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IGN Ignite Ltd

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  • 0.630
  • +0.020+3.28%
20min DelayMarket Closed Dec 13 12:52 AET
10.28MMarket Cap13.40P/E (Static)

Ignite 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
-9.04%109.17M
-5.78%120.01M
-0.23%127.38M
-14.93%127.67M
-14.64%150.08M
-14.41%175.81M
-16.80%205.42M
-12.68%246.91M
-10.81%282.75M
0.54%317.03M
Revenue from customers
-9.04%109.17M
-5.78%120.01M
1.85%127.38M
-16.66%125.07M
-14.64%150.08M
-14.41%175.81M
-16.80%205.42M
-12.68%246.91M
-10.81%282.75M
0.54%317.03M
Income from government grants
----
--2K
----
--2.61M
----
----
----
----
----
----
Cash paid
10.35%-100.33M
6.52%-111.92M
-0.98%-119.72M
12.92%-118.55M
18.21%-136.15M
11.42%-166.46M
19.40%-187.92M
12.31%-233.14M
11.31%-265.86M
-1.46%-299.76M
Payments to suppliers for goods and services
10.35%-100.33M
6.52%-111.92M
-0.98%-119.72M
12.92%-118.55M
18.21%-136.15M
11.42%-166.46M
19.40%-187.92M
12.31%-233.14M
11.31%-265.86M
-1.46%-299.76M
Direct interest paid
44.11%-166K
-59.68%-297K
14.29%-186K
59.67%-217K
-72.44%-538K
0.95%-312K
-52.91%-315K
-100.00%-206K
45.21%-103K
-18.99%-188K
Direct interest received
1,480.00%79K
--5K
----
-95.24%1K
31.25%21K
45.45%16K
120.00%11K
-28.57%5K
-58.82%7K
70.00%17K
Direct tax refund paid
15.89%-6.11M
11.94%-7.27M
-0.22%-8.25M
6.71%-8.23M
14.20%-8.83M
21.32%-10.29M
1.89%-13.08M
18.02%-13.33M
10.26%-16.26M
-10.59%-18.12M
Operating cash flow
390.69%2.64M
168.93%537K
-216.27%-779K
-85.37%670K
471.83%4.58M
-129.92%-1.23M
1,622.59%4.12M
-55.74%239K
152.99%540K
-130.57%-1.02M
Investing cash flow
Cash flow from continuing investing activities
166.67%2K
94.83%-3K
-1,350.00%-58K
76.47%-4K
94.46%-17K
43.67%-307K
46.78%-545K
28.04%-1.02M
-42.59%-1.42M
8.10%-998K
Net PPE purchase and sale
166.67%2K
94.83%-3K
-1,350.00%-58K
90.00%-4K
85.71%-40K
11.11%-280K
60.58%-315K
42.72%-799K
-152.26%-1.4M
-217.82%-553K
Net intangibles purchas and sale
----
----
----
----
----
88.26%-27K
-2.22%-230K
-703.57%-225K
93.71%-28K
51.21%-445K
Net business purchase and sale
----
----
----
----
---718K
----
----
----
----
----
Net investment purchase and sale
----
----
----
----
--741K
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
166.67%2K
94.83%-3K
-1,350.00%-58K
76.47%-4K
94.46%-17K
43.67%-307K
46.78%-545K
28.04%-1.02M
-42.59%-1.42M
8.10%-998K
Financing cash flow
Cash flow from continuing financing activities
283.38%1.24M
-159.17%-674K
215.05%1.14M
81.96%-990K
-5.49M
Net issuance payments of debt
-542.95%-2.01M
-120.30%-312K
480.45%1.54M
91.24%-404K
---4.61M
----
----
----
----
----
Net common stock issuance
--3.56M
----
----
----
----
----
----
----
----
----
Net other financing activities
11.05%-322K
9.05%-362K
32.08%-398K
33.18%-586K
---877K
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
283.38%1.24M
-159.17%-674K
215.05%1.14M
81.96%-990K
---5.49M
----
----
----
----
----
Net cash flow
Beginning cash position
-36.24%234K
321.84%367K
-78.68%87K
-68.30%408K
-53.74%1.29M
289.90%2.78M
-262.62%-1.47M
-163.32%-404K
-74.48%638K
968.38%2.5M
Current changes in cash
2,866.43%3.87M
-146.36%-140K
193.21%302K
64.94%-324K
39.96%-924K
-143.09%-1.54M
555.03%3.57M
11.10%-785K
56.22%-883K
-189.76%-2.02M
Effect of exchange rate changes
-185.71%-6K
131.82%7K
-833.33%-22K
-93.33%3K
2.27%45K
-6.38%44K
117.03%47K
-73.58%-276K
-202.58%-159K
715.79%155K
End cash Position
1,652.56%4.1M
-36.24%234K
321.84%367K
-78.68%87K
-68.30%408K
-40.25%1.29M
247.03%2.15M
-262.62%-1.47M
-163.32%-404K
-74.48%638K
Free cash from
393.45%2.64M
163.80%534K
-225.68%-837K
-85.33%666K
395.06%4.54M
-143.09%-1.54M
555.03%3.57M
11.10%-785K
56.22%-883K
-189.76%-2.02M
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 -9.04%109.17M-5.78%120.01M-0.23%127.38M-14.93%127.67M-14.64%150.08M-14.41%175.81M-16.80%205.42M-12.68%246.91M-10.81%282.75M0.54%317.03M
Revenue from customers -9.04%109.17M-5.78%120.01M1.85%127.38M-16.66%125.07M-14.64%150.08M-14.41%175.81M-16.80%205.42M-12.68%246.91M-10.81%282.75M0.54%317.03M
Income from government grants ------2K------2.61M------------------------
Cash paid 10.35%-100.33M6.52%-111.92M-0.98%-119.72M12.92%-118.55M18.21%-136.15M11.42%-166.46M19.40%-187.92M12.31%-233.14M11.31%-265.86M-1.46%-299.76M
Payments to suppliers for goods and services 10.35%-100.33M6.52%-111.92M-0.98%-119.72M12.92%-118.55M18.21%-136.15M11.42%-166.46M19.40%-187.92M12.31%-233.14M11.31%-265.86M-1.46%-299.76M
Direct interest paid 44.11%-166K-59.68%-297K14.29%-186K59.67%-217K-72.44%-538K0.95%-312K-52.91%-315K-100.00%-206K45.21%-103K-18.99%-188K
Direct interest received 1,480.00%79K--5K-----95.24%1K31.25%21K45.45%16K120.00%11K-28.57%5K-58.82%7K70.00%17K
Direct tax refund paid 15.89%-6.11M11.94%-7.27M-0.22%-8.25M6.71%-8.23M14.20%-8.83M21.32%-10.29M1.89%-13.08M18.02%-13.33M10.26%-16.26M-10.59%-18.12M
Operating cash flow 390.69%2.64M168.93%537K-216.27%-779K-85.37%670K471.83%4.58M-129.92%-1.23M1,622.59%4.12M-55.74%239K152.99%540K-130.57%-1.02M
Investing cash flow
Cash flow from continuing investing activities 166.67%2K94.83%-3K-1,350.00%-58K76.47%-4K94.46%-17K43.67%-307K46.78%-545K28.04%-1.02M-42.59%-1.42M8.10%-998K
Net PPE purchase and sale 166.67%2K94.83%-3K-1,350.00%-58K90.00%-4K85.71%-40K11.11%-280K60.58%-315K42.72%-799K-152.26%-1.4M-217.82%-553K
Net intangibles purchas and sale --------------------88.26%-27K-2.22%-230K-703.57%-225K93.71%-28K51.21%-445K
Net business purchase and sale -------------------718K--------------------
Net investment purchase and sale ------------------741K--------------------
Cash from discontinued investing activities
Investing cash flow 166.67%2K94.83%-3K-1,350.00%-58K76.47%-4K94.46%-17K43.67%-307K46.78%-545K28.04%-1.02M-42.59%-1.42M8.10%-998K
Financing cash flow
Cash flow from continuing financing activities 283.38%1.24M-159.17%-674K215.05%1.14M81.96%-990K-5.49M
Net issuance payments of debt -542.95%-2.01M-120.30%-312K480.45%1.54M91.24%-404K---4.61M--------------------
Net common stock issuance --3.56M------------------------------------
Net other financing activities 11.05%-322K9.05%-362K32.08%-398K33.18%-586K---877K--------------------
Cash from discontinued financing activities
Financing cash flow 283.38%1.24M-159.17%-674K215.05%1.14M81.96%-990K---5.49M--------------------
Net cash flow
Beginning cash position -36.24%234K321.84%367K-78.68%87K-68.30%408K-53.74%1.29M289.90%2.78M-262.62%-1.47M-163.32%-404K-74.48%638K968.38%2.5M
Current changes in cash 2,866.43%3.87M-146.36%-140K193.21%302K64.94%-324K39.96%-924K-143.09%-1.54M555.03%3.57M11.10%-785K56.22%-883K-189.76%-2.02M
Effect of exchange rate changes -185.71%-6K131.82%7K-833.33%-22K-93.33%3K2.27%45K-6.38%44K117.03%47K-73.58%-276K-202.58%-159K715.79%155K
End cash Position 1,652.56%4.1M-36.24%234K321.84%367K-78.68%87K-68.30%408K-40.25%1.29M247.03%2.15M-262.62%-1.47M-163.32%-404K-74.48%638K
Free cash from 393.45%2.64M163.80%534K-225.68%-837K-85.33%666K395.06%4.54M-143.09%-1.54M555.03%3.57M11.10%-785K56.22%-883K-189.76%-2.02M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP