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PNI Pinnacle Investment Management Group Ltd

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  • 22.820
  • +0.270+1.20%
20min DelayMarket Closed Jan 3 16:00 AET
5.17BMarket Cap50.15P/E (Static)

Pinnacle Investment Management Group 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
13.73%123.05M
-1.54%108.19M
33.47%109.89M
45.49%82.33M
-25.11%56.59M
56.57%75.56M
131.25%48.26M
-1.62%20.87M
-73.15%21.21M
1.18%79.02M
Cash income from bank and customer deposits
-13.13%35.31M
0.99%40.65M
23.57%40.25M
40.90%32.57M
-51.39%23.12M
56.67%47.55M
224.84%30.35M
27.56%9.34M
-88.89%7.33M
-2.98%65.91M
Cash income from loans
76.95%975K
323.85%551K
9.24%130K
-9.85%119K
106.25%132K
-71.17%64K
76.19%222K
-36.36%126K
-67.27%198K
-62.40%605K
Cash income from securities-related activities
29.51%86.76M
-3.61%67M
40.02%69.51M
48.89%49.64M
19.31%33.34M
58.00%27.94M
55.14%17.69M
-16.73%11.4M
9.50%13.69M
46.13%12.5M
Cash paid
49.68%-26.75M
57.41%-53.15M
-152.86%-124.81M
-43.09%-49.36M
36.67%-34.49M
-98.86%-54.47M
28.46%-27.39M
-79.01%-38.29M
70.32%-21.39M
-3.94%-72.08M
Cash paid for bank and customer deposits
0.70%-41M
-9.79%-41.29M
-49.71%-37.61M
-6.39%-25.12M
56.57%-23.61M
-99.23%-54.37M
-55.58%-27.29M
-3.77%-17.54M
76.39%-16.9M
-6.09%-71.59M
Cash paid for interest and commission
-17.76%-7.07M
-163.36%-6M
-302.65%-2.28M
-7.60%-566K
-400.95%-526K
-1.94%-105K
-9.57%-103K
52.28%-94K
53.65%-197K
36.76%-425K
Other cash payments from operating activities
464.02%21.32M
93.10%-5.86M
-258.74%-84.92M
-128.59%-23.67M
---10.36M
----
----
-381.47%-20.66M
-6,709.52%-4.29M
94.71%-63K
Operating cash flow
74.96%96.3M
468.76%55.04M
-145.27%-14.93M
49.23%32.97M
4.76%22.09M
1.05%21.09M
219.82%20.87M
-9,853.14%-17.42M
-102.52%-175K
-20.72%6.95M
Investing cash flow
Cash flow from continuing investing activities
119.09%565K
97.82%-2.96M
-2,242.47%-135.72M
83.90%-5.79M
27.72%-35.98M
-329.72%-49.77M
-543.14%-11.58M
-147.08%-1.8M
555.90%3.83M
-307.16%-839K
Net PPE purchase and sale
-300.00%-36K
30.77%-9K
76.36%-13K
55.65%-55K
-133.96%-124K
-23.26%-53K
21.82%-43K
55.65%-55K
-16.98%-124K
-186.49%-106K
Net intangibles purchas and sale
----
----
----
----
---2.57M
----
----
----
-50.00%-9K
---6K
Net business purchase and sale
----
----
----
----
----
----
----
-75.63%975K
1,777.93%4M
--213K
Net investment purchase and sale
-121.99%-9.74M
96.87%-4.39M
-2,491.04%-140.02M
84.46%-5.4M
32.22%-34.77M
-745.13%-51.29M
-886.83%-6.07M
80.48%-615K
---3.15M
----
Net other investing changes
619.33%10.34M
-66.64%1.44M
1,386.57%4.31M
-122.54%-335K
-5.35%1.49M
128.70%1.57M
-159.78%-5.47M
-167.76%-2.11M
430.64%3.11M
-312.67%-940K
Cash from discontinued investing activities
Investing cash flow
119.09%565K
97.82%-2.96M
-2,242.47%-135.72M
83.90%-5.79M
27.72%-35.98M
-329.72%-49.77M
-543.14%-11.58M
-147.08%-1.8M
555.90%3.83M
-307.16%-839K
Financing cash flow
Cash flow from continuing financing activities
-46.53%-91.92M
-167.61%-62.73M
75.41%92.78M
1,538.06%52.89M
-92.99%3.23M
522.68%46.07M
-165.58%-10.9M
552.12%16.62M
-42.43%-3.68M
-172.32%-2.58M
Net issuance payments of debt
-1,655.93%-21.48M
-106.57%-1.22M
-72.80%18.63M
142.08%68.46M
--28.28M
----
----
----
----
----
Net commonstock issuance
-63.99%566K
-98.88%1.57M
557.16%140.03M
662.67%21.31M
-95.86%2.79M
2,317.22%67.54M
-90.21%2.79M
7,890.76%28.53M
-85.31%357K
-42.27%2.43M
Cash dividends paid
-12.57%-71.01M
4.25%-63.08M
-78.64%-65.88M
-32.44%-36.88M
-29.73%-27.85M
-56.75%-21.47M
-15.01%-13.69M
-195.24%-11.91M
---4.03M
----
Net other financing activities
----
----
----
----
----
----
----
----
----
---5.01M
Cash from discontinued financing activities
Financing cash flow
-46.53%-91.92M
-167.61%-62.73M
75.41%92.78M
1,538.06%52.89M
-92.99%3.23M
522.68%46.07M
-165.58%-10.9M
552.12%16.62M
-42.43%-3.68M
-172.32%-2.58M
Net cash flow
Beginning cash position
-27.83%27.62M
-60.20%38.27M
498.38%96.14M
-39.87%16.07M
186.33%26.72M
-14.74%9.33M
-19.19%10.95M
-0.19%13.54M
-34.14%13.57M
161.90%20.6M
Current changes in cash
146.47%4.95M
81.60%-10.65M
-172.28%-57.87M
851.55%80.07M
-161.27%-10.65M
1,177.99%17.39M
37.94%-1.61M
-9,896.15%-2.6M
-100.74%-26K
-72.31%3.53M
Cash adjustments other than cash changes
----
----
----
----
----
----
----
----
----
---10.56M
End cash position
17.92%32.57M
-27.83%27.62M
-60.20%38.27M
498.38%96.14M
-39.87%16.07M
186.33%26.72M
-14.74%9.33M
-19.19%10.95M
-0.19%13.54M
-34.14%13.57M
Free cash from
74.93%96.27M
468.38%55.03M
-145.39%-14.94M
69.71%32.92M
-7.80%19.4M
1.01%21.04M
219.20%20.83M
-5,573.05%-17.47M
-104.51%-308K
-21.67%6.84M
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 13.73%123.05M-1.54%108.19M33.47%109.89M45.49%82.33M-25.11%56.59M56.57%75.56M131.25%48.26M-1.62%20.87M-73.15%21.21M1.18%79.02M
Cash income from bank and customer deposits -13.13%35.31M0.99%40.65M23.57%40.25M40.90%32.57M-51.39%23.12M56.67%47.55M224.84%30.35M27.56%9.34M-88.89%7.33M-2.98%65.91M
Cash income from loans 76.95%975K323.85%551K9.24%130K-9.85%119K106.25%132K-71.17%64K76.19%222K-36.36%126K-67.27%198K-62.40%605K
Cash income from securities-related activities 29.51%86.76M-3.61%67M40.02%69.51M48.89%49.64M19.31%33.34M58.00%27.94M55.14%17.69M-16.73%11.4M9.50%13.69M46.13%12.5M
Cash paid 49.68%-26.75M57.41%-53.15M-152.86%-124.81M-43.09%-49.36M36.67%-34.49M-98.86%-54.47M28.46%-27.39M-79.01%-38.29M70.32%-21.39M-3.94%-72.08M
Cash paid for bank and customer deposits 0.70%-41M-9.79%-41.29M-49.71%-37.61M-6.39%-25.12M56.57%-23.61M-99.23%-54.37M-55.58%-27.29M-3.77%-17.54M76.39%-16.9M-6.09%-71.59M
Cash paid for interest and commission -17.76%-7.07M-163.36%-6M-302.65%-2.28M-7.60%-566K-400.95%-526K-1.94%-105K-9.57%-103K52.28%-94K53.65%-197K36.76%-425K
Other cash payments from operating activities 464.02%21.32M93.10%-5.86M-258.74%-84.92M-128.59%-23.67M---10.36M---------381.47%-20.66M-6,709.52%-4.29M94.71%-63K
Operating cash flow 74.96%96.3M468.76%55.04M-145.27%-14.93M49.23%32.97M4.76%22.09M1.05%21.09M219.82%20.87M-9,853.14%-17.42M-102.52%-175K-20.72%6.95M
Investing cash flow
Cash flow from continuing investing activities 119.09%565K97.82%-2.96M-2,242.47%-135.72M83.90%-5.79M27.72%-35.98M-329.72%-49.77M-543.14%-11.58M-147.08%-1.8M555.90%3.83M-307.16%-839K
Net PPE purchase and sale -300.00%-36K30.77%-9K76.36%-13K55.65%-55K-133.96%-124K-23.26%-53K21.82%-43K55.65%-55K-16.98%-124K-186.49%-106K
Net intangibles purchas and sale -------------------2.57M-------------50.00%-9K---6K
Net business purchase and sale -----------------------------75.63%975K1,777.93%4M--213K
Net investment purchase and sale -121.99%-9.74M96.87%-4.39M-2,491.04%-140.02M84.46%-5.4M32.22%-34.77M-745.13%-51.29M-886.83%-6.07M80.48%-615K---3.15M----
Net other investing changes 619.33%10.34M-66.64%1.44M1,386.57%4.31M-122.54%-335K-5.35%1.49M128.70%1.57M-159.78%-5.47M-167.76%-2.11M430.64%3.11M-312.67%-940K
Cash from discontinued investing activities
Investing cash flow 119.09%565K97.82%-2.96M-2,242.47%-135.72M83.90%-5.79M27.72%-35.98M-329.72%-49.77M-543.14%-11.58M-147.08%-1.8M555.90%3.83M-307.16%-839K
Financing cash flow
Cash flow from continuing financing activities -46.53%-91.92M-167.61%-62.73M75.41%92.78M1,538.06%52.89M-92.99%3.23M522.68%46.07M-165.58%-10.9M552.12%16.62M-42.43%-3.68M-172.32%-2.58M
Net issuance payments of debt -1,655.93%-21.48M-106.57%-1.22M-72.80%18.63M142.08%68.46M--28.28M--------------------
Net commonstock issuance -63.99%566K-98.88%1.57M557.16%140.03M662.67%21.31M-95.86%2.79M2,317.22%67.54M-90.21%2.79M7,890.76%28.53M-85.31%357K-42.27%2.43M
Cash dividends paid -12.57%-71.01M4.25%-63.08M-78.64%-65.88M-32.44%-36.88M-29.73%-27.85M-56.75%-21.47M-15.01%-13.69M-195.24%-11.91M---4.03M----
Net other financing activities ---------------------------------------5.01M
Cash from discontinued financing activities
Financing cash flow -46.53%-91.92M-167.61%-62.73M75.41%92.78M1,538.06%52.89M-92.99%3.23M522.68%46.07M-165.58%-10.9M552.12%16.62M-42.43%-3.68M-172.32%-2.58M
Net cash flow
Beginning cash position -27.83%27.62M-60.20%38.27M498.38%96.14M-39.87%16.07M186.33%26.72M-14.74%9.33M-19.19%10.95M-0.19%13.54M-34.14%13.57M161.90%20.6M
Current changes in cash 146.47%4.95M81.60%-10.65M-172.28%-57.87M851.55%80.07M-161.27%-10.65M1,177.99%17.39M37.94%-1.61M-9,896.15%-2.6M-100.74%-26K-72.31%3.53M
Cash adjustments other than cash changes ---------------------------------------10.56M
End cash position 17.92%32.57M-27.83%27.62M-60.20%38.27M498.38%96.14M-39.87%16.07M186.33%26.72M-14.74%9.33M-19.19%10.95M-0.19%13.54M-34.14%13.57M
Free cash from 74.93%96.27M468.38%55.03M-145.39%-14.94M69.71%32.92M-7.80%19.4M1.01%21.04M219.20%20.83M-5,573.05%-17.47M-104.51%-308K-21.67%6.84M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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