%-6.14M-83,915.58%-2.42M-100.36%-2.88K398.20%806.83K-3.07%161.95K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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Price Target

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