AU Stock MarketDetailed Quotes

FGX Future Generation Australia Ltd

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  • 1.185
  • 0.0000.00%
20min DelayMarket Closed Jul 5 16:00 AET
483.67MMarket Cap10.49P/E (Static)

Future Generation Australia Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(FY)Dec 30, 2022
(FY)Dec 30, 2021
(FY)Dec 30, 2020
(FY)Dec 30, 2019
(FY)Dec 30, 2018
(FY)Dec 30, 2017
(FY)Dec 30, 2016
(FY)Jun 30, 2015
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
-13.48%42.37M
36,171.85%48.97M
-70.72%135K
-36.24%461K
-16.32%723K
-17.48%864K
55.34%1.05M
-0.44%674K
-75.83%677K
105.31%2.8M
Cash income from bank and customer deposits
-14.52%41.7M
--48.78M
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Cash income from loans
226.49%604K
37.04%185K
-70.72%135K
-36.24%461K
317.92%723K
-83.48%173K
55.34%1.05M
-26.42%674K
199.35%916K
-98.78%306K
Cash income from securities-related activities
--64K
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--691K
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Other cash income from operating activities
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-109.58%-239K
102.14%2.5M
Cash paid
-0.83%-30.43M
-496.42%-30.18M
10.92%-5.06M
13.70%-5.68M
45.95%-6.58M
-26.13%-12.18M
-104.27%-9.65M
-1,124.35%-4.73M
85.54%-386K
82.96%-2.67M
Cash paid for bank and customer deposits
-33.21%-20.5M
---15.39M
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Cash paid for interest and commission
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98.90%-9K
All taxes paid
47.25%-4.49M
-7.35%-8.5M
-1,432.30%-7.92M
68.99%-517K
77.96%-1.67M
-35.62%-7.56M
-94.76%-5.58M
-641.71%-2.86M
85.49%-386K
82.09%-2.66M
Other cash payments from operating activities
13.41%-5.44M
-319.64%-6.29M
155.43%2.86M
-5.05%-5.16M
-6.50%-4.92M
-13.17%-4.62M
-118.89%-4.08M
---1.86M
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Operating cash flow
-36.45%11.94M
481.48%18.79M
5.63%-4.93M
10.92%-5.22M
48.21%-5.86M
-31.44%-11.31M
-112.41%-8.61M
-1,492.44%-4.05M
120.45%291K
100.19%132K
Investing cash flow
Cash flow from continuing investing activities
14.76%21.15M
64.66%18.43M
126.86%11.19M
44.39%-41.65M
57.41%-74.9M
-38,983.33%-175.88M
-100.02%-450K
Net intangibles purchas and sale
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---14K
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Net business purchase and sale
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-104.17%-450K
Net investment purchase and sale
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14.76%21.15M
64.66%18.43M
126.86%11.19M
44.39%-41.65M
57.41%-74.9M
---175.86M
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Cash from discontinued investing activities
Investing cash flow
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14.76%21.15M
64.66%18.43M
126.86%11.19M
44.39%-41.65M
57.41%-74.9M
-38,983.33%-175.88M
-100.02%-450K
Financing cash flow
Cash flow from continuing financing activities
-8.28%-24.45M
-17.35%-22.58M
-3.67%-19.24M
-12.16%-18.56M
-144.02%-16.55M
392.54%37.59M
-110.17%-12.85M
-35.43%126.3M
263.77%195.59M
93.87%-119.43M
Net commonstock issuance
-89.47%6K
-92.76%57K
--787K
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-100.02%-11K
--51.38M
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-32.36%132.3M
273.03%195.59M
69.49%-113.04M
Cash dividends paid
-8.04%-24.46M
-13.02%-22.64M
-7.91%-20.03M
-12.23%-18.56M
-19.98%-16.54M
-7.26%-13.78M
-114.02%-12.85M
---6M
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99.69%-4.9M
Net other financing activities
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74.67%-1.5M
Cash from discontinued financing activities
Financing cash flow
-8.28%-24.45M
-17.35%-22.58M
-3.67%-19.24M
-12.16%-18.56M
-144.02%-16.55M
392.54%37.59M
-110.17%-12.85M
-35.43%126.3M
263.77%195.59M
93.87%-119.43M
Net cash flow
Beginning cash position
-23.00%12.69M
-59.45%16.48M
-6.08%40.65M
-8.42%43.28M
382.49%47.27M
-86.56%9.8M
185.18%72.91M
667.72%25.57M
-97.29%3.33M
-21.66%123.08M
Current changes in cash
-229.93%-12.51M
84.31%-3.79M
-817.85%-24.17M
33.86%-2.63M
-110.62%-3.98M
159.37%37.47M
-233.31%-63.11M
136.59%47.34M
116.71%20.01M
-251.91%-119.75M
End cash position
-98.57%181K
-23.00%12.69M
-59.45%16.48M
-6.08%40.65M
-8.42%43.28M
382.49%47.27M
-86.56%9.8M
212.37%72.91M
600.90%23.34M
-97.29%3.33M
Free cash from
-36.45%11.94M
481.48%18.79M
5.63%-4.93M
10.92%-5.22M
48.21%-5.86M
-31.44%-11.31M
-112.41%-8.61M
-1,562.82%-4.05M
109.85%277K
100.19%132K
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2023(FY)Dec 30, 2022(FY)Dec 30, 2021(FY)Dec 30, 2020(FY)Dec 30, 2019(FY)Dec 30, 2018(FY)Dec 30, 2017(FY)Dec 30, 2016(FY)Jun 30, 2015(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities -13.48%42.37M36,171.85%48.97M-70.72%135K-36.24%461K-16.32%723K-17.48%864K55.34%1.05M-0.44%674K-75.83%677K105.31%2.8M
Cash income from bank and customer deposits -14.52%41.7M--48.78M--------------------------------
Cash income from loans 226.49%604K37.04%185K-70.72%135K-36.24%461K317.92%723K-83.48%173K55.34%1.05M-26.42%674K199.35%916K-98.78%306K
Cash income from securities-related activities --64K------------------691K----------------
Other cash income from operating activities ---------------------------------109.58%-239K102.14%2.5M
Cash paid -0.83%-30.43M-496.42%-30.18M10.92%-5.06M13.70%-5.68M45.95%-6.58M-26.13%-12.18M-104.27%-9.65M-1,124.35%-4.73M85.54%-386K82.96%-2.67M
Cash paid for bank and customer deposits -33.21%-20.5M---15.39M--------------------------------
Cash paid for interest and commission ------------------------------------98.90%-9K
All taxes paid 47.25%-4.49M-7.35%-8.5M-1,432.30%-7.92M68.99%-517K77.96%-1.67M-35.62%-7.56M-94.76%-5.58M-641.71%-2.86M85.49%-386K82.09%-2.66M
Other cash payments from operating activities 13.41%-5.44M-319.64%-6.29M155.43%2.86M-5.05%-5.16M-6.50%-4.92M-13.17%-4.62M-118.89%-4.08M---1.86M--------
Operating cash flow -36.45%11.94M481.48%18.79M5.63%-4.93M10.92%-5.22M48.21%-5.86M-31.44%-11.31M-112.41%-8.61M-1,492.44%-4.05M120.45%291K100.19%132K
Investing cash flow
Cash flow from continuing investing activities 14.76%21.15M64.66%18.43M126.86%11.19M44.39%-41.65M57.41%-74.9M-38,983.33%-175.88M-100.02%-450K
Net intangibles purchas and sale -----------------------------------14K----
Net business purchase and sale -------------------------------------104.17%-450K
Net investment purchase and sale ------------14.76%21.15M64.66%18.43M126.86%11.19M44.39%-41.65M57.41%-74.9M---175.86M----
Cash from discontinued investing activities
Investing cash flow ------------14.76%21.15M64.66%18.43M126.86%11.19M44.39%-41.65M57.41%-74.9M-38,983.33%-175.88M-100.02%-450K
Financing cash flow
Cash flow from continuing financing activities -8.28%-24.45M-17.35%-22.58M-3.67%-19.24M-12.16%-18.56M-144.02%-16.55M392.54%37.59M-110.17%-12.85M-35.43%126.3M263.77%195.59M93.87%-119.43M
Net commonstock issuance -89.47%6K-92.76%57K--787K-----100.02%-11K--51.38M-----32.36%132.3M273.03%195.59M69.49%-113.04M
Cash dividends paid -8.04%-24.46M-13.02%-22.64M-7.91%-20.03M-12.23%-18.56M-19.98%-16.54M-7.26%-13.78M-114.02%-12.85M---6M----99.69%-4.9M
Net other financing activities ------------------------------------74.67%-1.5M
Cash from discontinued financing activities
Financing cash flow -8.28%-24.45M-17.35%-22.58M-3.67%-19.24M-12.16%-18.56M-144.02%-16.55M392.54%37.59M-110.17%-12.85M-35.43%126.3M263.77%195.59M93.87%-119.43M
Net cash flow
Beginning cash position -23.00%12.69M-59.45%16.48M-6.08%40.65M-8.42%43.28M382.49%47.27M-86.56%9.8M185.18%72.91M667.72%25.57M-97.29%3.33M-21.66%123.08M
Current changes in cash -229.93%-12.51M84.31%-3.79M-817.85%-24.17M33.86%-2.63M-110.62%-3.98M159.37%37.47M-233.31%-63.11M136.59%47.34M116.71%20.01M-251.91%-119.75M
End cash position -98.57%181K-23.00%12.69M-59.45%16.48M-6.08%40.65M-8.42%43.28M382.49%47.27M-86.56%9.8M212.37%72.91M600.90%23.34M-97.29%3.33M
Free cash from -36.45%11.94M481.48%18.79M5.63%-4.93M10.92%-5.22M48.21%-5.86M-31.44%-11.31M-112.41%-8.61M-1,562.82%-4.05M109.85%277K100.19%132K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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Price Target

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