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RFT Rectifier Technologies Ltd

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  • 0.008
  • 0.0000.00%
20min DelayTrading Jun 27 11:55 AET
11.06MMarket Cap1.60P/E (Static)

Rectifier Technologies 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
160.49%42.35M
15.49%16.26M
-38.23%14.08M
46.71%22.79M
124.43%15.53M
-0.19%6.92M
-10.42%6.93M
5.99%7.74M
14.06%7.3M
11.00%6.4M
Revenue from customers
160.49%42.35M
19.18%16.26M
-40.14%13.64M
46.71%22.79M
124.43%15.53M
-0.19%6.92M
-10.42%6.93M
5.99%7.74M
14.96%7.3M
10.14%6.35M
Income from government grants
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--435.9K
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----
----
----
----
----
Other cash income from operating activities
----
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----
----
----
----
----
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----
--49.89K
Cash paid
-144.58%-42.14M
-49.63%-17.23M
26.31%-11.52M
-7.30%-15.63M
-111.37%-14.56M
-22.63%-6.89M
19.63%-5.62M
-22.79%-6.99M
19.65%-5.69M
-25.28%-7.08M
Payments to suppliers for goods and services
-144.58%-42.14M
-49.63%-17.23M
26.31%-11.52M
-7.30%-15.63M
-111.37%-14.56M
-22.63%-6.89M
19.63%-5.62M
-22.79%-6.99M
19.65%-5.69M
-25.28%-7.08M
Direct interest paid
-46.52%-215.98K
1.13%-147.41K
-13,295.69%-149.09K
99.24%-1.11K
-138.84%-147.03K
-252.04%-61.56K
-910.81%-17.49K
99.47%-1.73K
-1,715.64%-324.18K
48.12%-17.86K
Direct interest received
1,550.91%100.56K
-64.14%6.09K
37.96%16.98K
-17.88%12.31K
36.46%14.99K
663.45%10.99K
32.26%1.44K
3,300.00%1.09K
-27.27%32
-70.47%44
Direct tax refund paid
-356.07%-993.53K
146.62%387.98K
16.41%-832.17K
-429.90%-995.48K
-80.09%-187.86K
-25.34%-104.32K
-209.10%-83.23K
---26.93K
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----
Operating cash flow
-24.05%-900.62K
-145.45%-726K
-74.15%1.6M
848.55%6.18M
629.81%651.46K
-110.10%-122.96K
68.30%1.22M
-43.80%723.3K
284.09%1.29M
-982.91%-699.13K
Investing cash flow
Cash flow from continuing investing activities
-67.74%-1.06M
-10.24%-629.21K
71.48%-570.78K
-335.23%-2M
4.36%-459.81K
74.17%-480.78K
-2,667.96%-1.86M
-8.04%-67.24K
-107.20%-62.24K
1,848.02%864.66K
Net PPE purchase and sale
-67.42%-1.05M
-10.24%-629.21K
71.48%-570.78K
-335.23%-2M
4.36%-459.81K
74.17%-480.78K
-2,667.69%-1.86M
-3.19%-67.24K
-11.00%-65.16K
-18.68%-58.71K
Net intangibles purchas and sale
---1.98K
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----
----
----
----
----
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----
Net business purchase and sale
----
----
----
----
----
----
----
----
-99.68%2.93K
--928.94K
Net other investing changes
----
----
----
----
----
----
---177
----
----
---5.57K
Cash from discontinued investing activities
Investing cash flow
-67.74%-1.06M
-10.24%-629.21K
71.48%-570.78K
-335.23%-2M
4.36%-459.81K
74.17%-480.78K
-2,667.96%-1.86M
-8.04%-67.24K
-107.20%-62.24K
1,848.02%864.66K
Financing cash flow
Cash flow from continuing financing activities
-55.12%1.03M
252.12%2.29M
-543.54%-1.51M
136.82%339.94K
571.87%143.54K
-101.74%-30.42K
1,903.01%1.75M
77.09%-97.05K
-234.96%-423.6K
30.02%-126.46K
Net issuance payments of debt
-53.95%1.2M
4,959.99%2.61M
-92.40%51.6K
373.27%679.34K
571.87%143.54K
-101.91%-30.42K
448.89%1.59M
-7.90%-457.05K
-584.15%-423.6K
65.74%-61.92K
Net common stock issuance
--80K
----
300.00%140.8K
--35.2K
----
----
-56.89%155.2K
--360K
----
----
Cash dividends paid
----
----
---1.38M
----
----
----
----
----
----
----
Net other financing activities
20.29%-252.93K
2.20%-317.32K
13.39%-324.46K
---374.6K
----
----
----
----
----
---64.55K
Cash from discontinued financing activities
Financing cash flow
-55.12%1.03M
252.12%2.29M
-543.54%-1.51M
136.82%339.94K
571.87%143.54K
-101.74%-30.42K
1,903.01%1.75M
77.09%-97.05K
-234.96%-423.6K
30.02%-126.46K
Net cash flow
Beginning cash position
16.89%7.3M
-9.20%6.24M
142.51%6.87M
29.79%2.83M
-16.91%2.18M
60.71%2.63M
70.67%1.64M
445.47%958.25K
67.67%175.68K
-47.09%104.78K
Current changes in cash
-198.76%-926.75K
295.06%938.38K
-110.65%-481.08K
1,247.92%4.52M
152.86%335.19K
-157.34%-634.16K
97.84%1.11M
-30.22%559.01K
1,950.84%801.16K
125.87%39.07K
Effect of exchange rate changes
-117.17%-19.92K
176.60%116.05K
68.37%-151.5K
-251.87%-478.9K
66.15%315.34K
267.83%189.79K
-195.71%-113.08K
735.81%118.15K
-158.38%-18.58K
-44.86%31.83K
End cash Position
-12.98%6.35M
16.89%7.3M
-9.20%6.24M
142.51%6.87M
29.79%2.83M
-16.91%2.18M
60.71%2.63M
70.67%1.64M
445.47%958.25K
67.67%175.68K
Free cash from
-44.33%-1.96M
-232.02%-1.36M
-75.43%1.03M
2,080.10%4.18M
131.74%191.65K
6.20%-603.83K
-198.12%-643.71K
-46.31%656.06K
257.61%1.22M
-2,708.42%-775.22K
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 160.49%42.35M15.49%16.26M-38.23%14.08M46.71%22.79M124.43%15.53M-0.19%6.92M-10.42%6.93M5.99%7.74M14.06%7.3M11.00%6.4M
Revenue from customers 160.49%42.35M19.18%16.26M-40.14%13.64M46.71%22.79M124.43%15.53M-0.19%6.92M-10.42%6.93M5.99%7.74M14.96%7.3M10.14%6.35M
Income from government grants ----------435.9K----------------------------
Other cash income from operating activities --------------------------------------49.89K
Cash paid -144.58%-42.14M-49.63%-17.23M26.31%-11.52M-7.30%-15.63M-111.37%-14.56M-22.63%-6.89M19.63%-5.62M-22.79%-6.99M19.65%-5.69M-25.28%-7.08M
Payments to suppliers for goods and services -144.58%-42.14M-49.63%-17.23M26.31%-11.52M-7.30%-15.63M-111.37%-14.56M-22.63%-6.89M19.63%-5.62M-22.79%-6.99M19.65%-5.69M-25.28%-7.08M
Direct interest paid -46.52%-215.98K1.13%-147.41K-13,295.69%-149.09K99.24%-1.11K-138.84%-147.03K-252.04%-61.56K-910.81%-17.49K99.47%-1.73K-1,715.64%-324.18K48.12%-17.86K
Direct interest received 1,550.91%100.56K-64.14%6.09K37.96%16.98K-17.88%12.31K36.46%14.99K663.45%10.99K32.26%1.44K3,300.00%1.09K-27.27%32-70.47%44
Direct tax refund paid -356.07%-993.53K146.62%387.98K16.41%-832.17K-429.90%-995.48K-80.09%-187.86K-25.34%-104.32K-209.10%-83.23K---26.93K--------
Operating cash flow -24.05%-900.62K-145.45%-726K-74.15%1.6M848.55%6.18M629.81%651.46K-110.10%-122.96K68.30%1.22M-43.80%723.3K284.09%1.29M-982.91%-699.13K
Investing cash flow
Cash flow from continuing investing activities -67.74%-1.06M-10.24%-629.21K71.48%-570.78K-335.23%-2M4.36%-459.81K74.17%-480.78K-2,667.96%-1.86M-8.04%-67.24K-107.20%-62.24K1,848.02%864.66K
Net PPE purchase and sale -67.42%-1.05M-10.24%-629.21K71.48%-570.78K-335.23%-2M4.36%-459.81K74.17%-480.78K-2,667.69%-1.86M-3.19%-67.24K-11.00%-65.16K-18.68%-58.71K
Net intangibles purchas and sale ---1.98K------------------------------------
Net business purchase and sale ---------------------------------99.68%2.93K--928.94K
Net other investing changes ---------------------------177-----------5.57K
Cash from discontinued investing activities
Investing cash flow -67.74%-1.06M-10.24%-629.21K71.48%-570.78K-335.23%-2M4.36%-459.81K74.17%-480.78K-2,667.96%-1.86M-8.04%-67.24K-107.20%-62.24K1,848.02%864.66K
Financing cash flow
Cash flow from continuing financing activities -55.12%1.03M252.12%2.29M-543.54%-1.51M136.82%339.94K571.87%143.54K-101.74%-30.42K1,903.01%1.75M77.09%-97.05K-234.96%-423.6K30.02%-126.46K
Net issuance payments of debt -53.95%1.2M4,959.99%2.61M-92.40%51.6K373.27%679.34K571.87%143.54K-101.91%-30.42K448.89%1.59M-7.90%-457.05K-584.15%-423.6K65.74%-61.92K
Net common stock issuance --80K----300.00%140.8K--35.2K---------56.89%155.2K--360K--------
Cash dividends paid -----------1.38M----------------------------
Net other financing activities 20.29%-252.93K2.20%-317.32K13.39%-324.46K---374.6K-----------------------64.55K
Cash from discontinued financing activities
Financing cash flow -55.12%1.03M252.12%2.29M-543.54%-1.51M136.82%339.94K571.87%143.54K-101.74%-30.42K1,903.01%1.75M77.09%-97.05K-234.96%-423.6K30.02%-126.46K
Net cash flow
Beginning cash position 16.89%7.3M-9.20%6.24M142.51%6.87M29.79%2.83M-16.91%2.18M60.71%2.63M70.67%1.64M445.47%958.25K67.67%175.68K-47.09%104.78K
Current changes in cash -198.76%-926.75K295.06%938.38K-110.65%-481.08K1,247.92%4.52M152.86%335.19K-157.34%-634.16K97.84%1.11M-30.22%559.01K1,950.84%801.16K125.87%39.07K
Effect of exchange rate changes -117.17%-19.92K176.60%116.05K68.37%-151.5K-251.87%-478.9K66.15%315.34K267.83%189.79K-195.71%-113.08K735.81%118.15K-158.38%-18.58K-44.86%31.83K
End cash Position -12.98%6.35M16.89%7.3M-9.20%6.24M142.51%6.87M29.79%2.83M-16.91%2.18M60.71%2.63M70.67%1.64M445.47%958.25K67.67%175.68K
Free cash from -44.33%-1.96M-232.02%-1.36M-75.43%1.03M2,080.10%4.18M131.74%191.65K6.20%-603.83K-198.12%-643.71K-46.31%656.06K257.61%1.22M-2,708.42%-775.22K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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