AU Stock MarketDetailed Quotes

RSHO Respiri Ltd

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  • 0.015
  • 0.0000.00%
20min DelayNot Open Oct 16 13:01 AET
19.27MMarket Cap0.00P/E (Static)

Respiri 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
Operating cash flow (direct method)
Cash income from operating activities
-1.36%712.6K
-6.72%722.42K
-46.10%774.5K
-34.85%1.44M
114.89%2.21M
1.03M
Revenue from customers
-3.03%130.99K
-47.23%135.09K
-5.51%255.99K
--270.93K
----
----
Income from government grants
0.00%36.6K
67.79%36.6K
-83.12%21.81K
--129.21K
----
----
Other cash income from operating activities
-1.04%545K
10.88%550.73K
-52.09%496.7K
-52.99%1.04M
114.89%2.21M
--1.03M
Cash paid
-41.03%-7.36M
43.66%-5.22M
-5.49%-9.26M
-27.30%-8.78M
7.36%-6.89M
-7.44M
Payments to suppliers for goods and services
-41.03%-7.36M
43.66%-5.22M
-5.49%-9.26M
-27.30%-8.78M
7.36%-6.89M
---7.44M
Direct interest received
-16.06%3.56K
-38.33%4.24K
408.51%6.88K
-18.55%1.35K
-67.68%1.66K
--5.14K
Operating cash flow
-47.91%-6.64M
47.03%-4.49M
-15.51%-8.48M
-56.55%-7.34M
26.88%-4.69M
---6.41M
Investing cash flow
Cash flow from continuing investing activities
-8,555.92%-1.89M
-862.52%-21.8K
95.83%-2.27K
-321.77%-54.25K
-304.62%-12.86K
-3.18K
Net PPE purchase and sale
----
-862.52%-21.8K
95.83%-2.27K
-321.77%-54.25K
-304.62%-12.86K
---3.18K
Net business purchase and sale
---1.89M
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-8,555.92%-1.89M
-862.52%-21.8K
95.83%-2.27K
-321.77%-54.25K
-304.62%-12.86K
---3.18K
Financing cash flow
Cash flow from continuing financing activities
163.90%9.13M
111.07%3.46M
-86.10%1.64M
48.11%11.79M
83.73%7.96M
4.33M
Net issuance payments of debt
340.00%880K
--200K
----
-407.14%-744.52K
-118.35%-146.81K
--800K
Net common stock issuance
153.09%8.25M
98.87%3.26M
-86.92%1.64M
54.61%12.53M
129.51%8.11M
--3.53M
Cash from discontinued financing activities
Financing cash flow
163.90%9.13M
111.07%3.46M
-86.10%1.64M
48.11%11.79M
83.73%7.96M
--4.33M
Net cash flow
Beginning cash position
-87.99%146.16K
-84.73%1.22M
124.45%7.97M
1,058.41%3.55M
-87.32%306.66K
--2.42M
Current changes in cash
157.04%600.48K
84.61%-1.05M
-255.65%-6.84M
34.88%4.39M
256.47%3.26M
---2.08M
Effect of exchange rate changes
188.26%16.23K
-121.64%-18.39K
228.59%85K
301.46%25.87K
56.12%-12.84K
---29.26K
Cash adjustments other than cash changes
----
----
----
----
----
--1
End cash Position
421.94%762.88K
-87.99%146.16K
-84.73%1.22M
124.45%7.97M
1,058.41%3.55M
--306.66K
Free cash from
-47.19%-6.64M
46.79%-4.51M
-14.70%-8.48M
-57.28%-7.39M
26.72%-4.7M
---6.41M
Accounting Standards
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
Operating cash flow (direct method)
Cash income from operating activities -1.36%712.6K-6.72%722.42K-46.10%774.5K-34.85%1.44M114.89%2.21M1.03M
Revenue from customers -3.03%130.99K-47.23%135.09K-5.51%255.99K--270.93K--------
Income from government grants 0.00%36.6K67.79%36.6K-83.12%21.81K--129.21K--------
Other cash income from operating activities -1.04%545K10.88%550.73K-52.09%496.7K-52.99%1.04M114.89%2.21M--1.03M
Cash paid -41.03%-7.36M43.66%-5.22M-5.49%-9.26M-27.30%-8.78M7.36%-6.89M-7.44M
Payments to suppliers for goods and services -41.03%-7.36M43.66%-5.22M-5.49%-9.26M-27.30%-8.78M7.36%-6.89M---7.44M
Direct interest received -16.06%3.56K-38.33%4.24K408.51%6.88K-18.55%1.35K-67.68%1.66K--5.14K
Operating cash flow -47.91%-6.64M47.03%-4.49M-15.51%-8.48M-56.55%-7.34M26.88%-4.69M---6.41M
Investing cash flow
Cash flow from continuing investing activities -8,555.92%-1.89M-862.52%-21.8K95.83%-2.27K-321.77%-54.25K-304.62%-12.86K-3.18K
Net PPE purchase and sale -----862.52%-21.8K95.83%-2.27K-321.77%-54.25K-304.62%-12.86K---3.18K
Net business purchase and sale ---1.89M--------------------
Cash from discontinued investing activities
Investing cash flow -8,555.92%-1.89M-862.52%-21.8K95.83%-2.27K-321.77%-54.25K-304.62%-12.86K---3.18K
Financing cash flow
Cash flow from continuing financing activities 163.90%9.13M111.07%3.46M-86.10%1.64M48.11%11.79M83.73%7.96M4.33M
Net issuance payments of debt 340.00%880K--200K-----407.14%-744.52K-118.35%-146.81K--800K
Net common stock issuance 153.09%8.25M98.87%3.26M-86.92%1.64M54.61%12.53M129.51%8.11M--3.53M
Cash from discontinued financing activities
Financing cash flow 163.90%9.13M111.07%3.46M-86.10%1.64M48.11%11.79M83.73%7.96M--4.33M
Net cash flow
Beginning cash position -87.99%146.16K-84.73%1.22M124.45%7.97M1,058.41%3.55M-87.32%306.66K--2.42M
Current changes in cash 157.04%600.48K84.61%-1.05M-255.65%-6.84M34.88%4.39M256.47%3.26M---2.08M
Effect of exchange rate changes 188.26%16.23K-121.64%-18.39K228.59%85K301.46%25.87K56.12%-12.84K---29.26K
Cash adjustments other than cash changes ----------------------1
End cash Position 421.94%762.88K-87.99%146.16K-84.73%1.22M124.45%7.97M1,058.41%3.55M--306.66K
Free cash from -47.19%-6.64M46.79%-4.51M-14.70%-8.48M-57.28%-7.39M26.72%-4.7M---6.41M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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Price Target

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