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JRV Jervois Global Ltd

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  • 0.012
  • +0.001+9.09%
20min DelayNot Open Dec 20 16:00 AET
32.43MMarket Cap-0.08P/E (Static)

Jervois Global 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)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
-35.00%234.51M
246.01%360.78M
147,307.01%104.27M
-97.83%70.73K
330.31%3.25M
15,262.99%756.39K
-25.89%4.92K
2.41%6.64K
19.98%6.49K
-98.14%5.41K
Revenue from customers
-35.69%234.62M
234.78%364.84M
--108.98M
----
475.24%4.23M
14,820.23%734.59K
-25.89%4.92K
2.41%6.64K
19.98%6.49K
418.36%5.41K
Other cash income from operating activities
97.37%-107K
13.63%-4.07M
-6,760.35%-4.71M
107.29%70.73K
-4,553.57%-970.84K
--21.8K
----
----
----
----
Cash paid
48.83%-216.26M
-218.57%-422.64M
-6,343.32%-132.67M
-59.31%-2.06M
2.03%-1.29M
-26.98%-1.32M
-65.54%-1.04M
10.54%-627.64K
42.34%-701.59K
31.70%-1.22M
Payments to suppliers for goods and services
48.83%-216.26M
-225.42%-422.64M
-6,207.77%-129.88M
-59.31%-2.06M
2.03%-1.29M
-26.98%-1.32M
-65.54%-1.04M
10.54%-627.64K
42.34%-701.59K
31.70%-1.22M
Other cash payments from operating activities
----
----
---2.79M
----
----
----
----
----
----
----
Direct interest paid
-58.75%-10.27M
-269.27%-6.47M
---1.75M
----
---30.8149
----
----
----
----
----
Direct interest received
----
----
----
----
----
----
-66.10%2.96K
-56.93%8.73K
-90.06%20.26K
1,485.69%203.77K
Direct tax refund paid
78.32%-1.02M
-1,650.82%-4.7M
---268.22K
----
----
----
----
----
----
-4.73%619.85K
Operating cash flow
109.53%6.96M
-140.09%-73.04M
-1,429.98%-30.42M
-201.32%-1.99M
448.65%1.96M
45.41%-562.86K
-68.41%-1.03M
9.27%-612.27K
-74.07%-674.84K
53.44%-387.67K
Investing cash flow
Cash flow from continuing investing activities
35.17%-87.99M
21.32%-135.72M
-20,691.78%-172.49M
-20.90%-829.6K
91.92%-686.19K
-2,788.45%-8.5M
778.88%316.04K
112.49%35.96K
-131.64%-287.83K
-13.18%909.59K
Capital expenditure reported
-2,026.60%-2M
-250.46%-94K
98.55%-26.82K
29.64%-1.86M
-110.98%-2.64M
-13,767.01%-1.25M
-106.75%-9.02K
166.91%133.66K
59.54%-199.75K
-103.28%-493.74K
Net PPE purchase and sale
34.08%-89.8M
-467.25%-136.22M
-13,023.31%-24.01M
23.61%-182.99K
41.65%-239.55K
-149.07%-410.54K
--836.65K
----
---8.41K
----
Net intangibles purchas and sale
----
----
----
---124.56K
----
----
----
----
----
8.29%1.4M
Net business purchase and sale
----
----
---148.45M
----
----
----
----
----
----
----
Net investment purchase and sale
----
----
----
-91.51%146.85K
125.20%1.73M
-1,529.50%-6.86M
-331.07%-421.17K
-22.65%-97.7K
---79.66K
----
Interest received (cash flow from investment activities)
125.25%1.34M
40,870.56%594K
--1.45K
----
-42.20%43.97K
--76.07K
----
----
----
----
Net other investing changes
--2.47M
----
----
184.18%1.19M
954.44%417.74K
45.93%-48.89K
---90.42K
----
----
----
Cash from discontinued investing activities
Investing cash flow
35.17%-87.99M
21.32%-135.72M
-20,691.78%-172.49M
-20.90%-829.6K
91.92%-686.19K
-2,788.45%-8.5M
778.88%316.04K
112.49%35.96K
-131.64%-287.83K
-13.18%909.59K
Financing cash flow
Cash flow from continuing financing activities
-108.44%-26.33M
40.66%312.11M
614.19%221.89M
1,986.95%31.07M
-114.31%-1.65M
799.75%11.51M
63.39%1.28M
782.63K
Net issuance payments of debt
-179.87%-45.93M
11.59%57.5M
--51.53M
----
----
----
----
----
----
----
Net common stock issuance
-84.43%23.17M
-20.45%148.8M
448.96%187.06M
24,227.52%34.08M
-98.78%140.07K
801.44%11.53M
63.39%1.28M
--782.63K
----
----
Net other financing activities
-103.38%-3.58M
733.81%105.81M
-455.34%-16.69M
-68.27%-3.01M
-8,145.97%-1.79M
---21.67K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-108.44%-26.33M
40.66%312.11M
614.19%221.89M
1,986.95%31.07M
-114.31%-1.65M
799.75%11.51M
63.39%1.28M
--782.63K
----
----
Net cash flow
Beginning cash position
210.38%152.65M
60.27%49.18M
604.77%30.69M
31.84%4.35M
224.41%3.3M
103.10%1.02M
78.51%501.22K
-77.56%280.77K
23.41%1.25M
194.45%1.01M
Current changes in cash
-203.87%-107.36M
444.54%103.36M
-32.81%18.98M
7,729.40%28.25M
-115.14%-370.29K
333.92%2.45M
173.22%563.69K
121.43%206.31K
-284.45%-962.67K
-18.24%521.92K
Effect of exchange rate changes
-23.58%81K
118.63%106K
-873.86%-569.06K
---58.43K
----
----
----
----
----
----
End cash Position
-70.28%45.37M
210.90%152.65M
50.86%49.1M
1,010.00%32.55M
-15.35%2.93M
225.28%3.46M
118.63%1.06M
68.91%487.09K
-81.22%288.38K
56.28%1.54M
Free cash from
59.14%-86.18M
-282.49%-210.9M
-1,228.06%-55.14M
-353.77%-4.15M
58.85%-914.97K
-110.24%-2.22M
-72.75%-1.06M
30.66%-612.27K
-0.18%-883K
18.11%-881.41K
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)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 -35.00%234.51M246.01%360.78M147,307.01%104.27M-97.83%70.73K330.31%3.25M15,262.99%756.39K-25.89%4.92K2.41%6.64K19.98%6.49K-98.14%5.41K
Revenue from customers -35.69%234.62M234.78%364.84M--108.98M----475.24%4.23M14,820.23%734.59K-25.89%4.92K2.41%6.64K19.98%6.49K418.36%5.41K
Other cash income from operating activities 97.37%-107K13.63%-4.07M-6,760.35%-4.71M107.29%70.73K-4,553.57%-970.84K--21.8K----------------
Cash paid 48.83%-216.26M-218.57%-422.64M-6,343.32%-132.67M-59.31%-2.06M2.03%-1.29M-26.98%-1.32M-65.54%-1.04M10.54%-627.64K42.34%-701.59K31.70%-1.22M
Payments to suppliers for goods and services 48.83%-216.26M-225.42%-422.64M-6,207.77%-129.88M-59.31%-2.06M2.03%-1.29M-26.98%-1.32M-65.54%-1.04M10.54%-627.64K42.34%-701.59K31.70%-1.22M
Other cash payments from operating activities -----------2.79M----------------------------
Direct interest paid -58.75%-10.27M-269.27%-6.47M---1.75M-------30.8149--------------------
Direct interest received -------------------------66.10%2.96K-56.93%8.73K-90.06%20.26K1,485.69%203.77K
Direct tax refund paid 78.32%-1.02M-1,650.82%-4.7M---268.22K-------------------------4.73%619.85K
Operating cash flow 109.53%6.96M-140.09%-73.04M-1,429.98%-30.42M-201.32%-1.99M448.65%1.96M45.41%-562.86K-68.41%-1.03M9.27%-612.27K-74.07%-674.84K53.44%-387.67K
Investing cash flow
Cash flow from continuing investing activities 35.17%-87.99M21.32%-135.72M-20,691.78%-172.49M-20.90%-829.6K91.92%-686.19K-2,788.45%-8.5M778.88%316.04K112.49%35.96K-131.64%-287.83K-13.18%909.59K
Capital expenditure reported -2,026.60%-2M-250.46%-94K98.55%-26.82K29.64%-1.86M-110.98%-2.64M-13,767.01%-1.25M-106.75%-9.02K166.91%133.66K59.54%-199.75K-103.28%-493.74K
Net PPE purchase and sale 34.08%-89.8M-467.25%-136.22M-13,023.31%-24.01M23.61%-182.99K41.65%-239.55K-149.07%-410.54K--836.65K-------8.41K----
Net intangibles purchas and sale ---------------124.56K--------------------8.29%1.4M
Net business purchase and sale -----------148.45M----------------------------
Net investment purchase and sale -------------91.51%146.85K125.20%1.73M-1,529.50%-6.86M-331.07%-421.17K-22.65%-97.7K---79.66K----
Interest received (cash flow from investment activities) 125.25%1.34M40,870.56%594K--1.45K-----42.20%43.97K--76.07K----------------
Net other investing changes --2.47M--------184.18%1.19M954.44%417.74K45.93%-48.89K---90.42K------------
Cash from discontinued investing activities
Investing cash flow 35.17%-87.99M21.32%-135.72M-20,691.78%-172.49M-20.90%-829.6K91.92%-686.19K-2,788.45%-8.5M778.88%316.04K112.49%35.96K-131.64%-287.83K-13.18%909.59K
Financing cash flow
Cash flow from continuing financing activities -108.44%-26.33M40.66%312.11M614.19%221.89M1,986.95%31.07M-114.31%-1.65M799.75%11.51M63.39%1.28M782.63K
Net issuance payments of debt -179.87%-45.93M11.59%57.5M--51.53M----------------------------
Net common stock issuance -84.43%23.17M-20.45%148.8M448.96%187.06M24,227.52%34.08M-98.78%140.07K801.44%11.53M63.39%1.28M--782.63K--------
Net other financing activities -103.38%-3.58M733.81%105.81M-455.34%-16.69M-68.27%-3.01M-8,145.97%-1.79M---21.67K----------------
Cash from discontinued financing activities
Financing cash flow -108.44%-26.33M40.66%312.11M614.19%221.89M1,986.95%31.07M-114.31%-1.65M799.75%11.51M63.39%1.28M--782.63K--------
Net cash flow
Beginning cash position 210.38%152.65M60.27%49.18M604.77%30.69M31.84%4.35M224.41%3.3M103.10%1.02M78.51%501.22K-77.56%280.77K23.41%1.25M194.45%1.01M
Current changes in cash -203.87%-107.36M444.54%103.36M-32.81%18.98M7,729.40%28.25M-115.14%-370.29K333.92%2.45M173.22%563.69K121.43%206.31K-284.45%-962.67K-18.24%521.92K
Effect of exchange rate changes -23.58%81K118.63%106K-873.86%-569.06K---58.43K------------------------
End cash Position -70.28%45.37M210.90%152.65M50.86%49.1M1,010.00%32.55M-15.35%2.93M225.28%3.46M118.63%1.06M68.91%487.09K-81.22%288.38K56.28%1.54M
Free cash from 59.14%-86.18M-282.49%-210.9M-1,228.06%-55.14M-353.77%-4.15M58.85%-914.97K-110.24%-2.22M-72.75%-1.06M30.66%-612.27K-0.18%-883K18.11%-881.41K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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